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queensland | court_judgement | Queensland Information Commissioner 1993- | Moore and Rockhampton Regional Council [2012] QICmr 16 (18 April 2012) |
Moore and Rockhampton Regional Council [2012] QICmr 16 (18 April 2012)
Last Updated: 28 May 2013
Decision and Reasons for Decision
Application Number: 310799
Applicant: Moore
Respondent: Rockhampton Regional Council
Decision Date: 18 April 2012
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
access applicant sought information concerning dingo baiting
–-
whether disclosure of information would, on balance, be contrary to the public
interest – sections 47(3)(b) and 49 of the Right to Information
Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
On
6 September 2011[1] the
applicant applied to the Rockhampton Regional Council (Council) under the
Right to Information Act 2009 (RTI Act) for access to records
relating to dingo baiting.
The
Council located 16 two-page ‘Agreements for the Provision of Baits for the
Control of Declared Pest Animals Under the Land Protection (Pest and Stock
Route Management) Act 2002 (Qld)’ (Baiting Agreements) between
the Council and various landholders (Landholders). The Council refused
access to the Baiting Agreements, on the basis disclosure would, on balance, be
contrary to the public interest
under section 47(3)(b) of the RTI
Act.[2]
Having
considered the baiting regulatory regime which requires Landholders to notify
neighbours of proposed baiting, and the submissions
of the applicant and
objecting landholders, I am satisfied disclosure of the Baiting Agreements would
not, on balance, be contrary
to the public interest. The applicant is therefore
entitled to access the Agreements, in accordance with the right of access
prescribed
in section 23 of the RTI Act.
Significant procedural steps
During
the external review I consulted with each of the third party
landholders,[3]
(Landholders) and conveyed to the Council my preliminary view disclosure
of the Baiting
Agreements[4] would not,
on balance, be contrary to the public interest.
The
Council accepted my preliminary
view.[5] The Council no
longer contends that access to the Baiting Agreements should be refused.
Additionally,
only two of the eight Landholders contacted the Office of the Information
Commissioner to object to disclosure of relevant
Baiting Agreements
(‘Objecting
Landholders’).[6]
However, given that disclosure of Baiting Agreements between the Council and
non-objecting Landholders may allow for the identification
of the Objecting
Landholders (by inference or process of elimination), it is appropriate for me
deal with all Baiting Agreements
by way of formal decision.
Significant
procedural steps are further set out in the Appendix to this
decision.
Relevant law
The
RTI Act confers a right of access to documents of an
agency.[7] This
right is subject to other provisions of the RTI Act including the
grounds on which an agency may refuse access to
documents.[8]
Relevantly, access may be refused where disclosure would, on balance, be
contrary to the public
interest.[9]
What is the public interest?
The
‘public interest’ refers to considerations affecting the good order
and functioning of the community and governmental
affairs for the well-being of
citizens. The ‘public interest’ is usually treated separately from
matters of purely private
or personal interest. Usually, a public interest
consideration is one that is available to all members or a substantial part of
the community should they choose to access it. Importantly, however, in some
circumstances public interest considerations can apply
for the benefit of
particular individuals.
In
assessing the public interest, the RTI Act requires me to disregard irrelevant
factors, consider factors for and against
disclosure,[10] and
weigh these against one another to determine where the balance of the public
interest lies in a particular case.
Findings
I
have not taken into account any irrelevant factors.
Factors favouring disclosure and nondisclosure
Names,
addresses and property particulars appearing in the Baiting Agreements comprise
the personal information of the Objecting
Landholders.[11] This
gives rise to two factors favouring nondisclosure of this
information: • disclosure of the
information could reasonably be
expected[12] to
prejudice[13] the
protection of an individual’s right to
privacy,[14] and
• disclosure of the information could reasonably be
expected to cause a public interest harm if disclosure would disclose
personal
information of a
person.[15]
Weighing
against these nondisclosure factors, however, are substantial public interest
factors favouring disclosure of the Baiting
Agreements to the applicant. These
arise from the baiting regulatory framework and the impact of baiting on the
applicant in this
case.
Each
Baiting Agreement contains a condition that persons intending to lay baits
notify neighbours with property boundaries fronting
or falling within two
kilometres of a proposed bait site. This condition has the force of
law.[16]
The
Queensland Government’s
guidelines[17] on the
use of baits explain the reasons for this binding obligation to notify:
Neighbour notification
Neighbours must be notified to allow them to take appropriate
action.
Owners must give at least 72 hours notification to all neighbours whose
property falls within 2km of the proposed bait site and any
property having
frontage to the holder where baits are to be laid.
The notification must advise that steps (e.g. restraint, muzzling) need to
be taken to ensure that domestic dogs do not gain access
to 1080 baits or
poisoned animals.
The
Council advised during the
review[18] that this
notification obligation applied to relevant Landholders as regards the
applicant. The applicant submits that he did not
receive notification. He
contends that consequently he lost a working dog to bait
poisoning.[19]
One
of the Objecting Landholders advised OIC that the Landholder did not provide
notice as
required.[20] There is
a significant public interest in disclosure to the applicant of Baiting
Agreements in this context so as to:
ensure that the
applicant is aware of neighbours who are using or have previously used baits (as
he was entitled to be made aware
by way of the bait use notification requirement
discussed above), and
enable the
applicant to take future precautions or other remedial action as necessary.
Disclosure
of Baiting Agreements will also serve to reveal environmental or health
risks,[21] by making
available the identity of persons who are using or have used a highly toxic
regulated pesticide without fully complying
with applicable legal conditions.
Disclosure will also contribute to the protection of the
environment,[22] by
not only disclosing the identity of bait users and location of past bait use,
but by encouraging future compliance with the baiting
regulatory regime.
The
second of the Objecting Landholders submits that the Landholder has always
complied with the requirements applying to baiting
programs,[23] which
presumably includes giving notice. Assuming notice was given, the applicant
will be therefore be aware of this Landholder’s
identity such that any
privacy interest attaching to relevant information as appearing on the Baiting
Agreement would be significantly,
if not entirely, diminished. Disclosure of
this information would therefore have a marginal impact – if any –
on the
Landholder’s privacy interests.
Conversely,
disclosure in this context will allow for confirmation of the Landholder’s
compliance, and therefore enhance the
transparency of the baiting regulatory
framework.
Objecting Landholders’ submissions
The
Objecting Landholders submit that their baiting activity could not have resulted
in the poisoning of the applicant’s dog,
given the timing of baiting as
against when the poisoning was said to have occurred, and the fact that weather
conditions would have
neutralised the toxicity of any baits by the time the dog
was poisoned.[24]
The
second of the Objecting Landholders further submits that the applicant is only
seeking access to the requested information for
financial
gain.[25]
Underpinning
these submissions appears to be a concern the Objecting Landholders may be
exposed to legal action if their Baiting Agreements
are disclosed to the
applicant. Submissions of this kind essentially amount to matters of personal
concern, rather than public interest
factors favouring nondisclosure.
Additionally, the submissions raise matters going to the cause of the poisoning
and who may ultimately
bear responsibility for that poisoning. These are
questions of legal liability beyond the scope of this external review.
If
the Baiting Agreements are disclosed it does not follow that the applicant will
necessarily commence, let alone succeed, in any
legal action. Furthermore, if
the ‘complying’ Landholder’s contentions are correct, then it
is difficult to see
how disclosure of relevant Baiting Agreements to the
applicant could expose this Landholder to any detriment, let alone a detriment
that could conceivably amount to a public interest factor favouring
nondisclosure. The Landholder’s identity will, as I have
noted in
paragraph 19, be known to the applicant
in accordance with the mandatory notification process. Further, both
Landholders will on their accounts
be able to demonstrate that their baiting
activities did not lead to the poisoning of the applicant’s dog.
Yet
even accepting that possible exposure to legal action could consist of a
detriment or adverse effect capable of comprising a public
interest factor
favouring nondisclosure, there is a countervailing public interest in allowing
persons such as the applicant access
to information that may assist them in
determining whether they have legal rights which may be asserted, and possibly
vindicated.
The
applicant is entitled to access information that may enable him to assess
options available by way of redress for the loss of
his dog – including
information identifying or confirming the identity of neighbours who have
baited. There is a recognised
public interest in providing individuals with
access to information that may assist them to pursue, or consider pursuing, a
legal
remedy for loss for which a remedy may exist under the
law.[26] Disclosure
of the Baiting Agreements could reasonably be expected to advance that public
interest.
Conclusion – balance of the public interest
I
have discussed at paragraphs 17-20 and 26 above the public interest
considerations favouring disclosure of the Baiting Agreements, each of which
merit substantial weight in
the circumstances of this case. Weighing against
these public interest factors is the possible prejudice to the privacy of the
Objecting
Landholders. Given the notification obligation, I consider that the
privacy interests attaching to relevant personal information
contained in the
Baiting Agreements are not particularly strong in this case, and are
insufficient to displace the significant public
interests favouring disclosure.
Disclosure
of the Baiting Agreements will inform the applicant as to the use of baits on
neighbouring properties, ensure the baiting
regulatory framework operates
transparently and effectively, and foster future compliance with that framework,
particularly the mandatory
notice obligation. In these circumstances, I
consider disclosure of the Baiting Agreements would not, on balance, be contrary
to
the public interest under the RTI Act.
DECISION
I
set aside the Council’s decision dated 13 October 2011, and in
substitution find that disclosure of the Baiting Agreements
would not, on
balance, be contrary to the public interest under section 47(3)(b) of the RTI
Act. The applicant is therefore entitled
to access the Baiting Agreements, in
accordance with the right of access prescribed in section 23 of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the Right to Information Act 2009 (Qld).
________________________
Jenny Mead
Right to Information Commissioner
Date: 18 April 2012
APPENDIX
Significant procedural steps
Date
Event
8 September 2011
Council received applicant’s RTI access application.
13 October 2011
Council refused access to the information in issue under section 47(3)(b)
of the RTI Act.
20 October 2011
The applicant applied to OIC for external review of the Council’s
decision.
27 October 2011
OIC notified the applicant and Council the external review application had
been accepted. OIC requested Council provide copies of
the information in
issue.
2 November 2011
Information in issue received from Council.
7 March 2012
OIC wrote to third party Landholders and Council conveying preliminary view
disclosure of information in issue would not, on balance,
be contrary to the
public interest under section 47(3)(b) of the RTI Act.
9 March 2012
Objecting Landholder contacted OIC, advised did not accept preliminary
view, and conveyed submissions via telephone in support of
objection to
disclosure of information in issue. Further Objecting Landholder contacted OIC
and advised the Landholder did not accept
OIC’s preliminary view, with
written submissions in support to follow.
14 March 2012
OIC wrote to both Objecting Landholders confirming position and invited
each to apply to participate in the external review.
21 March 2012
Council advised OIC that it accepted OIC’s preliminary view.
25 March 2012
Written submissions received from Objecting Landholder in support of
objections to disclosure.
16 April 2012
In a telephone conversation with an OIC officer, a non-objecting Landholder
advised the Landholder had contacted the applicant directly
and arranged to
provide him with a copy of the Landholder’s Baiting Agreement. OIC
subsequently confirmed with the applicant
that the applicant no longer sought
access to that Agreement.
[1]Received 8
September
2011.[2]Decision
dated 13 October 2011, comprising the ‘decision under
review’. The Council’s decision was made on the basis
disclosure would disclose personal information and prejudice the privacy of
third party
landholders.[3]In
accordance with section 97(4) of the RTI
Act.[4] Apart from
signatures appearing at the foot of the first page of each Agreement,
information to which the applicant does not seek
access (as advised in a
telephone conversation with an OIC officer on 5 March 2012) and which is not in
issue in this review. Additionally,
late in the review process one of the
non-objecting Landholders advised the Office of the Information Commissioner
(OIC) that the Landholder had contacted the applicant directly to arrange
release to him of the Landholder’s Baiting Agreement,
to which the
applicant no longer seeks access through the RTI process. The remaining Baiting
Agreements less these signatures therefore
comprise the ‘information in
issue’.[5]By
letter dated 20 March
2012.[6]Despite
express invitation, neither Landholder applied to participate in the
review.[7]Section 23
of the RTI
Act.[8]Section 47 of
the RTI
Act.[9]Section
47(3)(b) of the RTI
Act.[10]Sections
47(3)(b) and 49(3) of the RTI
Act.[11] That is,
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or opinion.’: RTI Act, schedule 6,
importing the definition set out in section 12 of the Information Privacy Act
2009 (Qld). Most of the information contained in the Baiting Agreements
merely comprises standard terms and conditions, which does not
comprise any
person’s personal information and disclosure of which could not therefore
prejudice any individual’s privacy.
I can identify no grounds either in
the decision under review or generally on which access to this standard
information could be
refused.[12]The
phrase ‘could reasonably be expected to’ requires an expectation
that is reasonably based, ie. neither absurd, irrational
or ridiculous:
see Channel Seven and Redland City Council (Unreported, Queensland
Information Commissioner, 30 June 2011) at paragraph 20 for a restatement of the
principles applying to the
interpretation of this phrase as it used throughout
the RTI
Act.[13]Adopting
the ordinary meaning of the term ‘prejudice’: see Daw and
Queensland Rail (220020, 24 November 2010) at paragraph 17 for a
succinct exposition of the meaning of ‘prejudice’ as used throughout
the RTI
Act.[14]Schedule
4, part 3, item 3 of the RTI
Act.[15]Schedule
4, part 4, item 6 of the RTI
Act.[16] Section
272 of the Health (Drugs and Poisons) Regulation
1996.[17]
‘Toxin 1080: A guide to safe and responsible use of sodium fluoroacetate
in Queensland’, Department of Employment, Economic
Development and
Innovation, 2009, p. 9. Available at:
http://www.dpi.qld.gov.au/documents/Biosecurity_EnvironmentalPests/IPA-1080-Guidelines-Fluoroacetate.pdf[18]
In a telephone conversation with an OIC officer on 13 February
2012.[19] See for
example applicant’s email correspondence with OIC dated 26 October 2011,
10 January 2012 and 10 February
2012.[20]In a
telephone conversation with an OIC officer on 9 March
2012.[21] A factor
favouring disclosure of information in the public interest: schedule 4, part 2,
item 13 of the RTI
Act.[22]Schedule
4, part 2, item 14 of the RTI
Act.[23] Written
submissions dated 23 March
2012.[24] One
Objecting Landholder made relevant submissions in a telephone conversation with
an OIC officer on 9 March 2012, the second provided
written submissions dated 23
March 2012.[25]
Written submissions dated 23 March
2012.[26]Schedule
4, part 2, item 17 of the RTI Act, ‘disclosure could reasonably be
expected to contribute to the administration of justice for a person’,
reflecting the principles set out by the Information Commissioner in
Willsford and Brisbane City Council [1996] QICmr 17; (1996) 3 QAR 368.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Z32 and Queensland Building and Construction Commission; J26 (Third Party) [2021] QICmr 52 (14 October 2021) |
Z32 and Queensland Building and Construction Commission; J26 (Third Party) [2021] QICmr 52 (14 October 2021)
Z32 and Queensland Building and Construction Commission; J26 (Third Party) [2021] QICmr 52 (14 October 2021)
Last Updated: 29 August 2022
Decision and Reasons for Decision
Citation:
Z32 and Queensland Building and Construction Commission; J26 (Third
Party) [2021] QICmr 52 (14 October 2021)
Application Number:
315697
Applicant:
Z32
Respondent:
Queensland Building and Construction Commission
Third Party:
J26
Decision Date:
14 October 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST - recruitment and personnel information
- personal
information - prejudice agency management function - accountability and
transparency - whether disclosure would on balance
be contrary to the public
interest - sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - SUFFICIENCY OF AGENCY SEARCH
EFFORTS - whether agency has taken reasonable steps to identify
and locate
documents requested by applicant - section 130 and sections 47(3)(e) and 52 of
the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Queensland
Building and Construction Commission (QBCC) under the Right to
Information Act 2009 (Qld) (RTI Act) for access to various documents
concerning the recruitment by QBCC of a named individual (the third
party).[2]
QBCC
located various documents, both during initial processing and on internal
review. QBCC decided[3] to release
some of these (in whole or part), and to refuse access to others, on the ground
their disclosure would, on balance, be
contrary to the public
interest.[4]
The
applicant applied[5] to the Office of
the Information Commissioner (OIC) for external review of QBCC’s
decision to refuse him access to information. The applicant also contested the
adequacy of
QBCC’s searches for documents relevant to his
request.
OIC
sought the views of the third party as to possible disclosure of relevant
documents. The third party did not ultimately press
any objections to
disclosure,[6] and QBCC subsequently
agreed to release additional information to the applicant during the review.
Additionally, the applicant
did not press for access to some
information.[7] As a result, only a
small amount of information remains in issue. For reasons explained below, I
consider that the applicant is
entitled to access some of that information.
QBCC may, however, refuse the applicant access to the balance. I therefore vary
QBCC’s
decision to refuse access to all of the information in
issue.
I
am also satisfied that QBCC has taken reasonable steps to locate requested
documents, and therefore discharged its search obligations
under the RTI
Act.
Background
Significant
procedural steps are set out in the appendix to this decision.
Reviewable decision
The
decision under review is QBCC’s internal review decision dated 2 October
2020.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and Appendix).
9. In making
this decision I have had regard to the Human Rights Act 2019 (Qld)
(HR Act), particularly the right to seek and receive information as
embodied in section 21 of that Act. I consider that in observing and
applying
the law prescribed in the RTI Act, a Right to Information decision-maker will be
‘respecting, and acting compatibly with’ this right and
others prescribed in the HR Act,[8]
and that I have done so in making this decision, as required under section 58(1)
of the HR Act. In this regard, I note Bell J’s
observations on the
interaction between the Victorian analogues of Queensland’s RTI Act and HR
Act: ‘it is perfectly compatible with the scope of that positive right
in the Charter for it to be observed by reference to the scheme of,
and
principles in, the Freedom of Information
Act.’[9]
Information in issue
The
information in issue comprises:
segments of
information appearing on the second and third pages of a ‘Statement
Addressing Selection Criteria’ (SASC) authored by the third party;
and
three instances
of two payroll/employee numbers concerning the third party, appearing on two
pages.[10]
For
reasons explained below, I do not consider that grounds exist for refusing
access to the first two segments of information redacted
from the third page of
the SASC. I will refer to this information as the ‘Category A
Information’. I will refer to the balance of information redacted
from the SASC – to which access may, in my view, be refused –
as the
‘Category B
Information’.[11] The
payroll/employee numbers I will simply refer to as the ‘Payroll
Numbers’.
Issues for determination
The
issues for determination are:
whether QBCC may
refuse access to the information in issue on the ground its disclosure would, on
balance, be contrary to the public
interest under section 47(3)(b) of the RTI
Act; and
‘sufficiency
of search’ – that is, whether QBCC has taken reasonable steps to
locate documents relevant to the access
application (such that access to further
documents may be refused, on the ground that any documents are nonexistent or
unlocatable).[12]
Procedural complaints/allegations of bias
Before
dealing with the substantive issues identified in the preceding paragraph, I
should firstly note that the applicant made various
complaints and allegations
during the review, including assertions as to bias against the delegate who
managed most of the external
review, and claims that the applicant had been
denied procedural fairness.
I
am not the delegate against whom relevant allegations were levelled. Thus, it
seems to me that as a matter of fact, the bulk of
the applicant’s
grievances in this regard – including those as to bias – essentially
‘fall away’, and
do not strictly need to be dealt with
further.[13]
As
for complaints as to fairness, having reviewed the procedure followed during
this review I am quite satisfied the applicant has
been treated fairly. He has
been afforded the benefit of detailed preliminary views on issues where those
views were against his
interests. It is also worth remembering that the
applicant is, as a consequence of the external review process, in a considerably
better position than following QBCC’s decisions, having secured access to
a number of pages to which he had been refused access
by QBCC. His success in
this regard follows OIC having independently and impartially:
assessed
relevant information
appraised
QBCC’s decision to refuse access to same
undertaken third
party consultation as required by the RTI Act
advised QBCC of
our view that it had not established grounds for refusing access; and,
ultimately,
secured
QBCC’s agreement to release of that information.
Further,
OIC acceded to the applicant’s 14 June 2021 request for an extension of
time in which to lodge
submissions.[14] We did in our 27
July 2021 letter direct that such submissions be limited to no more than three
pages, but this direction followed
receipt from the applicant of a discursive 17
page submission[15] canvassing a
range of issues (many of which are beyond our power to consider), and was made
in a context where the issues remaining
to be addressed were relatively limited
in number, confined to matters of fact, and the page limit imposed corresponded
with the
length of the OIC letter inviting reply.
This
was also a direction given consistently with not only the broad discretion
conferred on the Information Commissioner to set the
procedure on external
review,[16] but the express power to
give directions prescribed in section 95(2) of the RTI
Act.[17]
OIC
is obliged to conduct reviews
expeditiously,[18] and strives to
meet this obligation with limited resources, which must be apportioned to meet
both a range of statutory duties and
heavy demand for external review from not
just the applicant, but other members of the community. Given this, and the
matters canvassed
in paragraphs 16 and
17, I am satisfied that the page limit
direction made in our 27 July 2021 letter was appropriate, and did not operate
to deny the applicant
fair opportunity to put forward his case.
As
for the applicant’s assertion of bias, and accompanying request of the
Information Commissioner that a delegate other than
the original delegate make
this decision, it is not, as noted at paragraph 14, strictly necessary to deal with this
issue or request, given that the latter has, in practise, occurred: I have come
to this matter
fresh and have had no prior dealings with the review nor, indeed,
the[19]pplicant.19 It is adequate
to simply summarise the Commissioner’s 11 August 2021 reply to the
applicant, noting that the review has been
conducted without irregularity, in
accordance with OIC’s usual practices, and ‘well within the broad
procedural discretion conferred on ...[the Information Commissioner]
(and... delegates) by section 95(1)(a) of the Right to Information Act
2009 (Qld)’.
Finally,
for completeness I note that a recurring theme through the applicant’s
submissions is an insistence that other agencies
and public entities have failed
to properly discharge their duties or, worse, done so
‘corruptly’,[20] coupled
with an insistence that OIC should thus duly report those nominated by the
applicant to other agencies for further action,
in accordance with applicable
statutory
duties.[21]
I should make it clear that I do not share the applicant’s suspicions, and
have identified nothing in the material before me
enlivening relevant reporting
duties. Yet even if I had, I am under no obligation to account to him for the
discharge of such reporting
duties, let alone the world at large via published
reasons for decision.
With
that said, I will now turn to the substantive issues to be
determined.
Access to information
QBCC
maintains that access may be refused to all information remaining in issue. The
applicant, on the other hand, seeks access to
that information.
Having
considered each of QBCC’s and the applicant’s submissions, and the
actual information in issue, my view is that
the preferable position lies
somewhere in between. There is no basis for refusing the applicant access to
the Category A Information.
Disclosure
of the balance of the information in issue – the Category B Information
and the Payroll Numbers – would, however,
on balance be contrary to the
public interest. Access may therefore be refused to this latter
information.
In
deciding whether disclosure of information would, on balance, be contrary to the
public interest,[22] the RTI Act
requires a decision-maker
to:[23]
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information in issue would, on balance, be contrary to the
public interest.
Schedule
4 of the RTI Act contains non-exhaustive lists of factors that may be relevant
in determining where the balance of the public
interest lies in a particular
case. I have carefully considered these lists, together with all other relevant
information, in reaching
my decision.
Additionally,
I have kept in mind the RTI Act’s pro-disclosure
bias[24] and Parliament’s
intention that grounds for refusing access to information be interpreted
narrowly,[25] and have not
considered any irrelevant factors.
Findings
Category A Information
As
noted above, I consider the applicant is entitled to access the Category A
Information, for the following reasons.
Favouring
disclosure of the Category A Information is, firstly, the general public
interest in promoting access to government-held
information.[26] Further, disclosure
of this information – material relied on by a candidate for relatively
senior public employment, and apparently
taken into account by the employing
agency[27] – could reasonably
be expected to:[28]
contribute to
the transparency of QBCC’s recruitment processes, and ensure and enhance
the accountability of QBCC for adherence
to merit and equity principles in
making recruitment decisions;[29]
and
reveal
background or contextual information informing QBCC’s decisions to appoint
the third
party.[30]
As
discussed further below, the public interest is served by ensuring the community
can access information allowing it to be satisfied
public sector appointments
are made fairly and transparently. The public interest factors identified in the
preceding paragraph deserve
substantial weight.
Favouring
nondisclosure is the fact that this information is, as QBCC submits, the third
party’s personal
information,[31] giving rise to the
public interest harm factor prescribed in schedule 4, part 4, section 6 of the
RTI Act. The public interest harm
that could, however, reasonably be expected
to follow disclosure of this personal information would be exceedingly minor,
because
the third party – whom the personal information is about, and who
authored that information – does not object to its
release.[32] Given this, I consider
the relevant harm factor merits only slight weight in balancing the public
interest.[33]
QBCC
also argues that disclosure of the Category A Information could reasonably be
expected to prejudice QBCC’s management
function.[34] In an email dated 25
August 2021, QBCC submitted that release of this specific
information:
...could be expected to prejudice the management function of our agency in
relation to current and future personnel. I consider QBCC
employees or
employees from other agencies would be aggrieved at information such as this
example relating to internal staff matters
being disclosed to a third party. I
deem that this should be given substantial weight for nondisclosure in deciding
the public interest.
I
do not accept this submission. As OIC explained to QBCC during the review, it
is not reasonable to expect that disclosure of a
passage of information authored
by and concerning a specific individual in support of that individual’s
job selection claims
could aggrieve other employees (current or prospective) at
all, let alone to an extent that might disrupt or prejudice QBCC’s
management of those employees.
Again,
the determining consideration in this regard is that the third party does not
themself object to release. Given this, I do
not consider it reasonable to
expect that disclosure would perturb or aggrieve other staff in the manner
contended by QBCC, so as
to give rise to the relevant nondisclosure
factor.[35] Accordingly, I am not
satisfied that disclosure of the Category A information could reasonably be
expected to prejudice QBCC’s
management
function.[36] This factor does not,
therefore, need to be taken into account in balancing the public
interest.
I
turn to balance competing factors against one another. Given the third party
does not object to disclosure of his personal information
as embodied in the
Category A information, I am not satisfied that the applicable public interest
harm factor[37] attracts sufficient
weight to displace the weighty accountability and transparency considerations
favouring release discussed in
paragraph 29. While I acknowledge QBCC’s
submissions that disclosure of other material through the course of this review
advances those
public interest considerations, it nevertheless remains
the[38]ase that:38
...there are public interests favouring disclosure [of written job
application materials such as the Category A information]... those include
public interests in revealing the kinds of skills, experience and claims
required to win particular positions, maintaining
public confidence that only
appropriately skilled, experienced and qualified people hold public sector
positions which are funded
by the public purse and ensuring that applications
for similar positions are accurate in their particulars and claims.
...
...[I]t is likely in my view that the higher the seniority of the
position in question, the stronger the public interest will be in disclosing
documents revealing the claims on that position by the successful
applicant.
The
third party was appointed to a relatively senior position within QBCC, an
appointment based in part, I gather, on the Category
A information. The
‘public interest is promoted by ensuring that members of the public can
verify that appointments to the public service are made equitably,
and based
upon the respective merits of the applicants.’
[39]
For
the reasons explained above, then, I am satisfied that release of the Category A
Information will serve this public interest,
to an extent sufficient to displace
the marginal weight attaching to the sole public interest consideration telling
against disclosure.
QBCC
has not discharged the onus it
carries[40] of establishing that a
decision refusing access to the Category A Information is justified. Bearing in
mind, again, the absence
of any objection to disclosure from the third party to
whom this information relates, I am satisfied that the balance of the public
interest in this case favours disclosure.
Category B Information
The
Category B Information consists of potentially identifying references to others
with whom the third party had dealings in a professional
capacity, both within
their then-employing agency and externally. While these segments reflect
entirely commonplace examples of
the types of information often relied on by job
applicants to demonstrate capacity and experience, they are, given the
investigatory
nature of the work in which the third party was engaged,
nevertheless possessed of some sensitivity; a sensitivity I do not think
is
attenuated by the third party’s general lack of objection to disclosure of
the document in which they appear.
As
information about other people, and from which I consider those persons’
identities could reasonably be
ascertained,[41] the Category B
Information comprises the personal information of persons other than the
applicant.[42] Additionally, as
information touching on matters such as workplace performance and the operations
of agency personnel in sensitive
regulatory contexts, I am also of the view that
unconditional disclosure of these limited segments of information could lead to
potential
disquiet, and thus could reasonably be expected to prejudice relevant
agencies’ management
functions.[43] Protecting
personal information and avoiding prejudice to agency management functions are
important public interests, deserving
of considerable weight.
The
same public interest considerations that favour release of the Category A
Information also count in favour of disclosure of the
Category B Information.
However, in this context, my view is that avoiding the public interest harm that
would follow the release
of personal information, and potential prejudice to
agency management function, should be preferred to those favouring disclosure
of
this information. Withholding these segments will avoid potential public
interest harm and prejudice, while not significantly
impairing the applicant or
any other persons’ ability to understand the merits of the third
party’s claims to appointment
nor QBCC’s decision to make such
appointment.
On
balance, then, I am satisfied that factors favouring nondisclosure are
sufficient to displace those in favour. Disclosure of the
Category B
Information would, on balance, be contrary to the public interest, and access
may therefore be refused to this information,
under section 47(3)(b) of the RTI
Act.
Payroll Numbers
These
numbers are rather insignificant items of information, of a largely clerical or
administrative nature. The case for release
strikes as rather marginal; while
disclosure would promote the general public interest in promoting access to
government-held information,[44]
and, to some extent, disclosing information informing the community of QBCC
operations,[45] the relatively
trivial nature of this information is such that neither consideration would seem
to attract anything beyond modest
weight. Nevertheless, in view of the RTI
Act’s express pro-disclosure bias, and the absence of any substantial
considerations
telling against
disclosure,[46] OIC’s initial
view was that their disclosure would not, on balance, be contrary to the public
interest.
QBCC,
however, provided us with submissions during the review establishing that like
information had in the past been used to perpetrate
attempted payroll fraud
against QBCC.[47] Having no reason
to gainsay these submissions, OIC advised the applicant of a revised preliminary
view, to the effect that unconditional
disclosure of the Payroll Numbers could
reasonably be expected to give rise to a public interest
prejudice[48]
sufficient to displace considerations favouring release, and thus tip the
balance of the public interest in favour of nondisclosure.
The
applicant continues to press for access to these
numbers.[49] The applicant’s
case, as I understand it, is that each number may enable him to frame future RTI
access requests (i.e., by
reference to the numbers). It is not obvious to me
how this would be so, nor why he requires access to the actual number –
should there be documents of interest to him connected to one of these numbers,
there would seem to be more than enough information
available to him on the
pages on which these numbers appear (they being the only information redacted
from those particular pages)
to enable him to make a meaningful
application.
In
any event, even if the above assumptions are mistaken, and refusing access to
these numbers does impair the applicant in the manner
he asserts, this outcome
is to be preferred to the converse which I accept could reasonably be expected
to follow unconditional release
under the RTI Act – potential fraud on a
public agency.
In
summary, then, I find that considerations favouring nondisclosure of the Payroll
Numbers as discussed above[50]
attract weight sufficient to displace those that may tell in favour of release.
Accordingly, disclosure of the Payroll Numbers would,
on balance, be contrary to
the public interest. Access may therefore be refused to this
information.Sufficiency of search
OIC’s
external review functions include investigating and reviewing whether agencies
have taken reasonable steps to identify
and locate documents applied for by an
applicant.[51]
OIC
asked QBCC for information concerning search steps taken by it by way of letter
dated 21 April 2021. It duly provided advice
in
reply,[52] which we relayed to the
applicant by way of letter dated 31 May 2021, noting that QBCC had in processing
their application undertaken
some 9.5 hours of searches, across seven days, of
both electronic and physical document repositories.
We
further advised the applicant that QBCC had certified to us its satisfaction
that no further documents exist, advice we were prepared
to accept. Given this,
we concluded that QBCC’s searches appeared to have been reasonable, and we
could identify no further
searches it might reasonably be required to
undertake.
In
reply,[53] the applicant submitted
that QBCC should be required to conduct further searches for documents
concerning several meetings at which
QBCC officers and the third party (then
employed by another agency) were
present.[54]
OIC
addressed the above contentions by letter to the applicant dated 27 July 2021.
Having summarised the applicant’s position
in terms equivalent to those
stated in the preceding paragraph, our letter continued as follows (footnotes
included):
I disagree.
The terms of your access application as originally lodged with QBCC requested
access to documents concerning... [the third party’s] QBCC
employment, and those concerning ‘the establishment, recruitment and
selection’ of and for several nominated positions.
Going by QBCC’s initial decision, it appears that QBCC then issued you
with a notice of intention to refuse to deal under section
42 of the RTI Act,
following which you agreed to narrow the terms of your application, so as to
request ‘copies of documents regarding the recruitment process of...
[the third party]’ for two positions within
QBCC.[55]
From the documents supplied by
you,[56] however, none of the
meetings nominated in your submissions concerned ‘the recruitment process
of [the third party]’ as targeted in your narrowed access
application.[57] Those documents
instead appear to evidence:
in the case
of the 5 December 2017 and proposed 22 March 2018 meetings, inter-agency liaison
between QBCC and... [the other agency], initiated by the former in an
effort to better manage its interactions and dealings with the latter; and
in the case
of the 6 March 2018 meeting, the conduct (and resolution) of a specific
administrative investigation undertaken by...
[the other agency] of
certain QBCC actions.
Requiring QBCC to undertake further searches for documents relating to
inter-agency meetings or a particular administrative investigation
– in
response to a narrowed application for documents concerning two specific
recruitment processes – lies beyond what
is reasonable. Documents of the
former kind fall outside the scope of the present application; should you wish
to pursue access
to same, you will need to lodge a fresh access application with
QBCC.
As for your general request for searches for
‘any other documents concerning any other meetings or communications
which can be established between...[the former QBCC Commissioner
and the Third
Party] which can be
identified’:[58] were it
even possible for an agency such as QBCC to deal with such a vague and sweeping
request,[59] it is not competent for
an applicant to unilaterally expand the terms of an access application on
external review.[60] You applied
for access to documents in terms as summarised above, and you are bound by the
terms of that application.[61]
The
applicant continues to insist that QBCC has failed to take reasonable steps to
locate relevant documents, his 10 August 2021 submissions
in reply to
OIC’s 27 July 2021 letter essentially maintaining the position summarised
in paragraph 51. Without wishing to
appear presumptuous, these latter submissions appear to be premised on
dissatisfaction with the fact that the
information the applicant has had
disclosed to him by QBCC does perhaps not rise to the level he would expect,
based on his subjective
construction and understanding of law and regulation
governing public sector recruitment.
Whether
or not the applicant’s apprehensions are justified is a matter entirely
outside of my remit on external review, and
on which I offer no opinion. The
adequacy or otherwise of the content of ‘recruitment process’
documentation (as opposed to searches for that process documentation),
and the processes followed by a given agency in making recruitment decisions,
are not matters that
fall for me to explore in an external review conducted
under the RTI Act. My role is limited to ascertaining whether, relevantly,
QBCC
has discharged its search obligations in response to the applicant’s
access application. On that issue, I can say little
more than OIC did in our
letter to him dated 27 July 2021, extracted in paragraph 52 above. In other words, I do not accept
that reasonable steps require QBCC, in responding to an access application for
documents ‘regarding the recruitment process’ for two
positions, to ‘cast the net’ any more broadly than it has: let alone
for documents relating to inter-agency meetings,
a particular administrative
investigation by another, unrelated agency, or ‘any other documents
concerning any other meetings’ between nominated
individuals.
Accordingly,
as a matter of fact I am satisfied that QBCC has taken reasonable steps to
identify and locate documents applied for
by the applicant. While I consider the
preceding finding sufficient to dispose of this issue, if it is necessary to do
so, I find
that access to further documents may be refused, on the ground that
such documents – to the extent they would fall within the
scope of the
access application – are nonexistent or
unlocatable.[62]
Additional matters
Before
concluding these reasons, I should briefly address two further issues pressed by
the applicant through this review: the authorship
of and comments made in the
decision under review, i.e. QBCC’s internal review decision.
On
the first, the applicant contests the legitimacy or validity of the decision
under review, contending that it was authored by an
officer less senior to the
initial decision maker ‘in flagrant breach of the RTI
Act’.[63] The applicant
contends that this amounts to ‘criminal activity in public
service’ by certain QBCC officers, and presses for the
‘outcome’ of this review – presumably, this decision
– to ‘reflect such
findings’.[64]
On
the second, the applicant takes issue, as I understand, with commentary in the
internal review decision defending and/or explaining
the recruitment processes
the subject of the applicant’s RTI access
application.[65]
Each
matter exemplifies the applicant’s desire that OIC make findings on issues
that are outside our power or authority, which
desire appears to be premised on
a misconceived notion that we have some free-ranging policing or disciplinary
role on external review.
As I have observed above, our role is limited to
merits review of an agency decision to refuse access to information, not to
vindicate
general suspicions harboured by an applicant, nor to make public
denouncements of asserted agency
shortcomings.[66] The Information
Commissioner does, as noted, have an obligation to report evidence of breach of
duty or misconduct in limited
circumstances;[67] that reporting
obligation is, however, not one required to be carried out by way of published
decision or declaration, or with an
accounting to an applicant or any other
review participant.
Do
such matters have any bearing, then, on the external review exercise? Given
that external review is merits review, the short answer
is no. As we explained
to the applicant in our 27 July 2021 letter, (by way of quotation of
observations made by the Right to Information
Commissioner in an earlier,
unrelated decision, in response to similar arguments by another applicant):
[68]
...OIC conducts a ‘merits review’ of the relevant agency
decision:
This means that OIC stands in the shoes of the agency and can make any
decision that was open to the agency to make. The effect of
this is that any
procedural issues that may have arisen when the agency was processing the
application are irrelevant on external
review. OIC’s role is to conduct a
fresh review of the relevant facts and law, and make a fresh decision.
Accordingly, an applicant
is not prejudiced by any procedural issues or defects
that may have occurred during processing as these are corrected and/or are
irrelevant under a merits review process.
With
all that said, having traversed the above issues I do think it appropriate that,
at least as regards the question of
authorship,[69] I record my
observation that I can see nothing untoward with QBCC’s internal review
decision. It clearly bears the name, position,
and signature of the-then Acting
Commissioner, a position I think I may safely assume was of higher rank than
that of the initial
decision-maker. That the document’s metadata indicates
the document itself was created by another, more junior, officer is
neither here
nor there. From personal experience, it is a routine and commonplace course of
action in the contemporary public service
for electronic documents such as
correspondence, draft reasons for decision or other statutory instruments to be
brought into existence
by a subordinate officer, resulting in that officer being
recorded as the document’s originator by the computer application
used to
create[70] or
finalise[71] the document. The
content of such correspondence or instrument, however, will be
settled,[72] endorsed and issued by
an appropriately empowered officer or delegate.
The
above appears to have been exactly the case here, such that even if I did have
some obligation to entertain and address this issue
on external review, there is
no objective, probative material before me to cause me to do
so.DECISION
I
vary, under section 110(1)(b) of the RTI Act, QBCC’s decision to refuse
access to all of the information in issue, by finding
that:
QBCC may only
refuse access to the Category B Information and Payroll Numbers, under section
47(3)(b) of the RTI Act; and
QBCC has not
established grounds for refusing access to the Category A
Information.
I
further record my satisfaction that QBCC has taken reasonable steps to identify
and locate documents relevant to the applicant’s
RTI access application,
and therefore discharged the search obligations it bears under the RTI Act. To
the extent it may be necessary,
access may be refused to any additional
documents relevant to the terms of the applicant’s narrowed RTI access
application
under section 47(3)(e) of the RTI Act, on the basis they are
nonexistent or unlocatable within the meaning of section 52 of the
Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.K
ShepherdActing Right to Information CommissionerDate:
14 October 2021
APPENDIX
Significant procedural steps
Date
Event
29 October 2020
OIC received the application for external review.
2 November 2020
OIC requested preliminary documents from QBCC.
11 November 2020
OIC received the requested documents from QBCC.
24 November 2020
OIC notified the applicant and QBCC that the external review application
had been accepted and requested further documents from QBCC.
9 December 2020
OIC received the requested documents from QBCC.
10 March 2021
OIC consulted the third party and invited the third party to apply to
participate in the review.
22 March 2021
The third party applied to participate in the review, and provided OIC with
submissions.
8 April 2021
OIC notified the third party that their application to participate in the
review had been accepted.
21 April 2021
OIC conveyed a preliminary view to the applicant, agency and third party.
23 April 2021
OIC received further submissions from QBCC in response to the preliminary
view. OIC received the applicant’s request for clarification
of parts of
the preliminary view.
27 April 2021
OIC provided clarification to the applicant.
6 May 2021
OIC received the third party’s submission in response to the
preliminary view.
11 May 2021
Having received no reply from the applicant to OIC’s 21 April 2021
preliminary view, OIC wrote to the applicant, confirming
that information
discussed in that correspondence was no longer in issue.
11 May 2021
OIC conveyed the third party’s submission, and the applicant’s
position in response to the preliminary view, to QBCC.
17 May 2021
OIC received QBCC’s submissions in response to OIC’s 21 April
2021 preliminary view, including agreement to release some
additional
information.
31 May 2021
OIC requested QBCC release relevant information to the applicant. OIC
conveyed a further preliminary view to the applicant.
15 June 2021
OIC received the applicant’s submissions in response to OIC’s
31 May 2021 preliminary view.
6 July 2021
OIC conveyed the applicant’s submissions to QBCC and requested QBCC
consider disclosing further documents.
21 July 2021
OIC received QBCC’s further submissions regarding disclosure of
further documents.
27 July 2021
OIC conveyed a further preliminary view to the applicant.
10 August 2021
OIC received the applicant’s submissions in response to OIC’s
further preliminary view.
11 August 2021
OIC wrote to the applicant concerning conduct of the review.
12 August 2021
OIC requested QBCC consider disclosing further information.
25 August 2021
QBCC agreed to release some additional information.
7 September 2021
OIC requested QBCC disclose additional information to the applicant. OIC
confirmed with the applicant, QBCC and the third party that
the next step in the
review would comprise a written decision. OIC asked the third party to confirm
continuing participation in the
review; the third party confirmed their
participation.
[1] Application dated 19 May
2020.[2] The third party was, as I
understand, appointed on secondment to a position within QBCC, then subsequently
appointed to a position
on contract, following an open recruitment and selection
process.[3] Initial decision dated
11 August 2020; internal review decision dated 2 October
2020.[4] Section 47(3)(b) of the
RTI Act.[5] Application dated 29
October 2020.[6] See email from
the third party to OIC dated 6 May 2021. The third party did, however, wish to
remain as a participant in the review,
their application to participate under
section 89(2) of the RTI Act having been accepted by OIC prior to withdrawal by
them or their
objections.[7] See
email from OIC to the applicant dated 11 May
2021.[8] XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; Horrocks v Department of Justice (General) [2012] VCAT
241 (2 March 2012) at [111].
[9] XYZ at
[573].[10] ‘New
appointment paperwork from 14 May 2018 000003’ (one instance); ‘New
appointment paperwork from 14 May 2018
000007’ (two
instances).[11] A copy of
relevant pages of the SASC, with each Category clearly marked, will accompany
the copy of these reasons forwarded to
QBCC.[12] Sections 47(3)(e) and
52 of the RTI Act.[13] As I have
had no prior dealings with this matter, nor the
applicant.[14] Email to
applicant dated 14 June
2021.[15] Dated 15 June
2021.[16] Section 95(1)(a) of
the RTI Act.[17] And comports
entirely with the practice in superior courts - see, by way of just one example,
order 2 of Sheridan DCJ in Wood v Commissioner of Police [2021] QDC
209.[18] Section 90 of the RTI
Act.[19] And thus, have no
actual bias against the applicant, and could not be said not to bring an
impartial mind to the determination of
the issues in this review, in the eyes of
a fair-minded lay bystander: Ebner v Official
Trustee in Bankruptcy [2000] HCA 63; (2000) 205 CLR
337.[20] Paraphrasing, for
example, the applicant’s 10 August 2021 submissions, referring to
‘corrupt
conduct’.[21] Such as that
prescribed in section 113 of the RTI
Act.[22] The term
‘public interest’ refers to considerations affecting the good
order and functioning of the community and government affairs for the well-being
of citizens.
This means that, in general, a public interest consideration is one
which is common to all members of, or a substantial segment of,
the community,
as distinct from matters that concern purely private or personal interests,
although there are some recognised public
interest considerations that may apply
for the benefit of an individual: Chris Wheeler, ‘The Public Interest: We
Know It's
Important, But Do We Know What It Means’ [2006] AIAdminLawF 2; (2006) 48 AIAL
Forum 12, 14.[23] Section 49
of the RTI Act.[24] Section 44
of the RTI Act.[25] Section
47(2)(a) of the RTI Act.[26]
Implicit in the object of the RTI
Act.[27] Antony and Griffith
University (2001) 6 QAR 31
(Antony).[28] The
phrase ‘could reasonably be expected’ requires a decision-maker to
distinguish ‘between what is merely possible ...
andexpectations that are reasonably based’ and for which
‘real and substantial grounds exist’: B and Brisbane North
Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279, a decision of the Information
Commissioner analysing the equivalent exemption in the repealed Freedom of
Information Act 1992 (Qld), at [154]-[160]. Other jurisdictions have
similarly interpreted the phrase ‘as distinct from something that is
irrational, absurd or ridiculous’: See Smolenski v Commissioner of
Police, NSW Police [2015] NSWCATAD 21 at [34], citing Commissioner of
Police, NSW Police Force v Camilleri (GD) [2012] NSWADTAP 19 at [28],
McKinnon v Secretary, Department of Treasury [2006] HCA 45 at [61] and
Attorney-General’s Department v Cockcroft [1986] FCA 35; (1986) 10 FCR 180 at
[190].[29]
Schedule 4, part 2, item 1 of the RTI Act. The
Information Commissioner and predecessors have previously recognised the
existence of public interest
considerations favouring disclosure of information
that will, as here, ‘enhance the accountability of ...[agencies]
for adherence to merit and equity principles in job selection
processes’ (Antony at [47].)
[30] Schedule 4, part 3, item 11
of the RTI Act.[31] Personal
information is defined in section 12 of the Information Privacy Act 2009
(Qld) as ‘information or an opinion, including information or an
opinion forming part of a database, whether true or not, and whether recorded
in
a material form or not, about an individual whose identity is apparent, or can
reasonably be ascertained, from the information
or opinion.’ This
definition applies for the purposes of the RTI Act: schedule 5. Relevant
information falls within this
definition.[32] Email from third
party dated 6 May 2021.[33] And,
for completeness, do not consider the related privacy nondisclosure factor
stated in schedule 4, part 3, item 3 arises for balancing,
in view of the third
party’s lack of objection to the release of this information.
Alternatively, if it did apply, the third
party’s position means that
factor would attract only very minimal weight in balancing the public interest,
insufficient to
shift the balance of the public interest in favour of
nondisclosure.[34] Schedule 4,
part 3, item 19 of the RTI
Act.[35] Noting that in the
event similar information concerning other employees came to be considered for
disclosure under the RTI Act, those
employees would have fair opportunity to put
their own concerns as to release in accordance with the third party consultation
requirements
stated in sections 37 and 89 of the RTI Act.
[36] And certainly not the
related public interest harm factor set out in schedule 4, part 4, section 3(c)
of the RTI Act, which requires
reasonable expectation of not just mere
prejudice, but a ‘substantial adverse effect’ – a grave,
weighty, significant
or serious effect – on management by an agency of
agency staff (Cairns Port Authority and Department of Lands; Cairns Shelf Co
No.16 Pty Ltd (Third Party) [1994] QICmr 17; (1994) 1 QAR 663 at [150]). QBCC did not rely on
this harm factor, and given the onus it bears under section 87 of the RTI Act,
it is therefore not strictly
necessary that I address it – I do so,
parenthetically, in the interests of
completeness.[37] Ie, schedule
4, part 4, section 6 of the RTI
Act.[38] Re Byrnes and
Department of Environment [2006] WAICmr 6 at [90] and [107], as regards a
written expression of interest for a position.
[39] Hawck and Department of
Training and Industrial Relations (Unreported, Queensland Information
Commissioner, 31 January 1997),
[38].[40] Section 87 of the RTI
Act.[41] Being information such
as position titles.[42] A weight
that, unlike the Category A information, is not attenuated by the third
party’s general lack of objection to release
of the SASC, for the reason
that the Category B information is, as noted, not personal information about the
third party, but others.[43]
Schedule 4, part 3, item 19 of the RTI
Act.[44] Implicit in, for
example, the object of the RTI
Act.[45] Schedule 4, part 2,
item 3 of the RTI Act.[46]
Accepting that the numbers comprise personal information, they do not appear
overly sensitive examples of information of this kind,
such that the public
interest harm presumed to flow from their release would not appear significant.
As with SASC information discussed
above, it is also the case that the person to
whom they relate – the third party – does not object to their
disclosure.
As information concerning public employment, these numbers do not
seem to me to fall within the third party’s ‘personal
sphere’
so as to attract the operation of the privacy nondisclosure factor in schedule
4, part 3, item 3 of the RTI Act. If
I were wrong, then given the third
party’s lack of objection to their disclosure, I would afford this
consideration slight
weight.
[47] Submissions dated 21 July
2021.[48] Being the
nondisclosure factor prescribed in schedule 4, part 3, item 2 of the RTI Act
– prejudice financial affairs of entities,
and/or a discrete public
interest consideration warranting weighting and balancing (noting the lists of
public interest considerations
set out in schedule 4 are not
exhaustive).[49] Submissions
dated 10 August 2021.[50]
Particularly those identified in footnote 48.[51]
Section 130 of the RTI Act. For a recent discussion
of principles applicable to sufficiency of search and nonexistent document
cases, see V45 and Queensland Police Service [2021] QICmr 30 (16 June
2021) (V45).[52]
Submissions dated 17 May
2021.[53] Submissions dated 15
June 2021.[54] Documentary
evidence of which meetings the applicant had obtained, as I understand, by way
of earlier RTI access applications, and
which was linked to his submissions.
[55] And which latter,
narrower application therefore comprises that the subject of the decision under
review and, ultimately, this external
review.[56] That is,
‘2018-01-25 – Email...[QBCC to other agency]’,
‘2018-03-12 - Letter ...[Third Party to QBCC]; ‘2018-03-13
– Email...[QBCC to Third
Party]’.[57] Or indeed,
even the terms of your access application as originally framed, none of these
meetings concerning the ‘establishment,
recruitment and selection’
of and for any
positions.[58] Paragraph
65.[59] Noting the
obligation borne by an applicant to ‘give sufficient information
concerning the document to enable a responsible officer of the agency or the
Minister to identify
the document’: section 24(2)(b) of the RTI
Act.[60] Robbins and Brisbane
North Regional Health Authority [1994] QICmr 19; (1994) 2 QAR 30,
[17].[61] As narrowed in
consultation with QBCC.[62]
Sections 47(3)(e) and 52 of the RTI Act. For a recent discussion of principles
relevant to the application of these provisions, see
V45.[63] Submissions
dated 10 August 2021. This contention is, as I understand, based on the PDF
document’s properties or metadata,
which disclose an ‘author’
other than the decision’s signatory.
[64] As above. See also the
applicant’s 15 June 2021
submissions.[65] See
particularly paragraph 33 of the applicant’s 15 June 2021
submissions.[66] And certainly
not to consider whether QBCC has ‘establish[ed] the lawful
recruitment and selection of [the Third Party] to executive position(s)
at the QBCC’ (applicant’s 15 June 2021 submissions, paragraph
34).[67] See footnote 21.[68]
V45 at [17].[69]
The second being a matter I have already touched on: see paragraph 54.[70]
E.g., Microsoft Word.[71] E.g.,
Adobe PDF programs.[72] Or have
been settled.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | DG30RG and State Library of Queensland [2012] QICmr 24 (18 May 2012) |
DG30RG and State Library of Queensland [2012] QICmr 24 (18 May 2012)
DG30RG and State Library of Queensland [2012] QICmr 24 (18 May 2012)
Last Updated: 17 July 2012
Decision and Reasons for Decision
Application Number: 310525
Applicant: DG30RG
Respondent: State Library of Queensland
Decision Date: 18 May 2012
Catchwords: RIGHT TO INFORMATION – APPLICATION FOR ACCESS TO
INFORMATION – REFUSAL OF ACCESS – applicant sought
access to
documents comprising her complete personnel HR file – whether there are
reasonable grounds to be satisfied that documents
are unlocatable –
sections 47(3)(e) and 52(1)(b) of the Right to Information Act 2009 (Qld)
– whether information would be privileged from production in a legal
proceeding on the ground of legal professional privilege
–sections
47(3)(a) and 48 of the Right to Information Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
The
applicant applied to the State Library of Queensland (SLQ) for access to
her complete personnel Human Resources (HR) file held by SLQ or
SLQ’s shared service provider, the Corporate Administration Agency
(CAA), for the period June 2008 to October 2010.
SLQ
decided[1] to give the
applicant access to all personnel records held by CAA not previously provided to
her[2] and to refuse
access to certain documents on the basis that they are subject to a claim of
legal professional privilege.
The
applicant sought external review of SLQ’s decision.
As
a result of further searches conducted on external review, SLQ located
additional documents comprising:
535 email items
from SLQ’s Enterprise Vault email folders
6 documents from
SLQ’s corporate file system; and
8 documents from
CAA TRIM document management system files and electronic document files.
After
carefully considering all of the information before
me,[3] I am satisfied
that SLQ is entitled to refuse access to:
further
documents on the basis that they are unlocatable; and
information on
the basis that it is exempt as it is subject to legal professional privilege
(Relevant
Information).[4]
Significant procedural steps
Significant
procedural steps relating to the application are set out in the Appendix.
Reviewable decision
The
decision under review is SLQ’s decision dated 22 December 2010.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision is disclosed in these reasons (including
footnotes and Appendix).
Issues remaining for determination
As
a result of informal negotiations conducted by this Office during the course of
the external review,[5]
the issues remaining for determination in this external review are:
whether the
searches conducted by SLQ to locate information responsive to the access
application are sufficient to establish that
no further documents can be
located; and
whether SLQ can
refuse access to the Relevant Information on the basis that it is subject to
legal professional privilege.
Relevant law
Under
section 23 of the Right to Information Act 2009 (RTI Act), a
person has a right to be given access to documents of an agency. However, this
right is subject to a number of exclusions and
limitations, including grounds
for refusal of
access.[6]
Sufficiency of search
The
RTI Act allows an agency to refuse access to documents where the agency is
satisfied that those documents are nonexistent or cannot
be located following
all reasonable steps having being taken to locate
them.[7]
The
Information Commissioner considered the grounds for refusal of access set out in
section 52 of the RTI Act in PDE and the University of
Queensland
[8]
(PDE).
In
PDE, the Information Commissioner said
that:[9]
... [T]he FOI Act [equivalent of section 52] address[es] two
different scenarios faced by agencies and Ministers from time to time in dealing
with FOI applications: circumstances where the
document sought does not exist
and circumstances where a document sought exists (to the extent it has been or
should be in the agency’s
possession) but cannot be located. In the former
circumstance, an agency or Minister is required to satisfy itself that the
document
does not exist. If so satisfied, the agency or Minister is not required
by the FOI Act to carry out all reasonable steps to find
the document. In the
latter circumstance an agency or Minister is required to satisfy itself that the
document sought exists (to
the extent that it has been or should be in the
agency’s possession) and carry out all reasonable steps to find the
document before refusing access.
The
Information Commissioner also
found[10] that to be
satisfied that a document does not exist, it is necessary for the agency to rely
upon its particular knowledge and experience
with respect to various key factors
including:
the
administrative arrangements of government
the agency
structure
the
agency’s functions and responsibilities (particularly with respect to the
legislation for which it has administrative responsibility
and the other legal
obligations that fall to it)
the
agency’s practices and procedures (including but not exclusive of its
information management approach); and
other factors
reasonably inferred from information supplied by the applicant
including:
○ the
nature and age of the requested document/s
○ the
nature of the government activity the request relates
to.
If
an agency relies on searches to justify a decision that the document sought does
not exist, the Information Commissioner indicated
in PDE that all
reasonable steps must be taken to locate documents. Enquiries and searches of
all relevant locations having regard to the
key factors listed above should take
place.[11]
As
for unlocatable documents, for an agency to be entitled to refuse access it is
necessary to consider whether:
the document/s
sought has been or should be in the agency’s
possession?and
the agency has
taken all reasonable steps to find the document/s sought ?
Were searches conducted by SLQ?
As
noted above, when assessing claims by an agency that documents are unlocatable
or that documents are nonexistent, it is always
necessary to consider the
adequacy of searches undertaken by an agency in an effort to locate relevant
documents.
When
applying for external review, the applicant raised concerns that further
information responsive to the scope of her application
should exist.
Specifically, the applicant indicated that she was seeking correspondence
exchanged between specific SLQ staff members
about:
her workplace
grievance with another employee
the psychiatric
assessment reports that were made about her; and
communication
from the Public Service Commission to SLQ about the psychiatric assessment
reports.
SLQ
subsequently undertook additional searches for information relating to the
specific information sought by the applicant. The search
efforts were explained
in SLQ’s submission dated 25 March 2011. The search certification sheets
and search record tables show
that comprehensive and systematic searches were
undertaken. I accept the submission as accurate.
The
specific additional searches undertaken were of:
SLQ’s
Enterprise Vault email folders of SLQ employees specified by the applicant
SLQ’s
corporate file system; and
CAA’s TRIM
document management system files and electronic document files.
As
a result of the additional searches undertaken, SLQ located the following
additional documents:
535 email items
from SLQ’s Enterprise Vault email folders
6 documents from
SLQ’s corporate file system; and
8 documents from
CAA’s TRIM document management system files and electronic document
files.
Specific additional information sought by the applicant
The
applicant submits[12]
that she has not received information about:
a complaint she
made about another SLQ employee about the documenting of the applicant’s
children’s whereabouts; and
a complaint she
made about another SLQ employee about importation of private artwork to
SLQ’s Cairns office.
The
terms of the access application limit the scope of the external review to
information which could reasonably be expected to form
a part of the
applicant’s personnel Human Resources file regarding her employment by
SLQ.
In
relation to complaints made about SLQ employees by other SLQ employees, SLQ have
submitted
that:[13]
If a SLQ case is being managed by CAA, CAA would hold a separate
confidential case management file which would contain all documentation
relevant
to the case. These documents ARE NOT stored on a staff members personnel HR
file. The only time documentation relating to
the case would be stored on a
staff members personnel HR file would be if disciplinary action was taken which
resulted in an outcome
(penalty – i.e. financial), this notification would
be stored on their personnel HR file and notation that a separate disciplinary
file exists.
Filing specifications (i.e. case stored under who’s name) would
depend on how the complaint was brought to our attention i.e.
by who and how.
Generally when these types of requests are made, the person seeking information
would need to provide full particulars
of the case to ensure that the relevant
case/information is presented accurately to the persons involved.
Therefore, if a staff member requested their personnel HR file, unless
there was a disciplinary outcome, no case documentation would
be present. The
persons involved are able to request to view documentation from the case in
accordance with the Public Service Regulations
Act 2008.
On
this basis, I am satisfied that the complaint information sought by the
applicant would not form a part of her personnel HR file
and, accordingly, it
does not fall within the scope of this external review.
Are there reasonable grounds to be satisfied that further documents are
unlocatable?
In
short, yes.
Where
documents requested in an application cannot be located, an agency may refuse
access provided the requirements (as discussed
in this decision) are
satisfied.
The
applicant’s mere assertion that more documents must exist is not
sufficient evidence upon which I can make a finding that
documents which fall
within the scope of the access application do exist.
Further,
there is nothing before me to suggest that the search certification sheets and
search record tables completed by SLQ’s
staff are not
credible.[14]
I
am also satisfied that SLQ’s searches have been carried out in a
systematic way taking into account the factors identified
in PDE. Having
carefully reviewed SLQ’s submissions, together with the submissions lodged
by the applicant, I am satisfied that SLQ
has taken all reasonable steps to
locate relevant documents and that there are reasonable grounds for me to be
satisfied that no
further documents responding to the applicant’s access
application can be located.
Accordingly,
I am satisfied that:
SLQ has taken
all reasonable steps to locate documents within the scope of the access
application; and
access to
further information can be refused on the basis that it is
unlocatable.[15]
Legal professional privilege
An
agency may refuse access to information where the information would be
privileged from production in a legal proceeding on the
ground of legal
professional
privilege.[16]
It
is well settled that legal professional privilege attaches to confidential
communications between a lawyer and client (including
communications through
their respective servants or agents) made for the dominant purpose of seeking or
giving legal advice or professional
legal assistance for use, or obtaining
material for use, in legal proceedings that have commenced, or were reasonably
anticipated,
at the time of the relevant
communication.[17]
In
addition, privilege extends to any document which directly reveals, or which
allows a reader to infer, the content or substance
of a privileged
communication.[18]
Advice privilege may also extend, subject to application of the dominant purpose
test, to notes, drafts, charts, diagrams, spreadsheets
and other documents by
the client in the course of communicating information to the legal
adviser.[19]
I
have carefully considered the Relevant Information and I am satisfied that the
information:
was created for
the dominant purpose of seeking or giving legal advice—SLQ sought and
received legal advice from Crown Law in
relation to a number of issues arising
as a result of disciplinary action commenced against the applicant and the
applicant’s
extended absence from the workplace
was
communicated:
○ in
confidence—the information reveals that the communications remained
confidential between relevant employees of SLQ
and CAA (as SLQ’s shared
service provider for HR matters) and legal officers of Crown Law; and
○ by a
professional, independent legal advisor—the advice was provided to SLQ by
legal officers employed by Crown
Law.[20]
Accordingly,
I am satisfied that SLQ is entitled to refuse access to the Relevant Information
on the basis that it would be privileged
from production in a legal proceeding
on the ground of legal professional privilege.
DECISION
I
vary SLQ’s decision by finding that SLQ is entitled to refuse access
to:
further
documents under section 47(3)(a) of the RTI Act on the ground that they are
unlocatable under section 52(1)(b) of the RTI
Act; and
the Relevant
Information on the basis that it would be privileged from production in a legal
proceeding on the ground of legal professional
privilege under section 47(3)(a)
of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the Right to Information Act 2009 (Qld).
________________________
Louisa Lynch
Acting Assistant Information Commissioner
Date: 18 May
2012APPENDIX
Significant procedural steps
Date
Event
21 October 2010
The State Library of Queensland (SLQ) receives the applicant’s
access application dated 4 October 2010. The access application was
non-compliant.
18 November 2010
The access application becomes compliant.
22 December 2010
SLQ decides to:
give the
applicant access to all personnel records held by the Corporate Administration
Agency (CAA); and
refuse access to
certain documents on the basis that they are subject to a claim of legal
professional privilege.
10 January 2011
The applicant applies to OIC for external review.
22 February 2011
Crown Law, on behalf of SLQ, provides OIC with a copy of the documents to
which the applicant was refused access.
2 March 2011
OIC informs the applicant that the external review application has been
accepted and confirms that the issues in this external review
are sufficiency of
search and refusal of access.
2 March 2011
OIC informs SLQ that the external review application has been accepted and
requests SLQ to:
conduct any
further searches it considered necessary to locate the missing documents
identified by the applicant;
provide OIC with
search certifications and record of searches tables completed by staff
conducting the further searches; and
provide OIC with
a submission setting out:
○ locations
that were searched
○ reasons
those locations were chosen
○ search
terms used in any electronic databases; and
○ if no
further documents can be located, any explanation SLQ can offer as to why no
further documents exist.
25 March 2011
SLQ provides OIC with:
a
submission
signed search
certifications and record of searches tables; and
electronic
copies of additional documents located as a result of further searches conducted
(Additional Documents).
20 June 2011
The applicant provides a submission in support of her case.
29 July 2011
SLQ provides OIC with a copy of the schedules of documents released under
SLQ’s decision dated 22 December 2010 and details
of documents released to
the applicant in response to an earlier request to CAA under the now repealed
Freedom of Information Act 1992.
7 November 2011
OIC requests SLQ to consider releasing to the applicant documents contained
with the Additional Documents that would form part of
the applicant’s
employee record under the Public Service Regulation 2008
(PSR).
18 November 2011
SLQ advises OIC that it will review the Additional Documents to assess
whether they form part of the applicant’s employee record
under the
PSR.
22 November 2011
OIC conveys a written preliminary view to SLQ regarding SLQ’s
decision to refuse access to documents on the basis that they
are subject to a
claim of legal professional privilege and invites SLQ to provide submissions in
support of its case by 6 December
2011 if the view is contested.
7 December 2011
SLQ requests an extension of time within which to provide
submissions.
8 December 2011
OIC advises SLQ that an extension to provide a written submission is
granted until 13 December 2011.
13 December 2011
SLQ provides a submission.
16 December 2011
SLQ advises OIC that a view has been formed on whether the Additional
Documents form part of the applicant’s employee record
under the PSR.
SLQ’s view in relation to each document is detailed in 3 schedules
according to where each document was located:
Schedule
1—from Enterprise Vault email folders (535 Email Items)
Schedule
2—from SLQ’s corporate file system (6 documents); and
Schedule
3—from CAA TRIM document management system files and electronic document
files (8 documents).
20 December 2011
OIC conveys a written preliminary view to the applicant regarding
SLQ’s decision to refuse access to documents on the basis
that they are
subject to a claim of legal professional privilege and invites the applicant to
provide submissions in support of her
case by 24 January 2012 if the view is
contested.
20 December 2011
Following negotiations with SLQ, OIC conveys a second written preliminary
view to SLQ regarding SLQ’s decision to refuse access
to documents on the
basis that they are subject to a claim of legal professional privilege and
requests that SLQ arrange for a copy
of the relevant documents to be provided to
the applicant in accordance with the preliminary view by 16 January 2012.
17 January 2012
SLQ advises OIC that by correspondence dated 16 January 2012, SLQ released
relevant documents to the applicant in accordance with
the second preliminary
view.
25 January 2012
SLQ provides OIC with an amended Schedule 1 for the Additional Documents
regarding the 535 Email Items.
2 February 2012
SLQ provides OIC with a further amended Schedule 1 for the Additional
Documents regarding the 535 Email Items.
29 February 2012
OIC categorises the Additional Documents as follows:
Outside
date range
Irrelevant
Employee
record
Medical
Document; and
Legal
professional privilege.
29 February 2012
OIC conveys a written preliminary view to the applicant in relation to
Categories 1 to 4 of the Additional Documents and invites the
applicant to
provide submissions in support of her case by 14 March 2012 if the view is
contested.
29 February 2012
OIC conveys a written preliminary view to SLQ in relation to Categories 1
to 4 of the Additional Documents and requests a submission
in support of
SLQ’s claim in relation to Category 5. OIC invites SLQ to provide
submissions in support of its case by 21 March
2012 if the view is
contested.
29 February 2012
The applicant acknowledges receipt of OIC’s written preliminary view,
indicates that she already has “all the medical records” and
advises that she will correspond further once she has had an opportunity to
digest the information contained within the preliminary
view.
20 March 2012
SLQ advises that it:
accepts
OIC’s preliminary view in relation to Categories 1 to 4 of the Additional
Documents
will assess the
employee record documents to identify any personal information of third parties
that cannot be released to the applicant;
and
requests an
extension of time within which to provide a submission in support of its claim
in relation to Category 5 of the Additional
Documents.
20 March 2012
OIC advises SLQ that an extension to provide a written submission is
granted until 28 March 2012.
28 March 2012
SLQ provides OIC with a copy of the Email Items which comprise Category 5
of the Additional Documents highlighted in accordance with
its claim for
exemption on the basis that the information is subject to legal professional
privilege.
26 April 2012
OIC conveys a verbal preliminary view to SLQ in relation to Category 5 of
the Additional Documents which SLQ accepts.
27 April 2012
OIC conveys a written preliminary view to the applicant in relation to
Category 5 of the Additional Documents and the sufficiency
of searches conducted
by SLQ to locate all documents responsive to the scope of the access
application. OIC invites the applicant
to provide submissions in support of her
case by 11 May 2012 if the view is contested.
1 May 2012
The applicant advises OIC that she does not accept the preliminary view and
provides a submission. The applicant submits that she
has not received
information relating to certain complaints made by her.
9 May 2012
OIC requests SLQ to provide a submission in relation to procedures
following receipt of a complaint about an SLQ employee by another
SLQ
employee.
9 May 2012
SLQ provides a submission.
[1] By decision dated
22 December 2010.[2]
By correspondence dated 29 July 2011, SLQ advised OIC that CAA had previously
released to the applicant, by correspondence dated
2 July 2009, the
applicant’s entire personnel records file held by CAA as a result of an
application to CAA under the now repealed
Freedom of Information Act 1992
(Qld).[3]
Including relevant submissions made by the Applicant and
SLQ.[4] The Relevant
Information comprises all of the information contained within email items
126-128, 190, and 209-211 and some of the
information contained within email
items 86, 88, 99-102, 114-125, 129-184, 187-189, 191-193, 196-199, 201, 203-205,
208 and 311-312.[5]
Including the conveying of preliminary views to the applicant, by correspondence
dated 20 December 2011 and 29 February 2012, which
were not contested and deemed
by this Office to be accepted by the
applicant.[6] As set
out in section 47(3) of the RTI
Act.[7] Under
section 52(1) of the RTI
Act.[8] Unreported,
Queensland Information Commissioner, 9 February 2009. Note—Although
PDE concerned the application of section 28A of the now repealed
Freedom of Information Act 1992 (Qld), the requirements of that section
are replicated in section 52 of the RTI
Act. [9] At
paragraph 34.[10]
See PDE at paragraph
37.[11] At
paragraph 49.[12]
By correspondence dated 1 May
2012.[13] By
correspondence dated 9 May
2012.[14] Attached
to SLQ’s submissions about search efforts dated 25 March
2011.[15] In
accordance with sections 47(3)(e) and 52(1)(b) of the RTI
Act.[16] Under
section 48 and schedule 3, section 7 of the RTI
Act.[17] Esso
Australia Resources Ltd v Commission of Taxation [1999] HCA 67; (1999) 74 ALJR
339.[18]
Commissioner of Australian Federal Police v Propend Finance (1997) 188
CLR 501 at 569; AWB v Cole (No. 1) (2006) 152 FCR 382, 417
[132].[19]
Saunders v Commissioner, Australian Federal Police [1998] FCA 833; (1998) 160 ALR 469,
471-472.[20] In
Smith and Administrative Services Department [1993] QICmr 3; (1993) 1 QAR 22 (at
paragraphs 88-90), the Information Commissioner found that legal professional
privilege could apply to communications between
legal officers employed by Crown
Law and Crown Law’s clients, provided those communications satisfied the
tests for legal professional
privilege.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | P60 and Department of Education [2021] QICmr 35 (1 July 2021) |
P60 and Department of Education [2021] QICmr 35 (1 July 2021)
Last Updated: 12 January 2022
Decision and Reasons for Decision
Citation:
P60 and Department of Education [2021] QICmr 35 (1 July
2021)
Application Number:
315774
Applicant:
P60
Respondent:
Department of Education
Decision Date:
1 July 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL TO DEAL WITH
APPLICATION - SUBSTANTIAL AND UNREASONABLE DIVERSION OF RESOURCES
- request for
information relating to a workplace investigation into the applicant’s
conduct - whether dealing with the access
application would substantially and
unreasonably divert the agency resources from their use in performing its
functions - whether
section 60 of the Information Privacy Act 2009 (Qld)
applies
REASONS FOR DECISION
Summary
1. The applicant
applied[1] to the Office of Industrial
Relations (OIR)[2] under the
Information Privacy Act 2009 (Qld) (IP Act) for ‘all
information relating to the workplace investigation commenced in August 2019
into my conduct’ between 8 August 2019 to 30 June 2020.
2. OIR decided to refuse to deal[3]
with the application on the ground that all of the documents would fall into an
exempt class, because disclosure could reasonably
be expected to prejudice the
effectiveness of a lawful method or
procedure.[4]
3. The applicant applied[5] to the
Office of the Information Commissioner (OIC) for external review of
OIR’s decision. Early in the review process, OIR accepted OIC’s view
that section 59 of the IP
Act did not apply, and in the alternative, submitted
that section 60 of the IP Act applied on the basis that processing the
application
would substantially and unreasonably divert OIR’s resources.
4. OIR provided extensive submissions to OIC to support its position that
processing the application would substantially and unreasonably
divert its
resources.[6] In summary, OIR relied
on the complexity of the workplace investigation, the number of parties involved
and the geographical distribution
of them across Queensland, challenges
associated with searching for ‘all information’ across
multiple OIR databases, the high workload of OIR, the particular nature and
tenure of the applicant’s employment at OIR,
shortcomings of its
recordkeeping practices and procedures, and the limited resources available to
its RTI Unit.
5. For the reasons set out below, I set aside OIR’s decision. I find
that OIR is not entitled to refuse to deal with the application
under section 60
of the IP Act.
Background and evidence considered
6. Significant procedural steps relating to the
external review are set out in the Appendix.
7. The decision under review is OIR’s decision dated 10 December
2020.
8. The submissions, legislation and other material I have considered in
reaching this decision are set out in these reasons (including
footnotes and
Appendices).
9. I have also had regard to the Human Rights Act 2019 (Qld) (HR
Act), particularly the right to seek and receive
information.[7] I consider a decision
maker will be ‘respecting’ and ‘acting compatibly
with’ that right and others prescribed in the HR Act, when applying
the law prescribed in the IP Act.[8]
I have acted in this way in making this
decision.[9] I also note the
observations made by Bell J on the interaction between equivalent pieces of
Victorian legislation:[10]
‘it is perfectly compatible with the scope of that positive right in
the Charter for it to be observed by reference to the scheme
of, and principles
in, the Freedom of Information
Act’.[11]
Issue for determination
10. The issue for determination is whether OIR is
entitled to refuse to deal with the application under the IP Act on the basis
that
dealing with it would substantially and unreasonably divert OIR’s
resources from the performance of its
functions.[12]
Relevant law
11. An individual has a right to be given access to
documents of an agency, to the extent they contain the individual’s
personal
information.[13] An agency
is required to deal with an access application unless doing so would, on
balance, be contrary to the public
interest.[14]
12. Section 60(1) of the IP Act permits an agency to refuse to deal with
an access application if the agency considers the work involved
in dealing with
the application would, if carried out, substantially and unreasonably divert the
resources of the agency from their
use by the agency in the performance of its
functions.
13. The phrase ‘substantially and unreasonably’ is not
defined in either the IP Act, the RTI Act or the Acts Interpretation Act
1954 (Qld). It is therefore appropriate to consider the ordinary meaning of
these words.[15] The dictionary
definitions[16] of those terms
relevantly provide:
‘substantial’
means ‘of ample or considerable amount, quantity, size, etc.’
‘unreasonable’
means ‘exceeding the bounds of reason; immoderate;
exorbitant.’
14. In deciding whether dealing with an application would substantially and
unreasonably divert an agency’s resources from the
performance of its
functions, the IP Act requires a decision-maker to have regard to the resources
that would be used for:[17]
identifying,
locating, or collating the documents
making copies,
or edited copies of any documents
deciding whether
to give, refuse, or defer access to any documents, including resources that
would be used to examine any documents
or conducting third party consultations;
and
notifying any
final decision on the application.
15. The question of whether the impact on an agency’s resources would
be ‘substantial’ is a question of fact. In
previous decisions, the
Information Commissioner has held that relevant factors to consider
include:[18]
the
agency’s resources and
size[19]
the other
functions of the agency;[20]
and
whether and to
what extent processing the application will take longer than the legislated
processing period of 25 business
days.[21]
16. In determining whether the work involved in dealing with an application
is unreasonable, it is not necessary to show that the
extent of the
unreasonableness is
overwhelming.[22] Rather, it is
necessary to weigh up the considerations for and against, and form a balanced
judgement of reasonableness, based
on objective
evidence.[23] Factors that have
been taken into account in considering this question
include:[24]
whether the
terms of the request offer a sufficiently precise description to permit the
agency, as a practical matter, to locate the
documents sought
the public
interest in disclosure of documents
whether the
request is a reasonably manageable one, giving due but not conclusive, regard to
the size of the agency and the extent
of its resources usually available for
dealing with access applications
the
agency’s estimate of the number of documents affected by the request, and
by extension the number of pages and the amount
of officer time
the
reasonableness or otherwise of the agency’s initial assessment and whether
the applicant has taken a cooperative approach
in rescoping the application
the timelines
binding on the agency
the degree of
certainty that can be attached to the estimate that is made as to the documents
affected and hours to be consumed; and
in that regard, importantly whether there
is a real possibility that processing time may exceed to some degree the
estimate first
made; and
whether the
applicant is a repeat applicant to that agency, and the extent to which the
present application may have been adequately
met by previous
applications.
17. Refusing to deal with an application under section 60 of the IP Act is
subject to certain prerequisite procedural steps, set out
in section 61 of the
IP Act. Where section 60 of the IP Act is raised on external review, it remains
appropriate for an agency to
engage in consultation that would ordinarily have
occurred under section 61 of the IP Act.
OIR’s submissions
18. In its first submission to OIC raising the ground of substantial and
unreasonable diversion of resources, OIR submitted as follows:
Preliminary enquiries have been undertaken from the business unit who
advised that the investigation was complex, took well over a
year and generated
a large volume of administrative documents and handwritten notes ... Given the
complexity and nature of this matter,
a request for “all documents”
would require HR staff to conduct searches for a years’ worth of emails
and handwritten
notes, most of them of a merely administrative nature.
HR has advised that there is a HR investigation file containing the
evidentiary material and other relevant documentation.
[25]
19. Later in the review, OIR expanded on the above submission to provide
details of the number of individuals relevant to, and business
units involved in
managing, the investigation. OIR explained that the complexity of the
investigation was complicated further by
the involved individuals and units
being geographically spread across Queensland and the associated travel and
business continuity
arrangements. OIR particularly submitted that:
To meet the requirement of ‘all information relating
to...’ document searches will need to be conducted with all individuals
identified in the investigation report, authorising officers, investigation
officers and officers who have been required to perform an administrative or
management function as a result of the investigation.
...
Given the subject, complexity, volume ... the work required to conduct
searches to identify responsive documents, review them against
the IP Act
application scope is onerous and substantial in use of resources and time and
effort required to achieve just his [sic] part of the process. I have
identified a significant number of OIR staff and business units who will be
required to conduct searches,
as documents are kept in a wide variety of
formats, locations and business units. The requirement to conduct broad searches
would
unreasonably divert OIR officers from their core business, which is
ensuring the safety of Queensland
workers.[26]
20. OIR also provided OIC with:
details about
its organisational structure, including that it has approximately 800 employees
across Queensland, in numerous regional
offices
an overview of
the functions of Workplace Health and Safety Queensland (WHSQ)
information
about the particular duties performed by the applicant in their role, and
relevant responsibilities of the applicant’s
work unit; and
details about
its information management structure, particularly noting that it does not have
a whole of organisation electronic document
and records management system
(EDRMS) but instead, uses multiple electronic platforms across the
agency to store documents in addition to physical
files.[27]
21. OIR submitted that due to the applicant’s particular
responsibilities and long tenure with OIR, any electronic searches
would be
‘likely to return an excessive volume of records and documents
unrelated to the investigation. Once the searches are completed,
OIR officers
will need to spend many hours or several days manually reviewing the material to
determine if any fall within the application
scope’.
[28]
22. OIR broadly quantified the estimated searches as follows:
... search requests will need to be sent to
[numerous individuals] to find all information
relating to the investigation into the complaint about the applicant’s
conduct. Further, document searches
will need to be sent to OIR’s Data and
Evaluation business unit and ICTS to search archived outlook files
[of former officers]. Conducting the searches
will require several hours, impacting on the daily business of the Data &
Evaluation business unit and
ICTS. Additionally, document searches will need to
be reviewed by appropriately qualified officers for relevance. The work involved
in conducting the searches represents an unreasonable and substantial diversion
of OIR’s resources.[29]
23. OIR also made submissions[30]
about the resourcing of its RTI and Privacy team, including that:
it is currently
operating under its existing staff establishment, with a very high workload
key staff are
shortly ending their employment with the RTI Unit and remaining staff will
include one principal adviser, one senior
adviser and one adviser responsible
for making decisions on a running average total of between 75-87 access
applications at any one
time
officers are
also responsible for managing other information release requests
existing
resources are less than adequate to manage the current workload of the unit;
and
recruitment is
constrained due to current budgetary limitations.
24. In a later submission[31] OIR
provided further information regarding the amount of time involved to assess and
process the application. OIR submitted that:
OIR’s RTI
and Privacy team annually receives and processes in excess of 580 access
applications, 160 administrative access applications
for WHSQ investigations and
issues 300 disclosure decisions, in addition to dealing with privacy complaints
and managing court based
disclosure processes
searching for
the personal information of the applicant will involve ‘a significant
amount of work for each person identified as likely to hold documents’
search
requests would need to be sent to multiple regional offices, consultancies, and
individuals[32]
IT
remote searches of former employee email accounts would need to be
conducted
‘significant
time’ would be required to review responsive documents and convert to
PDF, estimated at ‘one minute per email that does not contain
attachments’; and
email searches
will not capture ‘all documents’ as handwritten notes, text
messages or documents in shared drives will not be
captured.[33]
25. OIR estimated that the work involved in processing the application would
take over 90 hours[34] and a further
2 hours per third party consultation, with additional (unquantified) time
required for ‘marking up and collation of
documents’.[35]
26. In its submissions, OIR referred to support it provided to the applicant
during the workplace investigation process, the avenue
of internal review
available to the applicant through the Queensland Ombudsman and the need for
balance in affording the applicant
natural justice and confidentiality and
privacy of other individuals involved.
27. OIR questioned the motives of the applicant for making the
application.[36] This is an
irrelevant consideration and I have had no regard to it in making this
decision.[37]Findings
28. Consistent with the requirement to consult under section 61 of the IP
Act, OIR proposed that the applicant consider narrowing
the scope of the
application to a ‘copy of the HR investigation
file’.[38] While the
applicant did not agree to this
proposal,[39] I find that OIR
satisfied the consultation requirements, in the context of this review.
29. As noted at paragraph 1 above,
the applicant is seeking access, under the IP Act, to information relating to
the workplace investigation commenced in August
2019 into her conduct. The
applicant requested all documents, including electronic transmissions, over an
11 month timeframe.
30. This is not the first time the applicant has applied to OIR for documents
regarding her employment. The applicant has made at
least two previous
applications, in narrower terms, which have both been the subject of external
review. In both reviews, the applicant
accepted OIC’s preliminary view
that she was not entitled to access the requested information comprising source
complaint documents
and witness statements, on public interest grounds. In both
matters, OIC explained to the applicant that she had, albeit unintentionally,
applied to access information which would ordinarily be refused on public
interest grounds. The applicant subsequently made an application
with a broader
scope to capture her personal information, ie. the application which is the
subject of OIR’s refusal to deal
decision.
31. The scope of this application does not canvass a variety of subject
matters nor seek documents over a period of multiple
years[40] or from business units
with divergent functions. Rather, it reflects the type of access application
that is commonly processed by
government agencies where individuals are seeking
information about themselves, from their employer, in relation to a workplace
investigation.
In processing such applications, it is reasonable to expect that
records of the officer’s work unit, supervisors, and human
resources would
be relevant to search.
32. A key hurdle that OIR faces in establishing that processing the
application would be substantial, is the absence of an estimate
of the total
number of responsive pages, despite confirming that it has located several
workplace investigation files relating to
the matter. I acknowledge that the
Information Commissioner has previously found in favour of an agency without an
estimate of total
responsive
pages[41], but also observe that
case involved a scope spanning 30 years, which is not comparable to the 11 month
period applicable here.
33. OIR has submitted that the records of multiple
individuals[42] need to be searched.
While the estimated number is more than one or two, it still equates to very
small percentage of its total workforce
(800 staff). Even if it did take each
officer 2 hours each to search their records, that is a small percentage of an
ordinary working
day. Also, given the ease with which Outlook can be
electronically searched for emails, and the general obligations on public
service
officers to retain their records in an organised and retrievable
way,[43] I consider an estimate of
2 hours per officer is generous. In addition, it is not uncommon for an IT
unit to be required to conduct
searches of archived records of former officers.
Officers in those units are generally highly proficient in efficiently locating
information electronically.
34. As set out above, OIR has already located workplace investigation files.
I accept these will need to be assessed to identify information
that may be
released to the applicant, and any to which grounds for refusing access apply.
However, this is what is ordinarily involved
in processing an application and is
accordingly, why an agency is afforded 25 business days under the
legislation to make its decision.
While there are a number of officers that
would need to do searches of their own records, it is unlikely that consultation
with third
party witnesses would be required as access to such information would
ordinarily be refused on public interest
grounds.[44]
35. I accept that the RTI Unit at OIR has experienced resourcing issues and
staffing changes/shortages in recent months. However,
processing applications
under the IP Act forms part of the core business of the RTI Unit. The
substantial and unreasonable refusal
to deal provision is a mechanism to deal
with applications that would divert the resources of the agency away from its
other functions.
While some applications may take longer to process than others
due to the complexity and sensitivity of issues involved, this will
not enliven
the refusal to deal provision. The legislation provides other, less punitive
mechanisms, to deal with more complex or
elongated applications, eg. requesting
an extension of time to the processing
period.[45]
36. While I acknowledge OIR’s submission that it does not have a whole
of organisation EDRMS in place, the RTI Unit does have
access to the Outlook
email system, which it can use to contact the relevant individuals in the
various regional offices, to ask
them to search their records for documents
responding to the terms of the IP Act application. Presumably, this would lead
to those
officers searching their emails, hardcopy records and any other
electronic storage systems available to them, collating the documents
and
returning them to the RTI Unit for independent assessment. Given the particular
scope of the request, I do not consider this
would substantially divert
OIR’s resources.
37. Taking into account the above, and particularly, the:
scope of the
application concerns one subject matter, ie. the workplace complaint
investigation
fact it has been
made under the IP Act thereby limiting responsive documents to those containing
the applicant’s personal information
request is
limited to documents dated within an 11 month period; and
absence of an
estimate of the number of pages involved,
I am unable to find that processing the application would be a substantial
diversion of agency resources.
38. Returning to the scope of the application, it does not, on its face,
appear to me to be unreasonable. It reflects the type of
application commonly
made by applicants involved in public service workplace matters and is of a
nature that is routinely processed
by various agencies of all sizes, including
small local councils and statutory bodies with far less resources than OIR.
While I accept
these applications can raise sensitive workplace issues and
require discretion on the part of the RTI Unit, these factors do not
amount to
unreasonableness. Importantly, an individual is entitled to access their
personal information held by government and there
is a particularly strong
public interest in granting an individual access to information about their
public sector employment.[46]
39. While I acknowledge OIR’s concerns about protecting the
confidentiality and privacy of other persons involved in a workplace
investigation, there are grounds on which to refuse access to such information
in section 47 of the RTI Act, if
required.[47] It is not unreasonable
for an individual to seek access to information about their employment in a
workplace complaint context. There
is no evidence before me to suggest
procedural fairness was not afforded to the applicant during the investigation,
however, that
does not mean the applicant cannot apply to access her personal
information in documents relating to the investigation. Indeed, one
of the
objects of the IP Act is to afford people a right to access their personal
information held by government and exercising that
right is an entirely separate
process to appealing the outcome of a workplace investigation.
40. Throughout the review, OIC has observed that OIR has not sought to apply
or interpret the IP Act in accordance with its primary
object, ie. to give an
individual a right of access to their personal information in the possession of
government.[48] There have also been
instances where OIR has not provided OIC with requested assistance. For example,
OIC is yet to receive a copy
of the investigation files identified by OIR; these
would have been helpful to OIC in assessing whether processing the application
would reach the ‘substantial’
threshold.[49] OIR has also chosen
not to provide an estimate of the total number of responsive pages which
ordinarily is a key factor relied on
by the Information Commissioner in
considering section 60 of the IP
Act.[50] OIR sought multiple
extensions of time and while OIC has been open to granting these given
OIR’s ongoing resourcing issues,
they operated to cause further delay and
disadvantage to the applicant in terms of preventing her from accessing any
information
to which she may be entitled under the IP Act. As at the date of
this decision, the applicant has not been granted access to any
of her personal
information relating to the workplace complaint investigation through the IP Act
process.[51]
41. On the basis of the above, I am satisfied that dealing with the access
application would not substantially and unreasonably divert
OIR’s
resources in the performance of its functions and therefore, section 60 of the
IP Act does not apply. DECISION
42. For the reasons set out above, I set aside OIR’s decision. I find
that OIR is not entitled to refuse to deal with the application
under section 60
of the IP Act.
43. I have made this decision as a delegate of the Information Commissioner,
under section 139 of the IP Act.K
ShepherdAssistant Information Commissioner Date: 1
July 2021
APPENDIX
Significant procedural steps
Date
Event
10 December 2020
OIC received the external review application.
18 December 2020
OIC advised OIR and the applicant that the application for external review
was accepted.
22 January 2021
OIC issued a preliminary view to OIR that it could not refuse to deal with
the application under section 59 of the IP Act.
5 February 2021
OIR accepted OIC’s preliminary view and raised section 60 of the IP
Act as an alternative ground to refuse to deal with the
application. OIR
proposed a narrowed scope for the applicant to consider.
12 February 2021
OIC relayed OIR’s proposed narrowed scope and claim of substantial
and unreasonable diversion of resources to the applicant.
The applicant declined to narrow the scope of her access application.
16 February 2021
OIC relayed the applicant’s response to OIR and issued a preliminary
view that section 60 of the IP Act did not apply to the
application.
26 February 2021
OIR made verbal submissions to OIC in support of its substantial and
unreasonable diversion of resources claim.
2 March 2021
OIR requested an extension of time and advised OIC it had identified two
investigation files containing relevant documents.
3 March 2021
OIC granted the extension of time and requested a copy of the two files
which OIR had identified.
23 March 2021
OIC received submissions from OIR in support of its substantial and
unreasonable diversion of resources claim.
14 April 2021
OIC issued a further preliminary view to OIR.
4 May 2021
OIC granted an extension of time to OIR.
7 May 2021
OIC received further submissions from OIR.
11 May 2021
OIC advised the applicant that the external review would be finalised by
way of a formal decision.
29 June 2021
OIC contacted OIR regarding its submissions and advised the review would be
finalised by a formal decision.
OIR provided OIC with a copy of the invitation to attend an interview and
outcome letter which were sent to the applicant in relation
to the workplace
investigation. OIR raised concerns about OIC referring to particular parts of
its submissions due to the workplace
investigation context.
1 July 2021
OIR provided OIC with further information.
[1] On 9 November
2020.[2] OIR joined the Department
of Education in December 2017 (refer to
<https://www.oir.qld.gov.au/about-us>). While the Department
of Education
is the respondent agency to this review, I refer to OIR throughout as that is
the organisational unit which handled
the application and
review.[3] On 10 December
2020.[4] Section 59 of the IP Act
and schedule 3, section 10(1)(f) of the Right to Information Act 2009
(Qld) (RTI Act). [5]
External review application dated 10 December
2020.[6] 5 February 2021, 23 March
2021 and 7 May 2021. [7] Section
21 of the HR Act.[8] XYZ v
Victoria Police (General) [2010] VCAT 255 (16 March 2010) (XYZ)
at [573]; Horrocks v Department of Justice (General) [2012] VCAT 241
(2 March 2012) at [111].[9] In
accordance with section 58(1) of the HR
Act.[10] Freedom of
Information Act 1982 (Vic) and the Charter of Human Rights and
Responsibilities Act 2006 (Vic).
[11] XYZ at
[573].[12] OIR bears the onus of
establishing this in the affirmative, under section 100 of the IP
Act.[13] Section 40 of the IP
Act.[14] Section 58 of the IP
Act.[15] Section 14B of the
Acts Interpretation Act 1954
(Qld).[16] Macquarie Dictionary
Online www.macquariedictionary.com.au
[17] Section 60(2) of the IP
Act. [18] This is not an
exhaustive list.[19]
Middleton and Building Services Authority (Unreported, Queensland
Information Commissioner, 24 December 2010) at
[34]-[37].[20] 60CDYY and
Department of Education and Training [2017] QICmr 52A (7 November 2017) at
[18].[21] ROM212 and
Queensland Fire and Emergency Services [2016] QICmr 35 (9 September 2016) at
[40].[22] F60XCX and
Department of the Premier and Cabinet [2016] QICmr 41 (13 October 2016) at
[90].[23] ROM212 and
Queensland Fire and Emergency Services [2016] QICmr 35 (9 September 2016) at
[42], adopting Smeaton v Victorian WorkCover Authority (General) [2012]
VCAT 1550 (Smeaton) at
[30].[24] Smeaton at
[39].[25] Email to OIC dated 5
February 2021.[26] Submission to
OIC dated 19 March 2021.[27]
Submission to OIC dated 19 March 2021. OIR acknowledged that the absence of an
EDRMS was a shortcoming in its information management
system and explained that
while a project for the migration of records into an EDRMS had been completed,
the project was placed on
hold due to budgetary constraints imposed after the
COVID-19 pandemic. Therefore, OIR continues to use ‘a combination of
paper records, multiple digital formats and shared drives to store records for
the foreseeable
future.’[28]
Submission to OIC dated 19 March 2021.
[29] Submission to OIC dated 19
March 2021. [30] Submission to
OIC dated 19 March 2021. [31]
On 7 May 2021.[32] In its
submissions, OIR did specify the number of regional offices and individuals
involved and I have taken those figures into account
in reaching this decision.
However, in view of OIR’s submissions regarding sensitivities of the
workplace investigation context,
I have excluded the figures from these reasons.
Given the decision is adverse to OIR and favourable to the applicant, the
absence
of these figures do not serve as a disadvantage the applicant. I would
note however that it does somewhat limit the precedent value
of these reasons in
terms of agencies seeking in the future seeking guidance as to the application
and interpretation of section
60 of the IP Act. I have also had regard to the
limitation set out in section 121(3) of the IP
Act.[33] This point was outlined
in OIR’s submission dated 19 March
2021.[34] Estimating between 2
to 3.5 hours per officer (including former
employees).[35] Page 3 of
OIR’s submission received on 7 May
2021.[36] Page 6 and 7 of
OIR’s submissions dated 19 March
2021.[37] Section 60(3) of the
IP Act.[38] Email to OIC dated 5
February 2021.[39] During a
telephone call with OIC on 12 February
2021.[40] Notably, the date
range of this application is less than 11
months.[41] Middleton and
Department of Health (Unreported, Queensland Information Commissioner, 10
June 2011) did not identify total estimated pages, but the scope of that access
application under the RTI Act included documents spanning 30 years, which is
significantly different to the 11 month timeframe of
the access application
under consideration in this
review.[42] OIR raised concerns
about OIC including the figures in these reasons. See footnote 32
above.[43] Section 7(1) of the
Public Records Act 2002 (Qld) requires public agencies to ‘make
and keep full and accurate records of its activities and have
regard to any relevant policy, standards and guidelines made by the archivist
about the making and keeping of public records.’ I also note the
Records Governance Policy v1.0.2, with requirements 3 and 5 being particularly
relevant.[44] Noting that third
party consultation is only required where an agency is considering disclosure of
the relevant information. [45]
Section 55 of the IP Act.[46]
Schedule 4, part 2, item 7 of the RTI Act. See W7SV7G and Department of
Education [2018] QICmr 24 (22 May 2018) at
[14].[47] Section 67 of the IP
Act provides that access to information may be refused under the IP Act on the
same grounds as in section 47
of the RTI
Act.[48] Section 3 of the IP
Act.[49] Requested by OIC by
email on 3 March 2021. [50] See
Middleton and Department of Environment and Resource Management
(Unreported, Queensland Information Commissioner, 30 May 2011) at [27]
– [28] (12,900 pages); Mathews and The University of Queensland
(Unreported, Queensland Information Commissioner, 5 December 2011) at [34]
(5,828 pages); F60XCX and Office of the Queensland Parliamentary Counsel
[2016] QICmr 42 (13 October 2016) at [95] (11,113
pages).[51] Although I
understand certain information was provided to the applicant during the
investigation process, eg. invitation to attend
an interview and an outcome
letter.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Cannon and Department of Police [2011] QICmr 50 (20 December 2011) |
Cannon and Department of Police [2011] QICmr 50 (20 December 2011)
Last Updated: 1 February 2012
Decision and Reasons for Decision
Application Number: 310622
Applicant: Cannon
Respondent: Department of Police
Decision Date: 20 December 2011
Catchwords: RIGHT TO INFORMATION - REFUSAL TO DEAL WITH APPLICATION -
applicant seeking all information provided by a witness to police
in the course
of police investigations into offences of which applicant was convicted -
whether access application expressed to relate
to all documents that contain
information relating to a stated subject matter - whether all of the documents
to which the application
relates would comprise exempt information - whether
agency may refuse to deal with application under section 40 of the Right to
Information Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
The
applicant applied to the Department of Police
(QPS)[1] for
access to all information supplied by an informant (Witness A) to police
officers during their investigations into the applicant.
QPS
decided to neither confirm nor deny the existence of the requested information
under section 55 of the Right to Information Act 2009 (Qld) (RTI
Act).
I
have decided that QPS may refuse to deal with the access application under
section 40 of the RTI Act on the basis that:
the access
application is expressed to relate to all documents that relate to a stated
subject matter; and
all of the
documents to which the application relates comprise exempt information under
schedule 3, section 10(1)(f) of the RTI Act.
Background
In
2005 the applicant was convicted of drug-related offences in the Supreme Court
of Queensland.[2] A
number of witnesses gave evidence against the applicant, including Witness A.
The applicant’s appeal against his conviction
was refused by the
Queensland Court of Appeal in 2007. Subsequently the applicant was ordered to
pay a sum of money to the State
of Queensland under the Criminal Proceeds
Confiscation Act 2002 (Qld).
Published
judgments from the above court proceedings identify Witness A by name and
disclose that s/he was a police informant, gave
evidence against the applicant
at trial and received indemnity from prosecution from the Attorney-General.
In
February 2011, the applicant applied to QPS under the RTI Act for access to all
information supplied by Witness A to QPS in relation
to investigations into the
applicant (Requested Documents).
QPS
decided[3] to neither
confirm nor deny the existence of the Requested Documents under section 55 of
the RTI Act. The applicant then applied
to the Information Commissioner for
external review of QPS’ decision.
On
external review, the applicant submits that disclosure of the Requested
Documents will demonstrate that he was not given a fair
trial. He also submits
that the information will be adverse to the reliability and credibility of
Witness A and will demonstrate
that the evidence provided by Witness A was
inaccurate and/or not given to his lawyers during his trial. The applicant has
also
indicated that he seeks the Requested Documents to make a complaint to the
Crime and Misconduct Commission.
QPS
submits that disclosure of the Requested Documents could reasonably be expected
to prejudice the ability of QPS to obtain similar
information from witnesses in
the future and also, reduce the effectiveness of the systems and processes used
by QPS in investigating
criminal activity.
Reviewable decision
The
decision under review is QPS’ decision dated 6 April 2011 to neither
confirm nor deny the existence of the Requested Documents
under section 55 of
the RTI Act.
Steps taken in the external review process
Significant
procedural steps relating to the application and external review process are set
out in the Appendix.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision are as disclosed in these reasons
(including footnotes and
appendix).
A
review of a decision in which the agency has relied on a section of the RTI Act
which does not require the requested documents to
be located presents procedural
challenges.[4] However,
where the nature of any documents is evident from the terms of the access
application, the Office of the Information Commissioner
(OIC) may not
require the agency to provide OIC with the relevant documents. In the
circumstances of this case, OIC did not ask QPS to
provide copies of the
Requested
Documents.[5]
Relevant law
Section
39 of the RTI Act provides that where an access application is made, an agency
should deal with the application unless this
would, on balance, be contrary to
the public interest. Section 40 of the RTI Act sets out one of the sets of
circumstances in which
Parliament has considered it would, on balance, be
contrary to the public interest for to deal with an access application, as
follows:
40 Exempt Information
(1) This section applies if –
(a) an access application is expressed to relate to all documents, or to all
documents of a stated class, that contain information
of a stated kind or relate
to a stated subject matter; and
(b) it appears to the agency or Minister that all of the documents to which
the application relates are comprised of exempt information.
(2) The agency or Minister may refuse to deal with the
application without having identified any or all of the documents.
Exempt
information is information the disclosure of which Parliament has considered
would, on balance, be contrary to the public
interest.[6] Schedule 3
of the RTI Act lists exempt information relating to law enforcement or public
safety, including:
10 Law enforcement or public safety information
(1) Information is exempt information if its disclosure could reasonably
be expected to—
...
(f) prejudice the effectiveness of a lawful method or procedure for
preventing, detecting, investigating or dealing with a contravention
or possible
contravention of the law;
Findings
It
is a matter of public record that Witness A provided QPS with information about
the applicant during QPS investigations into drug-related
offences. As this is
the very nature of the information sought by the applicant I am of the view that
the existence of relevant
documents cannot be neither confirmed nor denied under
section 55 of the RTI Act. This view was put to, and accepted by, QPS during
the external
review.[7]
For
section 40 of the RTI Act to apply in this case I must firstly be satisfied that
the access application is expressed to relate
to all documents, or to all
documents of a stated class, that contain information of a stated kind, or
relate to a stated subject
matter.
Following
a careful assessment of the access application I am satisfied that it is
expressed to relate to all documents relating to
a stated subject matter,
specifically, information provided by Witness A to QPS during its investigations
into the applicant and
drug-related offences.
Secondly,
I must be satisfied that all of the documents to which the application relates
would comprise exempt information. The requirements
of the exemption in
schedule 3, section 10(1)(f) of the RTI Act are:
the existence of
a lawful method or procedure for preventing, detecting, investigating or dealing
with a contravention or possible
contravention of the law
that disclosure
could reasonably be expected to prejudice this method or procedure; and
the exceptions
in schedule 3, section 10(2) of the RTI Act do not apply.
Having
considered the evidence in this matter, I am satisfied that:
the QPS practice
of obtaining information from informants and witnesses in relation to criminal
activity is a lawful method or procedure
for preventing, detecting,
investigating and dealing with contraventions or possible contraventions of the
law
it is reasonable
to expect that informants and witnesses may be reluctant to cooperate with QPS
in future criminal investigations
if they are aware that the information they
provide may be disclosed to an offender, outside the usual court processes,
including
after that offender has been convicted and sentenced; and
it is reasonable
to expect that the methods by which QPS uses informants and witnesses to gather
information in relation to suspects
may be prejudiced by disclosure of the
Requested Documents.
I
have also assessed the exceptions to this exemption outlined in schedule 3,
section 10(2) of the RTI Act and find that none apply
in this case.
On
the basis of my findings set out above, I am satisfied that the Requested
Documents comprise exempt information under schedule
3, section 10(1)(f) of the
RTI Act.
In
his submissions, the applicant raised a number of public interest factors in
support of his view that the Requested Documents should
be disclosed. The
exemptions in schedule 3 of the RTI Act set out the types of information which
Parliament has decided, would,
on balance, be contrary to the public interest to
disclose. Once the requirements of an exemption have been established, I am
prevented
by the RTI Act from considering any other public interest factors,
including those raised by the applicant. Therefore, in considering
whether the
Requested Documents comprise exempt information, I have not been able to take
into account the public interest arguments
raised by the applicant during this
review.
DECISION
I
vary the decision of QPS and find that QPS may refuse to deal with the
application under section 40 of the RTI Act on the basis
that the access
application is expressed to relate to all documents that relate to a stated
subject matter, and that all of the documents
to which the application relates
comprise exempt information under schedule 3, section 10(1)(f) of the RTI Act.
________________________
J KinrossInformation Commissioner
Date: 20 December 2011
APPENDIX
Significant procedural steps
Date
Event
1 February 2011
The applicant applied to QPS under the RTI Act for access to all
information supplied by Witness A to QPS officers in relation to
their
investigations into his drug-related offences.
6 April 2011
QPS made a decision neither confirming nor denying the existence the
documents requested by the applicant under section 55 of the
RTI Act.
8 April 2011
The applicant applied to OIC for external review of the QPS’
decision.
19 May 2011
OIC informed QPS and the applicant that the application had been accepted
for review.
31 May 2011
OIC conveyed a preliminary view to QPS that:
in the
circumstances of this case, the neither confirm nor deny provision in section 55
of the RTI Act did not apply; and
QPS may refuse
to deal with the application under section 40 of the RTI Act.
6 June 2011
QPS accepted OIC’s preliminary view and made further submissions in
relation to the application of exemptions in schedule 3
of the RTI Act to the
requested information.
20 October 2011
OIC received written submissions from the applicant.
28 October 2011
OIC conveyed a preliminary view in writing to the applicant that QPS was
entitled to refuse to deal with the application under section
40 of the RTI
Act.
7 November 2011
The applicant notified OIC by letter that he did not accept the preliminary
view and made further submissions.
8 and 18 November 2011
The applicant made further written submissions to OIC, seeking to amend the
terms of his original access application.
[1] This agency is
commonly known as Queensland Police
Service.[2] R v
Cannon [2007] QCA 205 at [1].
[3] Decision dated 6
April 2011.[4] See
EST and Department of Family Services and Aboriginal and Islander Affairs
[1995] QICmr 20; (1995) 2 QAR 645 at paragraph 20 where the Information Commissioner of
Queensland considered the operation of section 35 of the repealed Freedom of
Information Act 1992 (Qld) which is the equivalent of section 55 of the RTI
Act. [5] See also
section 40(2) of the RTI Act.
[6] As set out in
section 48 of the RTI
Act.[7] OIC
preliminary view dated 31 May 2011 and response from QPS dated 6 June 2011. For
this reason, section 109 of the RTI Act does
not apply in this case.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Hart MP and Department of Transport and Main Roads [2022] QICmr 28 (25 May 2022) |
Hart MP and Department of Transport and Main Roads [2022] QICmr 28 (25 May 2022)
Last Updated: 15 February 2023
Decision and Reasons for Decision
Citation:
Hart MP and Department of Transport and Main Roads [2022] QICmr
28 (25 May 2022)
Application Number:
316456
Applicant:
Mr Michael Hart MP
Respondent:
Department of Transport and Main Roads
Decision Date:
25 May 2022
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - EXEMPT
INFORMATION - CABINET INFORMATION - email relating to Cabinet
meeting - whether
information disclosure of which would reveal Cabinet consideration or prejudice
confidentiality of Cabinet considerations
or operations - whether exempt
information to which access may be refused - sections 47(3)(a) and 48 and
schedule 3, section 2(1)(b) of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Department
of Transport and Main Roads (Department) under the Right to
Information Act 2009 (Qld) (RTI Act) for access to:
...policy implementation directions sent to the Transport Department from
the Minister for Transport and/or Minister for Procurement
regarding Best
Practice Industrial Conditions (BPIC’s) to be included in contract
conditions for Gold Coast Light Rail stage
3 and any feedback on the policy from
the Department of Transport to either Minister.
The
Department identified 82 pages. The Department
decided[2] to refuse access to all 82
pages, on the ground they comprised exempt information under schedule 3, section
2(1)(b) of the RTI Act:
information the disclosure of which would reveal any
consideration of Cabinet or otherwise prejudice the confidentiality of Cabinet
considerations or operations.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s decision. During the review, the
Department and the applicant each accepted OIC’s
preliminary views to the
effect that some information may be released, while access to other information
may be refused, on the ground
decided by the Department. As a consequence, a
one-page email remains in issue, to which the applicant continues to seek
access.
For
reasons explained below, access to that page may be refused. It comprises
exempt information under schedule 3, section 2(1)(b)
of the RTI Act. I affirm
the Department’s decision.
Background
Significant
procedural steps are set out in the Appendix to this decision.
Reviewable decision
The
decision under review is the Department’s decision dated 30 November
2021.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and Appendix).
8. In making
this decision I have had regard to the Human Rights Act 2019 (Qld)
(HR Act), particularly the right to seek and receive
information.[3] I consider that in
observing and applying the law prescribed in the RTI Act, an RTI decision-maker
will be ‘respecting, and acting compatibly with’ this right
and others prescribed in the HR
Act,[4] and that I have done so in
making this decision, as required under section 58(1) of the HR Act. In this
regard, I note Bell J’s
observations on the interaction between the
Victorian analogues of Queensland’s RTI Act and HR Act: ‘it is
perfectly compatible with the scope of that positive right in the Charter for it
to be observed by reference to the scheme of,
and principles in, the Freedom
of Information Act’.[5]
Information in issue
The
information in issue is a one-page email.
Issue for determination
The
issue for determination is whether the Department may refuse access to the page
in issue, on the ground it comprises exempt information
under schedule 3,
section 2(1)(b) of the RTI Act.
Relevant law
The
RTI Act confers a right of access to documents of government agencies such as
the Department.[6] This right is
subject to other provisions of the RTI Act, including grounds on which access
may be refused.[7] Section 47(3)(a)
of the RTI Act permits an agency to refuse access to documents to the extent
they comprise exempt information.[8]
Types
of exempt information are stated in schedule 3 to the RTI Act. Parliament has
provided that one such type of exempt information
is information meeting the
requirements of schedule 3, section 2(1) of the RTI Act. Schedule 3, section
2(1) of the RTI Act relevantly
provides:
Cabinet
information brought into existence on or after
commencement(1) Information is exempt information for 10
years after its relevant date if—
...
(b) its disclosure would reveal any consideration of Cabinet or would
otherwise prejudice the confidentiality of Cabinet considerations
or operations
...
(2) Subsection (1) does not apply to—
(a) information brought into existence before the commencement of this
section; or
(b) information officially published by decision of Cabinet.
...
(5) In this section—
...
consideration includes—
(a) discussion, deliberation, noting (with or without discussion) or
decision; and
(b) consideration for any purpose, including, for example, for information or
to make a decision.
relevant date, for information, means—
(a) for information considered by Cabinet—the date the information was
most recently considered by Cabinet; or
(b) for other information—the date the information was brought into
existence.
Discussion
The
email in issue was sent on the same day as a certain Cabinet Budget Review
Committee (CBRC)[9] meeting.
From the time of sending, and its contents, I infer that the email was sent in
the hours following that meeting. Its contents
relate to that meeting.
As a matter of fact, I am satisfied that disclosure
of this page would reveal[10] a
consideration of Cabinet or otherwise prejudice the confidentiality of Cabinet
considerations or
operations.[11]
Disclosure
of the page in issue would, in my view, have consequences analogous to those the
Federal Court accepted would ‘breach the necessary confidentiality of
the Cabinet process,’[12]
by permitting, at the least, ‘reliable inferences to be
drawn’ about the ‘subject matter of discussions by
Cabinet’.[13] I consider
that this would undermine or prejudice the confidentiality of Cabinet
considerations or operations.
The
information in issue otherwise satisfies the requirements for exemption under
schedule 3, section 2(1) of the RTI Act, being within
10 years of its
‘relevant date’[14] and
not, to my knowledge, having been officially published by decision of
Cabinet.[15]
Access
to that information may therefore be
refused.[16]
Applicant’s submissions
I
conveyed the above reasoning to the applicant by letter dated 22 April 2022. In
reply, the applicant relevantly
submitted[17] as
follows:
I fail to see how feedback from the Department regarding the
implementation drawbacks of a cabinet decision AFTER it has been made
would be
exempt and I ask you to review the documents with this in mind. The precedent
such a decision would make would be widely
felt and something I would need to
raise in Parliament because it would lead to most RTI’s being denied as
everything could
be linked back to an original cabinet decision.
As
I advised the applicant in subsequent emails, the email in issue does not
comprise ‘feedback’ from the Department,
but a communication from
the Office of the Minister for Transport and Main
Roads;[18] and,
regardless,. whether documents created after a Cabinet meeting
comprise Cabinet exempt information under schedule 3, section 2(1)(b) of the RTI
Act will be a question of fact and degree, to be assessed on a case by case
basis and having regard to all relevant circumstances.
[19]
It
is perhaps also worth noting that, as I further advised the
applicant,[20] OIC deals with many
applications for external review in any given year that involve documents
ultimately referable to a Cabinet decision
or decisions, but which matters do
not involve or give rise to Cabinet exemption claims.
In
any event, I am obliged to ‘...take the Act as it stands... [and]
not embark on political questions about the scope of the
Act’.[21] In this
case, having reviewed the document in issue, and considered relevant matters
such as the timing of its creation and its contents,
I am satisfied that its
disclosure would reveal a consideration of Cabinet, or otherwise prejudice the
confidentiality of Cabinet
considerations or operations. Accordingly, I am
satisfied that the information in issue comprises exempt information to which
access
may be refused, under sections 47(3)(a) and 48, and schedule 3, section
2(1)(b) of the RTI Act.
Decision
I
affirm the decision under review.
I
have made this decision under section 110 of the RTI Act, as a delegate of the
Information Commissioner, under section 145 of the
RTI
Act.A RickardActing Right to Information
Commissioner
Date: 25 May 2022
APPENDIX
Significant procedural steps
Date
Event
1 December 2021
OIC received the applicant’s application for external review.
OIC requested preliminary documents from the Department.
10 December 2021
OIC received requested preliminary documents from the Department.
21 December 2021
OIC notified the applicant and Department that the external review
application had been accepted.
OIC requested the information in issue from the Department.
17 January 2022
OIC received the information in issue from the Department.
24 March 2022
OIC conveyed a preliminary view to the Department.
16 April 2022
The Department replied to OIC’s preliminary view, agreeing to release
some information.
22 April 2022
OIC requested that the Department release relevant information. OIC
conveyed a preliminary view to the applicant that access to some
information may
be refused.
26 April 2022
The applicant replied to OIC’s preliminary view, generally accepting
that view but requesting access to the information in issue.
27 April 2022
OIC reiterated to the applicant the preliminary view that access to the
information in issue may be refused.
29 April 2022
The applicant requested a formal written decision.
[1] Application dated 5 May
2021.[2] Decision dated 30
November 2021.[3] As embodied in
section 21(2) of the HR Act.[4]
XYZ v Victoria Police (General) [2010] VCAT 255 (16 March 2010)
(XYZ) at [573]; Horrocks v Department of Justice
(General) [2012] VCAT 241 (2 March 2012) at [111].
[5] XYZ at
[573].[6] Section 23 of the RTI
Act.[7] Section 47 of the RTI Act.
These grounds are to be interpreted narrowly: section 47(2)(a) of the RTI Act, a
requirement I have borne
in mind in making my decision, together with
Parliament’s intention that the Act be administered with a pro-disclosure
bias
(section 44 of the RTI
Act).[8] As defined in section 48
of the RTI Act.[9] Committees of
Cabinet are included within the meaning of Cabinet – see schedule 3,
section 2(5) of the RTI Act. I have had
access to and reviewed the submission
presented to CBRC at the relevant meeting and to which the information in issue
relates, and
CBRC’s decision on that
submission.[10] ‘To
make known; disclose; divulge’: Macquarie Dictionary, 7th
Edition (the word being undefined in the RTI
Act).[11] Also undefined in the
RTI Act. The dictionary definition includes ‘course’,
‘process’ or ‘transaction’: Macquarie
Dictionary, 7th
Edition.[12] Spencer v
Commonwealth of Australia (No 3) [2012] FCA 637 at [24] per Emmett J
(Spencer). The Court in Spencer upheld a claim of public
interest immunity justifying non-disclosure of various Cabinet-related
documents, including documents, which,
as with the Information in Issue, had
been circulated within Cabinet. Spencer was subsequently upheld on appeal
by the Full Court of the Federal Court (Spencer v Commonwealth of
Australia [2012] FCAFC 169), and as it is concerned with the avoidance of
consequences substantially similar to those against which schedule 3, section
2(1)(b)
of the RTI Act is directed, can be usefully applied in interpreting this
provision.[13] As
above.[14] Schedule 3, section
2(5) of the RTI Act.[15]
Schedule 3, section 2(2)(b) of the RTI
Act.[16] Section 47(3)(a) of the
RTI Act.[17] Submissions dated
26 April 2022.[18] Email dated 4
May 2022.[19]Email dated 27
April 2022.[20] As
above.[21] Webb v Information
Commissioner [2021] QCATA 116 at [16] (McGill J).
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Clegg and Crime and Corruption Commission [2017] QICmr 9 (16 March 2017) |
Clegg and Crime and Corruption Commission [2017] QICmr 9 (16 March 2017)
Last Updated: 10 August 2017
Decision and Reasons for Decision
Citation:
Clegg and Crime and Corruption Commission [2017] QICmr 9 (16
March 2017)
Application Number:
312863
Applicant:
Clegg
Respondent:
Crime and Corruption Commission
Decision Date:
16 March 2017
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - EXEMPT
INFORMATION - CONTEMPT OF PARLIAMENT - documents provided to
the Parliamentary
Crime and Corruption Committee - whether disclosure would infringe privileges of
Parliament - whether exempt -
section 67(1) of the Information Privacy Act
2009 (Qld) - section 47(3)(a) and 48 and schedule 3 section 6(1)(c)(i) of
the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied under the Information Privacy Act 2009 (Qld) (IP
Act) to the Crime and Corruption Commission (CCC) for access to a
report sent by the former Crime and Misconduct Commission (CMC) to the
Parliamentary Crime and Corruption Committee (PCCC) containing certain
allegations and information the applicant had provided to the CMC. The access
application noted that the information
was contained within two CDs and a
report.
The
CCC decided that one CD comprised exempt information owing to the CCC
exemption[1] but exercised its
discretion under section 48(3) of the RTI Act and gave the applicant full access
to the CD on the basis that because
it had been provided by the applicant, it
contained information known to him.[2]
In its decision, the CCC also refused access to a report of the
applicant’s allegations (Report) created by the former CMC and sent
to the PCCC on the basis that it was exempt from release as its public
disclosure would infringe
the privileges of
Parliament.[3]
The
applicant applied to the Information Commissioner for external review of the
CCC’s decision. For the reasons set out below,
I have decided to affirm
that access to the remaining information in issue - the Report - may be refused
under the IP Act on the
ground that it is exempt information.
Background
The
applicant has made complaints to the former Criminal Justice Commission, the
former CMC, the CCC and also the PCCC since 2001
alleging misconduct and
corruption by particular Queensland Police Service officers, public sector
employees as well as certain members
of State Parliament, the judiciary and the
legal profession.
The
applicant has made extensive submissions to the Office of the Information
Commissioner (OIC) explaining that he seeks the Report because the
allegations he has made over time have never been investigated by the entities
and
individuals to whom he has complained. I acknowledge the importance of
these matters to the applicant and the effort he has taken
to present the
background of his concerns to OIC.
Significant
procedural steps relating to the application and the external review are set out
in the appendix to this decision.
Reviewable decision
The
decision under review is the CCC’s decision dated 3 June
2016.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are disclosed in these reasons (including
footnotes and
appendix).
Issue for determination
The
issue for determination is this review is whether access to the Report can be
refused on the basis that its public disclosure
would infringe the privileges of
Parliament.
Relevant law
Information
will be exempt information to which access may be
refused[4] where its public disclosure
would infringe the privileges of
Parliament.[5]
The
privileges of Parliament derive from section 9 of the
Constitution of Queensland 2001 (Constitution of
Queensland) and section 8 of the Parliament of Queensland Act 2001
(Qld) (PQ Act), the latter providing that ‘proceedings in the
Assembly cannot be impeached or questioned in any court or place out of the
Assembly’.
One
of the privileges of Parliament is the power to control its own proceedings,
such as by way of Standing Orders. Standing Order
211A[6] provides:
211A. Confidentiality of proceedings for Parliamentary Crime and
Corruption Committee and Ethics Committee
(1) The proceedings of the Parliamentary Crime and Corruption Committee and
the Ethics Committee or a subcommittee of those committees
that is not open to
the public or authorised to be published remains strictly confidential to the
committee until the committee has
reported those proceedings to the House or
otherwise published the proceedings.
‘Proceedings’
is defined in section 9 of the PQ Act as, relevantly, a document presented to a
Parliamentary committee
or prepared or made under the authority of such a
committee.[7]
Findings
The
PCCC is a committee of Parliament[8]
for the purposes of section 9(1) of the Constitution of Queensland, and is
therefore entitled to all of the privileges enjoyed by Parliament.
The
Chairperson of the CCC has sworn to the fact that the Report was either
presented or submitted to a committee or prepared or made
under the authority of
a committee and that accordingly, it is a proceeding in the Assembly and subject
to parliamentary privilege.
I
accept the Chairperson of the CCC’s sworn statutory declaration and on
that basis find that the Report comprises a document
presented or submitted to a
committee and is therefore ‘proceedings’ caught by Standing Order
211A. There is nothing
before me to suggest that the PCCC has reported the
contents of the Report to the House, nor otherwise published or authorised its
publication.[9] Its public disclosure
would therefore breach a Standing Order, and hence infringe a privilege of the
Parliament.[10] I therefore
consider that the Report comprises exempt information to which access may be
refused.
As
set out in paragraphs 4 and 5 above the applicant made extensive submissions to
OIC during this review but I have been unable to
take them into account when
reaching this decision. [11] I wish
to explain why this is the case. This external review deals with exempt
information, that is, a certain limited category
of information that Parliament
has identified, as noted in section 48(2) of the RTI Act, as being contrary to
the public interest
to disclose in all circumstances. Importantly, if
information satisfies a legal test for exemption, I can only consider
submissions on the application
of the exemption provision. The
applicant’s submissions were not directed to the application of the
Parliamentary exemption
provision; he raised general public interest arguments.
DECISION
I
affirm the CCC’s decision to refuse access to the Report under section
67(1) of the IP Act and section 47(3)(a) of the RTI
Act, on the basis the
information is exempt information under section 48 of the RTI Act as information
the public disclosure of which
would infringe the privileges of Parliament,
within the meaning of schedule 3, section 6(c)(i) of the RTI
Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the Information Privacy Act 2009
(QLD).L LynchAssistant
Information Commissioner Date: 16 March 2017
APPENDIX
Significant procedural steps
Date
Event
17 June 2016
OIC received the applicant’s application for external review.
OIC asked the CCC to provide information relevant to the application.
27 June 2016
OIC received the requested information from the CCC.
4 July 2016
OIC notified the applicant and the CCC that the external review had been
accepted. OIC asked the CCC to provide a copy of the information
in issue and
search information.
18 July 2016
OIC received some of the requested information in issue from the CCC.
12 August 2016
OIC asked CCC to provide the remaining CD in issue to the applicant.
22 November 2016
OIC asked the CCC to supply OIC with a statement sworn by an appropriate
officer attesting to the material facts on which the CCC
relied in claiming
parliamentary privilege.
5 December 2016
OIC received a statutory declaration sworn by the Chairman of the
CCC.
12 December 2016
OIC conveyed a preliminary view to the applicant and invited the applicant
to provide submissions by 9 January 2017 if he did not
accept the preliminary
view.
19 December 2016
OIC received a request for an extension of time to provide submissions from
the applicant. OIC granted an extension until 16 January 2017.
12 January 2017
OIC received submissions from the applicant contesting the preliminary
view.
31 January 2017
OIC advised the applicant that a decision will be prepared.
[1] Under sections 47(3)(a) and 48
and schedule 3, section 10(4) of the Right to Information Act 2009 (Qld)
(RTI Act). Section 67(1) of the IP Act provides that an agency may refuse
access to a document in the same way and to the same extent the
agency could
refuse access under section 47 of the RTI
Act.[2]The decision noted that a
second CD could not be found, but during the external review the CCC located a
second CD containing information
supplied to it by the applicant. The CCC agreed
to release this CD dating from 2009 to the applicant.
[3]Under section 67(1) of the IP
Act together with sections 47(3)(a) and 48 and schedule 3, section 6(c)(i) of
the RTI Act. [4] Under
sections 47(3)(a) and 48 of the RTI
Act.[5] Schedule 3, section
6(c)(i) of the RTI Act.[6] Made
pursuant to section 11 of the PQ Act. Standing Order 211A was preceded by
Standing Order 206 and, from 1999, Standing Order
197.[7] Section 9(2)(d) and (g) of
the PQ Act. [8] The PCCC is a
committee of Parliament pursuant to section 291 of the Crime and Corruption
Act 2001 (Qld) and the definition of ‘committee’ is contained in
the Schedule to the PQ Act. The former Parliamentary Criminal
Justice Committee
(PCJC) was also a committee of the Legislative Assembly pursuant to
section 115 of the Criminal Justice Act 1989 (Qld).
[9] Nor that the PCJC had done so,
and nor that the Parliament itself has authorised their
publication.[10] For the sake of
completeness, I am also satisfied that quite apart from breaching Standing Order
211A, public disclosure of these
documents would also hinder, impede or impair
the making of similar communications in the future for the purpose of
transacting the
business of the PCCC, affecting the quality of information
available to the PCCC, and therefore breaching the ‘freedom from
impeachment’ privilege contained in section 8(1) of the PQ Act, in
accordance with the principles and analysis in Waratah Coal Pty Ltd and
Department of State Development, Infrastructure and Planning (Unreported,
Queensland Information Commissioner, 10 December 2012), at
[26]-[39].[11] This was
explained to the applicant in telephone conversations with OIC on 12 August 2016
and 19 December 2016.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | GDS and Queensland University of Technology [2002] QICmr 15 (6 July 2002) |
GDS and Queensland University of Technology [2002] QICmr 15 (6 July 2002)
'GDS' and Queensland University of Technology
(S 121/01, 7 June 2002, Deputy Information Commissioner
Sorensen)
(This decision has been edited to remove merely procedural
information and may have been edited to remove personal or otherwise sensitive
information.) 1.- 2. These paragraphs
deleted.
REASONS FOR DECISION
Background
The
applicant is employed by the Queensland University of Technology (the
University), and is a member of the academic staff one of
its Schools. The
Vice-Chancellor of the University received a written complaint from another
staff member of the School, following
an altercation between the staff member
and the applicant on 25 August 2000. Upon receipt of that complaint, the
Vice-Chancellor
requested the University's Human Resources Department to obtain
statements from other staff members. In a letter to the applicant
dated 15
September 2000, the Vice-Chancellor gave notice of his decision to initiate a
disciplinary investigation and listed seven
allegations of possible serious
misconduct on the part of the applicant. One of those allegations was based
upon a written statement
given by a third party, which statement comprises the
matter remaining in issue in this review. In his letter to the applicant dated
15 September 2000, the Vice-Chancellor stated that further investigation of the
seven allegations was required in accordance with
the procedures set out in the
University's Enterprise Bargaining Agreement (Academic Staff) 2000-2003 -
Disciplinary Action for Misconduct
and Serious Misconduct.
In
accordance with the prescribed procedures under the Enterprise Bargaining
Agreement (EBA), the applicant was requested to provide
a written response to
the allegations within 10 working days. The applicant then went on sick leave
and Ms Cathy Grant, an industrial
officer with the National Tertiary Education
Union, represented him in his dealings with the University. Ms Grant contended
that
the applicant was unable to respond to the Vice-Chancellor's letter until
he was provided with sufficient particulars of the allegations
to enable him to
respond. The University refused to provide the statements obtained from staff
members to support the allegations,
asserting that the applicant had already
been provided with sufficient particulars of the allegations to enable him to
respond.
The applicant then applied to the University, by letter dated 22
December 2000, for access, under the FOI Act, to the following
documents:
any
complaints made about my conduct or behaviour by any other staff member or
former staff member of the University,
any
communications between staff members or former staff members of the University,
including the Vice-Chancellor, regarding the making
of complaints against
me,
any
communications between staff members or former staff members of the University,
including the Vice-Chancellor, regarding the decision
to make allegations of
possible serious misconduct against me.
By
letters dated 12 February 2001, the University's FOI Coordinator, Ms Tania
Meggitt, consulted (in accordance with s.51 of the FOI
Act) with relevant staff
members of the University about the disclosure of their statements concerning
the applicant, which had been
given to the University's Human Resources (HR)
department. Three of the staff members objected to the disclosure of the
statements
they had provided. The applicant was informed, by letter dated 2
March 2001, of Ms Meggitt's decision to grant him access to 41
folios, subject
to the deletion of a small amount of material which Ms Meggitt decided was
exempt matter under s.44(1) of the FOI
Act. The applicant was also informed
that, pursuant to s.51 of the FOI Act, access was deferred in respect of three
documents, until
the review entitlements of the relevant third parties had been
exhausted. (No internal review of Ms Meggitt's decision was sought
by the
applicant, and the matter found by Ms Meggitt to be exempt under s.44(1) of the
FOI Act is not in issue in this review.)
By
letter dated 2 March 2001, Ms Meggitt informed the third parties of her decision
to disclose their statements to the applicant
under the FOI Act. Two of the
third parties sought internal review of that decision. The internal review was
conducted by Mr Ken
Baumber, the University's Registrar, who informed the
applicant, by letter dated 12 April 2001, that he had decided to vary the
initial
decision by finding that the statements given by those two third parties
were exempt from disclosure under s.40(c) of the FOI Act.
By
letter dated 31 May 2001, the applicant's representative, Ms Grant, applied to
the Information Commissioner for review, under Part
5 of the Act, of Mr
Baumber's decision.
External review process
The
matter in issue (which at the commencement of this review comprised the
statements given to the University's HR department by
the two third parties) was
obtained and examined. At a meeting between members of my staff, the third
parties, and officers of the
University, the third parties claimed to have been
unaware that parts of their statements had been used by the Vice-Chancellor as
evidentiary support for certain allegations contained in the Vice-Chancellor's
formal letter to the applicant dated 15 September
2000, initiating possible
disciplinary action against the applicant, in accordance with the EBA. The third
parties were disturbed
by this.
Each
of the third parties applied for, and was granted, status as a participant in
this external review, in accordance with s.78 of
the FOI Act. The third parties
were asked to consider whether they would consent to the disclosure of any
part(s) of their statements,
and each one agreed to the release of some matter,
which, accordingly, is no longer in issue in this review.
By
letter dated 6 February 2002, I informed the University, and the third parties,
of my preliminary view that the matter remaining
in issue (with the exception of
a small amount of information concerning the personal affairs of individuals
other than the applicant)
did not qualify for exemption from disclosure to the
applicant under s.40(c) or s.46(1) of the FOI Act.
By
letter dated 19 February 2002, the Registrar of the University informed me that
the University accepted my preliminary view and
did not wish to contest the
matter further.
By
letters also dated 19 February 2002, each of the third parties informed me that
they did wish to contest my preliminary view, and
provided submissions in
support of their objections to the disclosure of the matter remaining in issue.
However, after further discussions
and correspondence, one of the third parties
withdrew her objection to the disclosure of the balance of her statement, and,
accordingly,
that matter is no longer in issue.
By
letter dated 16 April 2002, the University was requested to supply statutory
declarations about the circumstances surrounding the
taking of the statement
from the remaining third party, which statement contains the only matter now
remaining in issue in this review.
Statutory declarations dated 10 May 2002
were supplied by two officers of the University's HR department, who had
requested the
third parties to provide statements about the applicant. Both
officers had previously supplied a statement about their involvement
in the
investigation of complaints against the applicant.
In
making my decision in this matter, I have taken into
account:
the
contents of the statements of both third parties;
the
applicant's FOI access application dated 22 December 2000;
the
third party's application for internal review and submissions dated 22 February
2001, 24 August 2001 and 19 February 2002;
the
University's initial decision dated 2 March 2001 and internal review decision
dated 12 April 2001;
the
joint statements by two officers of the University's HR department dated 7
January 2001, and their individual statutory declarations
dated 10 May
2002;
the
text of the Vice-Chancellor's letter to the applicant dated 15 September 2000;
and
the
relevant provisions of the EBA.
It
will be useful to set out the relevant provisions from the EBA, which governed
the University's handling of the investigation into
complaints about the
applicant. Clause 49.4.2 of the EBA provides:
49.4.2 Any allegation of Misconduct or Serious Misconduct will be
considered by the Vice-Chancellor. If he/she believes such allegation(s)
warrant further investigation, the Vice-Chancellor will:
(i) notify the staff member in writing and in sufficient detail to enable
the staff member to understand the precise nature of the
allegation(s) and to
properly consider and respond to them; and
(ii) require the staff member to submit a written response to the
allegation(s) within ten (10) working days of the date of receipt
of the written
allegation(s). A staff member will be permitted reasonable time during work
time to prepare such a response.
Clauses
49.4.5 - 49.4.8(iii) of the EBA relevantly provide:
49.4.5 If each of the allegation(s) made against the staff member is
denied by the staff member, and the Vice-Chancellor is of the
view that there
has been no Misconduct or Serious Misconduct, he/she will immediately advise the
staff member in writing and may,
at the request of the staff member, publish the
advice in an appropriate manner.
49.4.6 If one or more of the allegation(s) are admitted by the staff
member and the Vice-Chancellor is of the view that the conduct
constitutes
Misconduct or Serious Misconduct, the Vice-Chancellor will advise the staff
member in writing of the decision and the
operative date and details of the
Disciplinary Action to be taken.
49.4.7 If each of the allegation(s) is wholly or partly denied, or if the
staff member has not responded to the allegation(s), the
Vice-Chancellor
may:
(i) decide to take no further action; or
(ii) in the case of partial denial or non-response, counsel or censure
the staff member in relation to the conduct in question and
take no further
action; or
(iii) refer the matter to the Misconduct Investigation Committee.
49.4.8 Where a matter is referred to the Misconduct Investigation
Committee for investigation:
(i) the Misconduct Investigation Committee shall be provided
with:
(a) a copy of the written allegation(s) of Misconduct or Serious
Misconduct, as the case may be; and
(b) a copy of any written reply to the allegation(s) by the staff
member;
(ii) the Misconduct Investigation Committee shall:
(a) have the right to interview persons and receive written statements
from persons regarding the allegation(s);
(b) abide by procedural fairness.
(iii) the person who is the subject of the allegation(s) of Misconduct or
Serious Misconduct shall:
(a) have the right to be present (with or without a Representative) during
all interviews conducted by the Misconduct Investigation
Committee;
(b) have the right (personally, or through a Representative) to cross
examine persons being interviewed by the Misconduct Investigation
Committee
during the interview process and in accordance with procedural requirements
established by the Misconduct Investigation
Committee;
(c) have the right (personally or through a Representative) to cross
examine persons who provided written statements to the Misconduct
Investigation
Committee in accordance with procedural requirements established by the
Misconduct Investigation Committee;
(d) have the right (personally, or through a Representative) to call
witnesses for interview by the Committee, give evidence, make
submissions and
present additional documentation which is relevant to the investigation of
allegations of Misconduct or Serious Misconduct;
(e) be provided with a copy of all written statements received by the
Misconduct Investigation Committee and with a reasonable opportunity
to provide
a verbal or written response to matters raised in those written
statements;
I
will now turn to a consideration of the exemption provisions that have been
invoked in the course of this review.
Application of s.46(1) of the FOI Act
While
the University did not seek to rely on s.46 of the FOI Act in its internal
review decision, the third party has raised its
application.
Section
46(1) and s.46(2) of the FOI Act provide:
46.(1) Matter is exempt if—
(a) its disclosure would found an action for breach of confidence;
or
(b) it consists of information of a confidential nature that was
communicated in confidence, the disclosure of which could reasonably
be expected
to prejudice the future supply of such information, unless its disclosure would,
on balance, be in the public interest.
46.(2) Subsection (1) does not apply to matter of a kind
mentioned in section 41(1)(a) unless its disclosure would found an action for
breach
of confidence owed to a person or body other than—
(a) a person in the capacity of—
(i) a Minister; or
(ii) a member of the staff of, or a consultant to, a Minister;
or
(iii) an officer of an agency; or
(b) the State or an agency.
Section
46(2) excludes parts of the third party's statement from eligibility for
exemption under s.46(1), because they consist of
matter of a kind mentioned in
s.41(1)(a) of the FOI Act (principally, opinion recorded for the purposes of the
University's deliberative
processes, i.e., deciding what action to take in
respect of the original complaint against the applicant), which was obtained
from
the third party in her capacity as an officer of the University. (See
Re "B" and Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279 at
p.292, paragraphs 35-36, and Re Eccleston and Department of Family Services
and Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 at pp.70-71, paragraphs
27-32.) However, the balance of the statement, which consists of factual matter
rather than matter of a
kind mentioned in s.41(1)(a), is not excluded from
eligibility for exemption under s.46(1). (In light of the finding I will
express
below, it is unnecessary for me to specifically identify the segments of
matter which are excluded from eligibility for exemption
under s.46(1), by the
operation of s.46(2) of the FOI Act.) Section
46(1)(a)
The
Information Commissioner discussed the requirements to establish exemption under
s.46(1)(a) in Re "B". The test for exemption is to be evaluated by
reference to a hypothetical legal action in which there is a clearly
identifiable
plaintiff, with appropriate standing to bring an action to enforce
an obligation of confidence claimed to bind the respondent agency
not to
disclose the information in issue. I am satisfied that there is an identifiable
plaintiff (the third party) who would have
standing to enforce an obligation of
confidence claimed to bind the University not to disclose those parts of her
statement which
remain in issue.
At
paragraph 43 of Re "B", the Information Commissioner said that an action
for breach of confidence may be based on a contractual or an equitable
obligation.
There is nothing before me to suggest that the third party might be
entitled to rely upon a contractual obligation of confidence
in respect of her
statement. In relation to equitable obligations of confidence, the Information
Commissioner explained in Re "B" that there are five cumulative
requirements for protection in equity of allegedly confidential
information:
it
must be possible to specifically identify the information in issue, in order to
establish that it is secret, rather than generally
available information (see
Re "B" at pp.303-304, paragraphs 60-63);
the
information in issue must possess "the necessary quality of confidence"; i.e.,
the information must not be trivial or useless
information, and it must possess
a degree of secrecy sufficient for it to be the subject of an obligation of
conscience, arising
from the circumstances in or through which the information
was communicated or obtained (see Re "B" at pp.304-310, paragraphs
64-75);
the
information in issue must have been communicated in such circumstances as to fix
the recipient with an equitable obligation of
conscience not to use the
confidential information in a way that is not authorised by the confider of it
(see Re "B" at pp.311-322, paragraphs 76-102);
it
must be established that disclosure to the applicant for access under the FOI
Act would constitute a misuse, or unauthorised use,
of the confidential
information in issue (see Re "B" at pp.322-324, paragraphs 103-106); and
it
must be established that detriment is likely to be occasioned to the original
confider of the confidential information in issue
if that information were to be
disclosed (see Re "B" at pp.325-330, paragraphs 107-118).
Requirement (a)
I
am satisfied that the information contained in the statement which is claimed to
be the subject of an obligation of confidence,
can be specifically
identified. Requirement (b)
It
is clear that portions of the statement have already been disclosed to the
applicant. Some were disclosed by the Vice-Chancellor
in his letter to the
applicant dated 15 September 2000 (apparently without the knowledge of the third
party); other portions have
been disclosed during the course of this review with
the consent of the third party.
With
respect to the undisclosed segments of information contained in the statement,
it would appear that they are not known to the
applicant. I am satisfied that
they have a sufficient degree of secrecy/inaccessibility to satisfy requirement
(b) above.
The
third party has contended that her statement was provided at the request of the
University, not as a complaint by the third party
against the applicant, but
simply in order to assist the University to "contextualise" the formal complaint
which had been made against
the applicant by another officer, and to assist the
University in making a decision about the applicant's alleged improper
behaviour.
The third party has asserted that the statement was provided
reluctantly, and on the understanding that the statement would be kept
confidential from the applicant. However, as noted above, and contrary to the
third party's alleged understanding, the Vice-Chancellor's
letter to the
applicant dated 15 September 2000 contained a summary of at least some of the
contents of the statement, and identified
the third party as the source of that
information.
The
information contained in the statement which has been disclosed to the
applicant, through the Vice-Chancellor's letter dated 15
September 2000, can no
longer be considered confidential information vis-à-vis the
applicant. In certain circumstances, however, that might not necessarily
disqualify that information from protection in equity.
Assuming that
circumstances were such that the grant of an equitable remedy would not be
futile, a defendant would not ordinarily
be permitted to avoid an equitable
obligation where the only asserted ground for avoidance arose by virtue of the
defendant's own
conduct in breach of the equitable obligation. The crucial
factor is whether or not the disclosure by the University to the applicant,
through the Vice-Chancellor's letter, in itself constituted a breach of an
equitable obligation of confidence owed to the third party.
If it did, equity
might not permit that breach to be compounded by a further disclosure of the
information in the form of a copy
of the statement: cf. G v Day
[1982] 1 NSWLR 25, where the Supreme Court of New South Wales was prepared
to restrain the publication of confidential information (the identity of
an
informant in a sensitive police investigation) notwithstanding a prior
unauthorised publication of that information (by way of
a brief mention in a
television news report).
On
the other hand, if, having regard to all the relevant circumstances, the
disclosure by the University of some of the information
contained in the
statement was not an unconscionable use of information claimed to have been
communicated in confidence, then the
fact that the information had previously
been communicated to the applicant (in circumstances involving no breach of an
equitable
obligation of confidence) would mean that no protection was available
in equity from disclosure to the applicant of the same information
in the form
of a copy of the statement. For practical purposes then, the application of
requirement (c) for exemption under s.46(1)(a),
can be treated as determinative,
in the circumstances of this case, of whether or not both the undisclosed, and
the previously disclosed,
information from the statement qualifies for exemption
under s.46(1)(a). Requirement (c)
A
supplier of confidential information cannot unilaterally and conclusively impose
an obligation of confidence: see Re "B" at pp.311-316, paragraphs 79-84,
and pp.318-319, paragraphs 90-91. The touchstone in assessing whether
requirement (c) to found
an action in equity for breach of confidence has been
satisfied, lies in determining what conscionable conduct requires of an agency
in its treatment of information claimed to have been communicated in confidence.
That is to be determined by an evaluation of all
the relevant circumstances
attending the communication of that information to the agency. The relevant
circumstances will include
(but are not limited to) the nature of the
relationship between the parties, the nature and sensitivity of the information,
and circumstances
relating to its communication of the kind referred to by a
Full Court of the Federal Court of Australia in Smith Kline and French
Laboratories (Aust) Limited & Ors v Secretary, Department of Community
Services and Health [1991] FCA 150; (1991) 28 FCR 291 at pp.302-3: see Re "B" at
pp.314-316, paragraph 82.
In
her submission dated 24 August 2001, the third party acknowledged that no
express request for confidentiality was made, but contended
that an implied
understanding of confidence existed between her and the University. In her
submission dated 19 February 2002, the
third party stated
that:
On submission of my 'contextualising' statement, the University Human
Resources informed me that the statement was to be held in confidence
unless I
decided at some point to waive that in confidence restriction.
In
his statutory declaration dated 10 May 2002, Mr Stephens (one of the two HR
officers referred to in paragraph 13 above) stated
that:
Prior to the statement from [the third party] being supplied I
recall having telephone discussions and meetings with [the third party]
whereby I informed [the third party] that her statement would be regarded
as a confidential document, however, her statement could be used in evidence if
the matter eventually
was referred to a Misconduct Investigation Committee under
the procedures prescribed under the Queensland University of Technology
Enterprise Bargaining Agreement (Academic Staff) 2000-2003. I further
advised [the third party] that in these matters the person who was the
subject of the allegations had a right of reply which would be formally put to
[the applicant] in a letter from the Vice Chancellor...
The
material before me indicates that there was probably some discussion between the
University's HR officers and the third party
concerning confidential treatment
of the third party's statement, but that any statements made by the University's
HR officers about
confidential treatment were conditional. The HR officers
knew, and third party ought reasonably to have understood, that the very
purpose
for which a statement was sought from the third party, i.e., to assist the
investigation of possible disciplinary action
against the applicant, would
involve procedures that could require disclosure to the applicant of material
adverse to his interests.
The
third party was aware that she was providing information which was adverse to
the interests of a person about whom a formal complaint
had been made by another
staff member. While the third party has contended that she was not herself
intending to make a complaint
against the applicant, but was simply providing
"contextualising" information in support of the other staff member's complaint,
I
note that none of the information contained in her statement relates to the
incident about which the other staff member complained.
Rather, her statement
contains details of other instances of the applicant's alleged improper
behaviour towards staff members.
It
seems clear that the University considered that the third party's statement
contained fresh allegations of serious misconduct against
the applicant which
required investigation. In accordance with clause 49.4.2 of the EBA, the
Vice-Chancellor notified the applicant
of the allegations which had been made
against him, and requested a response from the applicant. In his statutory
declaration dated
10 May 2002, Mr MacAulay of the HR department stated that he
and Mr Stephens explained the investigation process to the third party
and the
other statement-givers:
On 15 September 2000 Mr Chris Stephens and I met with the female staff
concerned.. as well as their Head of School and Dean of Faculty.
At this meeting
we advised that [the applicant] had been given a letter from the
Vice-Chancellor setting out a number of allegations of possible serious
misconduct. We advised
the group that [the applicant] had ten working
days to respond to the allegations. We also advised the group that once the
Vice-Chancellor received the response
he could decide as per the misconduct
provisions to take no action, take disciplinary action or refer the matter to a
Misconduct
Committee for investigation. As I recall, we advised the group, as
is our normal practice, that if the matter was referred to a
Misconduct
Committee, [the applicant] would be provided with all relevant
documentation including their Statements and they may be required to appear
before the Committee
for questioning by [the applicant] or his
representative regarding their Statements. While the female staff at the
meeting expressed concerns for their security, which
management undertook to
address, they seemed to understand the process and possible steps that lay
ahead.
There
may have been a misunderstanding between the University and the third party
regarding the purpose for which her statement was
given and the uses to which
the University intended to put it. As I have already noted, it is clear that
the University regarded
the incidents dealt with in the third party's statement
as separate incidents of misconduct on the part of the applicant, which
warranted
(or bolstered the case for) initiating disciplinary action against the
applicant. Once the University had decided to initiate disciplinary
action in
respect of those incidents (as well as others), the University quite properly
considered that details of the allegations
made by the third party (and other
staff) were required to be disclosed to the applicant under clause 49.4.2 of the
EBA, in order
to accord him procedural fairness. The third party, however,
contends that she expected that her statement would be kept confidential
from
the applicant because she was not intending to make a complaint against him.
The third party was upset that, without her consent,
the Vice-Chancellor
included parts of her statement in his letter to the
applicant.
From
the information before me, I am satisfied that the University gave some
explanation to the third party of the nature of the disciplinary
investigation
process, and what use could possibly be made of her statement. The contents of
the statement itself (notably the fact
that the introductory paragraph
endeavours to specify that the author does not regard herself as a complainant,
and in particular
the contents of the last paragraph) indicate to my mind that
the third party was conscious of the nature of what she was doing, and
the
possible consequences. It appears to me that, in the final paragraph of her
statement, the third party acknowledged the possibility
that the information she
provided might be disclosed to the applicant. It is clear that she wanted some
action to be taken against
the applicant in respect of his inappropriate
behaviour towards others. It is difficult to reconcile the third party's
apparent
desire for action to be taken against the applicant, with her stated
expectation that the information she provided would be kept
confidential from
him. I do not consider that it was reasonable for the third party to expect
that she could ventilate her specific
concerns about the applicant's behaviour,
in the context of a potential misconduct investigation, on the basis that the
information
she supplied would be kept secret from the
applicant.
It
is understandable (given the alleged behavioural propensities of the applicant)
that the third party was reluctant to be (and is
now offended at having been)
cast into the role of an additional complainant. On the other hand, as an
employee of the University,
the third party owed duties of good faith and
fidelity to her employer, which encompassed a positive obligation to disclose to
her
employer any information, acquired in her capacity as an employee, which the
employer might reasonably require for the better management
of its operations:
see Re Shaw and The University of Queensland [1995] QICmr 32; (1995) 3 QAR 107 at
paragraphs 55-56. In my view, the third party had a duty to co-operate with the
University's efforts to take appropriate steps
to deal with alleged misconduct
on the part of the applicant, and to supply any information which the University
reasonably required
in that regard. Moreover, she ought to have been aware of
the provisions of the EBA and the possible course the investigation could
take,
i.e., the matter being referred to a Misconduct Investigation Committee with the
applicant then being entitled to obtain copies
of relevant evidentiary
statements in accordance with clause 49.4.8(iii)(e) of the EBA.
However,
regardless of what the third party and other statement-givers were or were not
told about the investigation process and the
uses to which their statements
could be put, and whether or not the third party's statement should properly
have been regarded as
a complaint against the applicant, or as simply providing
information in support of another's complaint, the relevant question is
still
whether, in all the circumstances, it would be unconscionable conduct on the
part of the University to disclose the statement
of the third party, without her
consent, to the applicant. The following statement in Re "B" (at p.319,
paragraph 93) is relevant:
Thus, when a confider purports to impart confidential information to a
government agency, account must be taken of the uses to which
the government
agency must reasonably be expected to put that information, in order to
discharge its functions. Information conveyed
to a regulatory authority for
instance may require an investigation to be commenced in which particulars of
the confidential information
must be put to relevant witnesses, and in which the
confidential information may ultimately have to be exposed in a public report
or
perhaps in court proceedings.
The
relevant circumstances in this case were that an investigation was being
undertaken of potentially serious allegations of misconduct
against a work
colleague, with whom the supplier of information (the third party) was required
to continue to interact on a regular
basis. The information provided was
sensitive and adverse to the applicant's interests, with potential for
recriminations and resentments
if it were disclosed to the applicant. While
these circumstances tend to tell in favour of confidential treatment, the very
purposes
for which the relevant information was obtained indicate that any
understanding or obligation of confidence must necessarily have
been subject to
implicit exceptions or conditions, comparable to those explained by the
Information Commissioner in Re McCann and Queensland Police [1997] QICmr 10; (1997) 4 QAR
30 at pp.53-54, paragraph 58:
I consider that there are three main kinds of limited disclosure which, in
the ordinary case, ought reasonably to be in the contemplation
of parties to the
communication of information for the purposes of an investigation relating to
law enforcement. Unless excluded,
or modified in their application, by express
agreement or an implicit understanding based on circumstances similar to those
referred
to in the preceding paragraph, I consider that the following should
ordinarily be regarded as implicitly authorised exceptions to
any express or
implicit mutual understanding that the identity of a source of information,
and/or the information provided by the
source, are to be treated in confidence
so far as practicable (consistent with their use for the purpose for which the
information
was provided) -
(a) where selective disclosure is considered necessary for the more
effective conduct of relevant investigations ...;
(b) where the investigation results in the laying of charges, which are
defended, and, in accordance with applicable rules of law
or practice ... the
prosecutor must disclose to the person charged the evidence relied upon to
support the charges; and
(c) where selective disclosure is considered necessary -
(i) for keeping a complainant ... informed of the progress of the
investigation; and
(ii) where the investigation results in no formal action being taken, for
giving an account of the investigation, and the reasons
for its outcome, to a
complainant ... .
The
language of exception (b) above contemplated a criminal investigation. The
comparable exception in a disciplinary/grievance investigation
would be where
disclosure is necessary to accord procedural fairness to a person whose rights
or interests would be adversely affected
by the findings/outcome of the
investigation, including a person who is subsequently charged with a breach of
discipline. As the
Information Commissioner explained in Re Chambers
and Department of Families, Youth and Community Care; Gribaudo (Third Party)
[1999] QICmr 1; (1999) 5 QAR 16 at p.23, paragraph 17:
In my view, it is not ordinarily a wise practice for an investigator to
give witnesses a blanket promise of confidentiality, since
the common law
requirements of procedural fairness may dictate that the crucial evidence (and,
apart from exceptional circumstances,
the identity of its provider(s)) on which
a finding adverse to a party to the grievance may turn, be disclosed to that
party in order
to afford that party an effective opportunity to respond. I do
not see how it could ordinarily be practicable to promise confidential
treatment
for relevant information supplied by the parties to a grievance procedure (i.e.,
the complainant(s) and the subject(s)
of complaint) who should ordinarily expect
their respective accounts of relevant events to be disclosed to the opposite
party (and
perhaps also to relevant third party witnesses) for response.
Sometimes investigators may be tempted to promise confidentiality
to secure the
co-operation of third party witnesses, in the hope of obtaining an independent,
unbiased account of relevant events.
Even then, however, procedural fairness
may require disclosure in the circumstances adverted to in the opening sentence
of this
paragraph.
Even
assuming that the statement of the third party was communicated to the
University in circumstances which imposed an equitable
obligation of confidence,
any such obligation would have necessarily been subject to implicit
conditions/exceptions permitting disclosure
of information in circumstances
where either procedural fairness, or contractual obligations to a staff member
under the EBA, required
disclosure. That is because conscionable conduct on the
part of the University would require compliance with both statute law and
common
law (including the common law requirements of procedural fairness, and
contractual obligations to University staff under the
EBA).
The
crucial question to my mind is whether or not, at the stage reached in the
disciplinary process initiated against the applicant,
procedural fairness
requires disclosure to the applicant of the statement of the third party, or
whether the particulars of alleged
misconduct given to the applicant are
sufficient to comply with the requirements of procedural fairness at this stage
of the disciplinary
process, such that a conditional obligation of confidence
could continue to apply to the statement for the time being. (I note that
it
seems clear enough that the statement would have to be disclosed to the
applicant, in accordance with cl. 49.4.8(iii)(e) of the
EBA, if the particulars
of alleged misconduct based on the third party's statement are referred to a
Misconduct Investigation Committee.)
In
Kioa v West [1985] HCA 81; (1985) 60 ALJR 113 at p.127, Mason J of the High Court of
Australia said:
The law has now developed to a point where it may be accepted that there
is a common law duty to act fairly, in the sense of according
procedural
fairness, in the making of administrative decisions which affect rights,
interests and legitimate expectations, subject
only to the clear manifestation
of a contrary statutory intention.
Mason
J had earlier explained (at p.126) that his reference to rights or interests
"must be understood as relating to personal liberty,
status, preservation of
livelihood and reputation, as well as to proprietary rights and interests". His
Honour continued (at p.127):
... the expression 'procedural fairness' more aptly conveys the notion of
a flexible obligation to adopt fair procedures which are
appropriate and adapted
to the circumstances of the particular case. The statutory power must be
exercised fairly, that is, in accordance
with procedures that are fair to the
individual considered in the light of the statutory requirements, the interests
of the individual,
and the interests and purposes, whether public or private,
which the statute seeks to advance or protect or permits to be taken into
account as legitimate considerations ...
What
constitutes the observance of fair procedures will vary according to the
exigencies of particular cases, but ordinarily the duty
to act fairly requires
that a person be given an effective opportunity to know the substance of the
case against the person, including
in particular the critical issues or factors
on which the case is likely to turn (cf. Kioa per Mason J at pp.128-129)
so that the person is given an effective opportunity to deal with the case
against him or her.
It
appears from the disciplinary procedures set out in the EBA that serious
consequences could flow for the applicant (including,
potentially, termination
of employment) depending on the Vice Chancellor's judgment in respect of any
allegations of misconduct to
which the applicant admits (see cl. 49.4.6). I
consider that it was unfair to the applicant to require him to communicate a
response
to each of the particulars of alleged misconduct (in terms of
admissions, or denials in whole or in part) without access to the evidence
on
which the particulars were based. I consider that procedural fairness requires
disclosure to the applicant of the statement in
issue to enable him to
understand the precise nature of the allegations against him and to properly
consider and respond to them
(cf. cl. 49.4.2(i) of the
EBA).
It
follows that disclosure of the statement to the applicant would not constitute
unconscionable conduct on the part of the University.
Given the nature of the
information provided by the third party, the context in which it was provided,
the University's own investigation
procedures and the requirement to accord the
applicant procedural fairness, I am satisfied that equity would not impose an
obligation
of confidence restraining the University from disclosing to the
applicant the adverse information contained in the statement of the
third party.
I
therefore find that requirement (c) to found an action in equity for breach of
confidence is not satisfied with respect to the statement
of the third party,
and that the matter remaining in issue does not qualify for exemption under
s.46(1)(a) of the FOI Act. (It is
not necessary for me to go on to consider the
application to the statement of requirements (d) and (e) for exemption under
s.46(1)(a)
of the FOI Act.) Section
46(1)(b)
Matter
will be exempt under s.46(1)(b) of the FOI Act if:
it
consists of information of a confidential nature;
it
was communicated in confidence;
its
disclosure could reasonably be expected to prejudice the future supply of such
information; and
the
weight of the public interest considerations favouring non-disclosure equals or
outweighs that of the public interest considerations
favouring
disclosure.
(See Re "B" at pp.339-341, paragraphs 154-160.)
The
first of these requirements is, for practical purposes, identical to requirement
(b) to found an action in equity for breach of
confidence, and my comments in
that regard above are equally applicable to the application of
s.46(1)(b). Communicated in confidence
Requirement
(b) above is similar in nature to requirement (c) to found an action in equity
for breach of confidence. The following
is a summary of relevant principles
with respect to requirement (b) for exemption under s.46(1)(b), taken from the
Information Commissioner's
decisions in Re "B" at pp.338-339 (paragraphs
149-153) and Re McCann at paragraphs 21-24, 33-34 and
57-58:
The
phrase "communicated in confidence" is used in the context of s.46(1)(b) to
convey a requirement for a mutual understanding between
the supplier and the
recipient of the relevant information that the relevant information is to be
treated in confidence.
The
first question is whether there is reliable evidence of an express consensus
(for example, the seeking and giving of an express
assurance, written or oral,
that the relevant information would be treated in confidence) between the
supplier and the recipient
as to confidential treatment of the information
supplied.
If
there is no evidence of an express consensus, the relevant circumstances
attending the communication of the information in issue
must be examined to
ascertain whether they evidence a need, desire or requirement on the part of the
supplier of the information
for confidential treatment which, in all the
relevant circumstances, the supplier could reasonably expect of the recipient,
and which
was understood and accepted by the recipient, thereby giving rise to
an implicit mutual understanding that confidentiality would
be
observed.
If
there was an express or implicit mutual understanding that information would be
treated in confidence, it may also be necessary
to construe the true scope of
the confidential treatment required in the circumstances, e.g., whether it was
or must have been the
intention of the parties that the recipient should be at
liberty to disclose the information to a limited class of persons, or to
disclose it in particular circumstances; see, for example, the usual implicit
exceptions to an understanding that confidential treatment
would be accorded to
information conveyed for the purposes of a law enforcement investigation, that
are identified in Re McCann at paragraph 58.
An
obligation or understanding of confidence is ordinarily owed by the recipient of
the information for the benefit of the supplier
of the information. This means
that the supplier may waive the benefit of the obligation or understanding of
confidence, including
waiver by conduct of the supplier that is inconsistent
with a continued expectation of confidential treatment on the part of the
recipient.
For
the reasons explained above at paragraphs 39-41, I am satisfied that any
implicit mutual understanding that the statement of the
third party would be
treated in confidence was necessarily subject to an implicit exception,
permitting disclosure to the applicant
if procedural fairness required it. I am
satisfied that the disciplinary investigation initiated against the applicant
had reached
the stage where procedural fairness required disclosure to the
applicant of the third party's statement. Accordingly, the statement
does not
qualify for exemption from disclosure to the applicant under
s.46(1)(b). Prejudice to the future supply of
information
Although
it is not strictly necessary for me to do so, given the findings I have made in
the preceding paragraph, I should also note
that I do not consider that
disclosure of the matter in issue could reasonably be expected to prejudice the
future supply of like
information by a significant number of sources in relation
to the investigation by the University of staff
complaints.
It
is clear that there was a level of apprehension about providing the University
with information adverse to the applicant. However,
there was also obviously a
considerable amount of concern about the applicant's behaviour, and a clear
desire for action to be taken
to remedy that behaviour. If any action were to
be taken against the applicant, I consider that staff must or ought to have
appreciated
that information they provided might have to be disclosed to the
applicant. The option open to staff was to provide information
on which the
University could act, or to say nothing and have the situation persist (as
indeed the third party contemplated in the
final paragraph of her statement). I
am not satisfied that disclosure of the information in issue could reasonably be
expected to
prejudice the future supply of like information from staff in a
similar situation.
For
the reasons explained above, I find that the matter remaining in issue in the
third party's statement does not qualify for exemption
from disclosure to the
applicant under s.46(1)(b) of the FOI Act.
Application of s.40(c) of the FOI
Act
In
its internal review decision, the University decided that the third party's
statement qualified for exemption under s.40(c) of
the FOI Act. Although the
third party has not expressly relied upon s.40(c), she has not expressly
abandoned reliance on it (in
contrast to the University, which has done so). I
will therefore briefly address the application of s.40(c) of the FOI Act, which
provides:
40. Matter is exempt matter if its disclosure could
reasonably be expected to—
...
(c) have a substantial adverse effect on the management or assessment by
an agency of the agency’s personnel; ...
unless its disclosure would, on balance, be in the public
interest.
The
Information Commissioner explained and illustrated the correct approach to the
interpretation and application of s.40(c) of the
FOI Act in Re Pemberton and
The University of Queensland (1994) 2 QAR 293, Re Murphy and Queensland
Treasury [1995] QICmr 23; (1995) 2 QAR 744, Re Shaw, and Re McCann. In
applying s.40(c) of the FOI Act, it is necessary to
determine:
whether
any adverse effects on the management or assessment by the University of its
personnel could reasonably be expected to follow
from disclosure of the matter
in issue; and
if
so, whether the adverse effects, either individually or in aggregate, constitute
a substantial adverse effect on the management
or assessment by the University
of its personnel. The adjective "substantial" in the phrase "substantial
adverse effect" means grave,
weighty, significant or serious (see Re Cairns
Port Authority and Department of Lands [1994] QICmr 17; (1994) 1 QAR 663, at pp.724-725,
paragraphs 148-150).
If the above requirements are satisfied, I must then consider whether the
disclosure of the matter in issue would nevertheless, on
balance, be in the
public interest.
In
Re "B" at pp.339-341 (paragraphs 154-160), the Information Commissioner
analysed the meaning of the phrase "could reasonably be expected to", by
reference to relevant Federal Court decisions interpreting the identical phrase
as used in exemption provisions of the Freedom of Information Act 1982
Cth. In particular, the Information Commissioner said in Re "B" (at
pp.340-341, paragraph 160):
The words call for the decision-maker ... to discriminate between
unreasonable expectations and reasonable expectations, between what
is merely
possible (e.g. merely speculative/conjectural "expectations") and expectations
which are reasonably based, i.e. expectations
for the occurrence of which real
and substantial grounds exist.
The ordinary meaning of the word "expect" which is appropriate to its context
in the phrase "could reasonably be expected to" accords
with these dictionary
meanings: "to regard as probable or likely" (Collins English Dictionary, Third
Aust. ed); "regard as likely
to happen; anticipate the occurrence ... of"
(Macquarie Concise Dictionary, 3rd Rev. ed 1988);
"Regard as ... likely to happen; ... Believe that it will prove to be the case
that..." (The New Shorter Oxford English
Dictionary, 1993).
I
accept that the investigation by an agency of complaints or allegations of
misconduct about officers of that agency is an aspect
of the management or
assessment by that agency of its personnel.
Substantial adverse effect
In
his internal review decision dated 12 April 2001, Mr Baumber of the University
identified the following adverse effects which he
considered could reasonably be
expected to follow from disclosure of the matter in issue:
[a]
refusal by many staff members to provide statements in the future. This will
mean that the best people to assist the University in
the course of its
investigations will not always provide statements, substantially reducing the
University's ability to effectively
investigate allegations of disciplinary
breaches by staff members;
[a]
reduction in the frankness and candour of statements which are provided.
This will mean that the University will have less accurate
information on which
to assess allegations of disciplinary breaches, seriously prejudicing the
University's ability to properly conduct
disciplinary proceedings; [and]
[an]
increase in the reliance on oral statements and comments. This will mean that
the University will have less reliable and even inaccurate
information before
them on which to consider allegations of disciplinary breaches.
I
have stated above (at paragraphs 53-54) my finding that disclosure of the
information in issue could not reasonably be expected
to inhibit concerned or
aggrieved staff from supplying like information in the future, or from
cooperating with similar investigations.
Given the University's obligation to
follow the procedures laid down in the EBA in conducting its investigation into
the applicant's
behaviour, I do not see any reasonable basis for expecting that
disclosure of the matter in issue could result in a loss of faith
by staff in
the University. While there may be potential for disharmony in the workplace if
and when the applicant returns to work,
given what the applicant already knows
about the information provided by the third party and other staff members, I do
not consider
that disclosure of the matter remaining in issue could
significantly increase the potential for disharmony.
The
University having abandoned its claim for exemption, there is no evidence before
me that affords a reasonable basis for expecting
that disclosure of the
statement in issue will result in the University receiving less frank and
reliable information in the future.
However, I observe that, if the University
requests staff members to provide information in the course of an investigation,
the interests
of the University in the effective management of its personnel,
and the interests of all concerned with the investigation, will be
best served
if that information is provided in a form that will withstand scrutiny
(including by the person the subject of the investigation,
who, if the
University proposes to take action, will ordinarily be entitled to know the
substance of the information provided), i.e.,
if it is framed in careful and
temperate language, and supported by particulars. Frank and honest opinion can
still be, and preferably
should be, expressed in this way. I do not consider
that the prospect of disclosure of information of that nature to the subject
of
an investigation could reasonably be expected to have an adverse effect on the
management or assessment by the University of its
personnel.
Finally,
I note that it is a fact of life that both the common law, and the EBA, mandate
that procedural fairness be accorded to a
member of University staff against
whom disciplinary action is initiated. That is the legal context in which the
University must
manage its personnel. I have difficulty in accepting that
disclosure of information to accord procedural fairness to a subject of
disciplinary action could have a substantial adverse effect on the management by
an agency of its personnel. Just as criminals will
go unpunished in the courts
if crucial witnesses are not prepared to testify to prove the elements of a
contested criminal charge,
so disciplinary action cannot be taken against errant
staff members if crucial witnesses are not prepared to see the process through.
There will be situations where conditional undertakings of confidentiality may
enable disciplinary processes to work satisfactorily,
but generally speaking I
find it too difficult to reconcile the adverse effects claimed by Mr Baumber
with the legal realities.
It may be true that staff are sometimes reluctant to
get involved in the confrontational aspects of disciplinary action taken against
a fellow staff member, but only in exceptional circumstances could a
disciplinary process be based on evidence kept confidential
from the subject of
that disciplinary action.
For
these reasons, I am not satisfied that disclosure of the information in issue at
this time could reasonably be expected to have
a substantial adverse effect on
the management or assessment by the University of its personnel.
Public interest balancing test
In
his decision, Mr Baumber contended that disclosure of information of the type
which is in issue here would cause resentment amongst
the affected staff, which
would result in a lack of cooperation between staff and potential disruption to
the University's teaching,
administrative and research activities. Mr Baumber
argued that the public interest in the effective functioning of the University
outweighed the public interest in disclosure of the information in issue to the
applicant.
In
Re Pemberton, the Information Commissioner analysed a number of
authorities which established that there can be circumstances in which there is
a public interest in a particular applicant having access to particular
documents, which might be sufficient to warrant disclosure
to that particular
applicant, even though no wider public interest considerations favour disclosure
to the world at large. The Information
Commissioner applied those principles in
Re Shaw, stating at paragraph 35:
I am satisfied that disclosure of document 1 to Dr Shaw would, on balance,
be in the public interest. Dr Shaw’s involvement
in, and concern with,
the information in document 1 gives rise to a public interest in her having
access to what is recorded about
her. This, allied with the public interest in
the fair treatment of an individual against whom allegations damaging to
professional
reputation and career prospects have been made, is sufficient to
justify a finding that disclosure of document 1 to Dr Shaw would,
on balance, be
in the public interest.
In
the present case, the information in issue comprises a number of allegations
made against the applicant. The applicant has argued
that he has not been
provided with sufficient detail regarding those allegations, and the context in
which they were provided, to
enable him to respond. He is concerned that there
may be material, which has not been disclosed to him, which may adversely affect
his chances of defending himself against the allegations.
I
consider that the applicant's involvement in, and concern with, the information
contained in the statements is such as to give rise
to a public interest in him
having access to what has been recorded about him, so that he has an adequate
opportunity to properly
consider and respond to the allegations against him.
There is a strong public interest in the fair treatment of an individual,
against
whom allegations damaging to reputation and career prospects have been
made: see Re Pemberton at pp.376-377, paragraph 190. As I noted at
paragraph 46 above, if a finding of serious misconduct were to be made against
the applicant
based upon the information contained in the statements, there is
the potential for his employment to be terminated without further
notice. I
consider that the disciplinary action initiated against the applicant had
reached the stage where procedural fairness
required disclosure to him of the
third party's statement, and I consider that disclosure of that statement to the
applicant would,
on balance, be in the public interest.
For
the reasons stated, I find that the matter remaining in issue does not qualify
for exemption from disclosure to the applicant
under s.40(c) of the FOI Act.
Application of s.44(1) of the FOI Act
Section
44(1) of the FOI Act provides:
44.(1) Matter is exempt matter if its disclosure would
disclose information concerning the personal affairs of a person, whether living
or
dead, unless its disclosure would, on balance, be in the public
interest.
In
applying s.44(1) of the FOI Act, the first question to ask is whether disclosure
of the matter in issue would disclose information
concerning the personal
affairs of a person other than the applicant for access. If that is the case a
public interest consideration
favouring non-disclosure is established, and the
matter in issue will be exempt, unless there are public interest considerations
favouring disclosure which outweigh all public interest considerations favouring
non-disclosure.
In
Re Stewart and Department of Transport [1993] QICmr 6; (1993) 1 QAR 227, the Information
Commissioner discussed in detail the meaning of the phrase "personal affairs of
a person" (and relevant variations)
as it appears in the FOI Act (see
pp.256-257, paragraphs 79-114, of Re Stewart). In particular, the
Information Commissioner said that information concerns the "personal affairs of
a person" if it concerns the
private aspects of a person's life and that, while
there may be a substantial grey area within the ambit of the phrase "personal
affairs", that phrase has a well accepted core meaning which
includes:
family
and marital relationships;
health
or ill health;
relationships
and emotional ties with other people; and
domestic
responsibilities or financial obligations.
Whether or not matter contained in a document comprises information
concerning an individual's personal affairs is a question of fact,
to be
determined according to the proper characterisation of the information in
question.
The
matter remaining in issue in this review comprises 3 full paragraphs, and
several sentences in two other paragraphs in the third
party's statement. It
includes the third party's private address, and references to the emotional
reactions of two persons to particular
situations. I am satisfied that that
information falls within the well accepted core meaning of "personal affairs"
(discussed above).
74. Because of the way that s.44(1) of the FOI Act is worded and
structured, the mere finding that information concerns the personal
affairs of a
person other than the applicant for access must always tip the scales against
disclosure of that information (to an
extent that will vary from case to case
according to the relative weight of the privacy interests attaching to the
particular information
in issue in the particular circumstances of any given
case), and must decisively tip the scales if there are no public interest
considerations
which tell in favour of disclosure of the information in issue.
It therefore becomes necessary to examine whether there are public
interest
considerations favouring disclosure, and if so, whether they outweigh all public
interest considerations favouring non-disclosure.
The
applicant's stated purpose in his initial application for access to documents
from the University was to obtain copies of complaints
against him by officers
of the University - as opposed to summaries or paraphrasing of those complaints
– to enable him to
properly respond to them. Having regard to the
content, and the very limited amount, of information which I have found to be
information
concerning the personal affairs of persons other than the applicant,
I can identify no public interest which would be served by the
disclosure of
that information to the applicant. It would not add anything to his
understanding of the University's decision to
investigate his conduct, or to his
understanding of the substance of complaints made by the third
party.
I
find that those segments of matter which solely concern the personal affairs of
the third party and of another individual comprise
exempt matter under s.44(1)
of the FOI Act.
DECISION
For
the foregoing reasons, I set aside the decision under review (being the decision
made on behalf of the University by Mr Baumber
on 12 April 2001). In
substitution for it, I find that: (a) the matter referred
to in paragraph 76 above is exempt matter under s.44(1) of the FOI Act; and
(b) the balance of the matter remaining in issue is not exempt from
disclosure to the applicant under the FOI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | HIC and Queensland Police Service [1998] QICmr 29 (7 December 1998) |
HIC and Queensland Police Service [1998] QICmr 29 (7 December 1998)
'HIC' and Queensland Police Service
(S 34/96, 7 December 1998, Information Commissioner
Albietz)
(This decision has been edited to remove merely procedural
information and may have been edited to remove personal or otherwise sensitive
information.) 1.- 4. These paragraphs deleted.
REASONS FOR DECISION
Background
The
applicant is a police Sergeant who seeks review of a decision by the Queensland
Police Service (the QPS) to refuse him access,
under the FOI Act, to records of
an interview between a junior officer and the District Officer of the QPS,
concerning the applicant's
health and its effect on the applicant's work
performance. At the time he made his FOI access application, the applicant was
the
officer in charge of a police station in a country town in Queensland. The
junior officer was another officer at that station.
It
appears that the applicant consulted a general practitioner about health
concerns and was referred to a psychiatrist. The psychiatrist
diagnosed the
applicant as suffering from post-traumatic stress disorder and associated
illnesses. The applicant was interviewed
by the District Officer concerning his
health, and the Assistant Commissioner for the region subsequently directed the
District Officer
to interview both the applicant and the junior officer
concerning the applicant's state of health. The junior officer was interviewed.
The applicant later learned of the interview and, by letter dated 31 October
1995, applied to the QPS under the FOI Act for access
to the record of interview
and other related documents.
By
letter dated 8 January 1996, Acting Inspector Anderson of the QPS informed the
applicant that 30 documents had been located which
fell within the terms of the
relevant FOI access application. Acting Inspector Anderson decided to grant
access to 25 documents
in full, but decided that part of folio 1 was exempt
under s.46(1) of the FOI Act, and that the whole of folios 27-30 were exempt
under s.44(1) and s.46(1) of the FOI Act.
By
letter dated 9 February 1996, the applicant sought internal review of Acting
Inspector Anderson's decision, which was affirmed
by Chief Superintendent
Freestone in his internal review decision dated 19 February 1996. By letter
dated 22 February 1996, the
applicant applied to me for review, under Part 5 of
the FOI Act, of Chief Superintendent Freestone's
decision. External review
process
The
documents containing the matter in issue were obtained and examined. Folios
27-30 comprise the record of the interview between
the junior officer and the
District Officer. Folio 1 is a memorandum from the District Officer to the
Assistant Commissioner for
the region. The matter deleted from folio 1
summarises parts of the record of interview.
The
junior officer was informed of my review, and he applied for, and was granted,
status as a participant in accordance with s.78
of the FOI Act. The junior
officer has provided a statutory declaration in support of the case made by the
QPS that the matter in
issue is exempt matter.
In
making my decision, I have considered the contents of the documents in issue,
the correspondence between the applicant and the
QPS in the course of dealing
with the FOI access application and internal review application, and the
following submissions and evidence,
which have been exchanged between the QPS
and the applicant:
submissions
by the QPS, dated 9 August and 21 October 1996
statutory
declaration of the junior officer, dated 23 July 1996
statutory
declaration of an Acting Inspector who replaced the District Officer while he
was on sick leave, dated 23 July 1996
statutory
declaration of the QPS State Rehabilitation Co-ordinator, dated 22 July
1996
submissions
by Gilshenan & Luton, Lawyers, on behalf of the applicant, dated 3 October
and 4 November 1996.
The
submissions of the participants have addressed not only the exemption provisions
initially relied on by the QPS, but also the
possible application of s.40(c) of
the FOI Act. Ultimately, I have found it unnecessary to deal with exemption
provisions other than
s.40(c) of the FOI
Act. Application of s.40(c) of the FOI
Act
Section
40(c) of the FOI Act provides:
40. Matter is exempt matter if its disclosure could
reasonably be expected to—
...
(c) have a substantial adverse effect on the management or assessment by
an agency of the agency's personnel; ...
...
unless its disclosure would, on balance, be in the public
interest.
I
have considered the application of s.40(c) of the FOI Act in Re Pemberton and
The University of Queensland (1994) 2 QAR 293, Re Murphy and Queensland
Treasury & Ors [1995] QICmr 23; (1995) 2 QAR 744, Re Shaw and The University of
Queensland [1995] QICmr 32; (1995) 3 QAR 107, and Re McCann and Queensland Police
Service (Information Commissioner Qld, Decision No. 97010, 10 July 1997,
unreported). The focus of this exemption provision is on the management
or
assessment by an agency of the agency's personnel. The exemption will be made
out if it is established that disclosure of the
matter in issue could reasonably
be expected to have a substantial adverse effect on the management or assessment
by an agency of
its personnel, unless disclosure of the matter in issue would,
on balance, be in the public interest.
I
analysed the meaning of the phrase "could reasonably be expected to", by
reference to relevant Federal Court decisions interpreting the identical phrase
as used in exemption provisions of the Freedom of Information Act 1982
Cth, in Re "B" and Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR
279 at pp.339-341, paragraphs 154-160. In particular, I said in Re "B"
(at pp.340-341, paragraph 160):
The words call for the decision-maker ... to discriminate between
unreasonable expectations and reasonable expectations, between what
is merely
possible (e.g. merely speculative/conjectural "expectations") and expectations
which are reasonably based, i.e. expectations
for the occurrence of which real
and substantial grounds exist.
The ordinary meaning of the word "expect" which is appropriate to its context
in the phrase "could reasonably be expected to" accords
with these dictionary
meanings: "to regard as probable or likely" (Collins English Dictionary, Third
Aust. ed); "regard as likely
to happen; anticipate the occurrence ... of"
(Macquarie Dictionary, 2nd ed); "Regard as ... likely to happen; ... Believe
that it
will prove to be the case that ..." (The New Shorter Oxford English
Dictionary, 1993).
If
I am satisfied that any adverse effects could reasonably be expected to follow
from disclosure of the matter in issue, I must then
determine whether those
adverse effects, either individually or in aggregate, constitute a substantial
adverse effect on the management
or assessment by the QPS of its personnel. For
reasons explained in Re Cairns Port Authority and Department of Lands
[1994] QICmr 17; (1994) 1 QAR 663 (at pp.724-725, paragraphs 148-150), I consider that, where
the Queensland Parliament has employed the phrase "substantial adverse
effect"
in s.40(c) of the FOI Act, it must have intended the adjective "substantial" to
be used in the sense of grave, weighty, significant
or
serious.
If
I find that disclosure of the whole or any part of the matter in issue could
reasonably be expected to have a substantial adverse
effect on the management or
assessment by the QPS of its personnel, I must then consider whether disclosure
of that matter would
nevertheless, on balance, be in the public
interest. Substantial adverse
effect
At
the outset, I consider it appropriate to state that, on my reading of the record
of interview comprising folios 27-30, the junior
officer did everything in his
power to emphasise the positive aspects of the applicant's work performance,
while nevertheless truthfully
and accurately responding to the questions to
which he was directed to reply. It appears to me that the junior officer did
his best
to maintain loyalty to his colleague, while also recognising and
complying with his duty to the QPS.
From
my examination of the QPS submissions and the evidence, I consider that there
are three apprehended adverse effects on the management
or assessment by the QPS
of its personnel, which call for detailed consideration. I will refer to them
as claimed adverse effects
(a), (b) and (c). They are:
(a) apprehension of management problems if other members of staff, or members
of the public, were to obtain access to the matter in
issue;
(b) management problems caused by a perceived breach of trust (in the QPS
disclosing information understood to have been provided
to senior management in
confidence) and the potential for prejudice to the future supply of like
information that is needed for the
purposes of management and assessment
processes; and (c) the potential for disruption to working
relationships within the QPS. Management problems occasioned by
wider dissemination of the matter in issue
As
to claimed adverse effect (a), I indicated in Re Pemberton at pp.365-366,
paragraphs 152-154, that s.40(c) of the FOI Act is an exemption provision of a
kind where it is ordinarily proper,
in assessing the relevant prejudicial
effects of disclosure of the matter in issue, to have regard to the effects of
disclosure to
persons other than just the particular applicant for access under
the FOI Act.
The
content of the matter in issue does not suggest that the applicant has engaged
in any conduct upon which disciplinary action could
be based. It appears clear
that the relevant interview was conducted in order to assess whether the junior
officer could shed any
light on the effects or potential effects which the
applicant's illness might have on the applicant's work performance at an
isolated
country station. (I should also say that I have no knowledge of
whether or not the applicant continues to suffer from any form of
illness. He
may well have completely recovered.)
Nevertheless,
I consider that a significant number of fellow officers or members of the
public, on reading the matter in issue, could
reasonably be expected to form
some apprehension about whether the applicant continues to suffer from the
illness, and about its
potential effects on the applicant's work performance.
If the information recorded in the matter in issue were to be disseminated
in
any community in which the applicant was working, or indeed within the QPS, I
consider it reasonable to expect that this could
give rise to management
difficulties with respect to the applicant, and his relationships with other QPS
personnel and/or the public.
In this sense, I consider that disclosure of the
matter in issue could reasonably be expected to have an adverse effect on the
management
by the QPS of its personnel.
However,
at pp.368-371, paragraphs 165-172, of Re Pemberton, I discussed possible
qualifications to the ordinary approach described in paragraph 20 above. In
addition, s.6 of the FOI Act provides:
6. If an application for access to a document is made
under this Act, the fact that the document contains matter relating to the
personal
affairs of the applicant is an element to be taken into account in
deciding -
(a) whether it is in the public interest to grant access to the
applicant; and
(b) the effect that the disclosure of the matter might
have.
In
this case, the interview comprised in folios 27-30 was concerned with the
applicant's work performance. In Re Stewart and Department of Transport
[1993] QICmr 6; (1993) 1 QAR 227, I indicated that, ordinarily, information which concerns an
individual's work performance or other work-related matters does not
concern
that individual's personal affairs (see pp.261-264, paragraphs 91-102). In
Re Pope and Queensland Health [1994] QICmr 16; (1994) 1 QAR 616, after reviewing relevant
authorities (at pp.658-660), I expressed the following conclusion at p.660
(paragraph 116):
Based on the authorities to which I have referred, I consider that it
should now be accepted in Queensland that information which
merely concerns the
performance by a government employee of his or her employment duties (i.e.,
which does not stray into the realm
of personal affairs in the manner
contemplated in the Dyrenfurth case) is ordinarily incapable of being
properly characterised as information concerning the employee's "personal
affairs" for the
purposes of the FOI Act.
The general approach evidenced in this passage was endorsed by de Jersey J
(as he then was) of the Supreme Court of Queensland in
State of Queensland v
Albietz [1996] 1 Qd R 215, at pp.221-222.
Nevertheless,
in this case, the basis for concern about the applicant's work performance was
ill-health, and I consider that both
documents containing matter in issue must
be properly characterised as documents that contain matter relating to the
personal affairs
of the applicant, so that s.6 of the FOI Act is
relevant.
As
a matter of statutory construction, I consider that the reference in s.6(b) of
the FOI Act to "the matter" is confined to matter
which relates to the personal
affairs of the applicant, i.e., it does not extend to other matter which does
not relate to the personal
affairs of the applicant, although contained in a
document which contains some matter that does relate to the personal affairs of
the applicant. But, having said that, the matter in issue in the present case
which relates to the applicant's personal affairs
is the very matter the
disclosure of which would be most likely to cause claimed adverse effect
(a).
The
significance of s.6(b) of the FOI Act in this context is that it permits some
adjustment or allowance to be made, in evaluating
the effects of disclosure, for
the fact that the matter in issue relates to the personal affairs of the
particular applicant for
access. Thus, while the potential for wider
dissemination (which could reasonably be expected to cause claimed adverse
effect (a))
cannot be entirely discounted, s.6(b) permits account to be taken of
the likelihood of the applicant permitting wider dissemination
of information
obtained under the FOI Act relating to his personal affairs, in circumstances
where wider dissemination is likely
to be detrimental to his interests
(including his privacy interests). I consider that the greatest damage that
might be occasioned
by any wider dissemination of the matter in issue (i.e.,
beyond the applicant) would most likely befall the applicant. Damage might
also
be occasioned to the interests of the junior officer, and wider dissemination
could, in my view, reasonably be expected to have
an adverse effect on the
management by the QPS of its personnel, as explained above. However, the
relative weight to be attributed
to that adverse effect could appropriately be
discounted to an extent that compensates for the considerations which could
reasonably
be expected to inhibit any wider dissemination by the applicant of
the matter that relates to his personal affairs. No similar discounting
in
reliance on s.6(b) is available in respect of matter in issue which does not
relate to the applicant's personal
affairs. Understanding of confidence
Turning
to claimed adverse effect (b), the junior officer has given evidence that he was
extremely reluctant to provide any information
concerning the applicant's
general health and wellbeing to the District Officer. The record of interview
clearly shows that that
was the case. The junior officer only answered
questions when he was directed to do so by the District Officer. The junior
officer
also stated that he believed that the content of the record of interview
was confidential, and that anything said by him was to remain
confidential
between him and the District Officer. No evidence was provided from the
District Officer who, I understand, was absent
on sick leave at the time
evidence was gathered by the QPS. However, the Acting Inspector who took over
from the District Officer
did provide evidence which indicated his belief that,
in an interview between a commissioned officer and a subordinate officer, an
implied confidential relationship exists.
It
is not difficult to understand why the junior officer did not wish to make any
comments relating to the applicant, nor why, when
forced to do so, he wished his
comments to be kept confidential from the applicant. He was working in a
country station, subject
to the direct supervision of the applicant. He no
doubt wished to maintain both a good working relationship and a good personal
relationship with the applicant. He was not a health professional, but was
being asked to give his opinion on the effect of the
applicant's illness on the
applicant's work performance.
However,
in many cases an investigating officer representing the QPS will not reasonably
be able to give an unconditional undertaking
as to confidentiality, or be party
to an unconditional understanding of confidentiality. As I indicated in Re
McCann, it may be necessary for the QPS, in the exercise of its functions
and in order to comply with the legal requirements of procedural
fairness, to
disclose information gained during an interview. However, I also recognised in
Re McCann (at paragraphs 47-51 and 57-58) that the circumstances of a
particular case can give rise to a conditional understanding of confidentiality.
In
this case, the junior officer should have been aware that, if it proved
necessary to take formal action in relation to the applicant's
illness, it may
be necessary to disclose the information provided by the junior officer in order
to give substance to the case of
the QPS. However, I consider that the
circumstances of the case were such that there was an implicit understanding
between the District Officer
(on behalf of the QPS) and the junior officer,
that, unless it proved prudent or necessary for the purposes of taking formal
action
to deal with the applicant's illness, the matter in issue would not be
disclosed to the applicant.
The
State Rehabilitation Co-ordinator of the QPS has given evidence that, not long
after the interview took place, the applicant commenced
a rehabilitation
placement program, and voluntarily transferred to a police station in a larger
centre to continue that program.
There is nothing in the material before me to
show that any formal action which might have required disclosure of the matter
in
issue to the applicant was ever undertaken by the QPS.
I
do not suggest that it is a universal rule that any interview involving a
direction to answer questions involves an implicit understanding
of
confidentiality. However, where the circumstances of a particular case justify
such a finding, the subsequent disclosure of information
(other than in
accordance with implicitly understood exceptions permitting disclosure when
necessary - see Re McCann at paragraphs 57-58) could reasonably be
expected to raise concerns by junior staff about the reliability of protection
available
to them under an express or implicit understanding that information
has been provided to management in confidence, and to prejudice
the future
supply of information in similar investigations.
The
weight or seriousness of the apprehended adverse effect increases according to
the sensitivity of the information liable to be
disclosed. This case is one in
which the information sought from the junior officer was of a particularly
sensitive kind. It involved
not merely a recounting of a factual situation, but
a direction that the junior officer give his impression of the health of a
colleague
and its effect on the colleague's work performance. Such an
assessment is necessarily a subjective one, which any worker may well
be loathe
to have placed on record, not merely from concern that it may be disclosed to
the colleague but also out of loyalty to
the colleague.
Added
to this is the special nature of police work. I do not accept, as the QPS
contended, that the statutory requirement to answer
questions adds significant
weight to the case of the QPS. I have previously indicated that all employees
owe a duty of good faith
and fidelity to their employer, which would encompass a
duty to report to the employer information, acquired in the capacity of
employee,
which the employer might reasonably require for the better management
of its operations (see p.125, paragraphs 55-56, of Re Shaw, and
paragraph 71 of Re McCann). However, the nature of police work
adds significantly to the potential for recrimination and retribution if adverse
comments are
disclosed. QPS officers have considerable powers that are not
shared by other members of the community. A QPS officer is clothed
with the
authority to take actions invasive of the rights or liberties of a member of the
community (including other officers), which
may ostensibly be undertaken for
appropriate purposes, but in reality be designed to exact retribution. In
addition, police officers
do not enjoy a 9-to-5 job. Particularly in smaller
centres, they may be on 24-hour call and be required to carry out numerous
onerous,
unpleasant or dangerous duties, where reliance on the support of fellow
officers is essential. The scope for a senior officer who
is a supervisor of a
junior officer, or who is able to influence those who are supervisors of a
junior officer, to assign the junior
officer to more than his or her fair share
of onerous, unpleasant or dangerous duties is far greater than that for a
supervisor in
most public sector agencies.
In
the circumstances of this case, I am prepared to accept that any unwarranted
breach of the understanding of confidence (in respect
of information supplied by
the junior officer in the record of interview - folios 27-30) could reasonably
be expected to have a substantial
adverse effect on the management or assessment
by the QPS of its personnel, through the apparent breach of trust involved, and
by
making it more difficult to obtain full and frank co-operation in similar
investigations in the future. Disruption to working
relationships
With
regard to claimed adverse effect (c), I believe that the claim had considerable
force while the applicant remained in charge
of the station in the country town.
The potential for recrimination/retribution of the kind indicated in paragraph
35 above, or at
least a souring of relationships between the two officers, was
at its height while the applicant and the junior officer staffed the
station in
the country town.
As
the applicant has now transferred to another station, that potential has
diminished, but I do not believe it can be completely
discounted. The QPS has
correctly pointed out that there is a potential for further transfers in the
future which may yet bring
these two officers together again. Disclosure could
reasonably be expected to cause management problems within the QPS if any
ongoing
dispute were to develop between the two officers, or between the junior
officer and officers friendly to the applicant.
I
am satisfied that disclosure of the matter in issue could reasonably be expected
to have the three adverse effects discussed above.
When aggregated, I find that
those adverse effects could reasonably be expected to have a substantial adverse
effect on the management
or assessment by the QPS of its
personnel. Public interest balancing
test
I
accept that there is a public interest in enhancing the accountability of the
QPS in respect of its handling of management issues
concerning the ill-health of
staff. I also recognise that there may be a public interest in a particular
applicant having access
to information which affects or concerns the applicant
to such a degree as to give rise to a justifiable "need to know" which is
more
compelling than for other members of the public (see Re Pemberton at
pp.368-377, paragraphs 164-193 - see also s.6 of the FOI Act).
The
applicant contended that the "record of interview has a substantial effect on
[his] career in the [QPS]". It is also clear that
he considers that the
interview has affected "promotional and disciplinary issues" facing him.
However, the applicant has provided
no evidence or submissions as to how the
record of interview might have been, or might be, taken into account to his
detriment.
The evidence I have before me shows that the applicant commenced a
rehabilitation placement program and transferred from the country
station
shortly thereafter (see statutory declaration of State Rehabilitation
Co-ordinator). There is no evidence before me that
any formal action
detrimental to the applicant's career prospects in the QPS has been taken based
on the matter in issue, or that
any such action is proposed. Nor can I see any
basis on which the record of interview could be taken into account in any
disciplinary
action against the applicant. However, I imagine that it is
possible that the record of interview, along with other material relating
to his
service, might be taken into account in considering the applicant's prospects
for promotion.
I
do not consider that the interest of the applicant in having access to the
matter in issue is of the same kind as that discussed
in Re Pemberton.
While the interview did concern the applicant's work performance, it was in the
context of dealing with an illness that he was
experiencing at a particular
time. The key to resolving such work performance difficulties was in the
establishment of an appropriate
rehabilitation program, rather than in the
applicant considering and addressing any innate concerns about his general work
performance.
In that sense, the public interest in disclosure to the applicant
of the narrow, health-related concerns expressed during the interview
is not of
a similar kind, nor as strong as, the public interest in disclosure of reports
by Heads of Department, assessing shortcomings/areas
for improvement in the work
performance of a senior academic/research scientist, that were in issue in
Re Pemberton.
The
applicant has already been given a considerable amount of information from the
file concerning the management by the QPS of the
issues raised by his illness.
The only matter to which he has been denied access is the record of interview
with the junior officer,
and a summary of the interview contained in a report by
the District Officer. The satisfaction of the other elements of s.40(c)
of the
FOI Act gives rise to a prima facie public interest consideration
favouring non-disclosure. In this case, I consider that the potential for
prejudice to the management
and assessment processes of the QPS is substantial.
I am not satisfied that the public interest considerations which favour
disclosure
to the applicant are strong enough to support a finding that
disclosure of the matter in issue would, on balance, be in the public
interest.
I therefore find that the matter in issue is exempt matter under s.40(c) of the
FOI Act.
DECISION
I
vary the decision under review (being the decision of Chief Superintendent P J
Freestone on behalf of the respondent dated 19 February
1996) by finding that
the matter in issue identified at paragraph 9 above is exempt matter under
s.40(c) of the FOI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Little and Department of Natural Resources [1996] QICmr 2; (1996) 3 QAR 170 (22 March 1996) |
Little and Department of Natural Resources [1996] QICmr 2; (1996) 3 QAR 170 (22 March 1996)
Last Updated: 20 February 2001
OFFICE OF THE INFORMATION
COMMISSIONER (QLD)
Decision No. 96002Application S
11/95 Participants: DAVID EDWARD
LITTLE TIMOTHY CARUTHERS LITTLE DONALD CHARLES LITTLE DIANE
ROSEMARY CANTONI Applicants DEPARTMENT OF NATURAL
RESOURCES Respondent
DECISION AND REASONS FOR DECISION
FREEDOM OF INFORMATION - refusal of access - valuation report on land
owned by the applicants which the respondent proposes to acquire
- whether
prepared for briefing, or the use of, the Governor, a Minister or a chief
executive in relation to a matter proposed by
a Minister to be submitted to
Cabinet or Executive Council - whether exempt matter under s.36(1)(c) or
s.37(1)(c) of the Freedom of Information Act 1992 Qld. FREEDOM OF
INFORMATION - matter in issue being matter of a kind mentioned in s.41(1)(a) of
the Freedom of Information Act 1992 Qld (deliberative process matter) -
whether disclosure of the matter in issue would be contrary to the public
interest - public interest
in fair treatment of persons whose property may be
compulsorily acquired by government for public purposes - application of s.41(1)
of the Freedom of Information Act 1992 Qld - whether matter in issue
consists of expert opinion or analysis, excluded from eligibility for exemption
under s.41(1) by virtue of s.41(2)(c).FREEDOM OF INFORMATION - whether
disclosure of the matter in issue could reasonably be expected to have a
substantial adverse effect
on the financial or property interests of the State -
application of s.49 of the Freedom of Information Act 1992
Qld.Freedom of Information Act 1992 Qld s.36(1), s.36(1)(c),
s.37(1), s.37(1)(c), s.41(1), s.41(1)(a), s.41(1)(b), s.41(2)(c), s.49,
s.52, s.81Acquisition of Land Act 1967 Qld s.7, s.8, s.9, s.9(3),
s.9(4), s.9(5), s.9(6), s.12(5), s.12(5A), s.12(5B), s.15, s.15(1B),
s.15(6)Acts Interpretation Act 1954 Qld s.14AFreedom of
Information Act 1982 Cth s.36Valuers Registration Regulation
1992 Qld s.6(1)"B" and Brisbane North Regional Health
Authority, Re [1994] QICmr 1; (1994) 1 QAR 279Beanland and Department of
Justice and Attorney-General, Re (Information Commissioner Qld,
Decision No. 95026, 14 November 1995, unreported)Cairns Port Authority
and Department of Lands, Re [1994] QICmr 17; (1994) 1 QAR 663Eccleston and Department
of Family Services and Aboriginal and Islander Affairs, Re
[1993] QICmr 2; (1993) 1 QAR 60Hopkins and Department of Transport, Re
(Information Commissioner Qld, Decision No. 95028, 28 November 1995,
unreported)Hudson as agent for Fencray Pty Ltd and Department of the
Premier, Economic and Trade Development, Re [1993] QICmr 4; (1993) 1 QAR
123Jones and Shire of Swan, Re (Information Commissioner WA, Decision
Ref: D00694, 9 May 1994, unreported)Mildenhall and Department of
Premier and Cabinet (No. 1), Re (1995) 8 VAR 284Murtagh v Federal
Commissioner of Taxation [1984] AATA 249; (1984) 54 ALR 313Searle Australia Pty Ltd v
Public Interest Advocacy Centre and Anor [1992] FCA 241; (1992) 36 FCR 111Victorian
Public Service Board v Wright [1986] HCA 16; (1986) 160 CLR 145; 64 ALR
206Whitehouse v Carlton Hotel Pty Ltd (1987) 162 CLR 282
DEClSION
I set aside the decision under review (being the internal review
decision made on behalf of the respondent by Mr Martin Holmes on
23 December
1994). In substitution for it, I decide that the applicants have a right to be
given access under the Freedom of Information Act 1992 Qld to the matter
withheld from them pursuant to the decision under
review.Date of Decision: 22 March
1996..............................................................F
N ALBIETZINFORMATION COMMISSIONER
TABLE OF CONTENTS
Page
Background
.............................................................................................................. 1Application
of s.36 and s.37 of the FOI Act
............................................................ 3 The
evidence
.......................................................................................................... 5
Analysis and application of the relevant provisions
............................................. 7Application of s.41
of the FOI Act
........................................................................... 11Application
of s.49 of the FOI Act
........................................................................... 18Conclusion
................................................................................................................ 18
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 96002Application S
11/95 Participants: DAVID EDWARD
LITTLE TIMOTHY CARUTHERS LITTLE DONALD CHARLES LITTLE DIANE
ROSEMARY CANTONI Applicants DEPARTMENT OF NATURAL
RESOURCES Respondent
REASONS FOR DECISION
Background1. The applicants seek review of a
decision by the respondent to refuse them access under the Freedom of
Information Act 1992 Qld (the FOI Act) to parts of a valuation report (and
its covering memorandum) in respect of a parcel of land owned by the applicants
near Kuranda in North Queensland (hereinafter referred to as "the subject
land"). The valuation report was prepared for the purposes
of a proposed
acquisition by the respondent of the subject land. It addresses a number of
proposals from acquisition of the full
parcel of land to acquisition of various
portions of the subject land.2. By a letter dated 21 September 1994 to
the Department of Lands (now the Department of Natural Resources), the
applicants sought
access under the FOI Act to:(a) any report,
submission, memorandum or other writing made on or after the 1st January, 1989
which assesses, contains reference
to or otherwise touches or concerns the value
of [the subject land];(b) any report, submission, memorandum or
other writing made on or after the 1st January 1989 which assesses, contains
reference to
or otherwise touches or concerns the amount of compensation that
would be payable by the Crown in the event that [the subject land] were
to be resumed.3. I need not recount all the steps which occurred in
the respondent's processing of the FOI access application and the applicants'
subsequent application for internal review under s.52 of the FOI Act, but I note
that the decision now under review is that made
on behalf of the respondent on
23 December 1994 by Mr Martin Holmes. Mr Holmes determined that the valuation
report now in issue
(which was prepared by a valuer who was an officer of the
respondent Department) is exempt matter under s.41(1) and s.49 of the FOI
Act,
for the following reasons:The Report contains valuation and other
information in respect of the Crown's assessment of the quantum of compensation
payable for
the acquisition. As this information would form the basis of the
Crown's primary evidence should the matter be referred to the Land
Court, access
to these documents at this time could greatly prejudice the Crown's case in the
Land Court.The disclosure of the contents of the Report could
reasonably be expected to have a substantial adverse effect on the financial and
property interests of the State.The non-disclosure of this
information is aimed at protecting the interests of the Crown in the event that
this matter is referred
to the Land Court for a decision. Under these
circumstances it would not be in the public interest to disclose this
information.Furthermore, the preparation of the "Valuation
Report" is part of the deliberative process involved in the functions of
government
and the release of this information at this time would be contrary to
the public interest.This information is therefore exempt matter
pursuant to sections 41(1) and 49 of the FOI Act.4. By letter dated
17 January 1995, the applicants sought review by the Information Commissioner,
under Part 5 of the FOI Act, in
respect of Mr Holmes' decision.5. During
the course of the external review process, attempts have been made to negotiate
a resolution of the dispute over access
to the valuation report. At the same
time, negotiations for the acquisition by the respondent of the subject land
have continued.
As a result of these processes, the respondent has made certain
concessions, which have allowed the applicants access to most of
the valuation
report. The matter remaining in issue broadly comprises the valuation figure
for the subject land (and other valuation
figures for portions of the subject
land, and for other items addressed in the valuation process), segments of the
report which record
the methodology and reasoning on which the valuer's approach
and the various valuation figures were based, and a one page Executive
Summary
which briefly canvasses issues relevant to proposals for acquisition of the
whole, or portions only, of the subject land.6. There are three ways in
which the respondent may acquire land:(a) an open-market transaction in
which the respondent is in the same position as any other prospective purchaser
of land;(b) acquisition, with the agreement of the landowner, under s.15
of the Acquisition of Land Act 1967 Qld, either with the amount of
compensation also agreed, or with compensation to be determined by the Land
Court; or(c) in the absence of the landowner's agreement to acquisition,
compulsory acquisition of land under s.9 of the Acquisition of Land Act,
with compensation to be determined by the Land Court.7. The purpose of
acquisition of the applicants' land is for the construction of a school. At the
time of preparation of this decision,
negotiations between the applicants and
the respondent for the sale of the subject land were well advanced, but (I have
been informed
by the applicants' solicitors) not yet concluded. However, if
those negotiations ultimately do not result in an agreement, the respondent
has available to it all the powers to compulsorily acquire land which are
contained in the
Acquisition of Land Act.8. The respondent has
lodged the following material in support of its case that the matter remaining
in issue is exempt matter under
the FOI Act:
a written submission, dated 2 May 1995
an affidavit of Michael Francis Shine, sworn 28 April 1995
an affidavit of Dennis William Long, sworn 2 May 1995
an affidavit of Peter Francis Tooley, sworn 2 May
1995.9. The material lodged on behalf of the respondent
addressed its initial claims for exemption under s.41(1) and s.49 of the FOI
Act,
but in addition, and for the first time, the respondent claimed that those
parts of the valuation report which have not been released
to the applicants are
exempt under s.36(1)(c) and s.37(1)(c) of the FOI Act, as amended (with
retrospective effect) in March 1995.10. In response, the applicants rely
on:
an affidavit of Michael Andrew Jonsson (the solicitor who has the conduct of
this matter on behalf of the applicants) sworn 24 May
1995
a written submission dated 24 May 1995.11. The respondent
was given the opportunity to reply to the evidence and submissions lodged on
behalf of the applicants, but, by
letter dated 19 June 1995, declined that
opportunity.12. Relevant parts of the evidence and submissions lodged by
the participants are referred to below.Application of s.36 and
s.37 of the FOI Act13. The respondent claims that the matter
remaining in issue is exempt under s.36(1)(c) and s.37(1)(c) of the FOI Act.
Sections 36
and 37 of the FOI Act provide (so far as relevant for present
purposes):Cabinet Matter 36.(1)
Matter is exempt matter if-- (a) it has been submitted to
Cabinet; or (b) it was prepared for submission to Cabinet and is
proposed, or has at any time been proposed, by a Minister to be submitted to
Cabinet; or (c) it was prepared for briefing, or the use of, a
Minister or chief executive in relation to a
matter-- (i) submitted to Cabinet; or (ii) that
is proposed, or has at any time been proposed, to be submitted to Cabinet by a
Minister; or... (4) In this
section--"Cabinet" includes a Cabinet committee or
subcommittee."chief executive" means a chief
executive of a unit of the public
sector...."submit" matter to Cabinet
includes bring the matter to Cabinet, irrespective of the purpose of submitting
the matter to Cabinet, the nature
of the matter or the way in which Cabinet
deals with the matter.Executive Council
matter 37.(1) Matter is exempt matter
if-- (a) it has been submitted to Executive Council;
or (b) it was prepared for submission to Executive Council and is
proposed, or has at any time been proposed, by a Minister to be submitted
to
Executive Council; or (c) it was prepared for briefing, or the
use of, the Governor, a Minister or a chief executive in relation to a
matter-- (i) submitted to Executive Council;
or (ii) that is proposed, or has at any time been proposed, to
be submitted to Executive Council by a Minister;
or... (4) In this
section--"chief executive" means a chief executive
of a unit of the public
sector...."submit" matter to
Executive Council includes bring the matter to Executive Council, irrespective
of the purpose of submitting the matter
to Executive Council, the nature of the
matter or the way in which Executive Council deals with the
matter.14. Both s.36 and s.37 were amended after the commencement of
this external review, in a manner which considerably expanded the breadth
of
their spheres of application. In Re Beanland and Department of Justice and
Attorney-General (Information Commissioner Qld, Decision No. 95026, 14
November 1995, unreported) at paragraphs 55-56, I found (for reasons which
apply
in identical fashion to s.37) that the March 1995 amendments to s.36 were
expressly given retrospective operation, with the
result that s.36 and s.37, as
amended, must be applied even in cases where, as here, the relevant FOI
access application predated the March 1995 amendments to s.36 and
s.37.15. Section 81 provides that, in a review by the Information
Commissioner, the agency which made the decision under review has the
onus of
establishing that the decision was justified or that the Information
Commissioner should give a decision adverse to the applicant.
The respondent
therefore carries the onus of establishing the material facts and circumstances
which would attract the application
of s.36(1)(c) or s.37(1)(c) to the matter
remaining in issue.The evidence16. The evidence discloses
that in August 1994 the respondent was instructed to acquire the subject land
for a proposed high school
site. The letter of instruction stated: "In the
first instance acquisition by negotiation is proposed. However, if a
negotiation acquisition is not successful, it is proposed
that resumption action
be taken. Sufficient land is required to provide a suitable school site,
(15 to 20 hectares) but if insufficient land remains to provide a viable
block
for the owners, the whole parcel (29.7931 hectares) should be acquired."
(exhibit "A" to Mr Shine's affidavit).17. The Program Director, Land
Use, within the respondent Department wrote to the applicants' solicitors in
September 1994 and received
a reply indicating that the applicants were prepared
to consider negotiating a sale to the Crown of the whole or part of the subject
land, and asking what the Crown was prepared to offer (exhibits "B" and "C" to
Mr Shine's affidavit). 18. The Regional Director of the Far North
Region of the respondent Department was then instructed by the Program Director,
Land Use,
to "urgently arrange a detailed valuation of the selected area
(when established) and also a valuation of the whole parcel. The two valuations
are necessary for the purpose of assessing compensation but at this stage it is
not known whether part or whole of the land is to
be negotiated" (exhibit
"D" to Mr Shine's affidavit). 19. The evidence before me is that
negotiations have continued between the applicants and the respondent for the
sale of the subject
land by private treaty. There is no evidence to the effect
that formal procedures under the Acquisition of Land Act have yet been
set in train by the respondent, although there is clear evidence of an intention
to do so in the event that negotiations
for a voluntary sale are
unsuccessful.20. Against this background, the evidence lodged by the
respondent falls well short of establishing the material facts which would
attract the application of s.36(1)(c) or s.37(1)(c) of the FOI Act to the matter
remaining in issue.21. Mr Shine is a senior officer in the Acquisitions
Section within the Land Use Program of the respondent Department. His duties
include the acquisition of land for school sites. Mr Shine has deposed
that:8. After the valuation was received in the Acquisitions
Section [of the respondent Department] it was placed on the relevant
Departmental file which relates to the proposed acquisition and the file,
together with the valuation,
will in due course be sent from the
Acquisitions Section to the Cabinet Legislation and Liaison Unit within the
Department of Lands for the purpose
of briefing the Honourable the Minister and
the Governor in Council in relation to the proposed acquisition of the land,
whether
by agreement or by compulsory process, under the Acquisition of Land
Act 1967. [my underlining.]9. In either case a
Proclamation by the Governor in Council is published in the Gazette formally
taking the land in question for the
purpose stated in the
Proclamation.10. Section 9(6) of the Acquisition of Land Act 1967
requires the Governor in Council to consider every application made to the
Minister for a Proclamation including all statements and
documents accompanying
that application in the process of deciding whether to make the Proclamation to
take the land.22. Mr Shine's evidence assumes that acquisition of
the subject land will proceed under the Acquisition of Land Act, whether
by way of compulsory resumption under s.9, or acquisition under s.15 after a
written agreement to acquire has been reached with the landowner. Mr Shine has
not mentioned the possibility (which is expressly
contemplated and reserved by
s.15(1B) of the Acquisition of Land Act) of acquisition by purchase. The
applicants assert (p.2 of their written submission) that their continuing
negotiations with the
respondent are negotiations for the sale by private treaty
of the subject land. I am not prepared to accept that it is inevitable
that the
matter of the acquisition of the subject land will be submitted to the Governor
in Council, in accordance with either s.9 or s.15 of the Acquisition of Land
Act, while there remains a possibility of a sale by private
treaty.23. However, to further test the respondent's evidence, I will
assume for the moment that there is such an inevitability. Mr Shine's
evidence
is that the relevant Departmental file, including the valuation, would be
forwarded to the respondent's Cabinet Legislation
and Liaison Unit for the
purposes of briefing the Minister and the Governor in Council in relation to the
proposed acquisition of
land. Mr Shine is not in a position to say what occurs
from that point, and the evidentiary 'trail' is picked up in the affidavit
of Mr
Long, the respondent's Cabinet Legislation and Liaison Officer (see paragraph 24
below). Mr Shine does, however, make a point
of referring to s.9(6) of the
Acquisition of Land Act. That provision requires the Governor in Council
to consider all statements and documents accompanying an application for
resumption
made to the Minister under s.9(3). Section 9(4) prescribes the kinds
of statements and documents which must accompany an application for resumption
made to the Minister under s.9(3); it does not include a valuation report on the
land proposed for resumption. The Minister may require additional information
to
be furnished (s.9(5)), but there does not appear to be any necessity for the
Minister to routinely require a valuation report to be furnished, especially
since the object of s.9(6) is to ensure that the Governor in Council is
satisfied that land may lawfully be taken for a purpose authorised under the
Acquisition of Land Act, and that the procedural requirements of s.7 and
s.8 have been followed. The question of compensation for the compulsory
acquisition of land is dealt with in other sections of the Act
(see s.12(5),
(5A) and (5B) of the Acquisition of Land Act). Again in the case of
acquisition under s.15, a valuation report is not prescribed as a kind of
document which must be furnished to the Minister or the Governor in Council, and
the object of providing for Governor in Council approval under s.15(6) is to
ensure that the Governor in Council is satisfied that the land in question may
be lawfully taken for the purpose for which
it is proposed to be taken. There
is no suggestion on the face of s.15 that the Governor in Council is intended to
have any role in approving the amount of compensation payable to a landowner for
the
acquisition of the relevant land.24. Mr Long, the respondent's
Cabinet Legislation and Liaison Officer, deposes that when the relevant
Departmental file on the acquisition
of the applicants' land is received by him:
4. ... a Briefing Minute will be prepared for the use of the
Honourable the Minister in Cabinet in accordance with the established
practices
in relation to matters to be considered by Cabinet.5. In addition a
Draft Proclamation will be prepared for consideration by the Governor in Council
for the purposes of taking the applicants'
land under the Acquisition of
Land Act 1967.6. The Draft Proclamation will then be placed on
the file which will be sent to the Office of Cabinet for reference by the
Honourable
the Minister and the Governor in Council at the appropriate time.
The Briefing Minute is not placed on the file, but is kept securely
elsewhere in
accordance with government policy as to the confidentiality of such
documents.25. It is notable that Mr Long does not depose that the
valuation report will accompany the Briefing Note prepared for the Minister,
let
alone that the valuation report was prepared for briefing, or the use of, the
Governor, or a Minister or a chief executive (as
required by the wording of
s.36(1)(c) or s.37(1)(c) of the FOI Act). It appears that the only document
which Mr Long prepares for
consideration by the Governor in Council under the
Acquisition of Land Act is a Draft Proclamation. The relevant
Departmental file (which would contain a copy of the valuation report) is then
sent to the
Office of Cabinet so that it is available "for reference" by the
Minister and the Governor in Council at the appropriate time. There
is no
statement in the evidence to the effect that the valuation report, or the file
containing it, will be given to the Governor
or the Minister for their briefing
or use. Since, as I have explained at paragraph 23 above, the Governor in
Council is given no
statutory function, under s.9 or s.15 of the Acquisition
of Land Act, of considering or approving the amount of compensation payable
to a landowner, there is no reason to expect that a valuation report
would be
required for briefing, or the use of, the Governor in Council.26. Mr
Tooley, in his affidavit, deposes that he holds the position of Program
Director, Land Valuations, in the respondent Department.
Mr Tooley does not,
however, depose to any material facts relevant to the application of s.36(1)(c)
or s.37(1)(c). He merely attempts to swear the very issue for
determination:2. I say that the valuation of the applicants' land
prepared by the Department of Lands in connection with a proposed acquisition
for School Purposes is exempt from disclosure under the Freedom of Information
Act by reason of the provisions of Sections 36(1)(c)(ii) and 37(1)(c)(ii) of
that Act which apply to documents prepared for the consideration of Cabinet or
the Executive Council.3. I say that the valuation in question is
such a document. These assertions, without evidence of facts which
support them, must properly be disregarded.Analysis and application
of the relevant provisions27. In paragraphs (a), (b) and (c) of
s.36(1) and s.37(1), respectively, of the FOI Act, a clear progression is
evident in the categories of matter on which the legislature has conferred
a
'class claim' for exemption (i.e., where exemption is conferred merely by
membership of a defined class or category, irrespective
of whether disclosure of
the actual contents of a document falling within the defined class would have
any prejudicial consequences).
The first category comprises matter which has
been submitted to Cabinet or Executive Council. The second category requires
that
matter must have been prepared for submission to Cabinet or Executive
Council, and must be, or must have been, proposed by a Minister
to be submitted
to Cabinet or Executive Council. Where matter has not been submitted to Cabinet
or Executive Council, nor prepared
for that purpose, it may qualify for
exemption under the third category if it was prepared for briefing, or the
use of, prescribed persons in relation to a matter submitted, or proposed by
a
Minister to be submitted, to Cabinet or Executive Council.28. The words
following the verb "prepared" in s.36(1)(c) and s.37(1)(c), respectively, attach
a purposive requirement to that word.
To qualify for exemption, it must be
established that the matter in issue was prepared for briefing, or the use of, a
prescribed
person (a Minister or chief executive in respect of both s.36(1)(c)
and s.37(1)(c), or the Governor in respect of s.37(1)(c) only).
In addition,
the briefing or use must relate to a matter which has been submitted to Cabinet
or Executive Council, or which is proposed,
or has at some time been proposed,
by a Minister to be submitted to Cabinet or Executive Council. (I note that the
respondent has
not suggested that the matter of the acquisition of the subject
land, or of any amount to be paid for the land, has been submitted
to Cabinet or
Executive Council; rather it relies on the second limb of each provision, i.e.,
s.36(1)(c)(ii) and s.37(1)(c)(ii).)29. The respondent has not provided
any evidence which establishes that the valuation report containing the matter
in issue was prepared
for briefing, or the use of, the Governor, a Minister or a
chief executive. (The highest which Mr Shine was able to put it was that
the
valuation was contained in a file that he believes will, in due course, be sent
to the respondent's Cabinet Legislation and Liaison
Unit for the purpose of
briefing the Minister. With respect, that only addresses the purpose of sending
the file.) In my opinion,
it is clear that the valuation report was not
prepared for the purpose of briefing, or the use of, the Governor, a Minister or
a
chief executive. The purpose for which the valuation report was prepared is
explained on page 3 of the respondent's own submission:When the
Department is required to acquire a property, the Department approaches the
property owners to determine if they are willing
to sell and what is their
asking price. In the meantime the Department arranges for a valuation report
for the property to be prepared.
Upon receipt of the property owners' asking
price, the Department will declare its valuation amount then negotiate with the
owner
to arrive at a mutually acceptable price. If no asking price is
forthcoming from the property owner, the Department will make an
offer, which
is, in most circumstances, the valuation amount. If agreement cannot be reached
on a price, the matter will be referred
to the Land Court. I am
satisfied on the material before me that the valuation report was prepared for
the purpose of negotiating with the applicants
to acquire the subject land at an
agreed fair price (or, failing agreement, for the purpose of establishing, in
proceedings before
the Land Court, the amount of compensation to which, in the
respondent's contention, the applicants are entitled, upon the acquisition
of
the subject land by the Crown under the Acquisition of Land Act).
30. Although not strictly necessary for determination in this case
(given the deficiencies in the respondent's evidence), the applicants'
written
submission has raised an issue of statutory construction which is of general
significance for the interpretation and application
of s.36(1)(c) and s.37(1)(c)
of the FOI Act. It is the first issue raised in the following extract from the
applicants' written
submission. The second issue raised in the following
extract illustrates another ground on which the respondent has failed to make
out its case for exemption in this instance: 9. ... The time of
creation of a document is the time at which the purpose for its creation is to
be ascertained [citing Re Hudson as agent for Fencray Pty Ltd and
Department of the Premier, Economic and Trade Development [1993] QICmr 4; (1993) 1 QAR 123
at p.134]. In the situation where matter has been prepared for a
single purpose, it is a relatively simple exercise to determine
whether that purpose qualifies for exemption under either section
36(1)(c)(ii)
or 37(1)(c)(ii). Matter may, however, have been prepared for more than one
purpose (including both qualifying and non-qualifying
purposes). The Act is
ambiguous to the extent that it does not specify the test which must be applied
in determining the eligibility
of matter for exemption in circumstance where it
has been prepared for both a qualifying and a non-qualifying purpose. At the
one
extreme, Parliament may have intended that matter will be exempt if at least
one of several purposes underlying its preparation is
a qualifying purpose (and
however incidental that purpose may be). At the other extreme, matter may only
have been intended by Parliament
to be exempt if it was prepared solely for a
qualifying purpose of purposes. In the case of ambiguity, the Act should be
construed
in the manner which furthers, rather than hinders, its objects. In
resolving this ambiguity, the promotion of free access to information
(section
5(1) of the Act) dictates that the narrower construction (i.e. the sole purpose
test) should be preferred [citing Victorian Public Service Board v Wright
(1986) 160 CLR 145; s.14A of the Acts Interpretation Act 1954
Qld]. Accordingly, for matter to be exempt under either provision, it
must have been prepared solely for a qualifying purpose or
purposes. 10. Secondly, the use of the phrase "... is proposed,
or has at any time been proposed ..." in sections 36(1)(c) and 37(1)(c) of the
Act imports a limitation upon the qualifying purposes thereby introduced. The
phrase does not connote the future tense.
Thus, matter which was prepared for
briefing or the use of a prescribed person in relation to a matter which may (or
even will)
at some future time be proposed to be submitted to Cabinet or
Executive Council by a Minister will not qualify for
exemption. ... 16. In summary, if the Respondent seeks
to invoke exemption under sections 36(1)(c)(ii) or 37(1)(c)(ii), it is not
enough for it to glibly assert the possibility that proceedings may be taken at
some future time under the Acquisition of Land Act 1967. The Department
must establish, by appropriate evidence, that the subject valuation was prepared
solely for briefing or use by a
prescribed person in relation to a matter that
either is or has been proposed for submission by a Minister to Cabinet or
Executive
Council. The mere possibility of such a proposal being made at some
future time cannot satisfy either section. At its highest,
the Respondent's
evidence suggests that the valuation may form part of the material to be used to
brief the Minister and the Governor
in Council if acquisition of the applicants'
land is to proceed either compulsorily or by agreement under the Acquisition
of Land Act 1967. These contingencies were, when the valuation was brought
into existence, and remain, nothing more than speculation.31. I
think there is considerable force in these submissions. Put at its highest, the
respondent's case depends on the proposition
that one of the purposes for which
the valuation report was prepared (remote and contingent though it must have
been) was for briefing
or use of the Governor, a Minister or a chief executive
in the event that the applicants' land had to be acquired under the
Acquisition of Land Act (though, as I have explained above, the evidence
falls short of establishing that proposition in any event). If the applicants'
first submission quoted above is correct, it affords a complete answer to that
proposition.32. I consider that the applicants are correct in asserting that
the words of s.36(1)(c) and s.37(1)(c) are ambiguous in their application to a
situation where the matter in issue has been prepared for more than one purpose,
including
one or more which is not a qualifying purpose according to the terms
of s.36(1)(c) or s.37(1)(c). (I note that precisely the same difficulty may
arise in the interpretation of s.36(1)(b) and s.37(1)(b).) I also accept that
it is correct in the context of freedom of information legislation to resolve
any such ambiguity in favour
of an interpretation which would further, rather
than hinder, free access to information: Victorian Public Service Board v
Wright [1986] HCA 16; (1986) 160 CLR 145 at p.153; Searle Australia Pty Ltd v Public
Interest Advocacy Centre and Anor [1992] FCA 241; (1992) 36 FCR 111 at p.115. (I note that
these cases were not referred to by the Victorian Administrative Appeals
Tribunal (M T McNamara, Presiding
Member) when coming to the opposite conclusion
on an essentially identical issue in Re Mildenhall and Department of Premier
and Cabinet (No. 1) (1995) 8 VAR 284 at p.290. I do not think
the Tribunal's reliance on Whitehouse v Carlton Hotel Pty Ltd (1987) 162
CLR 282, a case where the context was far removed from the interpretation of
ambiguous words in a statutory provision contained in remedial/beneficial
legislation, can be logically preferred to the principles I have stated in this
paragraph.)33. I have a significant reservation, however, as to whether
the ambiguity should be resolved in favour of the narrowest possible
interpretation (i.e. a 'sole purpose' test) or whether a less extreme
interpretation would be more appropriate given the nature of
the exemption
provisions in question. The application of a strict 'sole purpose' test may
produce unintended consequences: for example,
a document that was prepared for
the purpose of briefing a Minister, a chief executive, and a number of senior
officials of a Department
(on a matter submitted, or proposed by a Minister to
be submitted, to Cabinet or Executive Council) may not qualify for exemption
under s.36(1)(c) or s.37(1)(c) if a 'sole purpose' test were applied, because
the purpose of briefing senior officials other than the chief executive would
not be a qualifying purpose. 34. I consider that the test which is most
appropriate to the nature of these exemption provisions, one which places a
sensible limit
on the breadth of the class of documents eligible for exemption
while remaining consistent with the natural sense of the words chosen
by the
legislature, is a 'dominant purpose' test. I use the adjective "dominant" in
its primary sense (according to the Australian
Concise Oxford Dictionary) of
"ruling, prevailing, most influential", such that there can be only one of two
or more purposes for
the preparation of a document which is the dominant of
those purposes. In circumstances where there were multiple purposes for the
preparation of the matter in issue, not all of which are qualifying purposes
under s.36(1)(c) or s.37(1)(c), the application of those provisions would
require a finding on an ultimate question of fact, to be determined by an
objective
examination of the relevant primary facts and circumstances, as to
whether or not the dominant purpose for the preparation of the
matter in issue
was one of the qualifying purposes for exemption under s.36(1)(c) or s.37(1)(c).
Where a specific and direct purpose for the preparation of the matter in issue
can be identified from the relevant primary
facts and circumstances, that will
ordinarily be the most reliable indicator of the dominant purpose for which the
matter in issue
was prepared.35. Whether a 'sole purpose' test or a
'dominant purpose' test is applied in this case, the respondent's contention
that the matter
in issue is exempt under s.36(1)(c) or s.37(1)(c) must fail.
The matter in issue was certainly not prepared for the sole purpose of briefing
the Governor, or a Minister or
a chief executive, and the dominant purpose for
its preparation was that which I have stated in paragraph 29 above.36. I
also consider that the applicants' second submission quoted at paragraph 30
above is correct. The evidence does not establish
that there is a matter which
is now proposed, or has at any time been proposed, by a Minister to be submitted
to Cabinet or Executive
Council, and in relation to which the matter in issue
was prepared for briefing, or the use of, the Governor, or a Minister or a
chief executive. The respondent has lodged no evidence of a proposal by a
Minister to submit such a
matter to Cabinet or Executive Council. This is an
additional reason why the respondent's case for exemption under s.36(1)(c) or
s.37(1)(c) must fail.37. I note that there is a curious difference in
the positioning of the words "by a Minister" in the context of s.36(1)(c)(ii)
and s.37(1)(c)(ii) as compared to s.36(1)(b) and s.37(1)(b). In s.36(1)(b) and
s.37(1)(b), the words "by a Minister" immediately follow the verb "proposed",
making it clear that the relevant proposal for submission
of the matter in issue
to Cabinet or Executive Council must be a proposal by a Minister. In
s.36(1)(c)(ii) and s.37(1)(c)(ii), the words "by a Minister" do not immediately
follow the verb "proposed", which raises the question of whether the words
"by a
Minister" might have been intended to qualify the verb "submitted" rather than
the verb "proposed". In my opinion, that cannot
have been the legislature's
intention. If intended to qualify the verb "submitted", the words "by a
Minister" would be otiose, since
a matter can only be submitted to Cabinet or
Executive Council by a Minister. Moreover, Parliament cannot, in my opinion,
have intended
to create a 'class claim' for exemption capable of being triggered
by the simple expedient of an official, no matter how junior,
proposing that a
matter be submitted by a Minister to Cabinet or Executive Council, and preparing
documents for briefing, or the
use of, a chief executive in relation to the
matter. Such an interpretation would be inconsistent with, and allow the
potential
for widespread abuse of, the professed objects of the FOI Act,
especially those concerned with enhancing the accountability of government
and
government officials, and promoting informed public participation in the
processes of government (including policy development
processes). According to
s.14A of the Acts Interpretation Act 1954 Qld, in interpreting a
provision of an Act, the interpretation that will best achieve the purpose of
the Act is to be preferred to
any other interpretation. Applying that approach,
the words "by a Minister" must in my opinion be construed as qualifying the verb
"proposed" rather than the verb "submitted" in s.36(1)(c)(ii) and s.37(1)(c)(ii)
of the FOI Act. The same result would follow from
the application of the
interpretive principle referred to in paragraph 32 above.38. For the
foregoing reasons, I am satisfied that the matter in issue is not exempt matter
under s.36(1)(c) or s.37(1)(c) of the
FOI Act.Application of s.41
of the FOI Act39. The respondent also claims that the matter
remaining in issue is exempt matter under s.41 of the FOI Act, which (so far as
relevant
for present purposes) provides: 41.(1)
Matter is exempt matter if its disclosure--(a) would
disclose--(i) an opinion, advice or recommendation that has been
obtained, prepared or recorded; or(ii) a consultation or
deliberation that has taken place; in the course of, or for the
purposes of, the deliberative processes involved in the functions of government;
and(b) would, on balance, be contrary to the public
interest. (2) Matter is not exempt under
subsection (1) if it merely consists
of-- ...(b) factual or statistical matter;
or(c) expert opinion or analysis by a person recognised as an
expert in the field of knowledge to which the opinion or analysis
relates....40. A detailed analysis of s.41 of the FOI
Act can be found in Re Eccleston and Department of Family Services and
Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 at pp.66-72, where I
said:21. Thus, for matter in a document to fall
within s.41(1), there must be a positive answer to two
questions:(a) would disclosure of the
matter disclose any opinion, advice, or recommendation obtained, prepared or
recorded, or consultation
or deliberation that has taken place, (in either case)
in the course of, or for the purposes of, the deliberative processes involved
in
the functions of government;
and(b) would disclosure, on balance, be
contrary to the public interest?22. The
fact that a document falls within s.41(1)(a) (i.e. that it is a deliberative
process document) carries no presumption that
its disclosure would be contrary
to the public interest. ...41. I am satisfied that the
matter remaining in issue falls within the terms of s.41(1)(a) of the FOI Act.
Paragraph 12 of Mr Shine's
affidavit identifies the relevant deliberative
process involved in the functions of government as: "... negotiations with
the applicants as to the compensation payable [for acquisition of the
subject land], and ... determining whether or not agreement can be reached as
to the amount of compensation payable, or whether the matter should
be referred
to the Land Court."42. The respondent has submitted two main
arguments as to why disclosure of the matter remaining in issue would be
contrary to the
public interest. The first argument, in essence, overlaps the
respondent's contention, for the purposes of invoking s.49 of the
FOI Act, that
disclosure would prejudice the financial or property interests of the State. I
have therefore drawn on the respondent's
evidence and submissions relevant to
s.49 in order to fully expound what I understand to be the nature of its case in
this regard.
The following paragraphs of Mr Tooley's affidavit are
relevant:5. I say that there is a public interest in the
non-disclosure of deliberative process matters before the process of
deliberation
has been completed and the appropriate authority has decided upon
and agreed to the amount of compensation payable for the acquisition
of the land
required for the relevant public purpose.6. I say that public
interest is greater than, and prevails over, the private interest of the
applicants in this matter in seeking
to discover the details of the Department's
valuation.7. Further, or alternatively, I say that the disclosure
of the valuation would have a substantial adverse effect on the financial
or
property interests of the State within the meaning of Section 49 Freedom of
Information Act because of the negotiating advantage which the applicants
would enjoy vis-à-vis the State in a situation in which there has
been no
mutual exchange of valuations and supporting data.8. I say that
in my experience as a valuer for the State the longer an opponent has a
valuation in his or her possession the greater
the opportunity to subject that
valuation to detailed critical analysis, thereby gaining a significant advantage
at any subsequent
negotiation over the side which has not received a valuation
by way of exchange.9. I say, therefore, that the subject
valuation should be exempt from disclosure under Section 49 Freedom of
Information Act until the applicants are ready to make a mutual exchange of
valuations and/or supporting data after they have first retained a valuer
to
make a valuation on their behalf of the land to be acquired from
them.43. The respondent's written submission addressed this argument
as follows (at p.4):In applying the public interest it is submitted
that in the acquisition of land process, the Department, in the negotiating
process
is required to maximise the public benefit by acquiring the land for a
fair price and the property owner is similarly trying to maximise
his benefit.
A normal commercial practice is in effect. The valuation report is seen as the
Department's negotiating base and release
of the report without a mutual
exchange taking place would prejudice negotiations. In the event that the
quantum of compensation
payable is referred to the Land Court, for the
Department to release the valuation report to the property owner without a
mutual
exchange of documentation short circuits the natural process of
mutual exchange and results in an unfair bias in favour of the property
owner that would not be in the interest of procedural fairness. The Department
is then placed in a disadvantaged position when presenting its case in the Land
Court which would be contrary to the public interest.44. An
essentially similar point is made in a slightly different way in the
respondent's written submission on s.49 of the FOI Act:If there was
no mutual exchange of valuation reports and the Department divulged its
negotiating base i.e. its valuation report, the
Department would be at a
distinct disadvantage. Such action would enable the property owner to then
acquire a valuation which would
take into consideration the contents of the
Department's report. The property owner's valuation would not be independent
and would
invariably be considerably higher than the Department's valuation.
This unfair commercial practice could reasonably be expected
to have an adverse
effect on the negotiated price and therefore on the financial interest of the
State. Any increased price which
has resulted from biased negotiations would be
seen as substantial in the eyes of the taxpayers of Queensland. As the
Department
has published policies and procedures for the taking of land, the
premature release of the valuation report in question would be
setting a
precedent which could reasonably be expected to have a substantial
adverse effect on the financial interests of the State. Such an outcome would
not be in the public
interest ... .45. I do not think there is any
substantial merit in the respondent's arguments. They are reminiscent of the
arguments advanced by
the respondent in Murtagh v Federal Commissioner of
Taxation [1984] AATA 249; (1984) 54 ALR 313, where the Commonwealth equivalent of s.41 of the
FOI Act (s.36 of the Freedom of Information Act 1982 Cth) was invoked to
oppose the disclosure to the taxpayer of documents explaining the basis for a
taxation assessment that the taxpayer
had appealed to the Taxation Board of
Review. The arguments for the Commissioner of Taxation (set out at ALR pp.328)
included:... If the taxpayer were given access to the Commissioner's
working files, the taxpayer would know precisely what the Commissioner
knew and
also what the Commissioner did not have knowledge of.... This
would put the taxpayer in a far stronger position vis-à-vis the
Commissioner than the Commissioner vis-à-vis the
taxpayer.46. This line of argument by the Commissioner of Taxation
was convincingly dismissed by the Commonwealth Administrative Appeals Tribunal,
chaired by Davies J (President) (at p.329):We do not accept the
contention put forward that it is in the interests of the public that
negotiations between taxpayers and the
Australian Taxation Office should proceed
on inadequate knowledge. We abhor the contention that "mutual half-light"
should be "the
necessary pre-condition of negotiation and settlement". ... We
think it highly undesirable that, in a case such as the present,
both the
Australian Taxation Office and the taxpayer should not work together to
ascertain the relevant facts and to arrive at a
proper conclusion having regard
to the whole of the relevant facts. ... The process of ascertaining all
relevant facts is likely
to be enhanced if the taxpayer knows what are the facts
which the Australian Taxation Office has taken into account. In so far as
those
facts are not the full facts of the matter, the taxpayer may supplement them
with further information.In general, we do not think it desirable
that the taxation system should proceed upon the basis of negotiation in "mutual
half-light".
... we think an attempt should be made to arrive at the proper tax
which is payable. This can be achieved only if all relevant
facts are
ascertained. In our opinion, the granting of access to documents which show the
factual basis upon which officers of the
Australian Taxation Office have
proceeded is likely to advance this process.47. In my opinion,
similar considerations should apply with equal, if not greater, force to
processes by which an agency of government
takes the property of citizens for
public purposes. This is one of the most intrusive powers which a government is
able to exercise
against a citizen. Moreover, it is a fundamental principle of
Australia's system of law and government that, in the absence of exceptional
circumstances, the State ought not compulsorily acquire the property of a
citizen on other than just terms. In my opinion, the balance
of the public
interest lies in ensuring that the process of acquisition is as transparent as
possible for the affected citizen, who
should be permitted access to information
that would assist an assessment of whether fair compensation is paid for the
property acquired.48. I do not accept the respondent's argument (see
paragraphs 42-43 above, and paragraph 6 of Mr Tooley's affidavit) to the effect
that, as an agent for the wider public interest in attempting to acquire
property for public purposes, the greater public interest is served by
maximising its negotiating advantage
against a property-owner who is trying to
"maximise his benefit". It would, in my opinion, be short-sighted and erroneous
to suggest
that the public interest in saving public money would justify a
government agency in seeking to negotiate the acquisition of a citizen's
property on less than just terms. The greater public interest lies in
preserving the principle of public acquisition of private
property on just
terms. Any citizen may be affected by a government proposal to acquire private
property for public purposes. The
interest in fair treatment of citizens by
government in the course of acquisition processes is an interest which is common
to all
citizens and for their benefit.49. It is difficult to give any
substantial weight to the respondent's contentions that disclosure of its
valuation reports (other
than in the course of a mutual exchange of valuations
with a landowner whose property is targeted for acquisition) would give the
landowner a significant negotiating advantage through having the opportunity to
subject the respondent's valuation to detailed critical
analysis, and to obtain
a valuation report which took into consideration the contents of the
respondent's valuation report. I can
see no valid reason why a landowner whose
property is targeted for acquisition should not have the opportunity to subject
the respondent's
valuation report to detailed critical analysis. The object of
the exercise is, after all, to determine a fair amount of compensation
for
acquisition of the property. A landowner hoping to persuade the respondent that
it has undervalued the landowner's property
will have to convincingly attack the
assumptions, or evidence, or methodology on which the respondent's valuation
report is based,
with or without the assistance of another report from an
independent valuer. The respondent's professional valuers can be expected
to
defend and justify their assessments if they are satisfied they have not erred
in any material respect.50. Moreover, the respondent will ordinarily be
in the superior bargaining position by virtue of its ability to resort to
compulsory
acquisition if a sale cannot be achieved by negotiation. If the
respondent considers it is being subjected to undue delay by a meritless
attack
on its valuation report, it can invoke the machinery for acquisition under the
Acquisition of Land Act, whereupon the landowner's interest in the
relevant land is converted into a right to claim compensation under that Act.
The dispute
as to a figure which represents fair compensation would then be
resolved by the Land Court under a procedure whereby both parties
would be
forced to disclose the basis of, and justify, the valuations which they place on
the relevant property.51. I do not accept that early disclosure of the
respondent's valuation reports would involve procedural unfairness to the
respondent
in the event that an acquisition reached the stage of a contest in
the Land Court over fair compensation for the property acquired.
It is part of
the discipline of a professional valuer to explain and justify assessments made
in the exercise of professional judgment,
and to re-assess them if satisfied
(after taking into account assessments or criticisms by other professional
valuers) that an error
has occurred, or, for example, a logically preferable
alternative approach to the valuation should have been adopted. Nor do I accept
that the respondent would be disadvantaged in presenting its case to the Land
Court. The Land Court's procedures will allow the
respondent sufficient
opportunity to subject the landowner's valuation reports and expert evidence to
critical scrutiny. I doubt
that any real advantage to the landowner, through
having earlier access to the respondent's valuation reports and more time to
subject
them to critical scrutiny, would occur in most cases. I consider that
any procedural advantage that did occur would be minor, and
not such as to
attract the application of s.41(1) of the FOI Act. Any such advantage could, in
my opinion, only validly be claimed
to be contrary to the public interest if it
could be demonstrated that it was likely to result in the Land Court (with all
its expertise
in valuation matters) awarding more than fair compensation for
property acquired under the Acquisition of Land Act.52. The
respondent's arguments have not persuaded me that disclosure to the applicants
of the matter remaining in issue would be contrary
to the public interest. In
this regard, I note and endorse the views expressed by the Western Australian
Information Commissioner
in another case involving a dispute over access to
an agency's valuation reports by a landowner whose property was targeted for
resumption, Re Jones and Shire of Swan (Information Commissioner WA,
Decision Ref: D00694, 9 May 1994, unreported) at pp.8-9:... it is not
in the public interest that these negotiations be conducted in "mutual
half-light". If it is in the public interest,
and I consider that it is, that a
local authority acquiring a ratepayer's property should make every effort to
ensure that a price
that is both fair and equitable to the ratepayer and fair to
the ratepayers of the shire is paid to the ratepayer for his or her
land, then -
in my view - there is no damage to the public interest in disclosing to the
ratepayer valuations of the property that
have been obtained by the local
authority in the course of that process.The agency has a
considerable power to compulsorily resume a ratepayer's land. In my opinion, it
is in the public interest that where
negotiations have been undertaken by the
agency for the voluntary acquisition of such land the agency is seen to act
fairly in its
dealings with ratepayers. Voluntary acquisition ought to be seen
as a fair alternative to compulsory resumption proceedings and,
in my opinion,
it is in the public interest that the ratepayer in this instance be provided
with access to the valuation reports
in order to assist him to assess the basis
upon which the agency's offer has been made and the fairness of that offer.
Disclosure
may facilitate the process of reaching agreement upon a fair market
value for the property. In my view, that public interest outweighs
the public
interest , if indeed there is any, in the agency making a profit or "getting the
best deal" in this matter. The public
interest in acting fairly in the
interests of the ratepayers of the shire as a whole is not incompatible with the
public interest
in acting fairly in the interests of this individual
ratepayer.53. The second of the respondent's arguments as to why
disclosure of the matter remaining in issue would be contrary to the public
interest is contained in the following paragraphs of Mr Tooley's
affidavit:10. Further, or alternatively, I say that I am a Member of
the Valuers Registration Board pursuant to the Valuers Registration Act
1992, and in that capacity I am concerned to ensure that the provisions of
the Act and the Regulation are carried into effect. Section
6(1) of the
Valuers Registration Regulation 1992 provides as
follows:"6.(1) A registered valuer must not disclose or make use of
a valuation made for a client.(2) Subsection (1) does not apply if
-(a) the client gives the valuer written permission to disclose the
details of the valuation; or(b) the valuer is required by law to
disclose the details."11. I believe that the aforesaid section 6
applies to registered valuers employed in the Department of Lands in their
carrying out
valuations pursuant to section 74 of the Valuation of Land Act
1994, and in particular the subject valuation.12. It is of extreme
concern to the Department of Lands that under the provisions of the Freedom
of Information Act 1992, it finds itself in the position of having to provide
information directly to a third party without the client's consent. This
requirement
is not placed on private sector operators. It clearly puts at risk
client - service provider relationships and severely limits the
Department's
ability to be retained for valuation activities of this type. 1t further
jeopardises the Department's ability to generate
revenue.54. This
evidence from Mr Tooley appears to be directed to the public interest test, in
that it is being suggested that disclosure
of the valuation report under the FOI
Act would be against the public interest because such a disclosure would amount
to a breach
of a statutory duty of confidence owed by a registered valuer to a
client. (I note that no claim for exemption has been made under
s.46(1) of the
FOI Act (matter communicated in confidence), nor could it be, given the terms of
s.46(2) and the fact that the matter
in issue is matter of a kind mentioned in
s.41(1)(a) and was communicated between persons in the capacity of officers of
an agency:
see Re "B" and Brisbane North Regional Health Authority [1994] QICmr 1; (1994)
1 QAR 279 at p.292, paragraphs 35-36).55. The contention evident in Mr
Tooley's affidavit is, however, untenable for two reasons. First, for reasons
explained in Re Cairns Port Authority and Department of Lands [1994] QICmr 17; (1994) 1
QAR 663 at pp.731-732 (paragraphs 175-180), I consider that s.6 of the
Valuers Registration Regulation does not apply to valuers employed as
officers of the respondent Department, when carrying out their duties of office.
Secondly,
even if that provision did apply to copies of the valuation report in
issue that are held by valuers within the Land Valuations division
of the
respondent Department, copies are also held within the Acquisitions Section of
the Land Use Program of the respondent Department,
where they are held in that
Section's capacity as client (or perhaps as agent for another Department as
client) of the valuer who
prepared the report. A client in possession of a
valuation report prepared for the client's purposes ordinarily owes no duty of
confidence in respect of the report: see Re Hopkins and Department of
Transport (Information Commissioner Qld, Decision No. 95028, 28 November
1995, unreported) at paragraphs 32-46. Even if the respondent (or
its client
Department) had in this case engaged a private valuer, the resulting valuation
report would still be subject to the FOI
Act in the hands of the respondent (or
its client Department). I do not think there is any real substance in the
concerns expressed
in paragraph 12 of Mr Tooley's affidavit. I consider that
the contention raised in the above-quoted paragraphs of Mr Tooley's affidavit
is
not one deserving of any substantial weight in the application of s.41(1)(b) of
the FOI Act.56. Before leaving s.41, I should note that most, if not
all, of the matter remaining in issue is excluded from eligibility for exemption
under s.41(1) of the FOI Act by virtue of s.41(2)(c), because it merely consists
of expert opinion or analysis by expert valuers
(for the reasons explained in
Re Cairns Port Authority at p.687, paragraphs 48-49). The respondent's
written submission (at p.3) asserted (rather briefly, and without any supporting
detail)
that the matter in issue included advice and recommendations which were
to be distinguished from "expert opinion or analysis". I
think that such a
distinction could frequently be difficult to draw, and that in many
circumstances an expert's advice or recommendations
would legitimately be
regarded as encompassed within the phrase "expert opinion or analysis". In this
case, the respondent has not
sought to identify that matter which it asserts is
advice or recommendation, and is distinguishable from expert opinion or
analysis,
so I have no basis upon which to address the merits of the issue in
the instant case.57. That issue is purely academic in any event, since I
have considered on their merits the respondent's arguments in respect of the
public interest balancing test contained in s.41(1)(b), and for the foregoing
reasons, I am satisfied that disclosure to the applicants
of the matter
remaining in issue would not be contrary to the public interest, and hence
that it is not exempt matter under s.41(1) of the FOI
Act.Application of s.49 of the FOI Act58. Section
49 of the FOI Act provides: 49. Matter is exempt
matter if its disclosure could reasonably be expected to have a substantial
adverse effect on the financial or
property interests of the State or an agency
unless its disclosure would, on balance, be in the public
interest.59. The correct approach to the application of the phrase
"could reasonably be expected to" is explained in Re "B" at pp.334-341,
paragraphs 154-160. Those words call for the decision-maker to discriminate
between unreasonable expectations and
reasonable expectations, between what is
merely possible (e.g. merely speculative/conjectural "expectations") and
expectations which
are reasonably based, i.e., expectations for the occurrence
of which real and substantial grounds exist.60. For the reasons
explained in Re Cairns Port Authority at pp.724-725 (paragraphs 147-150),
I consider that the legislature must have intended the adjective "substantial"
in the phrase
"substantial adverse effect" to be used in the sense of grave,
weighty, significant or serious.61. The respondent's contentions on the
application of s.49 are set out at paragraphs 42 and 44 above. I do not think
these contentions
have any substance, in the absence of evidence that would
afford a reasonable basis for an expectation that disclosure of the matter
in
issue would result in the respondent paying more than fair compensation for the
acquisition of the applicants' land. Having regard
to the considerations to
which I have referred at paragraphs 49-51 above, I am not satisfied that there
are real and substantial
grounds for expecting that disclosure of the matter
remaining in issue would have any adverse effect on the financial or property
interests of the State, and certainly not a substantial adverse
effect.62. In any event, considerations of the kind referred to at
paragraphs 47, 48 and 52 above, would, in my view, warrant a finding that
disclosure to the applicants of the matter in issue would, on balance, be in the
public interest.Conclusion63. For the foregoing
reasons, I set aside the decision under review, and in substitution for it, I
find that the applicants have
a right to be given access under the FOI Act to
the matter in
issue...............................................................F
N ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | L52 and Queensland Police Service [2020] QICmr 69 (24 November 2020) |
L52 and Queensland Police Service [2020] QICmr 69 (24 November 2020)
Last Updated: 25 March 2021
Decision and Reasons for Decision
Citation:
L52 and Queensland Police Service [2020] QICmr 69 (24 November
2020)
Application Number:
315281
Applicant:
L52
Respondent:
Queensland Police Service
Decision Date:
24 November 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS -
CONTRARY TO PUBLIC INTEREST INFORMATION - applicant seeks incident
report
involving former partner - prejudice flow of information to agency - protection
of an individual's right to privacy - personal
information - whether disclosure
would, on balance, be contrary to public interest - section 67(1) of the
Information Privacy Act 2009 (Qld) and sections 47(3)(b) and 49 of the
Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Queensland
Police Service (QPS) under the Information Privacy Act 2009 (Qld)
(IP Act) for access to an incident report involving the applicant and his
former de facto partner, for use in court proceedings in an overseas
jurisdiction.
QPS
located 1 page and decided[2] to
refuse access to parts of the page on the ground that disclosure would, on
balance, be contrary to the public interest.
The
applicant applied[3] to the Office of
the Information Commissioner (OIC) for external review of QPS’s
decision refusing access.
For
the reasons set out below, I affirm QPS’s decision and find that access to
the information in issue may be refused on the
ground that disclosure would, on
balance, be contrary to public interest.
Background
Significant
procedural steps taken in the external review are set out in the
Appendix.
Reviewable decision
The
decision under review is QPS’s decision dated 19 March
2020.
Evidence considered
In
reaching my decision, I have had regard to the submissions, evidence,
legislation, and other material referred to throughout these
reasons (including
footnotes and Appendix).
8. I have also
had regard to the Human Rights Act 2019 (Qld) (HR
Act),[4] particularly the right to
seek and receive information.[5] I
consider a decision-maker will be ‘respecting and acting compatibly
with’ that right and others prescribed in the HR Act, when applying
the law prescribed in the IP Act and the Right to Information Act 2009
(Qld) (RTI Act).[6] I have
acted in this way in making this decision, in accordance with section 58(1) of
the HR Act. I also note the observations made
by Bell J on the interaction
between equivalent pieces of Victorian
legislation[7]: ‘it is
perfectly compatible with the scope of that positive right in the Charter for it
to be observed by reference to the scheme of,
and principles in, the Freedom
of Information
Act.’[8]
Information in issue
The
information in issue is parts of a one page document entitled “Street
Check Summary” (Information in Issue) and can be described as
the personal information of the applicant’s former de facto
partner.
Issue for determination
The
issue to be determined is whether access to the Information in Issue may be
refused on the ground that disclosure would, on balance,
be contrary to the
public interest.
Relevant law
Under
the IP Act, a person has a right to be given access to documents of an agency to
the extent they contain the individual’s
personal
information.[9] However, this right
is subject to other provisions of the IP Act and the RTI Act including the
grounds on which an agency or Minister
may refuse access to
documents.[10]
Access
may be refused to information where its disclosure would, on balance, be
contrary to the public interest.[11]
The term public interest refers to considerations affecting the good order and
functioning of the community and government affairs
for the well-being of
citizens. This means that, in general, a public interest consideration is one
which is common to all members
of, or a substantial segment of the community, as
distinct from matters that concern purely private or personal
interests.[12]
In
assessing whether disclosure of information would, on balance, be contrary to
the public interest, a decision maker
must:[13]
identify factors
irrelevant to the public interest and disregard them
identify factors
in favour of disclosure of information
identify factors
in favour of nondisclosure of information; and
decide whether,
on balance, disclosure of the information would be contrary to the public
interest.
Additionally,
I have kept in mind the pro-disclosure
bias[14] of the RTI Act and
Parliament’s requirement that grounds for refusing access to information
be interpreted narrowly.[15]
Findings
Irrelevant factors
I
have not taken any irrelevant factors into account in reaching my
decision.
Factors favouring disclosure
QPS
must be transparent and accountable in how it deals with members of the public
(Transparency and Accountability Public Interest
Factors).[16] The Information in
Issue comprises the personal information of another individual/s appearing in
the context of QPS officers responding
to and dealing with a request for
assistance involving the applicant and his former de facto partner. I accept
that disclosing this
information would advance the Transparency and
Accountability Public Interest factors to some degree. However, I do not
consider
that the disclosure of the Information in Issue would advance
QPS’s accountability and transparency in any significant way,
particularly
given the applicant has been provided with all of the information that is solely
his personal information and which
details his interactions with the QPS
officers. I am satisfied that the information which has been disclosed to
the applicant provides sufficient information to further his understanding of
how QPS handled the request for assistance,
thereby substantially reducing the
weight to be afforded to these factors. Accordingly, I afford these two factors
favouring disclosure
low weight.
The
applicant
submitted:[17]
The two parties to the Incident that [the
applicant seeks] a full release of information is and [the
applicant’s former de facto partner].
[The former de facto partner] and [the applicant] had, up to September
of last year been in a 9 year long Defacto relationship, Living together both in
[another country] and Australia.
Since September 2019 [the former de facto partner] and [the
applicant] separated for the reason detailed in the incident
report...
The Family Court of the [other country] is presently in the process of
hearing evidence to separate [their] common property, and a final
separation of assets.
Having the un-redacted report is [an] important piece of information
that [the applicant needs] to submit as relevant evidence. The redacted
report is like any piece of half
evidence...useless.
The
applicant further
submitted:[18]
[He is] aware the different jurisdictions might be a
problem but [he is] again hoping common sense prevails and hopefully it
won’t be necessary to request the [Family Court of the other country]
provide a subpoena to request the document as [he knows] this will be
time consuming and delaying when in essence common sense should
prevail...
And:[19]
The foreign jurisdiction is obviously far different
to our own .. to ask the family court in Australia for a Subpoena to release the
report [...] is a simple matter .. the
[Family Court of the
other country] will not issue a subpoena requiring the release of information
for many legal reasons beyond [the applicant’s] grasp of their laws
. so all [the applicant] can do is ask [OIC] for common sense and
common law to prevail .. and give [him] access to a document that both
parties instigated [sic]
The
applicant also submitted that the Street Check Summary is a
‘substantive part of [his]
affidavit’.[20]
Given
these submissions, I have considered whether disclosing the Information in Issue
could reasonably be expected to contribute
to the administration of justice
generally, including procedural fairness,
[21] or to the administration of justice
for a person, namely the
applicant.[22]
Procedural
fairness, or natural justice, refers to the common law requirement to act fairly
in the making of administrative decisions
which affect a person’s rights,
interests or legitimate expectations. The fundamental requirements of
procedural fairness—that
is, an unbiased decision-maker and a fair
hearing—should be afforded to a person who is the subject of a
decision. The fair
hearing aspect of procedural fairness requires
that, before a decision that will deprive a person of some right, interest or
legitimate
expectation is made, the person is entitled to know the case against
them and to be given the opportunity of replying to
it.[23] Accordingly, the person
must be provided with adequate information about material that is credible,
relevant and significant to the
adverse finding to be made, so that the person
can be given the opportunity to make effective representations to the
decision-maker.[24]
My understanding is that the applicant believes that
disclosure of the Information in Issue will afford him the opportunity to make
effective representations in the Family Court proceedings which have already
been commenced in the other country. I have carefully
examined the Information
in Issue and the information within the Street Check Summary which has been
released to the applicant by
QPS. I consider that disclosure of the Information
in Issue would not assist the applicant in any significant way in such
proceedings
nor afford the applicant procedural fairness because, broadly
speaking, it details the state and feelings of the former de facto
partner of
the applicant that carry with them no criminality or illegality and the
information already released to the applicant
demonstrates that QPS were of the
view that no action was warranted.
Additionally,
I note that in proceedings such as those in which the applicant is involved in
the other country, disclosure or discovery
processes appear to be available to
him, as acknowledged in his submission set out at paragraphs 18 and 19 above. I also note that Division 4 of
Chapter 4 of the Uniform Civil Procedure Rules
1999 (Qld) provides a mechanism by which foreign legal process can be served
in Queensland. While I acknowledge the applicant’s
submissions, that the
subpoena process may be ‘time consuming’ and
‘beyond [the applicant’s] grasp’, I note that he
has advised OIC that he has a legal representative acting on his
behalf[25]n those proceedings.25
Given the availability of these disclosure mechanisms, his legal representation,
and also noting that ‘[t]he RTI Act was not ... designed to
serve as an adjunct to c[26]rt
processes’,26 I conclude that disclosure of the
Information in Issue could not reasonably be expected to contribute to the
administration of justice
generally.
Accordingly,
I consider that the factor favouring disclosure relating to the administration
of justice generally, including procedural
fairness, does not apply in these
circumstances.
In
some circumstances, information can be accessed under the RTI Act for litigation
purposes,[27] but only if the
administration of justice for a person factor is sufficient to outweigh other
public interest considerations, such
as privacy. This is generally limited
to circumstances where disclosure of the information sought ‘would
assist [an applicant] to pursue [a] remedy, or to evaluate whether
a remedy is available, or worth
pursuing’.[28] Usually,
such consideration precedes any pursuit of a legal remedy. Here, however, the
applicant has advised that he is currently
involved in proceedings, knows his
cause of action, and is pursuing a remedy. What he seeks is an unredacted copy
of the Street
Check Summary for evidentiary purposes. Given this, I
consider disclosure of the Information in Issue could not reasonably be expected
to contribute to the administration of justice in the sense contemplated in
Willsford in relation to the proceedings which have already been
commenced in a substantive way.[29]
Additionally, I note the existence of court discovery processes outlined at
paragraph 23 above and the fact that the RTI Act was
not designed to be an
adjunct to such processes. Accordingly, while I consider that the factor
favouring disclosure relating to
the administration of justice for the applicant
applies in these circumstances, I consider that it has low
weight.
Based
on the above, I consider that the factor favouring disclosure relating to the
administration of justice generally, including
procedural fairness does not
apply in the circumstances of this matter. While I consider the disclosure of
the information in issue
could reasonably be expected to contribute to the
administration of justice specifically for the applicant, I afford the factor
low
weight because disclosure of the Information in Issue would not assist the
applicant in any significant way in the proceedings in
which he is involved and
there are mechanisms in place which would allow the applicant to access
information of this type within
those proceedings. Accordingly, I afford the
factor favouring disclosure relating to the administration of justice for the
applicant
low weight.
Factors favouring nondisclosure
The
RTI Act recognises that disclosing an individual’s personal
information to someone else can reasonably be expected to cause
a public
interest harm[30] and that a further
factor favouring nondisclosure arises if disclosing information could reasonably
be expected to prejudice the
protection of an individual’s right to
privacy.[31]
While
the Information in Issue appears in a Street Check Summary about the applicant,
it is itself solely comprised of the personal
information of another
individual/s which, broadly, includes personal contact details relating to an
attendance at a Police Station.
Given the nature of the personal information, I
am satisfied that the extent of the public interest harm that could be
anticipated
from disclosure is significant.
Additionally,
I consider that disclosure would disclose private details about the
individual/s, resulting in an intrusion into their
private life or
‘personal sphere’, thus giving rise to a reasonable expectation of
prejudice to the protection of the
individuals’ right to privacy.
Accordingly, I am satisfied that the privacy public interest factor favouring
nondisclosure
applies and carries significant weight.
Accordingly,
I afford the personal information harm factor and the privacy factor,
significant weight.
Balancing factors
I
have considered the pro-disclosure bias in deciding access to
information.[32] On balance, I
consider the nondisclosure factors outweigh the disclosure factors in relation
to the Information in Issue. Accordingly,
I find that access to the Information
in Issue may be refused on the ground that its disclosure would, on balance, be
contrary to
the public interest.DECISION
I
affirm QPS’s decision by finding that disclosure of parts of 1 page would,
on balance, be contrary to the public interest
under section 47(3)(b) of the RTI
Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.Assistant
Information Commissioner CorbyDate: 24 November 2020
APPENDIX
Significant procedural steps
Date
Event
19 March 2020
OIC received the applicant’s application for external review.
26 March 2020
OIC notified QPS and the applicant that the application for external review
had been received and requested procedural documents from
QPS.
30 March 2020
OIC received the procedural documents from QPS.
7 April 2020
OIC notified QPS and the applicant that the external review application had
been accepted and requested a copy of the document located
from QPS.
15 April 2020
OIC received a copy of the document located from QPS.
21 May 2020
OIC received an emailed submission from the applicant.
23 June 2020
OIC received an emailed submission from the applicant.
30 June 2020
OIC conveyed a preliminary view to the applicant.
OIC received an emailed submission from the applicant.
2 July 2020
OIC received an emailed submission and an oral submission from the
applicant.
24 July 2020
OIC wrote to the applicant confirming the preliminary view.
25 July 2020
OIC received an emailed submission from the applicant.
28 July 2020
OIC received an oral submission from the applicant.
16 October 2020
OIC received an emailed submission from the applicant.
[1] Access application dated 4
February 2020.[2] Decision dated
19 March 2020.[3] External review
application dated 19 March
2020.[4] The HR Act came into
force on 1 January 2020.[5]
Section 21 of the HR Act. [6]
XYZ v Victoria Police (General) [2010] VCAT 255 (16 March 2010)
(XYZ) at [573]; Horrocks v Department of Justice
(General) [2012] VCAT 241 (2 March 2012) at
[111].[7] Freedom of
Information Act 1982 (Vic) and the Charter of Human Rights and
Responsibilities Act 2006 (Vic).
[8] XYZ at
[573].[9] Section 40 of the IP
Act.[10] Section 67(1) of the IP
Act provides that an agency may refuse access to a document in the same way and
to the same extent it could
refuse access to the document under section 47 of
the RTI Act were the document to be the subject of an access application under
the RTI Act.[11] Section 67(1)
of the IP Act and section 47(3)(b) and 49 of the RTI Act.
[12] However, there are some
recognised public interest considerations that may apply for the benefit of an
individual.[13] Section 49(3) of
the RTI Act. [14] Section
44 of the RTI Act.[15] Section
47(2) of the RTI Act.[16]
Schedule 4, part 2, items 1 and 3 of the RTI Act.
[17] Email to OIC seeking
external review dated 19 March
2020.[18] Submission to OIC
dated 30 June 2020.[19]
Submission to OIC dated 16 October
2020.[20] Submission to OIC
dated 23 June 2020.[21] Schedule
4, part 2, item 16 of the RTI
Act.[22] Schedule 4, part 2,
item 17 of the RTI Act.[23]
Kioa v West [1985] HCA 81; (1985) 159 CLR 550 (Kioa) at 584 per Mason
J.[24] Kioa at 629
per Brennan J.[25] Submission to
OIC dated 30 June 2020.[26]
Phyland and Department of Police (Unreported, Queensland Information
Commissioner, 31 August 2011) at
[24].[27] A public interest
factor favouring disclosure arises where disclosure could contribute to the
administration of justice for an individual
(schedule 4, part 2, item 17). A
relevant public interest consideration was also identified and analysed by the
Information Commissioner
in Willsford and Brisbane City Council
[1996] QICmr 17; (1996) 3 QAR 368 (Willsford) at [17].
[28] Willsford at
[17](c).[29] Willsford at
[17](c).[30] Schedule 4, part 4,
section 6(1) of the RTI Act.
[31] Schedule 4, part 3, item 3
of the RTI Act. [32] Section 44
of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Sandy and Brisbane City Council [2009] QICmr 47 (18 September 2009) |
Sandy and Brisbane City Council [2009] QICmr 47 (18 September 2009)
Office of the Information Commissioner
(Qld) Decision and Reasons for
Decision Application Number:
210797
Applicant:
A Sandy
Respondent:
Brisbane City Council
Decision
Date:
18 September 2009
Catchwords:
FREEDOM OF INFORMATION – section 46(1)(a) of the Freedom of Information
Act 1992 (Qld) – matter communicated in confidence – whether
section 46(2) applies - section 41(1) of the Freedom of Information Act
1992 (Qld) - matter relating to deliberative process – whether
disclosure would, on balance, be contrary to the public
interest
Contents
REASONS FOR DECISION
Summary
1. I
set aside the decision under review and find that the matter in issue is not
exempt from disclosure under section
46(1)(a) of the Freedom of Information
Act 1992 (Qld) (FOI Act) or section 41(1) of the FOI Act.
Background
2. By
letter dated 5 November 2008 (FOI Application), the applicant applied to
Brisbane City Council (Council) for access to:
Documents or reports since January 1, 2007 relating to the parity factor
concerning CTS units.
3. In
its original decision dated 12 January 2009, Council refused access to relevant
documents under section 46(1)(a)
of the FOI Act (Original
Decision).
4. By
letter dated 29 January 2009, the applicant applied for internal review and made
submissions in support of her application
(Internal Review
Application).
5. By
letter dated 26 February 2009 Mr David Askern, Chief Legal Counsel, affirmed
Council’s Original Decision (Internal Review
Decision).
6. By
letter dated 3 March 2009, the applicant applied under Part 5 of the FOI Act for
external review of the Internal
Review Decision.
Decision under review
7.
The decision under review is Council’s Internal Review
Decision.
Steps taken in the external review process
8. By
letters dated 12 and 13 March 2009, this Office notified the parties that the
external review application had been
accepted.
9. By
letter dated 20 March 2009, Council provided copies of the documents relevant to
this review.
10. By letter dated 1 April
2009, this Office asked Council to:
• perform further
searches for documents responding to the applicant’s FOI Application;
and
• provide further
submissions in support of its claim for exemption under section 46(1)(a) of the
FOI Act by 15 April
2009.
11. In a telephone
conversation on 16 April 2009, Mr Wesener of Council advised this Office that:
• the file had been passed on to Mr
Askern
• it was likely that Council would
request an extension of time in which to respond this Office’s letter of 1
April
2009.
12. By letter dated 21 April
2009, Council requested a meeting in which to make submissions about the Lord
Mayor’s Expenditure
Review Committee (LMERC) and Council’s
exemption claims.
13. On 20 May 2009, Mr
Wesener, Mr Askern and Mr Nick Shaw (Council’s Financial Performance
Manager) participated in
a teleconference with Ms Henry and Ms Banks of this
Office to discuss the documents in issue, the LMERC process and the exemptions
claimed by Council over relevant material.
14. By letter dated 24 June
2009, this Office advised Council:
• of the preliminary
view that apart from information which identified property
owners[1], the
documents in issue were not exempt from disclosure under sections 46(1)(a) or
41(1) of the FOI Act
• that unless this
Office heard from Council by 8 July 2009, it would proceed on the basis that
Council accepted the
preliminary view.
15. On 14 July 2009, a staff
member of this Office telephoned Council and left a message with Mr
Askern’s office for
him to call this Office regarding the external
review.
16. By letter dated 15 July
2009, this Office advised Council that given that no response had been received
to the letter
of 24 June 2009, it assumed that Council accepted the preliminary
view and the file had been closed in accordance with the matters
set out on the
final page of the preliminary view letter dated 24 June 2009 which explained
that this would be the consequence if
no response was received from
Council.
17. By email dated 16 July
2009, Council requested that the external review file be re-opened and an
extension of time until
31 July 2009 be granted for Council to make submissions
in response to the preliminary view dated 24 June 2009.
18. By letter dated 22 July
2009, this Office asked Council to provide submissions by 31 July 2009
addressing:
• Council’s
reasons for delay in responding to the preliminary view letter;
• any prejudice which
would be suffered by Council should the extension of time not be granted;
and
• the merits of
Council’s claim for exemption under sections 46(1)(a) and 41(1) of the FOI
Act.
19. By email dated 31 July
2009, Council advised that:
“... Council would appreciate an extension of time in which to
make our submission in support of our original request for an extension
of time
to make submissions against your Office’s preliminary view on this matter.
“
20. By letter dated 31 July
2009, the Information Commissioner advised Council that Council’s request
for a further
extension of time was declined and set out the reasons for that
decision.
21. By letter dated 4 August
2009 (received on 5 August 2009), Ms Sarah Zeljko, Council’s Acting Chief
Legal Counsel
provided submissions regarding the merits of Council’s
claims for exemption and suggested that a meeting be held with Mr Askern
upon
his return from leave in the week starting 11 August 2009 to “discuss
any questions or concerns [this Office] may have regarding
[Council’s submissions]”.
22. By letter to Council
dated 2 September 2009, this Office confirmed that no further extension
of time would be granted.
23. In a telephone
conversation with a staff member of this Office on 16 September 2009, the
applicant asked this Office to
issue a formal decision.
Matter in issue
24. The matter remaining in
issue in this review can be described as:
LMERC
Minutes
LMERC Minutes
Registers
Powerpoint
presentation – Review of Rating Methodology for Community Title Schemes
(2008-2009 Budget)
Powerpoint
presentations – Rates and Charges (2008-09
Budget)•
Examples showing rates on properties from realestate.com and other CTS
developments
CTS Rating
Methodology Review - Impacts on CTS Differential Categories
CTS Impact
reports
Powerpoint
presentation – Review of the Rating of Community Title Schemes (2009-2010
Budget)
General Rate
Distribution Charts from 2008-09 to 2009-10 for each ‘Option’
presented for 2009-10 budget
Graphs showing
2008-09 Average Annual General Rates for each ‘Option’ presented for
2009-10 budget
Powerpoint
presentations – CTS Rating Remission (2008-09)
Remission Impact
Reports
Rates Parity
Comparisons
Parity examples
– single properties (Matter in Issue).
25. I note that as the
‘Decision of the Brisbane City Council’ dated 9 December 2008
postdates the FOI application,
it falls outside the scope of the review and does
not form part of this decision.
26. I also note that as
Council did not object to the part of the preliminary view dealing with
information found to be exempt
under section 44(1) of the FOI Act (comprising
information which could identify property owners) and the applicant accepts this
point,
this information is no longer in issue in this review and does not form
part of this decision.
Findings
Section
46(1) of the FOI Act
27. Section 46(1)(a) provides
as follows:
46
Matter communicated in confidence
(1) Matter is exempt if -
(a) its disclosure would found an action for breach of confidence;
or
...
28. Section 46(1)(a) of the
FOI Act protects information which a court would order an agency to keep
confidential on the basis
that the agency was bound to comply with an equitable
or contractual obligation of confidence.
29. However, prior to
examining 46(1)(a) matters, it is necessary to determine whether section 46(2)
of the FOI Act applies.
Section 46(2) of
the FOI Act
30. Under section 46(2) of
the FOI Act, if the relevant information consists of deliberative process
matter,[2] it will not qualify for
exemption under section 46(1)(a) of the FOI
Act.
31. Section 46(2) of the FOI
Act provides:
...
(2) Subsection (1) does not apply to matter
of a kind mentioned in section 41(1)(a) unless it consists of information
communicated
by a person or body other than—
(a) a person in the capacity
of—
(i) a Minister; or
(ii) a member of the staff of, or a
consultant to, a Minister; or
(iii) an officer of an agency; or
(b) the State or an
agency.
32. Section 41(1)(a) of the
FOI Act provides:
41
Matter relating to deliberative processes
(1) Matter is exempt if its disclosure -
(a) would disclose –
(i) an opinion, advice or
recommendation that has been obtained, prepared or recorded; or
(ii) a consultation or deliberation that has
taken place;
(III) in the course of, or for the purposes of,
the deliberative processes involved
in the functions of government; and
...
33. The effect of section
46(2) of the FOI Act is that matter relating to the ‘deliberative
processes’ of government
cannot be exempt under section 46(1) of the FOI
Act unless its disclosure would found an action for breach of a confidence owed
to
a person or body other than the State of Queensland, an agency or
relevant official. This means that intra-agency and inter-agency
communications of deliberative
process matter cannot qualify for exemption under
section 46(1) of the FOI Act.
34. As noted by the
Information Commissioner in Cairns Port Authority and Department of Lands
(1994) 1 QAR 663[3] one of the purposes
of section 46(2) of the FOI Act is to:
... prevent the possibility of agencies attempting to circumvent the
public interest component of the test for exemption of deliberative
process
matter under s.41(1), by purporting to attach obligations of confidence to
intra-agency and inter-agency communications of
deliberative process matter, in
the hope of attracting exemption under s.46(1).
Council’s submissions
35. Council submits that:[4]
• section 46(2) of the
FOI Act does not apply to the Matter in Issue as LMERC is not an agency for the
purposes of the
FOI Act; and
• the Matter in issue
is not matter of a kind mentioned in 41(1)(a) of the FOI Act, that is,
deliberative process matter.
Analysis – is LMERC an ‘agency’ for purposes
of the FOI Act
36. Council submits that
LMERC is similar in function to the Executive Council and Expenditure Review
Committee of the State
Government.
37. While this may be the
case, LMERC’s similarity to the Executive Council or Expenditure Review
Committee does not
advance Council’s argument that LMERC is not a relevant
body comprised within an agency for the purposes of the FOI Act.
38. In this respect, I note
that:
• the Executive Council and
Expenditure Review Committee are clearly subject to the FOI Act
• the fact that Parliament has
included certain exemption provisions specifically relating to documents
submitted to Executive
Council and Cabinet supports this conclusion
• the fact that there are no
exemption provisions under the FOI Act which specifically relate to the
comparative functions
of Council does not mean that its committees are not
subject to the application of the FOI Act.
39. I also refer to section 8
of the FOI Act which provides:
8 Meaning of
agency
(1) In this Act –
agency
means a department, local government or public authority.
(2) For this Act –
(a) a board council, committee, subcommittee or
other body established
by government to help, or to perform functions connected with, an agency
is not a separate agency, but is taken to be comprised within
the agency;
and
(b) a reference to an agency
includes a reference to a body that is taken
to be comprised within an agency.
40. On the basis of the
matters set out above, I am satisfied that:
• LMERC is a committee
established by the Lord Mayor to perform functions connected with Council
• LMERC is taken to be
comprised within Council
• a reference in the
FOI Act to an agency (in this case Council) includes a reference to a body that
is taken to be
comprised within an agency.
41. Accordingly, on the basis
of the matters set out above, LMERC falls within the definition of an agency for
the purposes
of the FOI Act.
Analysis – is it deliberative process
matter
42. In summary, Council
submits that:
• the Matter in Issue is not matter
of a kind mentioned in 41(1)(a) of the FOI Act (that is, that the Matter in
Issue
does not form part of the deliberative processes of government)
• the Matter in Issue comprises
documents which:
o are part of an
investigatory mechanism set up to present options to the Lord Mayor for
inclusion in his budget
o simply reveal
information about performance and requirements of Council (and do not reveal any
information about the deliberative
process of the Lord Mayor or Council)
• section 41(1) of the FOI Act
applies only to protect documents that record the process of deliberation
• section 41(1) of the FOI Act does
not protect documents containing expert opinion or analysis.
Expert opinion or analysis
43. I agree that section
41(1)(2)(c) contains an exception which excludes expert opinion or analysis by a
person recognised
as an expert in the field of knowledge to which the opinion or
analysis relates.
44. In Cairns Port
Authority and Department of Lands [1994] QICmr 17; (1994) 1 QAR 663 the Information
Commissioner found that a relevant indicator which will determine whether
a person is recognised as an expert, is whether the person would be accepted
by
a court as qualified to give expert opinion evidence (in the relevant field of
knowledge) on an issue requiring resolution by
a court.
45. On the information
available to me, I am satisfied that Council officers[5] prepared the Matter in Issue in the course of their work as
Council officers as there is no evidence before me that these officers
were
specifically retained as experts to perform this work. Accordingly, I am not
satisfied that the Matter in Issue can be characterised
as expert opinion or
analysis.
Protection of documents prepared for deliberative
processes
46. Section 41(1)(a) clearly
encompasses documents prepared for the purposes of the deliberative
processes of government and is not limited to documents which record
deliberative processes.
47. The Matter in Issue
consists of documents prepared by Council officers[6] for presentation to LMERC in order for the Lord Mayor and LMERC
to consider Council’s options regarding changes to the rating
system for
properties which are part of community title schemes.
48. On the information
available to me, I am satisfied that whether or not the Matter in Issue was
created as part of an investigatory
mechanism of Council, it can also be said to
have been prepared by Council officers for the use of Council in its
deliberative processes.
49. In summary and on the
basis of the matters set out above, I am satisfied that:
• LMERC is taken to be
comprised within Council and falls within the definition of an
‘agency’ for the purposes
of the FOI Act
• the Matter in Issue
is an advice, opinion or recommendation, or forms part of a deliberation
• the steps taken by
LMERC in considering the options available regarding the system of rates for
community title schemes
comprise a deliberative process
• the Matter in Issue
is an advice, opinion or recommendation prepared for the purposes of the
deliberative processes
of government
• the Matter in Issue
was not communicated by a person or body other than an officer of an agency
• the Matter in Issue
is matter of a kind mentioned in section 41(1)(a) of the FOI Act.
Findings
50. Based on the matters set
out above, I am satisfied that in the circumstances the Matter in Issue:
• consists of
information prepared for the deliberative processes of government prepared by
officers of an agency
• falls within section
46(2) of the FOI Act and accordingly section 46(1) of the FOI Act does not
apply.
51. On account of this
finding, it is unnecessary to further consider Council’s submissions in
respect of its claim
for exemption from disclosure under section 46(1)(a) of the
FOI Act.
52. It is however necessary
to consider whether the Matter in Issue is exempt from disclosure under section
41(1) of the FOI
Act. Section 41(1) of the FOI
Act
53. Given my finding that the
Matter in Issue satisfies the requirements of section 41(1)(a) of the FOI Act,
it is necessary
to consider whether its disclosure would be contrary to the
public interest as set out section 41(1)(b) of the FOI Act.
54. I confirm that unlike
other exemption provisions within the FOI Act that incorporate a public interest
test, there is
no prima facie public interest consideration favouring
non-disclosure within section 41(1) of the FOI Act. Finding that
disclosure
would be contrary to the public interest is a separate requirement
for exemption which must be independently established.
55. I also confirm that it is
the responsibility of the party claiming the exemption to establish that:[7]
a) specific and tangible harm to an
identifiable public interest(s) would result from disclosing the matter in
issue
b) the harm is of sufficient
gravity that, when weighed against competing public interest considerations
which favour disclosure,
it would, on balance, be contrary to the public
interest.
56. This means that Council
must identify the specific and tangible harm that would result to an
identifiable public interest
or interests if the Matter in Issue were
disclosed. The identified harm to the public interest must then be weighed
against public
interest considerations in favour of
disclosure.
Council’s submissions
57. I note Council’s
submissions made in the telephone conference on 29 April 2009
that:
• it is contrary to
public policy to release the preliminary information used to formulate the
budget
• difficulties arise
when information is released to the public in the preliminary stages of policy
forming
• members of the public
are able to attend information sessions and have access to Council’s call
centre in order
to obtain information about the impact of rate rises on
individuals
• release of the matter
in issue would be contrary to the public interest.
58. I also note the matters
set out in the letter dated 4 August 2009 signed by Ms Zeljko including
that:
“...
[The OIC publication titled “Deliberative Process”] further
states that ‘where deliberative process matter is concerned, two
significant public interest considerations favouring
disclosure will frequently
be relevant:
• enhancing the accountability of
agencies and individual officers for the performance of their official
functions
• promoting informed public
participation in the processes of government’
We submit that disclosure of the [Matter in Issue concerning]
rates and Parity Factor LMERC would not enhance the accountability of LMERC
and the members of LMERC. LMERC is framed in a confidential
nature to
encourage members and specialist consultants to provide submissions regarding
the Lord Mayor’s financial options.
Further, it should be noted that there is no public participation in the
process of the Council budget, nor is there a requirement
for public
participation. Even once the Lord Mayor’s Budget is presented to the
Chamber of Council, there is no public participation
in the process of the
Council budget. The public are only entitled to read the Lord
Mayor’s Budget Speech and view the final
budget
documents.
The specific and
tangible harm to an identifiable public interest ... [is
that]:
• the Lord Mayor’s decision
making process would be compromised by release
• the Lord Mayor would be hampered in
preparing and producing a commercially sound Budget to Council
• unlike other local governments,
there is no alternative mechanism in place for Council to prepare and produce
its own budget
• there is no other confidential
mechanism whereby Council can make submissions, such as the submissions made in
relation to the Parity
Factor, to the Lord Mayor.”
Analysis – public interest
59. I note that the
Information Commissioner has previously stated[8] that public access to pre-decisional thinking processes of
agencies, even well after the event may, in appropriate cases, be valuable
in
furthering accountability and public understanding of the operations of
government agencies.
60. Additionally, the
Information Commissioner has rejected the argument that it is not in the public
interest to release
information on the basis that it has the potential for being
misrepresented. In Queensland Community Newspapers Pty Ltd and Redland Shire
Council; Civic Projects (Raby Bay) Pty Ltd & Others (Third Parties)[9] the
Information Commissioner said:
If the public were to be denied access to any report answering that
description, on the ground of its potential for being misrepresented
by quoting
out of context, there would be a substantial diminution in the flow of
information to the public on issues of significant
public importance that are
being addressed through political/governmental processes. Opportunities for
informed public debate allow
for misrepresentations to be corrected.
61. It is also clear
that:
• both the 2008-09 and 2009-10
budgets of Council have been released
• the Matter in Issue reveals that
before coming to a decision, LMERC considered a number of options presented to
it,
along with a large amount of data, in order to decide upon an appropriate
outcome.
62. On the information
available to me, I am satisfied that:
• the public having access to
documents which show Council’s deliberation and decision-making process
about a matter
of considerable public interest (that is, rate rises), is not
contrary to the public interest
• this is a case where the public
interest would be served by release of documents which show Council’s
decision
making process in coming to an important decision about increasing
rates for a significant number of residents, particularly given
that the Matter
in Issue reveals that LMERC considered a number of options presented to it,
along with a large amount of data, prior
to deciding upon an appropriate
outcome
• Council has not established that
a specific tangible harm to an identifiable public interest would occur if the
Matter
in Issue were
disclosed.
Findings
63. Based on the matters set
out above, I am satisfied in the circumstances that:
• disclosure of the
Matter in Issue would not, on balance, be contrary to the public interest
• the Matter in Issue
does not qualify for exemption from disclosure under section 41(1) of the FOI
Act.
DECISION
64. I set aside the decision
under review and find that the Matter in Issue is not exempt from disclosure
under section 46(1)(a)
or section 41(1) of the FOI Act.
________________________
J Kinross
Information Commissioner
Date: 18 September 2009
[1] Which was found to be exempt from
disclosure under section 44(1) of the FOI Act.[2] Described as being the policy
forming processes and decision-making functions of an agency which occur towards
the end stage of a
larger process following investigations of various kinds and
obtaining inputs from relevant sources – see Eccleston and Department
of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 at
paragraphs 28 and 30.[3] At paragraph 41.[4] In Ms Zeljko’s letter dated 4
August 2009.[5] As submitted by Council on page 7 of its submissions dated 4
August 2009, in its submissions made in the teleconference on 20 May
2009 and
the Original and Internal Review Decisions.[6] As submitted by Council on page 7
of its submissions dated 4 August 2009, in its submissions made in the
teleconference on 20 May
2009 and the Original and Internal Review
Decisions.[7] Eccleston and Department of Family Services and Aboriginal
and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 at paragraph 140; Trustees of the De
La Salle Brothers and Queensland Corrective Services Commission [1996] QICmr 4; (1996) 3 QAR
206 at paragraph 34.[8] Criminal Justice Commission and Department of Public
Prosecutions; Harris (Third Party) [1996] QICmr 12; (1996) 3 QAR 299 at paragraph
38.[9]
[1998] QICmr 2; (1998) 4 QAR 262 at paragraph 48.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Sport Drinks Australia Pty Ltd and Department of Tourism, Small Business and Industry; Yensch (Third Party) [1997] QICmr 27 (11 April 1997) |
Sport Drinks Australia Pty Ltd and Department of Tourism, Small Business and Industry; Yensch (Third Party) [1997] QICmr 27 (11 April 1997)
Sport Drinks Australia Pty Ltd and Department of Tourism, Small Business and
Industry
(S 178/96, 11 April 1997, Information Commissioner)
(This decision has been edited to remove merely procedural information
and may have been edited to remove personal or otherwise sensitive
information.)
1.- 4. These paragraphs deleted.
Background
This
is a 'reverse FOI' application by Sport Drinks Australia Pty Ltd (the applicant)
which seeks review of the decision made on behalf
of the Department of Tourism,
Small Business and Industry (the Department) by Mr Peter Phair on 17 October
1996. Mr Phair decided
to give the applicant for access, Mr Roy Yensch, access
in full to a document described as a "conference memo" dated 7 November 1990
(the document in issue), which records details of a conference between Mr Payne,
a director of the applicant, and a Mr Bob Smith
of the Liquor Licensing Division
of the Department.
The
FOI access application which gave rise to this external review was lodged by Mr
Yensch, who was formerly involved with the applicant
in relation to co-operative
business projects involving transfer of a hotel licence from Cheepie to Labrador
at the Gold Coast.
The document in issue concerns discussions between Mr Smith
and Mr Payne in relation to transfer of the hotel licence. It is clear
that Mr
Yensch and the applicant have had a falling out.
After
receiving Mr Yensch's FOI access application, Mr Mark Jones (Administrative Law
Officer of the Department), by letter dated
16 August 1996, consulted Mr Payne,
in accordance with s.51 of the FOI Act, about disclosure of the document in
issue. In a facsimile
transmission dated 23 August 1996, the applicant informed
Mr Jones that the document in issue was regarded as "confidential and
commercially
sensitive".
In
a letter dated 6 September 1996, Mr Jones informed the applicant of his initial
decision that the document in issue was not exempt
under the FOI Act, and that
Mr Jones was prepared to give Mr Yensch access in full to the document in issue.
Mr Jones considered
the application of s.45(1)(c) of the FOI Act, and s.46(1)(a)
and (b) of the FOI Act. In relation to s.45(1)(c) of the FOI Act, Mr
Jones
considered that the issues surrounding the application for removal of the
Cheepie licence were common knowledge within the
liquor industry, and as the
information in the document in issue was out of date and innocuous in nature, he
considered it unlikely
to have any continuing commercial sensitivity. Mr Jones
found that for the purposes of s.45(1)(c)(i), disclosure of the document
in
issue could not reasonably be expected to have an adverse effect on the
applicant's business, commercial or financial affairs.
Similarly, for the
purposes of s.45(1)(c)(ii), Mr Jones could see no reasonable basis for expecting
that any other person, if placed
in a similar position to the applicant, would
decline to provide the Department with information of the kind set out in the
document
in issue, if that matter were to be disclosed under the FOI Act.
In
relation to the application of s.46(1)(a) and s.46(1)(b), Mr Jones took the view
that the document in issue lacked the necessary
quality of confidence for the
document in issue to be exempt under either of those provisions.
By
letter dated 3 October 1996, the applicant sought internal review of Mr Jones'
decision. On behalf of the applicant, Mr Payne
objected to the decision to
disclose the document in issue to the applicant, and also asserted that the
document in issue was incorrect
in a particular detail. In his internal review
decision, Mr Phair affirmed Mr Jones' decision, on the same grounds stated by Mr
Jones.
By letter dated 14 November 1996, the applicant applied to me for
review, under Part 5 of the FOI Act, of Mr Phair's decision.
Mr Payne has
represented the applicant in the course of my
review. External review
process
The
Assistant Information Commissioner, Mr G Sammon, arranged for representatives of
the Department to provide a briefing on the factual
background to the issue of
the transfer of the relevant hotel licence. My office also obtained the files
of the Liquor Licensing
Division of the Department in relation to the transfer
of the licence. The Deputy Information Commissioner informed Mr Yensch and
the
applicant that it was proposed to inform each of them of the other's identity
(as FOI access applicant, and 'reverse FOI' applicant
for review, respectively)
unless an objection was received to this proposal. No objection was received,
and Mr Yensch and the applicant
were informed accordingly. Mr Yensch applied to
become a participant in this external review, in accordance with s.78 of the FOI
Act and I granted that application.
The
document in issue referred to a third party, a Mr Bate. He was also invited to
participate in this external review, but he declined
the invitation. Mr Bate
wrote to my office on 20 December 1996 objecting to disclosure of the document
in issue, not on the basis
of any exemption under the FOI Act, but on the
principle that he objected to a person obtaining access to a document held by a
government
department merely by paying a $30 application fee. Given the clear
legislative intent of the FOI Act, and the legal right conferred
by s.21 of the
FOI Act, Mr Bate's objection obviously has no substance in
law.
In
a letter dated 10 December 1996, I conveyed to the applicant my preliminary
views on the status of the document in issue in this
external review. In the
event that the applicant did not accept those preliminary views, I extended to
the applicant the opportunity
to lodge evidence and submissions in support of
any case that it wished to make that the document in issue was exempt under the
FOI
Act.
The
applicant responded by letter dated 15 January 1997, suggesting that this
external review may be resolved by a compromise involving
release to the
applicant of a document which concerns Mr Yensch, which was partially released
to the applicant as a result of its
own FOI access application to the Department
(the document has been referred to by the applicant as "Memo B"), in return for
which
the applicant would consent to release of the document in issue to Mr
Yensch. This proposal was put to Mr Yensch, and to the Department,
but was
rejected by both of them.
After
the applicant was informed of the response to its compromise proposal, it was
again given the opportunity to lodge evidence
and submissions in support of its
claim for exemption in respect of the document in issue. The applicant replied
on 21 March 1997
complaining in general that it was unfair that the Department
was prepared to give Mr Yensch access to the document in issue in this
external
review, but was prepared to claim that at least part of Mr Yensch's document
(Memo B) was exempt from disclosure to the
applicant under the FOI Act. (It
appears that the applicant did not seek internal review of the Department's
decision to give it
access to part only of Memo B. Certainly, I do not have
jurisdiction in this review to determine whether the Department was correct
in
finding that part of Memo B comprises exempt matter under the FOI
Act.)
Ultimately,
the applicant did not lodge any evidence and/or written submissions to support
its claim that the document in issue comprises
exempt matter under the FOI Act.
Given the applicant's response (when consulted by the Department under s.51 of
the FOI Act) that
the document in issue was "confidential and commercially
sensitive", I will consider the application of s.45(1) and s.46(1) of the
FOI
Act, to the document in issue. In the course of its letter dated 15 January
1997, putting its compromise proposal, Mr Payne,
on behalf of the applicant,
said:
In the normal course of events, we would raise no objection to the
disclosure of the Memo in question. However, the Record of Interview
contains
incorrect and/or confused points and therefore is inaccurate in parts.
In
a facsimile transmission to my office dated 21 March 1997, Mr Payne
said:
... the tone reflected in your recent letters, suggests to us that you
have ascertained our conference with Mr Smith was above board,
open and just a
normal business discussion - we agree.
These
extracts appear to me to be tantamount to an admission on behalf of the
applicant that there is really nothing so sensitive
in the document in issue as
to warrant exemption from disclosure under the FOI Act.
As
a result of inquiries made during the course of the external review, through the
conference referred to in paragraph 12 above,
and examination of the
Department's files in relation to transfer of the Cheepie hotel licence, I am
satisfied that the following
information, which is relevant to the document in
issue, must be considered to be public knowledge:
An
application was made to the Licensing Commission (the predecessor to the Liquor
Licensing Division of the Department) to remove
the licence of the Royal Mail
Hotel, Cheepie, to a site situated at the corner of Olsen Avenue and Central
Street, Labrador, (see
the order dated 27 November 1989 made by the Licensing
Court);
This
removal did not proceed, and the licence was purchased by Lewiac Pty Ltd which
then successfully applied to the Licensing Court
to substitute a new site at
Oxley Drive, Coombabah, for the site at Olsen Avenue and Central Street,
Labrador (see the order of the
Licensing Court, Judge Quirk D.C.J. dated 7 June
1991).
Application of s.45 of the FOI Act
Section
45(1) of the FOI Act provides as follows:
45.(1) Matter is exempt matter if -
(a) its disclosure would disclose trade secrets of an agency or another
person; or
(b) its disclosure -
(i) would disclose information (other than trade secrets) that has a
commercial value to an agency or another person; and
(ii) could reasonably be expected to destroy or diminish the commercial
value of the information; or
(c) its disclosure -
(i) would disclose information (other than trade secrets or information
mentioned in paragraph (b)) concerning the business, professional,
commercial or
financial affairs of an agency or another person; and
(ii) could reasonably be expected to have an adverse effect on those
affairs or to prejudice the future supply of such information
to
government;
unless its disclosure would, on balance, be in the public
interest.
I
considered in detail, the correct interpretation of s.45(1) of the FOI Act in my
decision in Re Cannon and Australian Quality Egg Farms Limited [1994] QICmr 9; (1994) 1
QAR 491. At paragraph 43 (p.504) of Re Cannon, I indicated my agreement
with a decision of the Victorian Supreme Court in Ansell Rubber Company Pty
Ltd v Allied Rubber Industries Pty Ltd [1967] VicRp 7; [1967] VR 37 that in order for matter
to qualify as a trade secret, it must be secret and that matters of public
knowledge or of general knowledge
in an industry cannot be claimed to be secret.
In relation to s.45(1)(b) of the FOI Act, in paragraphs 57-60 (pp.514-515) of
Re Cannon, I indicated that matter will not have any commercial value if
it is already in the public domain. Finally, at paragraph 83 (p.521)
of my
reasons for decision in Re Cannon, I indicated that, under s.45(1)(c) of
the FOI Act, if information is already in the public domain, or is common
knowledge in the
relevant industry, it would ordinarily be difficult to show
that disclosure of that information could reasonably be expected to have
an
adverse effect on the business, professional, commercial or financial affairs of
the person whom the information concerns.
I
find, therefore, that the matter in the document in issue which comprises
information already in the public domain (namely, the
proposal to transfer the
Cheepie licence to the site at Olsen Avenue and Central Street, Labrador) does
not qualify for exemption
under s.45(1)(a), s.45(1)(b) or s.45(1)(c) of the FOI
Act.
The
applicant has not demonstrated that there is anything in the document in issue
which would disclose trade secrets of the applicant,
have a commercial value to
the applicant, or the disclosure of which could reasonably be expected to have
an adverse effect on the
business, commercial or financial affairs of the
applicant, or to prejudice the future supply of such information to government.
My own examination of the document in issue does not suggest to me that there is
any matter in the document in issue which qualifies
for exemption under s.45(1)
of the FOI Act. Finally, in Re Cannon I indicated that matter may lose
its exempt status over time. The relevant references are as
follows:
• Section 45(1)(a) - Re Cannon,
paragraph 48 (pp.508-609)
• Section 45(1)(b) - Re Cannon,
paragraph 56 (pp.513-514)
• Section 45(1)(c) - Re Cannon,
paragraphs 83 and 84 (p.521).
I
consider that the matter in issue no longer concerns the applicant's business
plans, because the applicant no longer has an interest
in the Cheepie licence,
it having been sold to Lewiac Pty Ltd. It appears to me that the entire
document is of historical interest
only. I therefore find that there is no
matter in the document in issue which qualifies for exemption under s.45(1)(a),
s.45(1)(b)
or s.45(1)(c) of the FOI Act. Application
of s.46(1) of the FOI Act
Section
46(1) of the FOI Act provides as follows:
46.(1) Matter is exempt if -
(a) its disclosure would found an action for breach of confidence;
or
(b) it consists of information of a confidential nature that was
communicated in confidence, the disclosure of which could reasonably
be expected
to prejudice the future supply of such information, unless its disclosure would,
on balance, be in the public interest.
I
considered the correct interpretation and application of s.46(1)(a) and
s.46(1)(b) in my decision in Re "B" and Brisbane North Regional Health
Authority [1994] QICmr 1; (1994) 1 QAR 279. In that decision, I noted that an element in
common to both s.46(1)(a) and s.46(1)(b) is that, in order for matter to qualify
for
exemption under those provisions, the matter must be confidential in nature.
For the reasons set out above, I consider that the information
described in
paragraph 20 above which is now in the public domain cannot be considered to be
confidential in nature.
In
addition, the applicant has not demonstrated that any of the matter in the
document in issue is confidential in nature, and on
my examination of the
document in issue, I find that there is nothing in the document in issue which I
consider to be confidential
in nature. In Re "B", at paragraph 71
(p.307), I noted that information may lose its quality of confidence with the
passage of time, and so fail to qualify
for exemption under s.46(1)(a). The
same proposition also applies to s.46(1)(b) of the FOI Act - see paragraph 148
of Re "B" (pp.337-338). I am satisfied that there is no information in
the document in issue which retains the quality of confidence (if,
indeed, it
ever was confidential) necessary to found an action for breach of confidence. I
consider the information to be of historical
interest only, and I note that the
applicant no longer has an interest in the Cheepie
licence.
I
conclude that the document in issue does not qualify for exemption under
s.46(1)(a) or s.46(1)(b) of the FOI
Act. Decision
For
the foregoing reasons, I affirm the decision under
review.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Potter and Brisbane City Council [1994] QICmr 18; (1994) 2 QAR 37 (19 August 1994) |
Potter and Brisbane City Council [1994] QICmr 18; (1994) 2 QAR 37 (19 August 1994)
Last Updated: 26 February 2001
OFFICE OF THE INFORMATION ) L 9 of
1993COMMISSIONER
(QLD) ) (Decision No. 94018) Participants: T C J
POTTER Applicant - and - BRISBANE
CITY COUNCIL Respondent DECISION AND REASONS FOR
DECISIONFREEDOM OF INFORMATION - refusal of access -
documents in issue comprising legal advice given to the respondent by its own
employee
legal advisers - whether documents in issue subject to legal
professional privilege - whether employee legal advisers had the requisite
degree of independence in giving professional advice - whether advice given in
furtherance of an abuse of statutory power - whether
documents exempt under
s.43(1) of the Freedom of Information Act 1992 Qld.Freedom of
Information Act 1992 Qld s.14, s.28(1), s.43(1), s.44(1), s.52,
s.52(3)(b)Judicial Review Act 1991 QldSolicitors Admission
Rules 1968 Qld Alfred Crompton Amusement Machines Ltd v
Customs and Excise Commission (No. 2) [1972] 2 QB
102Attorney-General for the Northern Territory v Kearney [1985] HCA 60; (1985) 158
CLR 500; 59 ALJR 749; 61 ALR 55Clarkson and Attorney-General's
Department, Re (1990) 4 VAR 197Citibank Ltd, Re [1989] 1
Qd R 516; sub nom Deputy Commissioner of Taxation v Citibank Ltd 93
FLR 469; 19 ATR 1847; 88 ATC 4, 941Famous Artists International Pty Ltd v
Australian Broadcasting Corporation (1992) 7 BR 395 Geary and Australian
Wool Corporation, Re (Commonwealth AAT, No. V86/575, 16 October 1987,
unreported)Norman and Mulgrave Shire Council, Re (Information
Commissioner Qld, Decision No. 94013, 28 June 1994,
unreported)Page and Metropolitan Transit Authority, Re (1988) 2 VAR
243Proudfoot and Human Rights and Equal Opportunity Commission, Re
[1992] AATA 317; (1992) 16 AAR 411Smith and Administrative Services Department, Re
(1993) (Information Commissioner Qld, Decision No. 93003, 30 June 1993, now
reported at [1993] QICmr 3; (1993) 1 QAR 22)Trotman and Occupational Health and Safety
Authority, Re (Victorian AAT, No. 92/16882, 26 November 1992,
unreported)Ventura Motors and Metropolitan Transit Authority, Re
(1988) 2 VAR 277 (Vic AAT)Wagen and Community Services Victoria, Re
(Victorian AAT, No. 91/26202, 21 November 1991, unreported)Waterford
v Commonwealth of Australia [1987] HCA 25; (1987) 163 CLR
54 DECISIONThe documents in issue are exempt
documents under s.43(1) of the Freedom of Information Act 1992 Qld, and
accordingly the decision under review (being the decision made on behalf of the
respondent by Mr R N Metcalfe on 23 June 1993)
is
affirmed.Date of Decision: 19 August
1994...........................................................F
N ALBIETZINFORMATION COMMISSIONEROFFICE OF THE
INFORMATION ) L 9 of 1993COMMISSIONER (QLD) ) (Decision
No. 94018) Participants: T C J
POTTER Applicant - and - BRISBANE
CITY COUNCIL Respondent REASONS FOR
DECISIONBackground1. The applicant
seeks review of the respondent's decision refusing him access to six documents
which are claimed by the respondent
to be exempt under s.43(1) of the Freedom
of Information Act 1992 Qld (referred to in these reasons for decision as
the FOI Act). 2. By letter dated 19 May 1993, Mr Potter made
application to the Brisbane City Council (the Council) under the FOI Act for
access
to documents relating to a number of matters. The relevant requests, for
the purposes of this external review, were for access to: 1. All
information held by Council and Alderman G Quirk dealing with the decision to
introduce the above scheme (one-way traffic scheme
- Blackwattle Street,
Macgregor) and the subsequent refusal to remove it. 2. All
information held by Council supporting its position that the Judicial Review Act
1991 does not apply to the decision to leave the scheme in place.
3. In a letter dated 23 June 1993, Mr R N Metcalfe advised Mr Potter
of his decision on the FOI access application. Mr Metcalfe was
Director,
General Manager's Branch, and Town Clerk of the Council, and was therefore the
principal officer of the Council for the
purposes of the FOI Act. Mr Metcalfe
decided that Mr Potter could have access to some documents but refused access to
the six documents
in issue on the basis that they were exempt under s.43(1) of
the FOI Act (the legal professional privilege exemption).4. After
inspecting the documents to which access had been granted, Mr Potter indicated,
by a letter to the Council dated 30 June
1993, that he did not consider that he
had been given access to all relevant documents. In that letter, Mr Potter also
requested
that Mr Metcalfe reconsider his decision in relation to the documents
for which access had been refused. It should be noted that
it was not open to
Mr Potter to apply for internal review of the decision under s.52 of the FOI Act
as the initial decision was made
by the principal officer of the Council (see
s.52(3)(b) of the FOI Act).5. Mr Metcalfe responded by a letter of 28
July 1993 advising the applicant that further documents had been found and that
the Council
was prepared to grant access to a number of these documents but
claiming exemption for parts of documents under s.44(1) of the FOI
Act
(thepersonal affairs exemption). Mr Metcalfe declined to reconsider
his decision in relation to the documents for which exemption under
s.43(1) of
the FOI Act was claimed, but did amplify the reasons for his original
decision.6. By a letter dated 16 August 1993, Mr Potter made application
to the Information Commissioner for review of Mr Metcalfe's decision,
in
accordance with Part 5 of the FOI Act. Mr Potter's application sought review
only in respect of the decision to refuse access
to documents under s.43(1) of
the FOI Act.The External Review Process7. Copies
of the six documents in issue have been obtained and examined. Each of the
documents is a memorandum to the Manager, Corporate
Services Division, Brisbane
City Council. They bear various dates between August and December 1992. Each
memorandum was signed
by, or on behalf of, the City Solicitor or the Acting City
Solicitor, and each comprises legal advice in relation to continuing requests
by
the applicant and his solicitors for a statement of reasons which the applicant
claimed was required to be given to him by the
Council under the Judicial
Review Act 1991 Qld.8. On the basis of my examination of the
documents, I wrote to the Council on 17 September 1993 stating my preliminary
view that each
of the documents on its face appeared to satisfy the primary test
for attracting legal professional privilege, in that each had been
created for
the sole purpose of giving legal advice to the Council. However, I also raised
the secondary issue as to whether: the City Solicitor, the Acting
City Solicitor and the City Solicitor's Branch (as it then was) had the quality
of "independence" discussed
in the High Court's decision in Waterford v the
Commonwealth of Australia (1986-7) 136 CLR 54 so as to enable a claim of
legal professional privilege to be maintained in respect of legal advice
obtained by the Manager of the
Corporate Services Division from the City
Solicitor and the Acting City Solicitor.9.. I invited the Council to
provide me with a written submission addressing relevant facts, circumstances
and legal arguments which
bear on this issue.10. The Council responded
by letter dated 6 October 1993 and on the basis of the information conveyed in
that submission, the preliminary
assessment was made that the documents in issue
were exempt under s.43(1) of the FOI Act. That preliminary view was
communicated
to the applicant by letter dated 14 January 1994, together with an
explanation of the basis on which the view had been formed. The
applicant was
invited, if he wished to continue to contest the exemption claims made under
s.43(1) of the FOI Act, to lodge a written
submission in support of his case.
The applicant replied by letter dated 19 January 1994 indicating that he thought
it was important
to establish without doubt that the City Solicitor had the
necessary degree of independence to sustain a claim for legal professional
privilege. The applicant also raised the possibility that there had been a
deliberate abuse of statutory power by the Council and
suggested that this would
be sufficient to deprive the Council of any claim for legal professional
privilege which it might otherwise
have in respect of the documents in
issue.11. In order to obtain a more complete understanding of the
workings of the City Solicitor's Branch of the Council, evidence was obtained
in
the form of a statutory declaration executed on 17 May 1994 by Mr P E P O'Brien.
Mr O'Brien held the office of City Solicitor
for the Council from 1970 until
1992. The applicant was given the opportunity to comment upon Mr O'Brien's
evidence and did so by
letter dated 28 May 1994. Applicant's
Submissions12. In his letter of 19 January 1994, Mr Potter set
out his reasons for pursuing the matter and his submissions in relation to
whether
the documents in issue are exempt under s.43(1) of the FOI Act. I set
out below relevant extracts from that letter: My reason for pursuing
this matter is that there is a deep resentment among Shirland Street residents
about the way Council implemented
the one way scheme in Blackwattle Street and
the loss of amenity and safety which has resulted in our
street. My freedom of information request has proved that there
is no technical justification for the scheme and that, in fact, Council's
own
officers have recommended against it. The attached letter summarises the
frustration felt in Shirland Street about what appears
to be a deliberate
abuse of statutory power. I believe that Council should
protect the rights and interests of all its ratepayers and should work for,
rather than against them. Council has declined to provide a
Statement of Reasons as required under the Judicial Review Act on the grounds
that the Act does not apply in this case. To prove otherwise would involve
initiating a Supreme Court action with
the possibility of having costs awarded
against us.13. In his letter of 28 May 1994, the applicant
reiterated a number of the points raised in his earlier letter and stated
further
as follows: As I see it, there are two issues to be
resolved: 1. Whether or not the City Solicitor had at the
material time the quality of "independence" so as to enable claims of legal
professional
privilege to be maintained in respect of legal advice obtained from
the City Solicitor. 2. Whether or not the Council is responsible
for a deliberate abuse of statutory power which has prevented others from
exercising
their rights under the law. ... Council did
not follow its own policy on Residential Street Management or the advice of its
own traffic experts. My freedom of information
request has not uncovered any
technical or other reasons for implementing the scheme apart from the fact that
it was ordered by Alderman
G. Quirk after consulting with selected residents of
Blackwattle Street. The residents of Shirland Street were denied their rights
to protect their own interests before the scheme was implemented without
notice. Council has also refused to provide a Statement of
Reasons as required under the Judicial Review Act. To challenge the Council on
this matter would require initiating a Supreme Court action and risk having
costs awarded against us.
By implementing the scheme in the way that it did,
Council has deliberately denied us our rights. In addition, failure to provide
a Statement of Reasons covers up the real reasons for implementing the scheme
and constitutes a deliberate abuse of statutory power.
Page
33 of [Re Smith and Administrative Services Department (1993) (Information
Commissioner Qld, Decision No. 93003, 30 June 1993, now reported
at [1993] QICmr 3; (1993) 1 QAR
22)] which was forwarded to me with your letter dated 14 January 1994 states
in paragraph 93 that the privilege's protection should not
be afforded to
communications made to further a deliberate abuse of statutory power, thereby
preventing others from exercising their
rights under the law. As
a result of my Freedom of Information request, I have found no technical or
other reasons for implementing the scheme. It appears
that Alderman G. Quirk
was convinced by selected residents in Blackwattle Street to implement the
scheme and it was done in such
a manner that the residents in Shirland Street
were denied their rights. To deny access to the documents in
question, closes off any question of challenging Council's decision and
effectively condones an
unfair process which has already been criticised by the
Ombudsman.Respondent's Submissions and
Evidence14. As I had communicated my preliminary view that I was
satisfied that the documents in issue had been created for the sole purpose
of
giving legal advice to the Council, the bulk of the respondent's submission
related to the question of the independence of the
advice which had been given.
The Council asserted that the requisite degree of independence did exist,
pointing to the requirement
that staff of the City Solicitor's Branch be
admitted and hold a current practising certificate, and also to the status of
the City
Solicitor under the Solicitors Admission Rules
1968.15. As noted above, evidence was also obtained from Mr O'Brien
who was the City Solicitor from 1970 until he resigned in or about
October 1992.
Mr O'Brien gave evidence that the City Solicitor's Branch was a sub-unit of the
Corporate Services Division of the
Council. The City Solicitor's Branch was
established by resolution of the Council and made responsible for the following
business,
procedures and functions: (i) acting as legal adviser to
the Council; (ii) preparation of legal instruments and contracts on
behalf of the Council; (iii) the drafting of ordinances and such
other legislation as instructed by the Deputy Town Clerk and
Manager; (iv) the conduct of litigation on behalf of the
Council; (v) the conduct of legal processes for the enforcement of
Council ordinances, and any other acts, rules, regulations or statutory
instruments which the Council had the power or duty to
enforce; (vi) the recording and safe custody of all titles and
documents evidencing ownership by the Council of real and personal property
and
of such contracts for sale or purchase of goods and services as are entrusted to
the City Solicitor for that purpose; (vii) the maintenance of the
Council's legal library; and (viii) the preparation and publication
of the material required by s.55 of the City of Brisbane Act 1924-1986
Qld.16. Mr O'Brien gave further evidence in relation to the
operation of the City Solicitor's Branch during his term of office, as
follows: 7. As City Solicitor, I was in charge of the City
Solicitor's Branch within the Corporate Services Division (and previously the
General
Administration Division). In my capacity as City Solicitor, I was
answerable in relation only to administrative matters to the
Manager of the
Corporate Services Division (and previously the Manager of the General
Administration Division). The types of matters
in respect of which I was
answerable to the Manager of the Corporate Services Division (and previously the
Manager of the General
Administration Division) included staffing, budgeting and
policy matters. 8. At the time the documents in issue were
created in 1992, the City Solicitor's Branch was divided into three sections.
Mr Don Wright,
Senior Solicitor/Common Law, was the head of the Common Law
Section of the City Solicitor's Branch. Mr Terry Griffith, Senior
Solicitor/Conveyancing,
was in charge of the Conveyancing Section of the City
Solicitor's Branch. Mr Neil Boge, Solicitor/Draftsman, was in charge of the
section relating to the drafting of acts, ordinances and resolutions. In total,
approximately 14 professional staff were employed
in the three sections of the
City Solicitor's Branch. The professional staff employed within the Branch were
all required to be
admitted to practice in Queensland as solicitors or
barristers. I treated Mr Wright, Mr Griffith and Mr Boge, as heads of their
respective
sections, as being wholly responsible for the work undertaken by
those sections, their responsibility was analogous to that of partners
in a
private solicitor's firm. 9. Instructions were received by the
City Solicitor's Branch from a number of individuals within the BCC who wished
to obtain legal
advice or assistance from the Branch. I had in place a
procedure by which all instructions came through myself as City Solicitor.
I
tried to ensure that instructions received by the Branch would originate from a
manager or director level of the various units
of administration of the BCC but
often instructions were received from officers in less senior positions. I
would receive the instructions
and determine which section, and particular
professional staff member within that section, should have the carriage of the
matter
which was the subject of the instructions. The matter would then be
assigned to that professional staff member and he or she would
have complete
carriage of the matter. Generally matters which were assigned to the Common Law
Section concerned town planning issues,
prosecutions, rates recovery and general
advice matters. All real property matters were assigned to the Conveyancing
Section and
that section also undertook advice work in relation to issues
relevant to conveyancing. The Drafting Section of the Branch received
all
instructions relating to the drafting of ordinances, resolutions and legislation
and also undertook general advice work as allocated
by myself.
10. In many circumstances, the legal advice provided by the
professional staff within the Branch was done on an oral basis. This
was
especially the case in relation to legal advice which I provided to the Town
Clerk and the Mayor. Written legal advice provided
to the various units of
administration of the BCC was undertaken in a memorandum format. Those
memoranda of advice went out under
my name as City Solicitor and were also
initialled by the relevant professional staff member who had the carriage of
the particular
matter. 11. I was not (and my professional
staff through me were not) answerable to anyone within the BCC in relation to
the contents of the
legal advice provided in response to instructions received
by the Branch. There were instances when the conclusions reached in the
advice
rendered by myself and my professional staff was not appreciated by the person
from whom instructions were received but there
was never an instance where I
received pressure to give advice contrary to that which I had previously given
because the person
from whom instructions were received was dissatisfied with
the conclusions reached in the advice. 12. There were instances
when one of my young professional staff members may have given legal advice
which the person who provided
the instructions regarding that advice would refer
to myself, as City Solicitor, with a request to review the conclusions reached
by my professional staff. I would, in those circumstances, either review the
advice of the staff member myself or ask one of my
senior solicitors to review
the advice. In most instances I would, after reviewing the advice, go back to
the person from whom
instructions had been received and confirm the advice
previously rendered. However, in some instances where the conclusions reached
by the professional staff member were incorrect, I would amend the advice so it
correctly represented the law as applied to the
facts and circumstances in
issue. However, in each instance, the advice rendered by the Branch to the
persons from whom instructions
were received would be based on an analysis of
the facts in issue and law relevant to those issues which were the subject of
the
instructions and would not be formulated to provide the conclusion which may
have been desired by the person giving instructions
relating to the
advice. 13. At all times, in my capacity as City Solicitor, I was
acutely aware of the need to maintain the independence of the City Solicitor's
Branch in respect of the legal advice provided by the branch to the BCC and the
other work carried out by the Branch as legal adviser
to the BCC. I was, during
my time as City Solicitor, familiar with the decision of the English Court of
Appeal in Alfred Crompton Amusement Machines Ltd v Customs and Excise
Commissioner [No. 2] [1972] 2 QB 102. In particular, the following comments
of Lord Denning MR in his judgment of that case were always in the back of my
mind: "Being a servant or agent too, he may be under more pressure
from his client. So he must be careful to resist it. He must be as
independent
in the doing of right as any other legal adviser ... ." 14. I believe
that during my period as City Solicitor, the functioning of the City Solicitor's
Branch was such that the relationship
between myself as City Solicitor
(together with the professional staff of the Branch) and the persons from whom
instructions were
received within the BCC was professional relationship which
secured to the advice an independent character notwithstanding the employment,
as was discussed in the reasons of Mason and Wilson JJ in the decision of the
High Court of Australia in Waterford v the Commonwealth of Australia
[1987] HCA 25; (1986-1987) 163 CLR 54, at p.62.Applicable
Law17. Section 43 of the FOI Act provides as
follows: 43.(1) Matter is exempt matter if it would be
privileged from production in a legal proceeding on the ground of legal
professional privilege. (2) Matter is not exempt
under subsection (1) merely because it appears in an agency's policy
document.18. In my reasons for decision in Re Smith and
Administrative Services Department (Information Commissioner Qld, Decision
No. 93003, 30 June 1993, now reported at [1993] QICmr 3; (1993) 1 QAR 22), I discussed at length
(paragraphs 78-98) the requirements for exemption under s.43 of the FOI Act. At
paragraph 82 of my decision
I referred to the useful summary of principles set
out in the decision of Mr K Howie, Member of the Victorian Administrative
Appeals
Tribunal, in Re Clarkson and Attorney-General's Department (1990)
4 VAR 197, at p.199. Of particular relevance in this case is the fourth
principle stated by Mr Howie, which I set out below: Legal
professional privilege attaches to confidential professional communications
between salaried legal officers and government agencies.
It must be a
professional relationship which secures to the advice an independent character.
The reason for the privilege is the
public interest in those in government who
bear the responsibility of making decisions having free and ready confidential
access
to their legal advisers. Whether or not the relationship exists is a
question of fact.19. In my decision in Re Smith I considered
(in the context of advice from the Queensland Crown Solicitor's Office to a
government department, see paragraphs 88-90)
the position of advice from
salaried or "in-house" legal officers. The leading case is Waterford v
Commonwealth of Australia [1987] HCA 25; (1987) 163 CLR 54. In that case, Mason and Wilson
JJ canvassed relevant authorities from other jurisdictions on this issue,
including the English Court
of Appeal decision in Alfred Crompton Amusement
Machines Ltd v Customs and Excise Commissioner (No. 2) [1972] 2 QB 102.
Their Honours concluded (at p.62): In our opinion, given the
safeguards to which reference is made in the various citations, there is no
reason to place legal officers
in government employment outside the bounds of
legal professional privilege. The proper functioning of the legal system is
facilitated
by freedom of consultation between the client and the legal adviser.
... To our minds it is clearly in the public interest that
those in government who bear the responsibility of making decisions should
have
a free and ready confidential access to their legal advisers. Whether in any
particular case the relationship is such as to
give rise to the privilege will
be a question of fact. It must be a professional relationship which secures to
the advice an independent
character notwithstanding the
employment.20. However, in his decision in Waterford, Brennan
J (at p.72) stated: I am ... unable to accept the notion that
salaried lawyers are generally to be assimilated to the position of the
independent legal
profession for the purpose of determining the availability of
legal professional privilege.21. His Honour was concerned that
the employment relationship creates conflict between the independence necessary
for a legal adviser
and the loyalties, duties and interests of an employee
(p.71). However, His Honour went on to state that the position of lawyers
employed in the offices of Crown Solicitors, the Australian Government Solicitor
and Departments of the respective Attorneys-General
were sufficiently
independent to attract legal professional privilege
(pp.72-73).22. Brennan J's suggested distinction between those employed
in a traditional legal advice department and salaried legal advisers
in other
departments or statutory authorities, was not supported by other judges of the
High Court in Waterford. Mason and Wilson JJ (at p.62), Deane J (at
p.81-2) and Dawson J (at p.95-97) focus on the nature of advice given and the
quality
of the relationship between adviser and client. This accords with the
views expressed in Attorney-General for the Northern Territory v Kearney
[1985] HCA 60; (1985) 158 CLR 500 by Gibbs CJ (at p.510) and Dawson J (at p.530-1). There is
nothing in these decisions which precludes the possibility of legal professional
privilege applying to advice given by a legal adviser employed by a department
or statutory authority, other than a traditional
legal advice department of the
kind referred to by Brennan J in Waterford.23. Since the decision
in Waterford, courts and tribunals have on numerous occasions accepted
that legal professional privilege may apply to communications to or from
employee legal advisers (provided of course that all other requirements for the
application of legal professional privilege are satisfied),
and I also accept
that proposition. The following cases involved legal advisers employed by
statutory authorities: Famous Artists International Pty Ltd v Australian
Broadcasting Corporation (1992) 7 BR 395 (Federal Court); Re Geary and
Australian Wool Corporation (Commonwealth AAT, No. V86/575, 16 October 1987,
unreported); Re Page and Metropolitan Transit Authority (1988) 2 VAR 243
(Vic AAT); Re Ventura Motors and Metropolitan Transit Authority (1988) 2
VAR 277 (Vic AAT); and Re Trotman and Occupational Health and Safety
Authority (Victorian AAT, No. 92/16882, 26 November 1992, unreported). The
case of Re Wagen and Community Services Victoria (Victorian AAT, No.
91/26202, 21 November 1991, unreported) involved a legal adviser employed by a
Victorian government department.
For a case involving a legal adviser employed
by a corporation, see Re Citibank Ltd [1989] 1 Qd R 516; sub nom
Deputy Commissioner of Taxation v Citibank Limited (1988) 93 FLR 469; 88
ATC 4,941.24. Despite the number of cases that have considered the
point, discussion of the requirements for establishing the necessary degree
of
independence (that, in the words of Mason and Wilson JJ in Waterford,
will secure to the advice an independent character notwithstanding the
employment) has been limited. In Kearney, Gibbs CJ (at p.510) indicated
that privilege would extend to legal advice given by employees provided that, in
giving the advice,
they are acting in their capacity as legal advisers. His
Honour went on to say that advice would only be privileged if the lawyer
who
gives it has been admitted to practice and (His Honour inclined to think)
remains subject to the duty to observe professional
standards and the liability
to professional discipline.25. In Waterford, Deane J, while not
deciding the point, suggested that the privilege would be restricted to persons
who "in addition to any academic or other practical qualifications were
listed on a role of current practitioners, held a current practising
certificate, or worked under the supervision of such a person" (pp.81-82).
Dawson J (at p.96-97) referred to the requirement that the legal adviser be
qualified to practise law and be subject
to the duties to observe professional
standards and the liability to professional discipline. In Waterford,
Brennan J (at p.70) suggested that admission to practice as a barrister or
solicitor is a necessary condition for attracting legal
professional privilege.
(This suggestion was made in the context of raising a separate requirement,
namely, that the legal adviser
must be competent, as well as independent.
His Honour indicated that there was much to be said for the view that
admission to practice is the sufficient and necessary condition
for attracting
the privilege so far as the requirement of competence is
concerned).26. The requirements were further discussed by the
Commonwealth Administrative Appeals Tribunal in Re Proudfoot and Human Rights
and Equal Opportunity Commission [1992] AATA 317; (1992) 16 AAR 411, where the importance of
the legal adviser holding a current practising certificate was emphasised (at
pp.414-415). This was not,
however, a requirement mentioned by the majority
judges in Waterford. It would not, therefore, appear to be a necessary
requirement for establishing the requisite degree of independence; although,
where present, it will doubtless be of some weight in assisting to establish the
requisite degree of independence.Application of s.43(1) to the
Documents in Issue27. Having examined the documents in issue, I
am satisfied that they were all created for the sole purpose of giving legal
advice
to the Council. I am further satisfied that they were created in the
course of a professional relationship which secured to the
advice an independent
character notwithstanding the employment of the legal advisers by the Council.
The advice was given by professional
staff acting in their capacity as legal
advisers. The legal advisers in question were all admitted as solicitors or
barristers in
the State of Queensland. All held practising certificates. Mr
O'Brien has given evidence that, although in relation to administrative
matters
the City Solicitor's Branch was under the control of a division of the Council,
in relation to the provision of legal advice
the City Solicitor and his
professional staff were not answerable to anyone within the Council in respect
of the content of legal
advice given. I am satisfied that the City Solicitor
and the professional staff of the City Solicitor's office were appropriately
qualified legal practitioners, who conducted their practice with the requisite
degree of independence from their employing organisation,
such that legal advice
given in the course of conducting their practice was capable of attracting legal
professional privilege.28. In addition to the question of the
independence of the legal advice provided, the applicant has suggested that
privilege could
not attach to the particular communications in issue because the
Council was responsible for a deliberate abuse of statutory power.
I discussed
the exception to legal professional privilege based on crime, fraud or abuse of
statutory power at paragraphs 91-95
of my decision in Re Smith. At
paragraph 94, I quoted the words of Gibbs CJ in Kearney (at p.516) in
which His Honour set out the initial hurdle which must be overcome by a person
who asserts that the exception operates
in a particular case. I reproduce that
passage below: The privilege is of course not displaced by making a
mere charge of crime or fraud, or, as in the present case, a charge that powers
have been exercised for an ulterior purpose. This was made clear in
Bullivant v Attorney-General for Victoria ([1901] AC) at pp 201, 203,
205, and in O'Rourke v Darbishire [1920] AC 581 at 604, 613-4, 622-3,
63-3. As Viscount Finlay said in the latter case [at p 604] "there must be
something to give colour to the
charge". His Lordship continued:
"The statement must be made in clear and definite terms, and there
must further be some prima facie evidence that it has some foundation
in fact.
... The court will exercise its discretion, not merely as to the terms in which
the allegation is made, but also as to
the surrounding circumstances, for the
purpose of seeing whether the charge is made honestly and with sufficient
probability of its
truth to make it right to disallow the privilege of
professional communications".29. In my view, the applicant's
allegations of abuse of statutory power are not sufficient to deny the
protection of legal professional
privilege to the documents in issue. There is
nothing in those documents which establishes, or even suggests, that they
constitute
or include communications made to further an abuse of statutory
power.30. I therefore find that the six documents in issue are exempt
under s.43(1) of the FOI Act.31. In his letter of 19 January 1994, the
applicant asked that I consider a number of options before completely denying
access, should
I ultimately decide in favour of the Council. Those options
were:(1) Council waive legal professional privilege;(2) full
release without prejudice on condition that the documents cannot be used in any
future legal action;(3) partial release with exempt sections to the
documents omitted;(4) release of a report summarising the contents of
the documents;(5) view documents with no copies being made
available.32. In my role as Information Commissioner, I have no
jurisdiction to consider the release of documents which I have found to be
exempt,
or to instruct the Council to grant access to any part of those
documents, or to waive legal professional privilege. I note that
the Council
has a discretion to grant access to the documents, or parts of the documents,
both within the terms of the FOI Act (see
the discretion given by s.28(1) as
explained at paragraphs 13-16 of my reasons for decision in Re Norman and
Mulgrave Shire Council (Information Commissioner Qld, Decision No. 94013, 28
June 1994, unreported)) and outside the terms of the FOI Act (see s.14 of the
FOI Act). Whether it chooses to adopt one of the courses suggested by Mr
Potter is a matter for the
Council.Conclusion33. For the reasons given
earlier, I am satisfied that the documents in issue are exempt under s.43(1) of
the FOI Act, and I affirm
the decision of Mr R N Metcalfe, dated 23 June 1993,
in relation to the documents in
issue......................................................F
N ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | KBN and Department of Families, Youth & Community Care [1998] QICmr 8; (1998) 4 QAR 422 (30 June 1998) |
KBN and Department of Families, Youth & Community Care [1998] QICmr 8; (1998) 4 QAR 422 (30 June 1998)
Last Updated: 20 February 2001
OFFICE OF THE INFORMATION
COMMISSIONER (QLD)
Decision No. 98008Application S
95/95
Participants: "KBN" Applicant DEPARTMENT OF
FAMILIES, YOUTH AND COMMUNITY CARE Respondent
DECISION AND REASONS FOR DECISION
FREEDOM OF INFORMATION - refusal of access - applicant seeking access
to identifying information concerning an individual identified
by the
applicant's birth mother as being the applicant's natural father - whether such
information concerns the personal affairs
of the applicant - whether such
information concerns the personal affairs of the named individual - whether
disclosure of the information
would, on balance, be in the public interest -
application of s.44(1) and s.44(2) of the Freedom of Information Act 1992
Qld.Freedom of Information Act 1992 Qld s.5(1)(a), s.5(1)(b),
s.5(1)(c), s.6, s.44(1), s.44(2), s.51, s.51(3), s.81Adoption of
Children Act 1964 Qld s.39A, s.39AA(2)"B" and Brisbane North
Regional Health Authority, Re [1994] QICmr 1; (1994) 1 QAR 279Fotheringham and
Queensland Health, Re [1995] QICmr 24; (1995) 2 QAR 799Order No. 200-1997
(Information and Privacy Commissioner, Province of British Columbia,
November 28, 1997, unreported)Pemberton and The University of Queensland,
Re (1994) 2 QAR 293Stewart and Department of Transport, Re [1993] QICmr 6; (1993)
1 QAR 227
DECISION
I affirm the decision under review (being the decision identified in
paragraph 5 of my accompanying reasons for decision).Date of
decision: 30 June
1998............................................................F
N ALBIETZINFORMATION COMMISSIONER
TABLE OF CONTENTS
Page
Background 1Matter in issue
2External review process 3Issue for
determination 4Section 44 of the FOI Act - "Matter
concerning personal affairs" 4 Whether the matter in
issue is information concerning the personal affairs of a person
5 Applicability of the s.44(2) exception
5 Application of s.44(1) public interest balancing test
6 Age of the matter in issue 8 Age of the
applicant 8 Incidents of history 10 The
Department as the only real source of information 11 Social
circumstances 11 Need to know / Right to know
13 Medical information 14 Nature of the name
14 Likelihood of search/contact 15 Effect of
disclosure 16 Privacy of the named person
16 Credibility or accuracy of information (and inconsistent
Departmental practice) 18 Consideration of caselaw from other
jurisdictions 20 Conclusion
21Decision 21
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 98008Application S
95/95
Participants: "KBN" Applicant DEPARTMENT OF
FAMILIES, YOUTH AND COMMUNITY CARE Respondent
REASONS FOR DECISION
Background1. The applicant seeks review of the
respondent's decision to refuse her access, under the Freedom of Information
Act 1992 Qld (the FOI Act), to information (recorded on documents created in
connection with the applicant's birth and subsequent admission
to a nursing
home) which would identify the individual named by the applicant's birth mother
as being the applicant's natural father.2. By letter dated 1 January
1994, the applicant sought access, under the FOI Act, to any documents held by
the Department of Family
Services and Aboriginal and Islander Affairs, the
predecessor of the respondent (the Department), which would indicate the name of
the applicant's natural father.3. In response to that application, Ms
Ann Cazzulino, Senior FOI Officer with the Department's FOI Branch, advised the
applicant by
letter dated 23 June 1994 that the Department held one relevant
file (i.e., Adoption File 753 Ad). Ms Cazzulino advised the applicant
that
there were two folios in that file which contained information of the type
sought by the applicant, and that she had decided
to grant access to those two
folios (which had been numbered for identification as folios 44 and 46), subject
to the deletion of
small portions of matter.Ms Cazzulino's decision was that
the withheld portions of matter were exempt matter under s.44(1) of the FOI Act,
on the basis that
the information in question concerned the personal affairs of
the individual to whom it related ('the putative father'), and that
its
disclosure to the applicant would not, on balance, be in the public interest:
The deleted material is the name of the person identified by your mother
as your father. The information is private to him and without
his confirmation
it would not be appropriate to disclose his name. There is no record that this
person substantiated his paternity.
He may never have known of your mother's
claim and had an opportunity to confirm it.[It is unlikely that
he is still alive and consultation with surviving relatives regarding disclosure
would be a breach of his personal
affairs, of which they may well not be
aware.]I have also considered whether a public interest exists in
disclosure of the information to you. I am, however, of the opinion that
it is
not in the public interest to release this type of personal information to any
person, without proper authority from the individuals
concerned.
4. By letter dated 13 July 1994, the applicant sought an internal
review of Ms Cazzulino's decision in respect of the withheld portions
of folios
44 and 46. In her application for internal review, the applicant provided
details which she considered were relevant in
determining the question of
whether disclosure to her of the matter in issue would, on balance, be in the
public interest.5. The application for internal review of Ms Cazzulino's
original decision was one of a number of such applications received by the
Department at the same time. All of those applications for internal review were
placed in abeyance while the Department conducted
a review of its general policy
(i.e., that which is applied by Departmental officers in their dealings with the
public, apart from
responding to access applications under the FOI Act)
concerning the disclosure of material that would identify putative fathers.
When that policy review had concluded, the Department's internal review officer,
Mr D A C Smith, advised the applicant by letter
dated 4 May 1995 that he had
conducted the requested internal review in her case, and had decided to affirm
Ms Cazzulino's initial
decision (to refuse access to the withheld portions of
folios 44 and 46). Enclosed with Mr Smith's letter to the applicant were
his
written decision and reasons for decision (6 pages), and an 'Issues Paper' (7
pages) outlining the issues relevant to the question
of the public
interest.6. By letter dated 12 May 1995, the applicant applied to me for
review, under Part 5 of the FOI Act, of Mr Smith's decision.
Matter in issue7. I consider it important, for the
purposes of the discussion which follows, to describe the matter in issue in its
proper context:
Folio 44 is a pro forma, bearing the heading "State Children
Department. "The Infant Life Protection Acts of 1905 and 1918." Roll of
Nursing Home. The Roll to be Kept by each Occupier". It records
information concerning the applicant's admission to, and removal from, a nursing
home in 1923, and details concerning
the identities of the applicant's natural
parents, as provided to the proprietor of the nursing home by the applicant's
birth mother
at the time of the admission.
Folio 46 is a pro forma, bearing the heading "State Children
Department. Infant Life Protection Act". It contains information
recorded by an officer of the Department in December 1922, concerning the
applicant's birth mother and
the putative father, as conveyed to the officer by
the birth mother.The matter in issue (on both of the folios in
issue) consists of the Christian name and surname of the putative father (2
words).8. For the sake of completeness, I note that the remainder of
folios 44 and 46, to which the applicant was given access, disclose
the
following relevant details concerning the putative father: his occupation
(carpenter), marital status (single), religion (Methodist),
and place of
residence (East Brisbane). On folio 46, in response to a pro forma
question as to whether the putative father would support the applicant, the
answer recorded is that he would not, and that there
was no evidence of
paternity. Also on folio 46, under the heading "Remarks", the departmental
officer who completed the form wrote:
"This girl told me she did not
know[putative father's surname]'s address. I did not believe this as
he is the father of her first child."External review
process9. The present case is one of a number of applications
for external review which have been lodged by individuals in similar
circumstances
to the applicant, and in which the Department has refused to grant
access to identifying information concerning the putative father
of the
applicant for access. In view of the similarity of the issues raised by these
applications,I considered it appropriate to proceed by identifying a
suitable 'test case', and proceeding to make a determination in that case.
Other cases (including the present application) were held in abeyance, to be
determined on the basis of an application of the general
principles established
in the 'test case' to the particular circumstances of each of the cases held in
abeyance.10. My first selection as an appropriate test case raised
issues common to all of the applications, and had the advantage that the
applicant was represented by solicitors, and hence was well placed to address
all relevant issues. I forwarded a letter to the solicitors
representing the
applicant in that case, in which I canvassed at length the relevant issues as I
perceived them, and expressed the
preliminary view that the Department's
decision appeared to be justified.I invited the applicant's solicitors in
that case to lodge a written submission and/or evidence in support of their
case. As it turned
out, the applicant in that case decided not to contest the
preliminary view I had expressed, and the application for review was
withdrawn.11. I selected the present case as the alternative 'test
case', since it was the earliest application made in the group of cases which
raise common issues. By letter dated 12 January 1998,I conveyed to the
applicant my preliminary view that the matter in issue was exempt matter under
s.44(1) of the FOI Act, and my reasons
for having formed that preliminary view,
andI invited the applicant to lodge a written submission and/or evidence in
reply.12. In early February, a member of the applicant's family
telephoned a member of my investigative staff to advise that the applicant
did
not accept my preliminary view, and wished to lodge a written submission
addressing the matters discussed in my 12 January 1998
letter to the applicant.
However, on 19 June 1998, I received a letter from a solicitor who had been
assisting the applicant in
this matter, advising that no further submissions
would be made, either by the solicitor or by the applicant herself.13. In
formulating my decision and reasons for decision in this matter, I have had
regard to the matters discussed in the correspondence
between the applicant and
the respondent (as referred to in paragraphs 2-5 above), and the applicant's
12 May 1995 application for external review. Issue for
determination14. The sole issue to be determined in the present
external review is whether the Department has satisfied the onus which it bears,
under s.81 of the FOI Act, of establishing that the portions of folios 44 and 46
which have been withheld from the applicant, are
exempt matter under s.44(1) of
the FOI Act.Section 44 of the FOI Act - "Matter concerning
personal affairs"15. Section 44 of the FOI Act provides (so far
as relevant for present purposes):Matter affecting personal
affairs 44.(1) Matter is exempt matter if its
disclosure would disclose information concerning the personal affairs of a
person, whether living
or dead, unless its disclosure would, on balance, be in
the public interest. (2) Matter is not exempt under
subsection (1) merely because it relates to information concerning the personal
affairs of the person
by whom, or on whose behalf, an application for access to
a document containing the matter is being made.16. The s.44(1)
exemption clearly extends the scope of its protection to information concerning
the personal affairs of deceased persons.
In applying s.44(1) of the FOI Act,
one must first consider whether disclosure of the matter in issue would disclose
information
that is properly to be characterised as information concerning the
personal affairs of a person. If that requirement is satisfied,
a prima
facie public interest favouring non-disclosure is established, and the
matter in issue will be exempt, unless there exist public interest
considerations favouring disclosure which outweigh all identifiable public
interest considerations favouring non-disclosure, so as
to warrant a finding
that disclosure of the matter in issue would, on balance, be in the public
interest.17. In my reasons for decision in Re Stewart and Department
of Transport [1993] QICmr 6; (1993) 1 QAR 227,I identified the various provisions of the
FOI Act which employ the term "personal affairs" and discussed in detail the
meaning of
the phrase "personal affairs of a person" (and relevant variations
thereof) as it appears in the FOI Act (see paragraphs 79-114 of
Re Stewart).
In particular, I said that information concerns the "personal affairs of a
person" if it concerns the private aspects of a person's
life and that, while
there may be a substantial grey area within the ambit of the phrase "personal
affairs", that phrase has a well-accepted
core meaning which includes:
family and marital relationships;
health or ill-health;
relationships with and emotional ties to other people; and
domestic responsibilities or financial obligations.Whether or
not matter contained in a document comprises information concerning an
individual's personal affairs is essentially a question
of fact, based on a
proper characterisation of the matter in question.Whether the matter
in issue is information concerning the personal affairs of a
person18. At paragraph 9 of his 4 May 1995 reasons for decision, Mr
Smith stated that the name of an individual alone is not generally regarded
as
information concerning the personal affairs of the individual, but may be so
when the name is linked with some other information
of a personal nature. Mr
Smith then continued:10. Because disclosure of the name would
disclose more than merely a name, namely a link to his being named as the father
of a child,
I am prepared to accept that the matter is potentially exempt
pursuant to section 44(1) in that it is information concerning the personal
affairs of a person. ... [Mr Smith's emphasis]11. If the name
of a person named as being the father of another person is the personal affairs
of the first person, as has been concluded
in this case, it could be argued that
equally it is also the personal affairs of the child [in this matter, the
applicant] and I
make that finding.19. In Re "B" and Brisbane
North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279 at p.343,I acknowledged
that information can concern the personal affairs of more than one person.I
consider that Mr Smith was correct in his finding that the matter in issue is
properly to be characterised as information which
concerns the personal affairs
of the putative father, and which also concerns the personal affairs of the
applicant, for the purposes
of s.44(1) of the FOI Act.Applicability
of the s.44(2) exception20. At pp.343-345 (paragraphs 173-178) of
Re "B", I explained how s.44(1) and s.44(2) of the FOI Act apply to
information which concerns the personal affairs of the applicant for
access, and
which also concerns the personal affairs of another person. At paragraph 176 of
Re "B", I said:Where ... the segment of matter in issue is
comprised of information concerning the personal affairs of the applicant which
is inextricably
interwoven with information concerning the personal affairs of
another person, then:(a) severance in accordance with s.32
[i.e., to provide access to a document subject to the deletion of exempt
matter] is not practicable;(b) the s.44(2) exception does not
apply [for reasons explained at paragraphs 175-176 of Re "B"];
and(c) the matter in issue is prima facie exempt from
disclosure to the applicant according to the terms of s.44(1), subject to the
application of the countervailing public
interest test contained within
s.44(1).21. I consider that analysis to be directly relevant to the
present case. The matter in issue comprises information concerning the
personal
affairs of the putative father, inextricably interwoven with information
concerning the applicant's personal affairs. Accordingly,
the matter in issue
is prima facie exempt from disclosure to the applicant, subject to the
application of the public interest balancing test contained within
s.44(1).Application of s.44(1) public interest balancing
test22. The task of determining, after weighing competing interests,
where the balance of public interest lies, will depend on the nature
and
relative weight of the conflicting public interest considerations which are
identifiable as relevant in any given case. 23. I have previously
explained that the range of public interest considerations which may become
relevant in the application of exemption
provisions which incorporate a public
interest balancing test is not confined to those considerations given explicit
legislative
recognition in s.5 of the FOI Act (see Re Fotheringham and
Queensland Health [1995] QICmr 24; (1995) 2 QAR 799 at p.809, paragraph 23). I note,
however, that disclosure to the applicant of the matter in issue in folios 44
and 46 would not
advance the legislative objects specified in s.5(1)(a) or (b)
of the FOI Act (i.e., promoting open discussion of public affairs,
enhancing
government accountability, informing the community about government's
operations). The only possibly applicable legislative
object is that specified
in s.5(1)(c): providing members of the community with access to information held
by government in relation to them. 24. In her 13 July 1994
application for internal review, the applicant raised a number of specific
arguments as to why the matter
in issue should be disclosed to her. At
paragraph 7 of his reasons for decision, Mr Smith quoted the specific points
made in the
internal review application which Mr Smith considered relevant to
the application of the public interest balancing test:I met my
natural mother [*] five years ago, she was then 93 years of age, and
I was 66 years. We had discussed my birth and why I was given up for
adoption, and her consequent return to live with her family
at their property
[*]. We discussed my father, but she could not recall his name, saying
she had tried to put it all behind her. She had subsequently
married [*]
and had given birth to two more children [*], the same names she had
given to my brother and me [*], before our adoption. Her children born
after her marriage are [*]. I believe this indicated she had blotted out
our existence, along with the memory of our father, with the birth of the two
subsequent
children.She could not remember the exact date of my
birth, only that it was in December.Consider her age then 93 to 96
years. She told me my father had promised to marry her, but then after I was
born, he told her he
was already married.After finding [*]
there developed a close bond between us and regular contact and visits were
maintained up until her death in August 1993. When I
made contact with my
brother's adoptive family they said there was speculation in the area where they
lived as to who the father
was. I would rather know than speculate, my brother
is now deceased and was a bachelor with no descendants.From my point
of view I only wish to know what I believe is rightfully mine, the name of my
parents. I do not wish to cause any distress
nor make any gain other than
personal fulfilment by finding the name of my father. I feel there is an
anomaly in your finding which
protects an adult father, most probably now
deceased, but demonstrates no regard for his child [myself] now aged 71 years,
or those
of my three children, seven grandchildren and five
great-grandchildren.[*] - segments of identifying information
concerning the access applicant or her family members have been
deleted.25. In his reasons for decision, and the Issues Paper attached
thereto, Mr Smith identified and discussed at length a number of factors,
including those raised by the applicant, which he considered were relevant to
the determination of the public interest balancing
test in the group of FOI
access applications dealing with identifying information concerning putative
fathers. Mr Smith stated that
he recognised that some of the issues which he
identified overlap, some balance each other out, and others arguably should be
regarded
as irrelevant to the question of the public interest. The factors
identified and discussed by Mr Smith were:
social circumstances
credibility or accuracy of information
departmental practice
privacy
age of the person
age of documents
need to know
right to know
medical history and the like
incidents of history
sources of information
nature of the name itself
likelihood of search
effect of disclosure26. Mr Smith concluded that, on the
particular facts of the applicant's case, there were a number of public interest
factors which
supported her access application:
the information is of considerable age [72 years];
the applicant is of advanced age [72 years];
the social circumstances of the time;
the Department is the only practical source of the information;
the applicant has demonstrated a strong desire to know the information
through her comments which go to her sense of personal fulfilment
and relate to
what she sees as her rights and the rights of her family, as against the rights
of other parties. This factor is reinforced
on consideration of section 6 of
the FOI Act;
the applicant has indicated that she only wishes to know the name, she
does not wish to cause any distress or make any other gain
through receiving the
information.27. On the other hand, Mr Smith recognised two
factors which, in his view, supported a conclusion that disclosure to the
applicant
of identifying information concerning the putative father would not be
in the public interest:
the privacy of the named person; and
the credibility or accuracy of the
information.28. Mr Smith also referred (at paragraph 14 of
his reasons for decision) to the Department's general policy (see paragraph 5
above)
on the disclosure of identifying information concerning putative fathers,
which had been reaffirmed in the following terms:... identifying
information regarding putative fathers only be disclosed where paternity is
confirmed and provided there is no objection
to disclosure and contact lodged
under adoption legislation.29. Mr Smith expressed the view (at
paragraphs 20-21 of his reasons for decision) that there were significant
arguments as to why,
in the public interest, the matter in issue should be
disclosed to the applicant. However, he stated that the Departmental review
of
its general policy in such cases, which he had requested be undertaken in light
of the factors favouring disclosure of identifying
information in such cases,
had resulted in the reaffirmation of the Department's policy without any
material change. Accordingly,
Mr Smith said that, while the policy must be
considered in light of the merits of each individual case, it would be
inappropriate
to use the provisions of the FOI Act to effect a change in the
Department's general policy, and that he was therefore constrained
to apply the
Department's general policy (as quoted above), to refuse access to the matter in
issue. 30. In conclusion, Mr Smith noted (at paragraph 22 of his
reasons for decision):This is not an entirely satisfactory conclusion
of this matter and I consider there are grounds for me to refer this application
and
the class of applications in general to the relevant program manager in the
Department for further consideration. To elaborate this
view, I consider that
this matter is so sensitive that it should be dealt with not through the FOI
Act, but through an administrative
arrangement that considers each application
on its unique facts and, whether information is to be provided or denied, this
is done
in the context of professional services, including counselling and
support.31. I shall now discuss each of the factors identified by Mr
Smith in his 4 May 1995 internal review decision, and the Issues Paper
attached
thereto, as being relevant to the determination of where the balance of public
interest lies, specifically in terms of the
relative weight which I consider
should be afforded to each of those factors, and where, ultimately, I consider
the balance of public interest lies in the
specific circumstances of the present
case.Age of the matter in issue32. In flagging this
issue, Mr Smith stated (Issues Paper, item 6):In many situations the
sensitivity of documents reduces with age and in many situations documents are
regarded as able to be destroyed
or able to be publicly released after a certain
period of time. ...While these records are not destroyed or
available to the public because they represent someone's personal records, one
view is that
their sensitivity has decreased. An alternate view is that age
does not decrease the sensitivity of the particular information in
question.33. In Re Fotheringham, I considered the relevance
of the age of documents as a factor in determining the weight to be accorded, in
a particular case, to
the public interest in safeguarding the privacy of
personal affairs information. With respect to the age of the documents in issue
in Re Fotheringham, which were medical records concerning a deceased
person, recorded between the period 1919 to 1951, I stated (at p.812, paragraph
31):I accept that the age of the documents in issue is a relevant
factor. Privacy concerns in respect of deceased persons may lose their
potency
with the passage of time, such that even sensitive personal information
eventually reaches a stage where its primary interest
or significance is merely
historical. This is largely a question of degree. If, for example, [the
deceased person whose records were sought] had died in 1852 rather than 1952,
or a hundred years ago, I think that considerably less weight would be accorded
to the protection
of her privacy, even in respect of confidential medical
records.34. As indicated previously, the documents containing the
matter in issue in the present case were created in December 1922 (folio
46) and
February 1923 (folio 44). Assuming thatthe putative father was at least the
same age as the applicant's birth mother at the time(i.e., 26 years of age),
he would (if still alive) now be more than 100 years old. However, in all the
circumstances of the present
case, and given the particular nature of the matter
in issue, which has not been confirmed or acknowledged to be accurate, I
consider
that the sensitivity of that information is not diminished to any
significant degree, despite the passage of some 76 years since
the information
was recorded. I shall consider in greater detail below (see paragraphs 70-75)
the relevant considerations concerning
the potential invasion of privacy of the
putative father, or of members of his family (in the event that the matter in
issue were
to be released), which have led me to this view.Age of the
applicant35. In addressing this issue, Mr Smith stated (Issues
Paper, item 5) that arguments could be advanced as to the relevance, as well
as
the non-relevance, of the age of a particular access applicant. On one hand, Mr
Smith noted, the older an access applicant is,
the more likely it is that their
parents are dead, making the matter in issue arguably less sensitive. In
addition, recent changes
to adoption legislation had enabled access applicants,
in some cases, to gain access to identifying information concerning their
birth
mothers, but by the time the identifying information had been obtained, and the
individual traced, they had already died (thus
removing them as a possible
source of information concerning the identity of the access applicant's natural
father).36. On the other hand, Mr Smith noted that it could also be
argued that the sensitivity of the matter in issue could increase over
time:particularly among relatives of the person who had known the
person and lived a life with that person without the information that
the person
has been named [rightly or wrongly] as being the father of a child they knew
nothing about, and which information may
not be able to be confirmed if the
named person is dead.37. I consider that the age of the applicant does
not, to any significant degree, affect the continuing sensitivity of the matter
in issue. It is therefore not a factor which, in my view, is to be afforded any
substantial weight in determining where the balance
of public interest lies in
the present case.Incidents of history38. This factor,
according to Mr Smith's analysis (Issues Paper, item 8), is linked to the
previous issue, and is related primarily
to the timing of the change to
Queensland's adoption legislation (which took place in the early
1990's):It is likely that a number of applicants will continue for a
time to be persons of advanced years who by the time they obtain information
under the adoption legislation find that their mothers are dead. The mother
would have been the most likely source of information
in relation to their
father and should the mother be alive and apply for the information in question,
namely information she gave
at the time of birth of her child, she would get the
information under the FOI Act without deletion. Presumably therefore the mother
in those cases would most likely give this information to her child, though she
could also decide to withhold it.39. Specifically in relation to the
facts of the applicant's case, Mr Smith noted (at paragraphs 17 and 18 of his
reasons for decision):17. The information released to the applicant
under adoption law enabled her to trace her birth family and she has set out her
experiences
in meeting her mother and her brother's adoptive family. The
applicant has also presented a possible reason why her mother did not
or could
not provide her with the name of her birth father. Her mother is now deceased,
as is her brother. Now the Department remains
the only reasonable and clearly
available avenue for obtaining the information.18. There is also
a note on the papers released that the same man was the father of the applicant
and her brother. This raises a
question of whether one should suspect that the
name recorded may not be correct [the same person was named by the mother as
being
the father of the applicant and the father of her brother, yet she told
the applicant she could not recall his name]. A further
observation is that the
applicant was advised as fact on 10 March, 1989 that she had a "full brother".
Given the stated policy,
it is of interest that this statement was based only on
information given in the 1920s by the mother, unconfirmed and unacknowledged
by
the person named as being the father of both children.40. In his
analysis concerning this issue, Mr Smith stated as a matter of general principle
that a birth mother would, if alive, be
able to apply for the information in
question, namely information she gave at the time of birth of her child, and
would get the information
under the FOI Act without deletion. However, it would
seem to me that a birth mother would generally have no need to apply under
the
FOI Act to gain access to information which she herself had supplied to the
Department. Having said that, I do acknowledge that
an application under the
FOI Act to gain the information in issue might be appropriate in particular
circumstances, in which the
birth mother could not recall the information she
hadprovided to the Department. (The applicant contends that hers is such a
case, but the issue is hypothetical as her birth mother is
now deceased, and
therefore could not make such an application under the FOI
Act.)41. Further, Mr Smith's analysis proceeded on the basis that,
having gained access to the information in issue under the FOI Act,
the child's
mother could decide to withhold that information from her child, but that it was
"most likely" or "more probable than not" that the mother would
divulge that information to the child. In the present case, Mr Smith noted that
the applicant had provided
an explanation as to why her birth mother could not,
or would not, provide her with the information she sought (i.e., her birth
mother's
stated inability to recall the information). 42. I can accept
that in many situations a mother may be willing to divulge information of the
type in issue to her child, given the
passage of time since that information was
recorded.However, I can also conceive of a number of possible scenarios in
which a mother would not be amenable to disclosing that information
to her
child, despite the passage of time. 43. In the absence of any supporting
evidence, I consider that it is impossible to presume with any degree of
confidence what a mother
would be "most likely" to do in such a situation.In
all of the circumstances, I consider that this factor is too speculative to be
deserving of any substantial weight in determining
where the balance of public
interest lies.The Department as the only real source of the
information44. Mr Smith identified as another possibly relevant
factor (and one related to the previous point) the fact that, in view of the
death of the applicant's birth mother, the Department represents "the only
reasonable and clearly available avenue for obtaining the information"
(reasons for decision, paragraph 17). Without providing any detailed
analysis on the issue, Mr Smith determined that this factor was among the group
of factors which favoured
disclosure of the matter in issue.45. In my
view, this factor is irrelevant to the question for determination. In
determining whether there are public interest considerations
favouring
disclosure of the matter in issue to the access applicant, which are
sufficiently strong to outweigh those considerations
which tell in favour of
preserving the privacy of information concerning the personal affairs of the
putative father, it should not
matter whether or not other potential sources of
that information exist (unless another existing source effectively makes the
information
in issue a matter of public record, in which event the weight to be
accorded the relevant privacy interest will be diminished: see
Re
Fotheringham at pp.810-811; paragraphs 26-29).Social
circumstances46. Mr Smith indicated (Issues Paper, item 1) that at
the time the matter in issue was recorded, the father of a child born outside
of
marriage was not accorded any status in relation to the child (other than for
purposes of maintenance, which was not relevant
if adoption occurred).The
names of putative fathers were rarely recorded on birth registration forms, and
the individuals concerned were never contacted
or consulted in relation to such
children, and may not even have been aware of their existence.47. Further,
Mr Smith stated that, at the time the matter in issue was recorded, there were
certain social reasons why a mother might
not want to divulge the identity of
the father of a child born outside of marriage, and that there were known
instances of mothers
giving either the wrong name or a fictitious name when
asked to state the name of the child's father, and some instances of the
father's
name being recorded as unknown, or the mother refusing to divulge the
name of the father.48. Mr Smith correctly pointed out that both the
social climate and relevant legislation, in respect of children born outside of
marriage,
are now much different. The person named as the father of a child is
"more likely to know, is more likely to be involved and to have the
opportunity of expressing his views." Referring to my reasons for decision
in Re Stewart, in which I had stated (at paragraph 76) that
current community standards should be applied in determining whether information
concerns
the personal affairs of a person, Mr Smith considered that the same
approach should be applied in determining matters of public
interest.49. I accept that social mores change over time, and that
society's general attitude toward children born outside of marriage is,
in many
respects, very different from what it was at the time the matter in issue was
recorded (in 1922-1923). However, I also recognise
the existence of particular
situations, or elements of society, in which disclosure of information that a
person is stated to have
fathered a child outside marriage could still be viewed
as potentially damaging to the reputation or social status of the individual
in
question (eg., already married men, prominent public figures,
clergy).50. I note that in his internal review decision, Mr Smith stated
(at paragraph 14) that the existing Departmental policy on the release
of
identifying information concerning putative fathers is that such information
"can only be disclosed where paternity is confirmed
and provided there is no
objection to disclosure and contact lodged under adoption
legislation."51. The procedure for the lodging of an "objection to
disclosure and contact" to which Mr Smith referred is that provided for in the
Adoption of Children Act 1964 Qld (and specifically, Part 4A of that Act,
dealing with "Access to Identifying Information"). Under s.39AA(2) of that Act,
the only persons entitled to lodge an objection to disclosure of identifying
information are "a birth parent of an adopted
person, or an adopted person".
Section 39A of that Act defines "birth parent" in terms of the person(s) whose
consent to the adoption of an adopted person was given or dispensed
with in
accordance with the law of Queensland applicable to adoptions at the time when
the adoption took place. Under the relevant
law applicable in the circumstances
of the present case, in the case of an illegitimate child, the consent of the
child's mother
(if living in Queensland) was the only consent required.
Accordingly, under the relevant legislative scheme, the child's father,
whether
ascertained or putative, did not come within the definition of "birth parent",
and hence is a person to whom the scheme for
lodgment of an objection to the
disclosure of identifying information would be inapplicable.Since the only
relevant person who could lodge such an objection to disclosure and contact
would be the birth mother, the Department's
policy obviously proceeds on the
assumption that a birth mother who does not object to being identified to, and
contacted by, her
natural child, would be prepared to disclose to the child
details concerning the identity of the birth father. For the reasons stated
at
paragraphs 42-43 above, I do not believe that the assumption necessarily
follows.Need to know / Right to know52. In recognising the
relevance of an applicant's "need to know" in the class of applications under
consideration before him, Mr
Smith stated (Issues Paper, item 7):
...applicants have put this factor in terms of they themselves are
now advanced in years and need the satisfaction of knowing the
name stated to be
their father before they die. In most of the applications a strong desire, even
the need to know is a strong motivation
(eg. "So I can feel a complete person."
"Everyone else has rights but I have none even at my age; I need an identity; I
am not named
on either my birth mother's or adopted mother's death
certificates." "Don't you think it causes stress to me.").53. In the
applicant's case, Mr Smith stated (at paragraph 19 of his reasons for decision)
that the applicant had demonstrated a strong
desire to know the information in
issue, and that he considered this to be one of the factors which favoured a
finding that disclosure
of that information to the applicant would, on balance,
be in the public interest.54. Although not expressing a view on the
"right to know" issue, Mr Smith identified it as a relevant consideration, which
had some
overlap with other factors (Issues Paper, item 12):One view
is that there is an inherent right for a person to know who his/her parents are
unless otherwise prevented by law. Does
this right extend to knowing who
another person with knowledge has stated is that person's
parent?55. As I said in Re Stewart (at p.233, in parenthesis
under point (b) of paragraph 9), the issue of whether a document falls within
the terms of an exemption
provision is generally to be approached by evaluating
the consequences of disclosure of the document in issue to any person entitled
to apply for it (pursuant to the general right of access conferred by s.21 of
the FOI Act), or as is sometimes said, "to the world
at large", and I noted that
this general principle is appropriate because the FOI Act confers no power to
control the use to which
a person granted access to a document under the FOI Act
will put the document or information contained in it. Although there are
proper
exceptions to that general principle, it has particular force in the application
of s.44(1) of the FOI Act (see Re Pemberton and The University of Queensland
(1994) 2 QAR 293 at pp.369-370, paragraphs
168-169).56. Nevertheless, the caselaw which I reviewed in Re
Pemberton at pp.368-377 (paragraphs 164-193) establishes that, in an
appropriate case, there may be a public interest in a particular applicant
having access to information which affects or concerns that applicant to such a
degree as to give rise to a justifiable "need to
know" which is more compelling
than for other members of the public. Where the exemption provision under
consideration incorporates
a public interest balancing test, a public interest
consideration of the kind described may be taken into account, in an appropriate
case.57. Similar considerations underlie s.6 of the FOI Act, although
its operation is confined to documents containing matter which relates
to the
personal affairs of an applicant for access. Section 6 of the FOI Act
provides: 6. If an application for access to a
document is made under this Act, the fact that the document contains matter
relating to the personal
affairs of the applicant is an element to be taken into
account in deciding-- (a) whether it is in the public interest to
grant access to the applicant; and (b) the effect that the
disclosure might have.58. The relaxation (effected by s.6 of the FOI
Act) of the general principle of viewing release under the FOI Act as "release
to the
world at large" is ordinarily appropriate, in the case of an application
for access to matter concerning the personal affairs of
the access applicant,
because the access applicant is ordinarily the appropriate person to exercise
control over any use or wider
dissemination of information (obtained under the
FOI Act) which concerns the personal affairs of the access applicant. However,
that rationale carries less weight where the information in issue concerns the
'shared personal affairs' of the access applicant
and another individual,
because in such situations each individual concerned should have a measure of
control over the dissemination
of information which concerns their personal
affairs, and the access applicant should not be put in a position to control
dissemination
of information concerning the personal affairs of the other
affected individual unless such an outcome would, on balance, be in the
public
interest.59. Nevertheless, in the present case, the fact that the
information in issue concerns the applicant's personal affairs, and that
her
interest in obtaining access to it is more compelling than for other members of
the public, are considerations which tell in
favour of a finding that disclosure
to the applicant would on balance, be in the public interest, and they must
therefore be weighed
in the balance with other competing public interest
considerations.Medical information 60. Mr Smith stated
(Issues Paper, item 13) that "an argument has been raised in some situations
that the person needs to know details about their parents so that relevant
medical
information can be obtained." However, Mr Smith further noted that
this argument had not been a strong factor in any of the cases considered to
date, and "particularly with older people, would not seem to be particularly
relevant".61. I consider that it would be a rare case in which a
consideration of that kind would be entitled to any substantial weight in the
application of a public interest balancing test. Any argument based upon an
individual's need to establish medical history information
concerning their
parents presupposes the establishment of a biological link between the
individual seeking information and the person
identified as their parent.
However, the disclosure of the matter in issue would establish nothing more than
the name of an individual,
which, given the absence of acknowledgment or
confirmation of paternity, does not amount to proof of that person's biological
relationship
to the access applicant. The establishment of such a biological
link, and identification of any relevant medical history details,
could not be
achieved with that information in isolation, but would necessitate direct
contact with the person named, or other identifiable
family
members.Nature of the name62. Mr Smith stated (Issues
Paper, item 10) that the argument raised in connection with this issue related
to whether the name in
issue was common, or unusual. According to Mr
Smith,one point of view is that if the name which is sought (either the
Christian name or the surname, or both) is a common name, then it
could be
released without breaching the privacy of the person named (as it would not
specifically identify a particular individual).63. However, in relation to
this issue, Mr Smith further stated:While it is a principle worthy of
consideration, it would be unfair to a person whose named father happened to
have an unusual name.My view is that this factor is not relevant,
and should not affect the question of whether or not access is given to the
information.64. I agree with Mr Smith's analysis, and find that the
nature of the name in issue is not a relevant consideration in the application
of the public interest balancing test incorporated in
s.44(1).Likelihood of search/contact65. The relevant
considerations which Mr Smith identified in relation to this issue (Issues
Paper, item 11) were:There are some applicants where it is quite
obvious that their desire and perhaps their need is to actually find a person
and find
that part of their life. In relation to others, their primary goal
seems to be simply to know a name. Some who have obtained the
name have
expressed satisfaction that they have been provided with this information, that
they can now rest and they have no intention
of searching for the person or
causing concern for anyone.Some have offered to give undertakings
that they will not search for the person. That would be difficult to enforce
and would probably
be unfair. However, this view expressed by the applicant
might be taken note of.It would be difficult to prevent a person
or a relative of that person at another time searching and using the information
provided
to assist with that search. So, in general, this issue might not be
considered as relevant to the question at hand, however, it
may become relevant
if a person has demonstrated such a strong likelihood of search that harassment
of another person is more likely
than not.66. At paragraph 19 of his
reasons for decision, Mr Smith referred to the applicant's stated intentions in
this regard:The applicant has indicated that she only wishes to know
the name, she does not wish to cause any distress or make any other gain
through
receiving the information.67. However, I agree with Mr Smith's view
that any undertaking not to search for the person named (or any surviving
relatives) would
be unenforceable in practice. I also consider that an access
applicant's present stated intention not to initiate search efforts
would be
open to change at any time. I do not share Mr Smith's view that this issue is
irrelevant to the question at hand, unless
the likelihood of search is such that
"harassment of another person is more likely than not". I consider that
any search efforts which ultimately result in contact with the person named
could have a variety of negative effects,
short of harassment, which should be
taken into consideration. One such negative effect, which I consider in more
detail at paragraphs
74 below, is the effect which such contact may have upon
not only the person named, but also on other members of his family (if any),
where no biological link between that individual and the access applicant has
been established.Effect of disclosure68. In addressing this
issue (Issues Paper, item 14), Mr Smith stated that while there are possible
negative aspects of disclosure,
the possible positive aspects of such disclosure
should be recognised:If adoption reunion is able to be taken as a
guide, it seems more likely than not that reunion with a relative from whom
there has
been a long separation or even not ever known is more likely to be a
positive experience.69. There is no evidence before me of the types
of fact situations present in the cases referred to by Mr Smith in which
adoption
reunions have been positive experiences, and whether the facts of such
cases are at all similar to those in the present case. Thus
there is no
evidence before me on which to conclude that an adoption reunion is just as
likely to be a positive experience in a case
such as this, in which the
paternity of the putative father is unconfirmed, as in cases where the
identities of both birth parents
are known. Accordingly, I consider that this
factor cannot be afforded any substantial weight in determining where the
balance of
public interest lies in the present case.Privacy of the
named person70. Mr Smith stated (Issues Paper, item 4) that he
considered the privacy interest of the person named to be the major
consideration
weighing against disclosure of the matter in issue:The
major opposition to disclosure comes from the view that to do so may be an
invasion of the privacy of the person named, or in
the terms of the FOI Act
[section 5(2)(b)], that disclosure may have a prejudicial effect on his private
affairs.This view is reinforced by the issues raised above about
the accuracy of the information and the view that the person named may not
have
been aware of the pregnancy/birth. In this regard I have noted
the comments in Stewart's case that a consideration is that release of
documents affects who retains the capacity to control the documents and should
be regarded
as release to any applicant or to the "world at
large".This issue needs to be given significant weight as it is
possible that action taken on being given identifying information could cause
embarrassment, confusion or annoyance. It is the major issue that has to be
balanced against any competing public interests.71. I agree with Mr
Smith's analysis that this factor is one of the most significant considerations
weighing against disclosure of
the matter in issue. I consider it important to
reiterate, in this regard, that the Department's own policy on the disclosure of
identifying information concerning putative fathers does not permit the
disclosure of such information in cases in which paternity
has not been
acknowledged. Presumably, the rationale for this policy is concern for the
privacy rights of the person concerned,
in respect of information which has not
been acknowledged to be accurate. 72. As I have stated previously, it is
true that the privacy interest of individuals in particular information
concerning them may
diminish over a period of time, and may be outweighed if
there are public interest considerations of sufficient strength to warrant
a
finding that disclosure would, on balance, be in the public interest. However,
I consider that the nature of the information in
issue is such that the
person(s) concerned would still have a reasonable expectation of privacy in
respect of the information in
question (despite the passage of
time).73. Once again, I consider it important to emphasise that the
putative father is identified in the context of that individual having
been
stated by the birth mother to have fathered a child outside marriage some 76
years ago. The only information concerning the
putative father, as recorded in
the documents in issue, is that provided to the Department by the applicant's
birth mother. There
was no contemporaneous acknowledgment of paternity by the
person identified as the putative father, nor any court proceedings resulting
in
a declaration of paternity in respect of that individual. 74. Assuming
the putative father (whose name comprises the matter in issue) to be the
applicant's natural father, there is no independent
confirmation that he knew
about the birth mother's pregnancy, or the applicant's birth. He may already
have been married (as the
applicant states she was advised by her birth mother),
or may have subsequently married. In either case, that individual may well
have
gone on to have a family, whose members do not know that the putative father had
previously had a child. On the other hand,
the person named could, in fact,
have no biological link with the applicant, and may no longer be alive to
challenge his identification
as putative father. In either case, to release the
individual's name now would, in my view, constitute a significant incursion into
that individual's privacy. It may unfairly damage the reputation of the
putative father, or assuming (as is likely) that the person
named is now dead,
may unfairly tarnish his memory in the eyes of surviving family
members.75. For all of the above reasons, I consider that the privacy
interest of the person named is a highly significant factor, which must
be
accorded substantial weight in determining where the balance of public interest
lies in the present case.76. I consider it appropriate here to comment
on the question of consultation. In his internal review decision (at paragraphs
24-27),
Mr Smith commented on the question of consultation:24. Should
I have been minded to release the information, before coming to a final
conclusion as to whether the matter should be released
I would have needed to
consider the provisions of section 51(1) of the FOI Act as to whether disclosure
of the matter may reasonably be expected to be of substantial
concern to the person whose name the information is, or, if he is dead, to
his closest relative.25. This question raises further issues for
consideration in that if consultation were to proceed, the very act of
consultation may
breach the privacy principles involved. On the other hand,
some would say that in some circumstances, the person or a relative may
not
reasonably be expected to have a substantial concern. Another factor in this and
other like applications is that the named person
is more likely to be dead and
any consultation would then need to take place with the closest living relative,
to which status the
applicant, but for her adoption, may have a legitimate
claim. 26. The age of the information also raises the question of
what steps that are reasonably practicable to obtain the views of the
person concerned need to be taken? 27. I consider it is possible
to adequately comply with section 51(1) and that this should not be an obstacle
to release of the information.
However, this whole question of consultation
lends weight to the conclusion reached above, that this area should be dealt
with not
through the FOI Act but through a sensitive administrative
arrangement.77. While I accept that it may be possible to undertake
a process of consultation, I consider that it would raise certain practical
difficulties. As noted in the preceding excerpt from Mr Smith's internal
review decision, s.51 of the FOI Act requires that an agency which proposes to
give access to matter, the disclosure
of which may reasonably be expected to be
of substantial concern to a person, may only give access to such matter if it
has first
taken such steps as are reasonably practicable to obtain the views of
the person concerned about whether or not the matter is exempt
matter. Section
51(3) provides that "person concerned", in relation to a person who has died,
means the person's closest relative.78. Undertaking such consultation in
the circumstances of the present case would involve:
first, making the assumption that the putative father's name, as provided to
the Department by the applicant's birth mother, was not
fictitious; and
undertaking searches of public records such as electoral rolls, vital
statistics records (register of death certificates), and telephone
directory
listings, in an effort to locate the person named, or the closest relative of
that individual.79. In regard to the practicality of
undertaking searches of the public records mentioned above,I note
that:
even if the name provided by the applicant's birth mother is not fictitious,
there would be no way of establishing whether that individual
had remained in
Queensland (thus necessitating searches of interstate records); and
the closest relative of a deceased person may bear a different surname than
that of the deceased person.80. In addition to those practical
difficulties, I agree with Mr Smith that the very act of consultation would
involve a significant
intrusion into the lives of persons contacted, who may in
fact have no biological connection at all with the applicant. I consider
that
any consultation process undertaken in the present case would raise concerns
about invasion of privacy, of the type which I
have discussed
above.Credibility or accuracy of information (and inconsistent
Departmental practice)81. In his Issues Paper (item 2), Mr Smith
indicated that there may be uncertainty as to whether the matter in issue is
accurate,
and questioned whether this issue is relevant to the application of
the public interest balancing test in s.44(1). Mr Smith also
stated that the
Department's varying and inconsistent practice over the years, in respect of the
release of such information, "may support a view that this issue should not
be accorded a significant weighting".82. Mr Smith further stated (Issues
Paper, item 3) that different records of the Department contain information
about birth fathers
or putative fathers, and in a variety of such records the
information has come from a single, unconfirmed source - the mother of
the
child. As the Department's practice in relation to the release of such
information had not been consistent, Mr Smith indicated
that this raised an
issue of fairness, which had been one of the reasons for seeking clarification
of the Department's policy in
respect of the release of such
information.83. I consider that the decision as to whether information
of the type presently in issue should be disclosed to a particular access
applicant must be made on the basis of the specific fact situation present in
that individual's case. What may appear to be inconsistent
practices on the
part of the Department in respect of the disclosure of such information may well
reflect differing responses properly
tailored to the circumstances present in
individual cases. 84. As I have previously stated, while it is possible
that the person named as the applicant's putative father is her natural
father, it is also possible that he is not. In paragraph 15 of his internal
review decision, Mr Smith stated that he
had perused the relevant files, and
that there was no evidence that the person named as putative father had ever
acknowledged paternity,
or that he had known of the pregnancy or birth. On one
analysis of the facts of the present case, as recorded on the document in
issue,
the putative father knew of the pregnancy and birth, and had failed or refused
to indicate whether he was prepared to provide
for the applicant's support. On
another view, the birth mother provided information concerning the putative
father to the Department
without his ever being aware of the pregnancy and
birth.It could well be that the applicant's birth father (who may or may not
be the person named on the document in issue) did not know
of the applicant's
birth, and was never asked to acknowledge paternity or whether he was prepared
to provide for the applicant's
support. 85. In the circumstances of the
present case, I acknowledge that the birth mother could have genuinely been
unable to recall the identity
of the applicant's birth father, due to her
advanced age (93 years) at the time of her reunion with the applicant. I note
that at
the time the information recorded on folio 46 was provided to the
Department (in 1922), although expressing suspicion about the birth
mother's
statement that she did not know the putative father's address, the departmental
officer recording the information appeared
to accept the truthfulness of the
birth mother's identification of the putative father. However, in my view, the
officer's implicit
acceptance of the birth mother's identification of the
putative father cannot be taken as verification of the information provided
by
the applicant's birth mother, which remains uncorroborated. 86. Mr Smith
mentioned, but did not comment further upon, a proposal that the matter in
issue, should it be released, could be endorsed
with the following qualifying
statement: "the release of the name of the person named as being the child's
father does not in any way confirm that the person named is the applicant's
father, it is merely the name stated by the applicant's mother as being his/her
father." (Issues Paper, item 2).87. The difficulty which I have with
such a qualification is that it would not lessen the potential negative
consequences of release
for the putative father or his surviving relatives
(whichI have discussed at paragraph 74 above). Further, I consider that it
would not advance, in the manner contended for, any of the public
interest
considerations in favour of disclosure of the matter in issue.
Consideration of caselaw from other jurisdictions88. My
research has disclosed only one case, decided under Freedom of Information
legislation, in which the central issue was the
access applicant's entitlement
to gain access to the name of her putative father, as recorded in records
concerning the applicant
held by a government agency. That decision (Order No.
200-1997, 28 November 1997, unreported), by the Information and Privacy
Commissioner
of the Province of British Columbia, Canada, concerned an
application for review of a decision by the province's Ministry for Children
and
Families, to deny access to the name of the person identified in the access
applicant's adoption file as being her natural father.89. In support of
its decision to refuse to grant access to the information sought, the Ministry
submitted that the information in
issue may be inaccurate or unreliable. In
support of that submission, the Ministry filed affidavit evidence in which the
Supervisor
of the Adoption Section of the Ministry deposed that:
in her experience, it was not uncommon for birth fathers to be falsely named
by birth mothers;
birth mothers sometimes write letters in which they admit to falsely naming
the birth father;
birth fathers sometimes deny that they are the fathers during interviews
(the Supervisor acknowledging that some denials are false,
but that she believed
many to be credible).90. With respect to this issue, the
Information and Privacy Commissioner stated:... there is nothing in
the adoption records which would indicate a basis for questioning the accuracy
or reliability of the information
concerning the birth father in this case.
According to the original account of the birth mother, who is now deceased, the
birth
mother and father were engaged and had had a relationship of more than
several years. The father was then killed in the Korean War.
While I can
understand, given the sensitivity of illegitimacy, that some birth mothers may
develop a fictitious relationship, the
depth of detail available in this
adoption record concerning the father and his parents and the fact that the
adoption was handled
through a law firm militate against the conclusion that the
information is inaccurate or unreliable. The Ministry's concern that
the
information may be inaccurate or unreliable is speculative.I do
not consider the evidence of the Supervisor concerning her experiences with
other birth parents to provide a sufficient evidentiary
basis to conclude that
this record is not accurate or reliable ... Without some basis to question the
accuracy or reliability of
the specific information contained in this adoption
record, I am not prepared to conclude that the personal information is likely
to
be inaccurate or unreliable.91. Another factor cited by the Ministry
in support of its decision to refuse access was the privacy rights of the person
named; i.e.,
its concern "that disclosure of the information in dispute may
unfairly damage the reputation of the named father among "his surviving family
and
friends" ". The Information and Privacy Commissioner rejected the
Ministry's concern in this regard, on the basis of the detailed information
recorded in the applicant's adoption records:Given that, in this case,
the named individual was relatively young when he died, has likely been dead for
forty-six years, there
are no living siblings, the parents would be in their
nineties (and therefore may not be alive) and the identities of former friends
are unknown, I find that the prospects for unreasonable invasion of the privacy
of the named father are extremely remote.In the result, the
Information and Privacy Commissioner directed the Ministry to give the applicant
access to the name of her "alleged"
father.92. I consider the outcome in
that case to have been justifiable on its particular facts. However, that fact
situation is readily
distinguishable from the circumstances of the present
case.Whereas the record before the Information and Privacy Commissioner
contained extensive evidence verifying the relationship between
the birth mother
and the individual named as the birth father, there is no evidence in the
present case to corroborate the birth
mother's identification of the person
named as the applicant's putative father. Further, in the present case, there
is no evidence
that the applicant's natural father (who may or may not be the
individual whose name is in issue) died young, without leaving family
or
friends. Indeed, as recorded at paragraph 24 above, the applicant's natural
father was apparently already married at the time
of his relationship with the
applicant's birth mother. If so, that individual may well have descendants, or
other family members,
still living.93. Given the significant factual
differences noted above, I find nothing in the British Columbia Information and
Privacy Commissioner's
analysis of the issues in the case before him which
alters my assessment of the relative weight to be accorded to the various public
interest considerations which I have identified as being relevant in the
application of the public interest balancing test in s.44(1)
of the FOI Act to
the matter in issue in the present
case.Conclusion94. This case calls for the exercise of
judgment on some difficult issues concerning sensitive and personal matters:
issues on which,
I suspect, reasonable minds might well differ.I sympathise
with the applicant's concern at not knowing the identity of her birth
father.However, after examining all of the factors which I consider to be
relevant, including the competing public interest considerations
discussed in
detail above, I am not satisfied that the public interest considerations which
favour disclosure to the applicant of
the matter in issue are strong enough to
outweigh the public interest (inherent in the satisfaction of the test for
prima facie exemption under s.44(1) of the FOI Act) in safeguarding the
privacy of information concerning the personal affairs of a person other
than
the applicant for access.I am not satisfied that disclosure of the matter in
issue would, on balance, be in the public interest. Accordingly, I find that
the matter in issue is exempt matter under s.44(1) of the FOI Act.
Decision95. For the foregoing reasons, I affirm
the decision under
review..........................................F N
ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Jose and Queensland Police Service [2014] QICmr 7 (7 March 2014) |
Jose and Queensland Police Service [2014] QICmr 7 (7 March 2014)
Last Updated: 7 August 2014
Decision and Reasons for Decision
Citation: Jose and Queensland Police Service [2014] QICmr 7
(7 March 2014)
Application Number: 311779
Applicant: Jose
Respondent: Queensland Police Service
Decision Date: 7 March 2014
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS
- CONTRARY TO PUBLIC INTEREST INFORMATION - information
exchanged between
managers about the applicant - administration of justice - agency’s
management functions - personal information
and privacy - whether disclosure of
the information would, on balance, be contrary to the public interest - section
67(1) of the Information Privacy Act 2009 (Qld) and sections 47(3)(b) and
49 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Queensland Police Service (QPS) under the
Information Privacy Act 2009 (Qld) (IP Act) for access to a report
about his employment (Report).
QPS
located the Report and released it in full to the
applicant.[1] The
applicant sought internal review on the basis that QPS had not located the two
attachments mentioned in the Report. QPS subsequently
located the attachments
and decided[2] to
release Attachment 1 and refuse access to Attachment 2.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of QPS’s decision to refuse access to Attachment 2.
For
the reasons set out below, I vary QPS’s decision and find that access to
Attachment 2 may be refused under section 67(1)
of the IP Act and section
47(3)(b) of the Right to Information Act 2009 (Qld) (RTI Act) on
the basis that disclosure would, on balance, be contrary to the public interest
under section 49 of the RTI Act.
Background
Significant
procedural steps are set out in the Appendix.
Reviewable decision
In
its internal review decision dated 27 August 2013, QPS indicated that it
intended to make a separate healthcare
decision[3] in relation
to Attachment 2. As no subsequent healthcare decision was made, the decision
under review is QPS’s deemed decision
to refuse access to Attachment
2.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are disclosed in these reasons (including
footnotes and Appendix).
Information in issue
The
information in issue is Attachment 2 which is a response provided by the
applicant’s then supervisor at the request of the
author of the
Report.[4]
Relevant law
Under
the IP Act, an individual has a right to be given access to documents of an
agency which contain the individual’s personal
information.[5] This
right of access is subject to some limitations, including that an agency may
refuse access to information where its disclosure
would, on balance, be contrary
to the public
interest.[6]
The
term public interest refers to considerations affecting the good order
and functioning of the community and government affairs for the well-being of
citizens.
This means that in general, a public interest consideration is one
which is common to all members of, or a substantial segment of,
the community,
as distinct from matters that concern purely private or personal interests.
However, there are some recognised public
interest considerations that may apply
for the benefit of an individual.
Findings
Where does the balance of the public interest lie in this matter?
In
assessing the public interest in this matter, I have considered all of the
applicant’s submissions. I am satisfied that disclosing
Attachment 2 to
the applicant would, on balance, be contrary to the public interest, for the
reasons set out below.
Irrelevant factors
No
irrelevant factors arise in the circumstances of this case.
Factors favouring disclosure
Personal information of the applicant
Attachment
2 is about the applicant’s employment with QPS and is therefore his
personal information;[7]
this raises a public interest factor favouring
disclosure.[8] Given
the context in which the information was given and the particular nature of the
information, the public interest in the applicant
having access to his personal
information is high.
Transparency and accountability
A
public interest factor in favour of disclosure will arise where disclosure of
information could reasonably be expected to enhance
government accountability
and provide reasons or background information for government
decisions.[9] QPS has
released complete copies of the Report and Attachment
1[10] to the
applicant. To the extent those documents set out issues relating to the
applicant’s employment and any associated recommendations
made by QPS, I
consider the above public interests have been significantly discharged. However,
I acknowledge that these factors
may be further advanced through disclosure of
Attachment 2 and therefore, I afford them moderate weight in favour of
disclosure.
Administration of justice
There
are public interest factors favouring disclosure if disclosing information could
reasonably be expected to contribute to the
administration of justice for a
person, including by providing procedural
fairness.[11]
The
applicant contends that Attachment 2 is defamatory and that he has made a
complaint of workplace bullying and victimisation through
false reports. The
applicant submits that Attachment 2 is required to prove his complaint. I have
therefore considered whether disclosure
of Attachment 2 would assist the
applicant in pursuing legal action in this regard.
In
Willsford and Brisbane City
Council[12]
the Information Commissioner discussed the public interest in the
administration of justice in the context of allowing a person with
an actionable
wrong to pursue a remedy. The Information Commissioner found that this factor
can arise if an applicant demonstrates
that:
they have
suffered loss or damage or some kind of wrong, in respect of which a remedy is,
or may be, available under the law
they have a
reasonable basis for seeking to pursue the remedy; and
disclosing the
information would assist the applicant to pursue the remedy, or to evaluate
whether a remedy is available or worth
pursuing.[13]
On
the evidence before me, I am not satisfied that the applicant has demonstrated
the above elements in this matter. It is evident
from the applicant’s
submissions that he did not need Attachment 2 to lodge a complaint with the
Anti-Discrimination Commission
of Queensland as a proceeding has already been
commenced. In addition, Attachment 2 comprises the opinions and observations of
the
author in relation to the operational capacity of the applicant. While I am
unable to provide any further description of Attachment
2,[14] I am not
satisfied that disclosure of this information will enable the applicant to
pursue a legal remedy or evaluate whether the
remedy is available.
The
applicant also contends that “it is in the public interest for a full
and frank disclosure of all documentation relating to allegations made against
[him].” I have therefore considered whether disclosure of
Attachment 2 would afford the applicant procedural fairness in his dealings with
QPS about his employment.
The
type of information contained within Attachment 2 is in the nature of a
supervisor providing a superior officer with their observations
of a subject
officer within the workplace. This type of information can be distinguished from
matters involving adverse allegations
against a subject officer in the context
of a workplace grievance. In that situation, procedural fairness generally
requires that
the substance of the allegations be put to the subject officer
before, and or, during the investigation.
As
noted in paragraph 15, the Report and Attachment 1 have been released to the
applicant and, to the extent they set out issues relating
to the
applicant’s employment and any associated recommendations made by QPS, I
consider the public interest in relation to
the administration of justice has
been discharged. Having carefully considered Attachment 2, I am satisfied that
its disclosure would
not further the applicant’s procedural fairness in
his dealing with QPS about his employment.
I
therefore find that the public interest factor in relation to the administration
of justice does not arise here.
Incorrect or misleading information
A
public interest factor favouring disclosure also arises where disclosure could
reasonably be expected to reveal the information
was incorrect or
misleading.[15]
The
applicant argues that Attachment 2 “contains falsehoods, embellishment
of facts and exaggerations and which was written in such a way to achieve the
end result
that [the author] desired, which was having me forced out of
the QPS.”
While
I am prohibited from disclosing the content of Attachment 2 in the
review,[16] it can
broadly be described as the opinions and observations of the author in relation
to the operational capacity of the applicant.
On the information available to
me, I am not satisfied that the QPS’s record of these opinions and
observations is inaccurate
or misleading. I therefore find that the public
interest factor in relation to revealing that information was incorrect or
misleading
does not arise here.
Factors favouring nondisclosure
Prejudice to an agency’s management functions
QPS
has submitted that disclosure of Attachment 2 could reasonably be expected to
prejudice its management function of QPS and cause
a public interest harm by
adversely affecting the management or assessment by QPS of its
staff.[17] QPS has
confirmed that the applicant’s supervisor was ‘fulfilling a
management function of QPS when he submitted this information ...’
QPS has raised concerns that if managers knew that such information would be
disclosed, they may be less cooperative in providing
frank responses to their
superiors.
In
any workplace, supervisors have a responsibility to lead and support their
employees and address particular issues arising in relation
to individual
employees. To effectively perform these functions, supervisors must be able to
openly discuss issues impacting their
area of responsibility with senior
management. I am satisfied that disclosing Attachment 2 could reasonably be
expected to affect
QPS’s management function in that supervisors may, in
the future, be reluctant to candidly engage in the management of employment
issues. In the circumstances of this case, I consider that significant weight
should be given to these factors in favour of nondisclosure.
Personal information of third party
The
information also contains the personal information of the applicant’s
supervisor; the author of Attachment 2. This raises
factors favouring
nondisclosure in relation to privacy and safeguarding personal
information.[18]
The
applicant contends that the information contained within Attachment 2 is not the
“private and personal information [of the author], but is
readily known to the general police population” as it is the
author’s knowledge of the applicant and there is nothing in Attachment 2
which “would in any way impact adversely on [the
author]”.
Generally,
information created in the course of a person’s employment is considered
to be their routine personal work
information[19] and as
such, does not attract a high privacy interest and the harm arising from
disclosure is considered to be low. However, I do
not consider this is the case
in relation to Attachment 2. Given the particular character of the information
provided by the author,
I am satisfied that it is not of a routine nature and
the harm which could result from disclosure is high. I therefore consider that
significant weight should be given to these factors in favour of
nondisclosure.
Balancing the public interest
In
this case, the factors favouring disclosure are not of insignificant weight.
The applicant’s ability to access his personal
information carries a high
weight and the accountability and transparency factors would be somewhat further
advanced by disclosure
of Attachment 2. However, the factors favouring
nondisclosure carry significant weight. In particular, I consider that the
prejudice
to QPS’s management function would be substantial if the
particular type of information in Attachment 2 was disclosed.
Having
carefully considered all of the information available to OIC and the relevant
public interest factors discussed above, I am
satisfied that the factors
favouring disclosure are outweighed by the factors favouring nondisclosure.
Accordingly, disclosure of
Attachment 2 would, on balance, be contrary to the
public interest.
DECISION
I
vary the QPS’s deemed decision and find that access to Attachment 2 may be
refused on the basis that disclosure would, on
balance, be contrary to the
public interest under sections 47(3)(b) and 49 of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.
________________________
JS Mead
Right to Information Commissioner
Date: 7 March 2014
APPENDIX
Significant procedural steps
Date
Event
8 July 2013
QPS received the access application.
25 July 2013
QPS issued a decision on the access application.
9 August 2013
QPS received the internal review application.
27 August 2013
QPS issued its internal review decision.
16 October 2013
OIC received the applicant’s application for external review and
sought processing information from QPS.
23 October 2013
QPS provided copies of documents relating to the processing of the access
application, the Report, Attachment 1 and Attachment 2.
30 October 2013
OIC telephoned QPS to ascertain whether a separate healthcare decision had
been made. QPS advised that no healthcare decision was
made.
1 November 2013
OIC asked QPS to provide a submission setting out reasons why it considered
access to Attachment 2 should be refused.
OIC also wrote to the applicant and advised that enquiries were being made
to assist OIC in considering whether to exercise discretion
to extend the time
for the applicant to apply for external review.
6 November 2013
OIC received a submission from the applicant.
8 November 2013
OIC notified the applicant and QPS in writing that the external review had
been accepted out of time. OIC also asked QPS to provide
the submission in
relation to its decision.
20 November 2013
OIC received QPS’s submission.
4 December 2013
OIC wrote to QPS and requested a further submission.
11 December 2013
OIC received QPS’s further submission.
7 February 2014
OIC wrote to the applicant conveying a preliminary view that disclosure of
Attachment 2 would, on balance, be contrary to the public
interest and invited
him to provide a submission supporting his case.
21 February 2014
OIC received the applicant’s submission.
[1] Dated 25 July
2013.[2] Dated 27
August 2013.[3] In
accordance with sections 51 and 30(5) and (6) of the RTI
Act.[4] Section 121
of the IP Act provides that the Information Commissioner must not, in a
decision, or in reasons for a decision, on an
external review, include
information that is claimed to be contrary to public interest
information.[5]
Section 40 of the IP Act.
[6] Under section
67(1) of the IP Act and section 47(3)(b) of the RTI Act. Section 49 of the RTI
Act sets out the steps to take in deciding
the public interest. Schedule 4 of
the RTI Act sets out various public interest factors for and against disclosure
which may be
relevant in deciding where the balance of the public interest
lies.[7] Personal
information is defined in section 12 of the IP Act as
“information or an opinion... whether true or not... about an
individual whose identity is apparent, or can reasonably be ascertained,
from
the information or
opinion”.[8]
Schedule 4, part 2, item 7 of the RTI Act.
[9] Schedule 4, part
2, items 1, 10 and 11 of the RTI
Act.[10] An
assessment of the applicant’s performance by his supervisor during a
secondment.[11]
Schedule 4, part 2, item 16 and 17 of the RTI Act.
[12] Willsford
and Brisbane City Council (Unreported, Queensland Information Commissioner,
27 August 1996) (Willsford).
[13]
Willsford at paragraph 17.
[14] See footnote
3.[15] Schedule 4,
part 2, item 12 of the RTI
Act.[16] See
footnote 3.[17]
Schedule 4, part 3, item 19 and part 4, section 3(c) of the RTI
Act.[18] Schedule
4, part 3, item 3 and part 4, section 6(1) of the RTI
Act.[19] Routine
personal work information is information that is solely and wholly related to
the routine day to day work duties and responsibilities
of a public service
officer. See OIC’s guideline Routine personal work information of
public servants available on OIC’s website http://www.oic.qld.gov.au/guidelines/for-government/access-and-amendment/processing-applications/routine-personal-work-information-of-public-sector-employees.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Villanueva and Queensland Nursing Council [2000] QICmr 2 (26 April 2000) |
Villanueva and Queensland Nursing Council [2000] QICmr 2 (26 April 2000)
Last Updated: 18 January 2006
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 02/2000
Application S 76/98
Participants:
MARIA M VILLANUEVA
Applicant
QUEENSLAND NURSING COUNCIL
Respondent
A MIDWIFE
MS SIMONE TALBOT DR MICHAEL GORDON Third Parties
DECISION AND REASONS FOR DECISION
FREEDOM OF INFORMATION - refusal of access - documents relating to an
investigation by the respondent of a complaint made by the applicant
about the
professional conduct of a midwife - whether disclosure of the matter in issue is
prohibited by s.139 of the Nursing Act
1992 Qld - consideration of s.16 and s.48 of the Freedom of
Information Act 1992 Qld. FREEDOM OF INFORMATION - refusal of access -
whether disclosure could reasonably be expected to prejudice the
effectiveness
of a lawful method or procedure for preventing, detecting,
investigating or dealing with a contravention or possible contravention
of the
law - application of s.42(1)(e) of the Freedom of Information Act 1992
Qld.
FREEDOM OF INFORMATION - refusal of access - whether disclosure would
disclose information concerning the personal affairs of the
midwife - whether
disclosure would, on balance, be in the public interest - application of s.44(1)
of the Freedom of Information Act
1992 Qld.
FREEDOM OF INFORMATION - refusal of access - whether disclosure would
disclose information of a confidential nature that was communicated
in
confidence, the disclosure of which could reasonably be expected to prejudice
the future supply of such information - whether
disclosure would, on balance, be
in the public interest - application of s.46(1)(b) of the Freedom of
Information Act 1992 Qld.
ii
Freedom of Information Act 1992 Qld s.8, s.16, s.42(1)(e), s.43(1),
s.44(1), s.46(1)(b), s.48, s.76(1), s.78(2), s.85(1), s.92(1)
Freedom of Information (Review of Secrecy Provision Exemption) Amendment
Act 1994 Qld
Freedom of Information Act 1982 Vic s.33(1)
Judicial Review Act 1991 Qld
Medical Act 1939 Qld
Nursing Act 1992 Qld s.103(2), s.103(4), s.103(5)(a), s.109, s.139,
s.139(3)
Whistleblowers Protection Act 1994 Qld s.55(1)
Anderson and Australian Federal Police, Re [1986] AATA 79; (1986) 4 AAR 414
Annetts v McCann [1990] HCA 57; (1990) 170 CLR 596; 65 ALJR 167
"B" and Brisbane North Regional Health Authority, Re [1994] QICmr 1; (1994) 1 QAR
279
Cannon and Australian Quality Egg Farms Limited, Re [1994] QICmr 9; (1994) 1 QAR
491
Director-General, Department of Families, Youth and Community Care
and
Department of Education; Perriman (Third Party), Re [1997] QICmr 2; (1997) 3 QAR
459
Esso Australia Resources Ltd v Commissioner of Taxation [1999] HCA 67; (1999) 74 ALJR
339
Godwin and Queensland Police Service, Re [1997] QICmr 11; (1997) 4 QAR 70
Goldberg v Ng (1994) 33 NSWLR 639
Goldberg v Ng [1995] HCA 39; (1995) 185 CLR 83
Griffith and Queensland Police Service, Re [1997] QICmr 13; (1997) 4 QAR 110
Kavvadias v Commonwealth Ombudsman [1984] FCA 55; (1984) 52 ALR 728
Lapidos and Auditor-General of Victoria, Re (1989) 3 VAR 343
McCann and Queensland Police Service, Re [1997] QICmr 10; (1997) 4 QAR 30
McEniery and Medical Board of Queensland, Re [1994] QICmr 2; (1994) 1 QAR 349
Ng v Goldberg (Supreme Court of New South Wales, No. 5342 of 1989,
No. 4995 of 1990, Powell J, 2 March 1993, unreported)
"NHL" and The University of Queensland, Re [1997] QICmr 1; (1997) 3 QAR 436
Pemberton and The University of Queensland, Re (1994) 2 QAR 293
Pope and Queensland Health, Re [1994] QICmr 16; (1994) 1 QAR 616
State of Queensland v Albietz [1996] 1 Qd R 215
Stewart and Department of Transport, Re [1993] QICmr 6; (1993) 1 QAR 227
"T" and Queensland Health, Re [1994] QICmr 4; (1994) 1 QAR 386
University of Melbourne v Robinson [1993] VicRp 67; [1993] 2 VR 177
DECISION
I set aside the decision under review (being the decision made on behalf of
the respondent by Mr J O'Dempsey on 2 April 1998). In
substitution for it, I
decide that the matter in issue (as described in paragraph 23 of my accompanying
reasons for decision) does
not qualify for exemption from disclosure to the
applicant under the Freedom of Information Act 1992 Qld, except for the
following information which I find is exempt matter under s.44(1) of the
Freedom of Information Act 1992 Qld -
(a) the 26th-32nd words appearing in the final paragraph on page 1 of
document 6;
(b) the first full sentence appearing on page 2 of document 6;
(c) the 5th-9th words of the fifth sentence, and the last eight words of the
seventh sentence, as contained in the first paragraph
appearing under the
heading "Our client's nursing experience" in document 8.
Date of decision: 26 April 2000
......................................................... F N ALBIETZ
INFORMATION COMMISSIONER
TABLE OF CONTENTS
Page
Background
.................................................................................................................
1
External review process
..............................................................................................
2
Matter in issue
.............................................................................................................
5
Submission that s.139 of the Nursing Act prohibits disclosure
of the matter in issue 6
Application of s.42(1)(e) of the FOI Act
.....................................................................
11
Application of s.43(1) of the FOI Act
.........................................................................
13
Application of s.44(1) of the FOI Act
.........................................................................
14
Public interest balancing test
.............................................................................
19
Application of s.46(1)(b) of the FOI Act
.................................................................... 19
(a) matter of a confidential nature
..................................................................... 20
(b) that was communicated in confidence
.......................................................... 20
Submissions of the midwife, the QNC and the QNU
.................................... 21
Submissions of Ms Talbot
...........................................................................
25
Submissions of Dr Gordon
..........................................................................
27
(c) the disclosure of which could reasonably be expected to prejudice the
future supply of such information
................................................................ 30
Submissions of the midwife, the QNC and the QNU
.................................... 30
Submissions of Ms Talbot
...........................................................................
33
Submissions of Dr Gordon
..........................................................................
33
Public interest balancing test
.............................................................................
35
Conclusion
...................................................................................................................
37
OFFICE OF THE INFORMATION COMMISSIONER (QLD)
Decision No. 02/2000
Application s 76/98
Participants:
MARIA M VILLANUEVA
Applicant
QUEENSLAND NURSING COUNCIL
Respondent
A MIDWIFE
MS SIMONE TALBOT DR MICHAEL GORDON Third Parties
REASONS FOR DECISION
Background
1. The applicant seeks review of the decision of the Queensland Nursing
Council (the QNC) to refuse her access, under the Freedom of Information Act
1992 Qld (the FOI Act), to certain documents and parts of documents that
relate to a complaint which the applicant made to the QNC about
the professional
conduct of a midwife.
2. On 22 December 1994, the applicant gave birth to a stillborn
baby at Ipswich General Hospital. The birth took place
under the supervision
of a registered midwife employed by the Hospital. While it is not necessary for
the purposes of this decision
to discuss in detail the events surrounding the
birth, I should note that it is clear from the material before me that the
applicant
believes that her baby was alive at the time the applicant was
admitted to the Hospital's Maternity Unit. The applicant believes
that the
actions of the midwife during the delivery caused or contributed to the baby's
death.
3. On 3 January 1997, the applicant lodged a complaint with the QNC regarding
the midwife's actions during the delivery of the applicant's
baby. The QNC has
responsibility under the Nursing Act 1992 Qld for regulating compliance
by Queensland nurses with proper standards of professional conduct. A person
aggrieved by the conduct
of a nurse, midwife et cetera is entitled to
make a written complaint to the QNC, and the QNC may cause an investigation to
be conducted into the conduct of the
nurse, midwife et cetera. At the
conclusion of its
2
investigation, the QNC must decide whether there is substance to the
complaint and whether any further action should be taken in respect
of the
complaint.
4. The QNC conducted an investigation of the applicant's complaint under the
Nursing Act, which included interviewing the applicant and the midwife,
and others present in the maternity unit on the day in question, as well
as
obtaining expert opinion regarding the midwife's actions during the delivery.
At the conclusion of its investigation,
the QNC decided that the
midwife's actions did not contribute to the death of the applicant's baby, and
therefore decided not
to bring a disciplinary charge against the midwife under
the Nursing Act.
5. By application dated 2 January 1998, the applicant applied to the QNC for
access under the
FOI Act to:
Records, information, reports, etc, in full, in relation to the
investigation undertaken by Mrs Lisa Harrison - Nurse advisor - investigator
appointed by the QNC regarding the conduct of [the midwife].
...
Complaint made to the QNC - 3 - January 1997 concerning conduct of
[the midwife] during management of the labour and delivery of my
baby
(stillborn) on 22 December 1994. - Documents held by the QNC.
6. By letter dated 5 March 1998, Ms S Henry, the QNC's FOI
Coordinator, advised the applicant that she had decided to
give the applicant
access to a number of documents falling within the scope of the applicant's FOI
access application, but that she
had decided that other documents were exempt
from disclosure, in whole or in part, under s.43(1) or s.46(1)(b) of the FOI
Act. On
26 March 1998, the applicant wrote to the QNC seeking internal review
of Ms Henry's decision. Mr J O'Dempsey, Executive Officer
of the Council,
conducted the internal review and, by letter dated 2 April 1998, informed the
applicant that he had decided to affirm
Ms Henry's decision.
7. By letter dated 22 May 1998, the applicant applied to me for review, under
Part 5 of the FOI Act, of Mr O'Dempsey's decision.
External review process
8. Copies of the matter in issue were obtained and examined. The midwife who
was the subject of the applicant's complaint to
the QNC was informed of
my review, and, through her solicitors (Roberts & Kane) she applied for,
and was granted, status
as a participant in this review, in accordance with
s.78(2) of the FOI Act.
9. On 29 June 1998, I wrote to the applicant to advise her that I had formed
the preliminary view that some of the matter in issue
qualified for exemption
under s.43(1) of the FOI Act - legal professional privilege. The applicant
accepted my preliminary view
in that regard, and that matter is no longer in
issue in this review.
10. Also on 29 June 1998, I wrote to the QNC to convey my preliminary view
that one document claimed by the QNC to be exempt from
disclosure under s.43(1)
of the FOI Act did not qualify for exemption under that provision. I also
conveyed my preliminary view
that, on the basis of the material then before me,
the bulk of the matter in issue claimed to be exempt from disclosure under
s.46(1)(b)
of the FOI Act did not appear to qualify for exemption under that
provision. So that I could give detailed consideration to the
QNC's claim for
exemption under s.46(1)(b), I asked the QNC, and the officer who conducted the
investigation into the
3
complaint lodged by the applicant with the QNC (a Ms Harrison) to provide me
with written submissions/evidence in relation to a number
of matters concerning
the investigation.
11. Mr O'Dempsey responded on behalf of the QNC by letter dated 7 July 1998.
He declined to provide the submissions/evidence I had
requested due to the
expense which he contended would be involved in preparing that material, in
addition to the fact that Ms Harrison
was absent on maternity leave. Mr
O'Dempsey stated that, while the QNC did not resile in any way from its reliance
upon s.43(1)
and s.46(1)(b) of the FOI Act, it now also wished to rely on
s.42(1)(e) of the FOI Act in claiming exemption from disclosure in respect
of
the matter in issue. Mr O'Dempsey also made a number of observations regarding
the QNC's investigative procedures.
12. I responded to the matters raised by Mr O'Dempsey in a letter to the QNC
dated 23 July 1998. I expressed the preliminary view
that none of the matter in
issue qualified for exemption under s.42(1)(e) of the FOI Act. I also
addressed a number of
the issues raised by Mr O'Dempsey regarding the
procedures followed by the QNC in conducting investigations of complaints.
13. Mr O'Dempsey then requested a meeting with the case officer in charge of
the preliminary investigation in this review. That
meeting took place on 28
August 1998 and was attended by the QNC's solicitor. As part of the purpose of
the meeting was to discuss
the matter in issue, and the application to it of the
relevant exemption provisions relied upon by the QNC, it was not possible to
invite the applicant to attend that meeting. As a result of the meeting, Mr
O'Dempsey stated that, while the QNC was not prepared
to withdraw its claim for
exemption, it would give consideration to preparing a summary of the QNC's
findings regarding its investigation
into the midwife's conduct, and to
providing the applicant with a copy of that summary, in an effort to give the
applicant some more
information regarding the QNC's findings. That summary was
provided to the applicant (with the midwife's consent) during the course
of
the review; however, the applicant indicated that she nevertheless
wished to continue to pursue access to the matter
in issue.
14. On 4 September 1998, I wrote to the midwife's solicitors to convey to
them my preliminary view that the bulk of the matter in
issue did not qualify
for exemption from disclosure to the applicant under the FOI Act. In the event
that the midwife did not accept
my preliminary view, I invited her solicitors to
lodge written submissions and/or evidence in support of her case for exemption
of
the matter in issue.
15. In response, the midwife's solicitors advised me that their client did
not accept my preliminary view. They provided a 25 page
submission, dated 1
October 1998, in support of their client's claim that the matter in issue
qualified for exemption under s.44(1)
and s.46(1)(b) of the FOI Act. They also
argued that there was a secrecy provision contained in the Nursing Act
which prohibited disclosure of the matter in issue.
16. By letters dated 18 January 1999, the Deputy Information Commissioner
wrote to two third parties who are referred to in the matter
in issue - Ms
Simone Talbot and Dr Michael Gordon
- in order to advise them of my review, and to ascertain whether or not they
objected to the disclosure to the applicant of the matter
in issue which
concerned them. Ms Talbot was, at the time of the relevant incident, a student
nurse at the Ipswich General Hospital's
Maternity Unit, and was present during
the birth of the applicant's baby. Dr Gordon is an Obstetrician and
Gynaecologist who was
approached by the QNC to give his opinion of the
midwife's
4
actions during the delivery of the applicant's baby. He also provided a
reference for the midwife, which comprises part of the matter
in issue.
17. Both Ms Talbot and Dr Gordon advised that they objected to the disclosure
to the applicant of the matter in issue which concerned
them. Both lodged
written submissions in support of their claims for exemption under s.46(1)(b) of
the FOI Act. In addition, the
Queensland Branch of the Australian Medical
Association (the AMA) and the National Association of Specialist Obstetricians
&
Gynaecologists (NASOG) both lodged written submissions in support
of Dr Gordon's objection to disclosure.
18. I also consulted with another Obstetrician and Gynaecologist who is
briefly referred to in the matter in issue as having expressed
an oral opinion
regarding the midwife's conduct, and who also provided the midwife with a
reference (which comprises part of the
matter in issue) - Dr Gilroy. Dr Gilroy
advised that he did not wish to participate in my review and that he would
accept my decision
regarding whether or not the matter in issue which concerned
him, qualified for exemption under the FOI Act.
19. On 23 February 1999, I received a written submission from the Queensland
Nurses' Union
(the QNU) in support of the midwife's objection to disclosure of the matter
in issue. The QNU also stated that it had grave concerns
that disclosure of the
matter in issue would adversely affect all nurses - not only nurses who are the
subject of complaint to the
QNC, but any nurse who is requested to provide
information, opinions or references for the purpose of a QNC investigation.
20. Copies of all submissions were provided to the applicant for response.
She provided a number of separate responses to the various
submissions, and
copies of those responses were provided to the QNC, the midwife's solicitors, Ms
Talbot and Dr Gordon. None of
those participants elected to lodge any material
in reply. On 1 June 1999, the applicant wrote to me to advise that she had
recently
reviewed my 5th and 6th Annual Reports and that she had identified a
number of cases discussed in those reports which she believed
involved issues
similar to the issues involved in this review. She then listed the cases which
she considered were of relevance
to my decision.
21. In summary, the submissions received from the various participants which
I have taken into account in reaching my decision in
this matter are as
follows:
(a) letter from the QNC dated 7 July 1998 and letter from the QNC's
solicitors dated
5 October 1998 (the substance of which I communicated to the applicant in my
letter dated 28 January 1999), and the applicant’s
submission in reply
dated 4 March 1999;
(b) the midwife's submission dated 1 October 1998 and the applicant’s
submission in reply dated 9 March 1999;
(c) the submission of the QNU dated 23 February 1999 and the
applicant’s submission in reply dated 4 March 1999;
(d) the submission of Dr Michael Gordon dated 11 March 1999;
(e) the submission of the Queensland Branch of the AMA dated 3 March 1999
(lodged in support of Dr Gordon’s case);
(f) the submission of NASOG dated 30 March 1999 (lodged in support of Dr
Gordon’s case);
(g) the submission of Ms Simone Talbot dated 12 March 1999;
(h) the applicant’s submission dated 23 April 1999 in reply to (d) to
(g) above.
5
22. Unfortunately, I have gained little assistance from the submissions which
the applicant lodged in support of her case for
disclosure of the
matter in issue. In those submissions she discussed, at length, the
medical procedures that
were performed on her on the day in question,
and provided technical information of a medical nature regarding those
procedures.
I have advised the applicant that submissions and information of
that type are not relevant to the issues I am required to determine
in this
review. I do not have jurisdiction to decide whether or not the midwife's
actions were negligent. My jurisdiction
is limited to a consideration
of the matter in issue and a decision as to whether or not that matter qualifies
for exemption
under the FOI Act.
Matter in issue
23. The matter in issue in this review consists of the following
documents:
· Documents claimed to be wholly exempt from disclosure:
Document
Number
Description of Document
5 Letter dated 19 May 1997 from Roberts & Kane to QNC.
6 Transcript of interview with midwife.
8 Letter dated 7 August 1997 from Roberts & Kane to QNC with
enclosures:
· Reference by Dr Kevin Gilroy (Obstetrician & Gynaecologist)
· Reference by Diane Wiseman (Registered midwife)
· Reference by Dr Michael Gordon (Obstetrician & Gynaecologist).
9 Draft statement of Simone Talbot (unsigned).
11 Statement of Dr Michael Gordon dated 15 September 1997.
12 Final investigation report by Lisa Harrison (Nurse Adviser) dated
30 September 1997.
· Document claimed to be partially exempt from disclosure:
Document
Number
Description of Document
13 Letter dated 13 October 1997 from Lisa Harrison to Roberts & Kane with
enclosure:
· Outline of final investigation report by Lisa Harrison (Nurse
Adviser)
dated 13 October 1997.
24. The exemption provisions relied upon by the various participants who
object to disclosure of the matter in issue are s.42(1)(e),
s.43(1), s.44(1) and
s.46(1)(b) of the FOI Act. In addition, the midwife's solicitors claim that
s.139 of the Nursing Act is a secrecy provision which, notwithstanding
the operation of s.16 and s.48 of the FOI Act, prohibits disclosure of the
matter in
issue under the FOI Act. If that claim were to be accepted, such that
I were to find that disclosure of the matter in issue to the
applicant is
prohibited by s.139 of the Nursing Act, it would be unnecessary for me
to consider the application to the matter in issue of the particular exemption
provisions relied
upon. Accordingly, I will deal with the secrecy claim under
s.139 first.
6
Submission that s.139 of the Nursing Act prohibits disclosure
of the matter in issue
25. Section 139 of the Nursing Act provides:
Confidentiality of documents and information
139.(1) In this section--
"court" includes any tribunal, authority or person having
power to require the production of documents or the answering of
questions;
"person to whom this section applies" means a person who is,
or has been--
(a) a member of the Council or a committee of the Council; or
(b) a member of the Committee; or
(c) an employee of the Council; or
(d) a person performing functions or exercising powers under, or for the
purposes of, this Act;
"produce" includes permit access to;
"protected document" means a document that was made or
obtained by a person as a person to whom this section applies, and
includes a document
seized, a copy of a document made, or an extract
of a document taken, under this Act;
"protected information" means information that was
disclosed to, or obtained by, a person as a person to whom this section
applies.
(2) A person to whom this section applies must
not--
(a) make a copy of, or take an extract from, a protected document;
or
(b) make a copy of protected information; or
(c) whether directly or indirectly, disclose or make use of a protected
document or protected information;
unless the person does so--
(d) in the performance of the person's functions or the exercise of the
person's powers under, or in relation to, this Act; or
(e) otherwise under or for the purposes of this Act.
7
Maximum penalty--100 penalty units or imprisonment for 6 months.
(3) A person to whom this section applies is not
required--
(a) to disclose protected information to a court; or
(b) to produce a protected document in court;
unless it is necessary to do so for the purpose of carrying this Act into
effect.
26. Section 16 of the FOI Act provides:
16.(1) This Act is intended to operate to the exclusion
of the provisions of other enactments relating to non-disclosure of
information.
(2) Subsection (1) has effect subject to section 48
(Matter to which secrecy provisions of enactments apply).
27. Section 48 of the FOI Act provides:
48.(1) Matter is exempt matter if its disclosure is
prohibited by an enactment mentioned in the Schedule 1 unless disclosure is
required
by a compelling reason in the public interest.
(2) Matter is not exempt under subsection (1) if it
relates to information concerning the personal affairs of the person by whom, or
on
whose behalf, an application for access to the document containing the matter
is being made.
28. The Nursing Act is not listed in Schedule 1 to the FOI Act.
29. Notwithstanding s.16 of the FOI Act, which provides that the FOI Act is
intended to operate to the exclusion of the provisions
of other
enactments relating to non-disclosure of information (but subject to the
application of s.48 of the FOI Act which
makes special provision in respect of a
select group of statutory secrecy provisions, of which s.139 of the Nursing
Act is not one), the midwife's solicitors have argued that s.139 of the
Nursing Act has the effect of prohibiting disclosure of "protected
documents" or "protected information" otherwise than under the Nursing
Act:
Schedule 1 [to the FOI Act] sets out the ten statutes to which
s.48 applies and the Nursing Act is not included in this list.
Both the FOI Act and the Nursing Act date from 1992.
However, the FOI Act was assented to (the last action in the legislative
process) on 19 August
1992. The Nursing Act was assented to some three and a half months
later on 30 November 1992. Accordingly, the Nursing Act is later
legislation. In terms of documents generated by the Council, the provisions of
s.139 of the Nursing Act constitutes more specific legislation
than the combined operation of ss.16 and 48 of the FOI Act. Where
there is an inconsistency between the two legislative approaches, a later more
specific Act is capable of repealing pro tanto the earlier legislation.
See Enman v Enman [1942] SASR 131. One needs to consider, therefore,
whether the two legislative
8
provisions can be read together and whether the later Act is in
fact inconsistent with the more general provisions of the
FOI Act. This will
depend to some extent on the construction of the definitions contained in s.139
[of the Nursing Act].
...
30. I do not accept the submission by the midwife's solicitors as set out
above. The first flaw in their submission is that the present
form of s.48 of
the FOI Act was enacted in 1994 (i.e., after Parliament enacted s.139 of the
Nursing Act), after a thorough review of secrecy provisions in Queensland
legislation and a careful assessment of those which should be accorded
special
status under an amended s.48 of the FOI Act. The position was explained in the
preamble to the Freedom of Information (Review of Secrecy Provision
Exemption) Amendment Act 1994 Qld as follows:
Parliament's reasons for enacting this Act are--
1. In order to balance openness against legitimate claims
for secrecy in the interest of people about whom the Government holds
information
and in the public interest, the Freedom of Information Act
1992 (the "FOI Act") allows exemptions from access to certain
matters.
2. Section 48 of the FOI Act makes matter exempt if it falls
within the terms of a specified type of secrecy provision (a "section 48
secrecy provision") and its disclosure would, on balance, be contrary to
public interest.
3. The exemption in section 48 operates only for 2 years
from the FOI Act's date of assent on 19 August 1992.
4. On a reference from the Government, the
Queensland Law Reform Commission has reviewed existing secrecy
provisions
in Queensland legislation identified by Government
departments.
5. The purpose of the review was to--
(a) identify section 48 secrecy provisions; and
(b) recommend whether the exemption from access given by each
section 48 secrecy provision should continue.
6. As a result of its review, the Commission recommended
that the exemption from access given by the section 48 secrecy provision in
certain Acts should continue.
7. The Parliament of Queensland accepts the
recommendation.
...
31. The Queensland Law Reform Commission (the QLRC) had expressed the view
that s.139 of the Nursing Act did not come within the terms of s.48 of
the FOI Act as originally enacted, and did not recommend that it be given
special status
under an amended s.48 of the FOI Act by inclusion in the proposed
new Schedule 1 to the FOI Act. The Legislative Assembly decided
to act in
accordance with the views expressed by the QLRC. Had the Legislative
9
Assembly intended that s.139 of the Nursing Act should take precedence
over the right of access to documents of the QNC conferred by s.21 of the FOI
Act, it would have included
s.139 of the Nursing Act in Schedule 1 to the
FOI Act.
32. I do not accept that it was Parliament's intention that the careful
provision made by s.16 and s.48 of the FOI Act could be overridden
by any piece
of legislation enacted subsequent to the FOI Act which contains a secrecy
provision, unless that intention appeared
in the clearest of terms from the
language employed in the subsequently enacted piece of legislation. The purpose
of including Schedule
1 in the FOI Act was to allow Parliament to make special
provision for the operation, within the scheme of the FOI Act, of selected
statutory secrecy provisions, through the application of s.48(1) of the FOI Act,
and not simply to permit a secrecy provision, contained
in legislation enacted
thereafter, to override the provisions of the FOI Act. Parliament's intent in
that regard has been made clear
by the fact that Schedule
1 to the FOI Act has been amended on various occasions since it was first
enacted, so as to include additional statutory secrecy provisions,
i.e.,
Parliament has specifically turned its mind to which secrecy provisions warrant
protection of their operation within the access
scheme provided for in the FOI
Act (by having the benefit of the operation of s.48 of the FOI Act) and has
included those secrecy
provisions in Schedule 1 to the FOI Act. For example,
s.55(1) of the Whistleblowers Protection Act 1994 Qld has been added to
Schedule
1 since that Schedule was first enacted.
33. In any event, the argument put by the midwife's solicitors fails on the
proper construction of the terms of s.139 of the Nursing Act, which is a
secrecy provision of a type quite common in Queensland legislation, being
designed to prohibit officers of a specified
government agency from disclosing
(otherwise than in the course of, or for the purposes of, discharging their
duties of office),
or taking personal advantage of, information
obtained in the performance of their duties of office. Such
provisions
are not designed to restrict dissemination of information by an
agency where that is necessary or appropriate in carrying out
the functions of,
or discharging legal duties and obligations imposed on, the relevant government
agency or its officers. It is
important to note that the terms of s.139 of the
Nursing Act expressly cast their duties of non-disclosure on individual
officers/employees who fall within the definition of "person to whom
this
section applies", not on the QNC itself. Yet it is the QNC, as a body corporate
established by the Nursing Act, which is subject to the disclosure
obligations imposed on agencies (as defined in s.8 of the FOI Act) by the FOI
Act. Section 139 of the Nursing Act is concerned with the discipline or
integrity of officers of a government agency, and not with an agency's
compliance with its obligations
under the FOI Act (see Kavvadias v
Commonwealth Ombudsman [1984] FCA 55; (1984) 52 ALR 728).
34. Accordingly, I find that s.139 of the Nursing Act does not operate
to prohibit disclosure of the matter in issue by the QNC under the provisions of
the FOI Act.
35. The midwife's solicitors also argued that s.139(3) is of relevance to the
issues before me: In addition, "Court" is defined by s.139(1) very broadly so
as to include any Tribunal, authority or person having power to require
the
production of documents or the answering of questions. It is suggested
that the Information Commissioner comes within
that definition and so
disclosure pursuant to the FOI Act is also excluded by the provisions of
s.139(3) of the Nursing Act.
10
36. Section 139(3) relates to production of documents by officers of the QNC
to a court, tribunal, et cetera. It does not apply to or affect the
disclosure of documents to applicants for access under the FOI Act. I note that
the QNC did
not seek to rely upon s.139(3) to refuse to produce for my
inspection for the purposes of this review, copies of the matter in issue.
Nor
do I consider that that course of action would have been open to it in reliance
upon s.139(3). Section 76(1) of the FOI Act
provides:
76.(1) The commissioner may require the production of a
document or matter for inspection for the purpose of enabling the commissioner
to determine--
(a) whether the document or matter is exempt; or
(b) if a document in the possession of a Minister is claimed by
the Minister not to be an official document of the Minister
- whether the
document is an official document of the Minister.
37. Section 85(1) of the FOI Act provides:
85.(1) If the commissioner has reason to believe that a
person has information or a document relevant to a review under this division,
the
commissioner may give to the person a written notice requiring the
person--
(a) to give the information to the commissioner in writing signed by the
person or, in the case of a body corporate, by an officer
of the body corporate;
or
(b) to produce the document to the commissioner.
38. Section 92(1) of the FOI Act provides:
92.(1) No obligation to maintain secrecy or other
restriction on the disclosure of information obtained by or given to agencies or
Ministers,
whether imposed under an enactment or a rule of law, applies to the
disclosure of information to the commissioner for the purposes
of a review under
this part.
39. I consider that s.92(1) was deliberately framed in such broad terms to
indicate that there should be no restriction on the
disclosure (by
agencies or Ministers) of documents or information to the Information
Commissioner, for the purposes of a
review under Part 5 of the FOI Act. That is
consistent with the clear intention of the Parliament, apparent on the proper
construction
of Part 5 of the FOI Act, that the Information Commissioner
should
"stand in the shoes" of the agency whose decision is under review, for the
purpose of undertaking a full review of the merits of that
agency's decision,
with full access to all relevant information that was available to that
agency.
40. I will now deal with the application to the matter in issue
of the various exemption provisions in the FOI Act
that have been relied upon
by the participants.
11
Application of s.42(1)(e) of the FOI Act
41. Section 42(1)(e) of the FOI Act provides:
42.(1) Matter is exempt matter if its disclosure could
reasonably be expected to--
...
(e) prejudice the effectiveness of a lawful method or procedure
for preventing, detecting, investigating or dealing with
a contravention or
possible contravention of the law (including revenue law); ...
42. The correct approach to the interpretation and application of this
exemption provision was explained in Re "T" and Queensland Health [1994] QICmr 4; (1994)
1 QAR 386. The object of s.42(1)(e) is to provide a ground for refusing access
to information, where disclosure of the information could reasonably
be
expected to prejudice the effectiveness of lawful methods and procedures
employed by government agencies undertaking
law enforcement activities.
43. In its letter dated 7 July 1998, the QNC raised the issue of the
application of s.42(1)(e) of the FOI Act to the matter in issue,
but did not
address the requirements of the exemption provision, nor did it identify the
lawful method or procedure the effectiveness
of which, it contended, could
reasonably be expected to be prejudiced by disclosure of the matter in issue. I
communicated to the
QNC my preliminary view that the matter in issue does not
qualify for exemption under s.42(1)(e). In their letter dated 5 October
1998,
the QNC's solicitors advised that while their client did not withdraw its
reliance upon s.42(1)(e), it had no further submissions
to make in relation to
its claim for exemption under s.42(1)(e).
44. At p.393 (paragraphs 23-24) of Re "T", I stated:
23. There is a diverse group of government agencies in Queensland
performing law enforcement functions directed
towards preventing,
detecting, investigating or dealing with contraventions or
possible contraventions of the law.
Each agency will have developed (and will
probably continue to develop and refine) methods and procedures to assist in the
performance
of its particular law enforcement responsibilities. Some methods
and procedures may depend for their effectiveness on secrecy being
preserved as
to their existence, or their nature, or the personnel who carry them out, or the
results they produce in particular
cases. It is not possible to list the types
of methods or procedures which may qualify for protection under s.42(1)(e) of
the FOI
Act. Each case must be judged on its own merits. The question of
whether or not the effectiveness of a method or procedure could
reasonably
be expected to be prejudiced by the disclosure of particular matter sought
in an FOI access application, is the
crucial judgment to be made in any case in
which reliance of s.42(1)(e) is invoked.
24. There may be cases where the disclosure of particular matter will so
obviously prejudice the effectiveness of law enforcement
methods or
procedures that the case for exemption is self-evident, but ordinarily in a
review under Part 5 of the FOI Act it will
be incumbent on an agency to
12
explain the precise nature of the prejudice to the effectiveness of a law
enforcement method or procedure that it expects to be occasioned
by disclosure,
and to satisfy me that the expectation of prejudice is reasonably based. I
will ordinarily not be able to refer
in my reasons for decision to the precise
nature of the prejudice, nor in many cases to the nature of the relevant methods
or procedures
(where that would subvert the reasons for claiming an exemption in
the first place) but I will, in any event, need to be satisfied
that the agency
has discharged its onus under s.81 of the FOI Act of establishing all requisite
elements of the test for exemption
under s.42(1)(e) of the FOI Act.
45. The only types of investigative methods or procedures which appear to
have been adopted by Ms Harrison in investigating the applicant's
complaint
consisted of interviewing, or otherwise obtaining written information from, the
various people involved in the incident
in question
(i.e., the midwife, the applicant and her husband, Ms Talbot, et
cetera), and from other midwives and medical practitioners; and reviewing
relevant documentary evidence such as hospital notes and medical
records. On
the information before me, I am unable to see how the effectiveness of any of
those methods or procedures could reasonably
be expected to be prejudiced by
disclosure of the matter in issue. They are routine methods of investigation,
used by law enforcement/investigative
agencies on a regular basis.
46. In Re Anderson and Australian Federal Police [1986] AATA 79; (1986) 4 AAR 414,
Deputy President Hall of the Commonwealth AAT said (at p.425):
Questions of prejudice are, I think, more likely to arise where the
disclosure of a document would disclose covert, as opposed to
overt or routine
methods or procedures.
47. In Re Lapidos and Auditor-General of Victoria (1989) 3 VAR 343,
Deputy President Galvin of the Victorian AAT said (at p.352):
Document No. 14 identifies certain methods or procedures but of so
patently an ordinary and fundamental kind as to preclude
the conclusion
that disclosure of them would or would be reasonably likely to prejudice their
effectiveness.
48. At p.394 (paragraph 30) of Re "T", I said:
Obviously, the method used by law enforcement agencies of
gathering information in relation to an investigation from as many
sources as
possible, the evaluation of that information and the placement of it on the
agencies' records is a fundamental and overt
method, the disclosure of which
would not prejudice its effectiveness in the future.
49. I therefore find that none of the matter in issue qualifies for exemption
under s.42(1)(e) of the FOI Act.
13
Application of s.43(1) of the FOI Act
50. Section 43(1) of the FOI Act provides:
43.(1) Matter is exempt matter if it would be privileged
from production in a legal proceeding on the ground of legal professional
privilege.
51. The s.43(1) exemption turns on the application of those principles of
Australian common law which determine whether a document,
or matter in a
document, is subject to legal professional privilege. In brief terms, legal
professional privilege attaches
to confidential communications between lawyer
and client made for the dominant purpose of seeking or giving legal advice or
professional
legal assistance, and to confidential communications made for the
dominant purpose of use, or obtaining material for use, in pending
or
anticipated legal proceedings: see Esso Australia Resources Ltd v
Commissioner of Taxation (1999) 74 ALJR
339.
52. The QNC claims that parts of Ms Harrison's final report (document 12) are
exempt from disclosure to the applicant under s.43(1)
of the FOI Act. That
report was sent to the QNC's solicitors under cover of a letter dated 1 October
1997, with a request for advice
in relation to certain matters in connection
with the investigation and the report. (The applicant accepted my
preliminary
view that the covering letter from the QNC to its solicitors
qualified for exemption under s.43(1) of the FOI Act, and that letter
is
therefore no longer in issue in this review.) In my letter to the QNC dated 29
June 1998, I had expressed the preliminary view
that the report itself did not
qualify for exemption under s.43(1). I also pointed out to the QNC the fact
that it had disclosed
to the applicant parts of the outline of Ms Harrison's
report (document 13) and that some of the information contained in that outline
was identical to the information contained in the report itself. I therefore
expressed the preliminary view that, even if I were
to be satisfied that the
final report was subject to legal professional privilege, it was arguable that
the QNC had waived its right
to claim privilege at least over those parts of the
report which had already been disclosed to the applicant in the form of document
13.
53. In its response dated 7 July 1998, the QNC stated that it accepted that
it had waived legal professional privilege in respect
of those parts of Ms
Harrison's report which had already been disclosed to the applicant, but that it
did not otherwise "resile in
any way from its reliance upon s.43(1)". In their
letter dated 5 October 1998, the QNC's solicitors advised that their client had
no further submissions to make in support of the claim for exemption under
s.43(1).
54. I am not satisfied, on the material before me, that Ms
Harrison's final report dated
30 September 1997 was brought into existence for the dominant purpose of
seeking or obtaining legal advice from the QNC's solicitors,
or for the dominant
purpose of use in pending or anticipated legal proceedings, so as to attract
legal professional privilege and
qualify for exemption under s.43(1) of the FOI
Act. Rather, I consider that the report was brought into existence primarily
to
comply with the requirements of s.103(5)(a) of the Nursing
Act. Section 103 of the Nursing Act deals with the conduct of an
investigation by the QNC, and the appointment of an inspector to conduct the
investigation (in this case,
Ms Harrison). Section 103(4) provides that the
inspector must give the person who is the subject of the complaint full
particulars of the complaint, and must
provide that person with an opportunity,
during the course of the investigation, to make a formal submission to the
inspector. Section 103(5) provides:
14
103.(5) The inspector must give3/4
(a) to the Council - a written report, in reasonable detail, of findings
and opinions based on the findings, in relation to the complaint;
and
(b) to the person who is the subject of the complaint - a written outline
of the report and general particulars of findings adverse
to the person.
55. Accordingly, I find that document 12 was brought into existence for the
dominant purpose of complying with the requirements of
s.103(5)(a) of the
Nursing Act. I accept that a copy of the report was sent by the QNC to
its solicitors for advice about certain matters, but I do not accept
that that
was the dominant purpose for which the report was brought into existence.
56. I therefore find that no part of document 12 attracts legal
professional privilege, or exemption from disclosure
under s.43(1) of the FOI
Act.
Application of s.44(1) of the FOI Act
57. Section 44(1) of the FOI Act provides:
44.(1) Matter is exempt matter if its disclosure would
disclose information concerning the personal affairs of a person, whether living
or dead, unless its disclosure would, on balance, be in the public
interest.
58. In applying s.44(1) of the FOI Act, one must first consider whether
disclosure of the matter in issue would disclose information
that is
properly to be characterised as information concerning the personal affairs
of a person. If that requirement is
satisfied, a prima facie public
interest favouring non-disclosure is established, and the matter in issue will
be exempt, unless there exist public interest
considerations favouring
disclosure which outweigh all identifiable public interest considerations
favouring non-disclosure,
so as to warrant a finding that disclosure of the
matter in issue would, on balance, be in the public interest.
59. In my reasons for decision in Re Stewart and Department of Transport
[1993] QICmr 6; (1993) 1 QAR 227, I identified the various provisions of the FOI Act which
employ the term "personal affairs", and discussed in detail the meaning
of the
phrase "personal affairs of a person" (and relevant variations thereof) as it
appears in the FOI Act (see pp.256-257, paragraphs
79-114, of Re
Stewart). In particular, I said that information concerns the "personal
affairs of a person" if it concerns the private aspects of a person's
life and
that, while there may be a substantial grey area within the ambit of the phrase
"personal affairs", that phrase has a well-accepted
core meaning which
includes:
· family and marital relationships;
· health or ill health;
· relationships and emotional ties with other people; and
· domestic responsibilities or financial obligations.
15
60. Whether or not matter contained in a document comprises
information concerning an individual's personal affairs is
essentially a
question of fact, to be determined according to the proper characterisation of
the information in question.
61. The midwife claims that all of the matter in issue concerns her personal
affairs and therefore is prima facie exempt from disclosure under
s.44(1) of the FOI Act. In their submission dated 1 October 1998, the midwife's
solicitors argued (at
p.12):
... The circumstances pertaining to [the midwife] are very
different to those considered in State of Queensland v Albietz
[1996] 1 Qd R 215 and a number of other cases discussed by the
Information Commissioner. In State of Queensland v Albietz, the names
of the departmental officers were only relevant because they were acting as
public employees. The same applies to the police
officers considered by the New
South Wales Court of Appeal in Commissioner of Police v District Court
of New South Wales (1993)
31 NSWLR 606.
In one sense, because [the midwife] was employed by a government
hospital, her duties as a midwife or nurse could be seen to be those of a public
employee. This might
be particularly applicable if her personal affairs were
discussed in a document relating to the financial administration,
for
example, of the Ipswich Hospital. In reality, the documents [in]
question came into existence and contained information relating to her
employment and other aspects of her life through a complaint
made against her in
a purely personal capacity. If she had been employed by a nursing home or by a
private hospital and she were
the subject of a complaint under the Nursing
Act, very similar documents would have come into existence and the
considerations arising with regard to those documents would
be no different to
those which arise in the present case.
The Nursing Act provides for a series of complaints and
investigations against nurses acting in a professional but purely private
capacity.
This is very different to the position of public servants or police
officers whose names are recorded in documents because they
are carrying out a
public role.
The documents in question relate to [the midwife's] general
experience as a nurse but more particularly to her actions on a
particular day in her employment as a midwife.
These matters have no public
element at all except to the extent that nurses, like other [professions]
whose practitioners act in a purely private capacity may be subject to a
statutory scheme by which complaints may be made and their
actions
investigated.
62. I do not accept the correctness of the distinction sought to be made in
the above-quoted passage. I do not consider there to
be any doubt that the
matter in issue relates to or arises from the midwife's employment by the
Ipswich General Hospital as a midwife,
and her performance of her duties as a
midwife. In my decision in Re Pope and Queensland Health
[1994] QICmr 16; (1994) 1 QAR 616, after reviewing relevant authorities (at pp.658-660), I
expressed the following conclusion at p.660 (paragraph 116):
16
Based on the authorities to which I have referred, I consider that it
should now be accepted in Queensland that information
which merely
concerns the performance by a government employee of his or her employment
duties ... is ordinarily incapable of
being properly characterised as
information concerning the employee's "personal affairs" for the purposes of the
FOI Act.
63. The general approach evident in this passage was endorsed by de Jersey J
of the Supreme Court of Queensland in State of Queensland v Albietz
[1996] 1 Qd R 215 at pp.221-222.
64. In reviewing relevant authorities in Re Pope, I
specifically endorsed the following observations concerning s.33(1) (the
personal affairs exemption) of the Freedom of Information Act 1982
Vic, made by Eames J of the Supreme Court of Victoria in University of
Melbourne v Robinson [1993] VicRp 67; [1993] 2 VR 177 at p.187:
The reference to the "personal affairs of any person" suggests to
me that a distinction has been drawn by the legislature between those aspects of
an individual's life which might be
said to be of a private character and those
relating to or arising from any position, office or public activity with which
the person
occupies his or her time.
65. While the passage quoted in paragraph 62 above refers specifically to
government employees
(because of the particular context in which that case was decided), I did not
intend the general point (that an individual's employment
affairs cannot
ordinarily be characterised as part of his/her personal affairs) to be confined
to government employees as distinct
from private sector employees, and I note
that the comments by Eames J quoted immediately above are not confined to
government
employees. I consider that information concerning the
performance by an individual of his/her business, professional or
employment
affairs does not concern the private aspects of his/her life, and hence cannot
ordinarily be characterised as information
concerning his/her personal affairs.
Thus, while I do not consider that it is in any relevant sense accurate for the
midwife's solicitors
to assert that their client was acting in a
"professional but purely private capacity" or that "these matters have no
public element at all"
(the midwife was clearly a public sector employee, employed by a
public hospital and remunerated from public funds),
my approach to the initial
question of characterisation under s.44(1) would have been no different if the
midwife had been employed
by a private hospital.
66. In Re Stewart (at pp.261-264), I acknowledged that
employment-related matters provide many instances of information that inhabits
the rather substantial
'grey area' at the boundaries of what is encompassed
within the phrase "personal affairs of a person" (and relevant
variations thereof) as used in the context of the FOI Act. In Re Stewart
(at p.261, paragraph
92), I said that there is a relevant distinction to be drawn in respect of
matters that relate to an employee as an individual, rather
than to an employee
as an agent or representative of the employer, and that some matters in the
former category may fall within the
meaning of the phrase "personal affairs".
Where an allegation of intentional misconduct in the course of employment
becomes an issue,
that grey area between personal affairs and employment
affairs
(discussed in Re Stewart at pp.261-264) is encountered: see Re
"NHL" and The University of Queensland [1997] QICmr 1; (1997) 3 QAR 436 at paragraph
29. However, an allegation of negligent performance by an employee of
his or her duties of employment
clearly concerns that individual's
employment affairs, rather than his/her personal affairs.
67. I do not accept that information concerns the personal affairs of an
employee merely because it relates to the investigation of
a complaint made
against the employee arising out of the
17
performance of his/her duties of employment. In some cases, it may be that
the conduct of the employee bears no relationship to the
performance or
misperformance of his or her employment duties, but can be said to concern the
private aspects of his or her life,
and thus to concern his or her personal
affairs. However, where a disciplinary investigation relates to conduct which
occurred
in the performance of the employee's duties of employment,
information relating to the incident and the subsequent investigation
cannot
generally be said to concern the personal affairs of the employee: see Re
Griffith and Queensland Police Service [1997] QICmr 13; (1997) 4 QAR 110, where I said (at
paragraphs 51-53):
I consider that conduct of a public sector employee which occurs in the
course of performing his or her employment duties is properly
to be
characterised as part of the employee's employment affairs rather than his or
her personal affairs, even in respect of conduct
alleged or proven to involve
misconduct or a breach of discipline. For example, I consider that a police
officer who arrests and
interrogates a suspect is performing his or her duties
of employment, and if that conduct is alleged or proven to have involved
excessive
force and therefore to have involved misconduct or a breach of
discipline, I consider that the conduct nevertheless remains part
of the police
officer's employment affairs, not his or her personal affairs.
Conduct which occurs in the workplace or through opportunities presented
by a person's employment duties, but does not occur
in the course of
actually performing employment duties, raises more difficult
questions of characterisation.
For example, a person who engages in conduct
amounting to sexual harassment, even though it occurs in the workplace,
is
not actually performing his or her duties of employment when engaged in
such conduct. In a case which involved the difficult question
of characterising
conduct of that kind, I decided that an individual's sexual conduct, and
relations with others, had a sufficiently
strong element of the personal about
it, that it was properly to be characterised as concerning the
individual's "personal
affairs": see Re "NHL" at paragraph 29.
Other kinds of misconduct that take advantage of opportunities presented by a
person's employment duties, but do
not involve the actual performance of
employment duties, also involve difficult questions of characterisation: for
example, an employee
who for personal gain (e.g., selling of information to a
private investigator) conducts unauthorised computer searches to
obtain
personal information about others from his agency's information databases.
Arguments could be mounted either way as
to whether conduct of this kind should
be properly characterised as part of the employee's personal affairs or
employment affairs,
though I tend to favour the latter.
Of course, the disciplinary process itself is an incident of the
employment relationship, and an employee's involvement
in the disciplinary
process must, in my opinion, be properly characterised as an aspect of his or
her employment affairs, rather
than his or her personal affairs. However, there
would remain an issue as to whether mention of the employee's name in connection
with some alleged or possible (but still unproven) wrongdoing is
properly to be characterised as information concerning
the employee's personal
affairs. In my opinion, it cannot ordinarily be characterised in that way where
the impugned conduct occurred
in the course of the performance by the employee
of his or her duties of employment.
18
68. In respect of the paragraph quoted immediately above, it appears from
their submission dated
1 October 1998 that the midwife's solicitors contend that the QNC's
investigation, under the Nursing Act, of the complaint made against the
midwife is not an incident of the employment relationship between the midwife
and the Ipswich
General Hospital, because all nurses in Queensland,
regardless of where they are employed, are subject to the provisions of
the
Nursing Act and to the jurisdiction of the QNC in the conduct of an
investigation if a complaint is made against them. Hence, the midwife's
solicitors
argue that the complaint made to the QNC against the midwife, and the
QNC's investigation of that complaint, do not arise as an incident
of the
midwife's employment by the Ipswich General Hospital, but rather by virtue of
the fact that she is a member of the nursing
profession, and that they therefore
are matters concerning the midwife's personal affairs.
69. While I acknowledge that there is a distinction between the situation in
Re Griffith (where the matter in issue related to an internal
investigation by the Queensland Police Service of an officer's conduct) and the
situation in the present case, where the investigation in question was conducted
by a statutory body charged with regulating
compliance by Queensland
nurses with proper standards of professional conduct, I do not accept
that the midwife's
involvement in the investigation by the QNC is properly
to be characterised as a matter concerning her personal affairs. In my
view, it
is the subject matter of the investigation and the nature of the information
generated in respect of it, rather than the
identity or constitution of the body
conducting the investigation, which is of primary importance when characterising
the nature
of the matter in issue. I am satisfied that the QNC's investigation
of the applicant's complaint against the midwife related to an
incident which
occurred during the course of the midwife's performance of her duties of
employment. All of the documents in issue
were created as part of the
disciplinary procedures laid down by the Nursing Act, to which the
midwife was subject as an incident of her employment in Queensland as a nurse.
I consider that the complaint made
against the midwife, and the QNC's
investigation of that complaint (as discussed in the matter in issue) are
properly to be characterised
as information concerning the employment affairs of
the midwife, rather than as information concerning her personal affairs.
70. Having said that, I consider that a small amount of the matter in issue
in document 6 (the transcript of interview of the midwife),
and in document 8,
is properly to be characterised as information concerning the personal
affairs of the midwife, rather
than her employment affairs. I
find that, in the final paragraph appearing on page 1 of document 6, the
26th-32nd words of
that paragraph, which deal with aspects of the midwife's
family relationships, comprise information which is properly to be characterised
as information concerning the midwife's personal affairs, and which is therefore
prima facie exempt from disclosure under s.44(1) of the FOI Act.
Similarly, I find that the first full sentence appearing on page 2 of document
6
comprises information which is properly to be characterised as information
concerning the midwife's personal affairs. In respect
of the first paragraph
appearing immediately under the first heading in document 8, I find that the
5th-
9th words of the fifth sentence, and the last eight words of the seventh
sentence, comprise information which is properly to be characterised
as
information concerning the personal affairs of the midwife, rather than her
employment affairs. With respect to the application
of the public interest
balancing test incorporated in s.44(1), in light of the personal nature of the
information in question, and
the fact that it has no relevance to the
applicant's complaint against the midwife, I am unable to identify any public
interest considerations
weighing in favour of the disclosure of that matter to
the applicant. I therefore find that that matter is exempt from disclosure
to
the applicant under s.44(1) of the FOI Act.
19
Public interest balancing test
71. I have found that the bulk of the matter in issue must be characterised
as information concerning the midwife's employment affairs
rather than her
personal affairs, and that it therefore does not qualify for exemption from
disclosure under s.44(1). Even if that
matter was properly to be
characterised as information concerning the personal affairs of the
midwife, it would still
be necessary to consider the application to that matter
of the public interest balancing test incorporated in s.44(1). I will discuss
the public interest balancing test in detail below, in the context of my
discussion of the application to the matter in issue of
s.46(1)(b) of the FOI
Act. For reasons which I will explain, I consider that disclosure of the matter
in issue to the applicant
would, on balance, be in the public interest.
72. I find that, with the exception of the matter described in paragraph 70
above, the matter in issue does not qualify for exemption
under s.44(1) of the
FOI Act because it cannot properly be characterised as information concerning
the midwife's personal affairs
and because, in any event, its disclosure to the
applicant would, on balance, be in the public interest.
Application of s.46(1)(b) of the FOI Act
73. Section 46(1)(b) of the FOI Act provides:
46.(1) Matter is exempt if3/4
...
(b) it consists of information of a confidential nature that was
communicated in confidence, the disclosure of which could
reasonably be expected
to prejudice the future supply of such information, unless its disclosure would,
on balance, be in the public
interest.
74. The elements of the test for exemption under s.46(1)(b) of the FOI Act
are considered in detail in Re "B" and Brisbane North Regional Health
Authority [1994] QICmr 1; (1994) 1 QAR 279 at pp.337-341 (paragraphs 144-162). In
order to establish the prima facie ground of exemption under
s.46(1)(b) of the FOI Act, three cumulative requirements must be satisfied:
(a) the matter in issue must consist of information of a confidential
nature;
(b) that was communicated in confidence;
(c) the disclosure of which could reasonably be expected to prejudice the
future supply of such information.
75. If the prima facie ground of exemption is established, it must
then be determined whether the prima facie ground is displaced by the
weight of identifiable public interest considerations which favour the
disclosure of the particular information
in issue.
76. Each of the participants in this review who objects to the disclosure of
the matter in issue which concerns them, contends that
such information is
exempt under s.46(1)(b) of the FOI Act. I will discuss in turn each of the
requirements of s.46(1)(b), and the
submissions of the various participants in
relation to those requirements.
20
(a) matter of a confidential nature
77. I said in Re "B" that in order to satisfy the first requirement
for exemption under s.46(1)(b), the matter in issue must consist of information
of
a confidential nature (i.e., which has the requisite degree of relative
secrecy or inaccessibility: see Re "B" at pp.337-338, paragraph
148; and at pp.304-310, paragraphs 64-73).
78. I have noted above that some of the matter in issue in document 12 has
already been disclosed to the applicant in document 13.
Accordingly, I am not
satisfied that all of the matter in issue is confidential information
vis-à-vis the applicant. However, for the purposes of the
following discussion, I will proceed on the basis that all of the matter in
issue
satisfies the first requirement for exemption under s.46(1)(b).
(b) that was communicated in confidence
79. I discussed the meaning of the phrase "communicated in confidence" in
paragraph 152 of Re
"B" as follows:
152 I consider that the phrase "communicated in confidence" is used in
this context to convey a requirement that there be mutual expectations
that the
information is to be treated in confidence. One is looking then for evidence of
any express consensus between the confider
and confidant as to preserving the
confidentiality of the information imparted; or alternatively for evidence to be
found in an analysis
of all the relevant circumstances that would justify a
finding that there was a common implicit understanding as to preserving
the
confidentiality of the information imparted.
80. The test inherent in the phrase "communicated in confidence" in
s.46(1)(b) requires an authorised decision-maker
under the FOI Act to
be satisfied that a communication of confidential information has occurred
in such a manner, and/or
in such circumstances, that a need or desire, on the
part of the supplier of the information, for confidential treatment (of the
supplier's identity, or information supplied, or both) has been expressly or
implicitly conveyed (or otherwise must have been apparent
to the recipient) and
has been understood and accepted by the recipient, thereby giving rise
to an express or implicit
mutual understanding that the relevant
information would be treated in confidence (see Re McCann and Queensland
Police Service [1997] QICmr 10; (1997) 4 QAR 30 at paragraph 34).
81. There is no clear evidence before me to suggest that Ms Harrison provided
any of the relevant persons whom she contacted in the
course of her
investigation, and who are referred to in the matter in issue (e.g., the
midwife, Ms Talbot, Dr Gordon, Dr Gilroy et cetera), with an express
assurance that the information they provided would be treated in confidence as
against the applicant (whose complaint
Ms Harrison was investigating). There is
a reference in the middle of page 13 of the transcript of interview between Ms
Harrison
and the midwife
(document 6) to a discussion regarding the confidentiality of
information provided to Ms Harrison, but its meaning and
scope, or the
question of what information it was intended to refer to, are unclear to me from
a reading of the paragraphs immediately
preceding the reference. Neither the
QNC or the midwife has sought to clarify the scope of, or to rely upon, that
reference as a
ground for arguing that Ms Harrison provided the midwife with an
express assurance of confidentiality. The QNC simply advised
that Ms
Harrison unfortunately could not recall discussing the issue of confidentiality
with any of the persons
21
whom she interviewed during the course of her investigation. It stated,
however, that it understood that the midwife intended making
a submission to the
effect that she understood the information she provided to Ms Harrison was
communicated in confidence.
82. Accordingly, on the information before me, I am not satisfied that Ms
Harrison gave an express assurance to any of the persons
from whom she obtained
information during the course of her investigation that the information would be
treated in confidence as
against the applicant. In the absence of
evidence demonstrating the existence of such an express assurance of
confidential
treatment, it is necessary to consider whether, having regard to
all of the relevant circumstances, an implicit mutual understanding
existed that
the information those persons provided to Ms Harrison would be treated in
confidence by Ms Harrison and the QNC, and,
if so, the scope or extent of the
understanding of confidence. The assessment must be made according to what
could reasonably have
been understood and expected, in all the relevant
circumstances, including the known purpose for which the information was
supplied.
83. I will deal firstly with the submissions made by the midwife, the QNC and
the QNU on this point.
Submissions of the midwife, the QNC and the QNU
84. The QNU submitted that it was its understanding that during the
investigation phase, all information gathered by the QNC was of
a confidential
nature (it did not state on what grounds it based that understanding) and that
it was not until a charge was preferred
against a nurse (which did not occur in
this case) that such information entered the public forum.
85. The midwife submitted that the information she provided to Ms Harrison
was communicated on the basis of an implied understanding
of confidence.
In support of that claim, the midwife's solicitors submitted that the
statutory context in which an
investigation is conducted under the
Nursing Act, particularly with regard to the matters provided for in
s.139, "is such as to constitute the information contained in the
documents under consideration of a confidential nature". They further
submitted:
... One should also take into account the fact that the details
of the information relate to [the midwife's] work as a health
professional. The disclosure of information with regard to patients is
confined by ethical requirements
applying to all health professionals [in]
a very close and small sphere. Even though the applicant is
the patient in the present circumstances, one
is looking at the
nature of the information and the circumstances of disclosure to the
investigator and the Council.
Such information with regard to the
treatment of a patient would not normally be disclosed to a third party and it
would be held
to be confidential between the health professional and the
patient. These are matters of very significant importance to be taken
into
account in considering first, whether the information is of a
confidential nature and, second, whether
the communication to the
investigator and to the Council was a communication in confidence. It is
submitted that no reasonable
decision maker would fail to conclude that both
aspects were satisfied in the present circumstances.
22
86. I accept that health professionals are under an obligation of confidence
regarding information provided to them by their
patients and are
ordinarily prohibited from disclosing that information to third parties
without the patient's consent. I
accept that there would have been a mutual
understanding that the information supplied by the midwife to Ms Harrison would
be treated
in confidence as against the world at large (because it
is medical information about the applicant). But the issue for
consideration
here is whether it was implicitly understood that the information would be
treated in confidence as against the applicant.
As the midwife's solicitors
themselves have acknowledged, in this case it is the patient herself who is
seeking access to the information
in question. It is not a question of
disclosing the information to a third party, where I acknowledge that
very different
considerations would apply.
87. As to the midwife's solicitors' submission regarding the
statutory context in which an investigation under the Nursing Act is
conducted, and the matters provided for in s.139 of the Nursing Act, I do
not accept (for the reasons explained at paragraph 33 above) that s.139 purports
to regulate the maintenance of obligations or understandings of
confidential treatment that are binding on the
QNC in respect of information
conveyed to the QNC. In its terms, s.139 binds officers of the QNC, and not the
QNC itself, and binds them not to disclose "protected" information or documents
(i.e., any
information or documents provided to an officer, rather than merely
confidential information) acquired through holding office with
the QNC,
otherwise than for the purposes of the Nursing Act. As I stated above,
it is a secrecy provision of a type quite common in Queensland legislation. I
do not accept that it was designed
to restrict dissemination of information
where that is necessary or appropriate in carrying out the functions of, or
discharging
legal duties and obligations imposed upon, the QNC or its officers.
Whether particular information communicated to the QNC is exempt
under
s.46(1)(b) of the FOI Act will depend on whether, having regard to all of the
relevant circumstances, the requirements for
exemption under that provision are
satisfied.
88. The issue which I must decide under this limb of s.46(1)(b) is whether,
at the time the midwife communicated the information in
question to the QNC,
there existed an implicit mutual understanding that the information would be
treated in confidence as against
the applicant. Clearly, both parties to
the communication now submit, in the face of the applicant's FOI access
application,
that such an implicit understanding existed. However, it is
necessary for me to examine the relevant circumstances that
existed at
the time the communication took place and to decide whether those
circumstances warrant a finding that such an understanding
of confidence existed
at the relevant time.
89. The midwife was being interviewed as part of a disciplinary
investigation which was instigated as a result of a complaint
made against her
by the applicant. In my view, she ought reasonably to have appreciated the
possibility that Ms Harrison might consider
it appropriate, for example, to put
to the applicant, for response, those parts of the midwife's account of events
which were inconsistent,
in material respects, with the applicant's account of
events
(see the discussion at paragraph 49 of Re Godwin and Queensland Police
Service (1997) 4
QAR 70). That is an ordinary investigative technique commonly used by
investigators to try to clarify factual disputes
between material
witnesses to an investigation. I do not think it is unreasonable to
expect that the midwife ought
to have anticipated that as a possibility. I also
think that the midwife ought reasonably to have appreciated that the QNC might
decide that the evidence gathered by Ms Harrison warranted the laying of
disciplinary charges against her, in which case
a hearing
(potentially a public hearing) was
23
likely to be held, with Ms Harrison required to give evidence about her
investigation, and with her final report, in all likelihood,
comprising part of
the evidence before the QNC's Professional Conduct Committee.
90. Even if the midwife anticipated that disciplinary charges would not be
laid against her, I consider that she should reasonably
have expected that the
QNC would or may need to disclose details of the investigation in
order to give a proper
account to the applicant/complainant of the
manner in which it carried out its statutory functions in relation to the
complaint,
the outcome of the investigation, and the reasons for that outcome.
The QNU has argued that information gathered during an
investigation
should be kept confidential unless and until a charge is preferred against the
person being investigated, at which
time the information will enter the public
forum. But if that were the case, in a situation where no charge is preferred
(i.e.,
the complaint is, in effect, dismissed with no disclosure of the
evidence/information relied upon in reaching that decision) how
is the person
who made the complaint to know whether or not the investigation was conducted
fairly, whether or not the QNC
took into account all relevant
information during its investigation and interviewed all relevant witnesses,
and whether the
QNC's findings were reasonable in all the circumstances?
91. At paragraph 93 (page 319) of Re "B", I said:
Thus, when a confider purports to impart confidential information
to a government agency, account must be taken of
the uses to which
the government agency must reasonably be expected to put that information, in
order to discharge its functions.
Information conveyed to a
regulatory authority for instance may require an investigation to be
commenced in which
particulars of the confidential information must be put to
relevant witnesses, and in which confidential information must ultimately
have
to be exposed in a public report or perhaps in court proceedings.
92. I acknowledge that the applicant has been provided with partial access to
the outline of Ms Harrison's final report (document
13) but I note that those
parts of the report which have been withheld from the applicant basically
comprise the direct evidence/submissions
which the midwife or her solicitors
provided to Ms Harrison regarding the events surrounding the birth of the
applicant's baby.
As I see it, the applicant has, in effect, been denied access
to the midwife's version of the events which occurred that day. As
it is clear
that the QNC took such information into account in deciding to take no further
action against the midwife, it is difficult
to see how an adequate explanation
of the QNC's decision could totally exclude such matter.
93. I accept that what is required to accord procedural fairness in any given
case may vary according to the circumstances of
the particular case.
However, the line of authority established by the High Court in cases such
as Annetts v McCann [1990] HCA 57; (1990) 170 CLR 596 indicates that the duty to
accord procedural fairness is not confined to the subject of a disciplinary
investigation. In my view,
a complainant to a regulatory authority has a
"right, interest or legitimate expectation" in having his/her complaint properly
dealt
with by the regulatory authority, which would ordinarily be
sufficient to attract a duty to accord procedural fairness
to the
complainant (although the precise requirements of procedural fairness would
have to be worked out according to the
particular circumstances and
exigencies of each individual case). The QNC's own published
document, "Complaints Concerning
Conduct" (November 1993), states (at paragraph
3.1): "The complaints function
24
of the Council includes the assurance of a person's rights through natural
justice. This applies to the person who makes the complaint
and to the person
who is the subject of the complaint." The same document states that a
complainant will be advised of the actions to be taken by the QNC in regard to
the report of an
investigator (paragraph 6.2), has the right to be advised of
the QNC's decision in regard to the complaint (paragraph 3.3.2), is
entitled to
be represented by legal counsel or a nominated agent if a charge is referred to
the Professional Conduct Committee (paragraph
8.5), and has the right to be
advised of the outcome of a matter referred to the Professional Conduct
Committee (paragraph 3.3.3).
94. I note the comments of Toohey J of the High Court of Australia in
Goldberg v Ng (1995)
[1995] HCA 39; 185 CLR 83 at pp.110-111, where His Honour said of the conduct of the New
South Wales Law Society in purporting to accept responses to a complaint
(which
complaint it later dismissed) from the subject of the complaint, on the basis
that the responses would be treated in confidence
as against the
complainant:
Arguably, the Society did not afford natural justice to Mr Ng
[the complainant] in dismissing the complaint without informing
him of the material provided by Mr Goldberg [the subject of the
complaint] and of the part (if any) it played in that dismissal.
95. In his judgment at first instance, Ng v Goldberg (Supreme Court
of New South Wales, No. 5342 of 1989, No. 4995 of 1990, Powell J, 2 March 1993,
unreported), Powell J said:
With respect to those who hold another view, I cannot accept
that it is necessary to the effective operation of
the Law Society's
complaints investigation system that it be conducted "under the
constraints of strict confidence" - which seems as if it operates only in
one direction anyway, for the complaint, of necessity, must be disclosed to the
solicitor
- and, still less am I persuaded that the practice which the
Law Society apparently has adopted ensures that the system
works
effectively.
The reasons for the doubts which I have just expressed are readily to be
found in the facts of the present case. ... whatever be
the truth of the
matter, the fact that, without disclosing Mr Goldberg's reply to Mr Ng so that
he might comment upon it, and, if
it be possible, provide further material to
demonstrate its falsity, if it be false, the Complaints Committee felt able to
dismiss
the complaint on the ground that "there is no evidence ..."
leaves me with no great confidence in either the Complaints Committee's
understanding of its role, or its ability to fulfil that
role.
96. An appeal against Powell J's judgment was unanimously dismissed by the
New South Wales
Court of Appeal in Goldberg v Ng (1994) 33 NSWLR 639, with both Kirby
P (at pp.647-
649) and Clarke JA (at pp.678-679) making comments supportive of
the abovequoted remarks of Powell J.
97. I can see no obvious reason why the concerns expressed by Powell J at
first instance, by Kirby P and Clarke AJ in the NSW Court
of Appeal, and by
Toohey J in the High Court of Australia, about the complaint-handling practices
of the regulatory authority for
the solicitors' profession in New South Wales do
not readily transpose to the complaint-handling practices of the regulatory
authority
for the nursing profession in Queensland.
25
98. In its submission dated 7 July 1999, the QNC attempted to argue that it
was not subject to the requirements of procedural fairness
in the conduct of its
investigations:
With respect, you seem to be under a misapprehension that the Council is
in some way beholden to a complainant as if the Council has
a responsibility to
demonstrate to a complainant that the Council has properly investigated a
matter. There is no requirement under
the Nursing Act for the Council to
tell a complainant anything about its investigations or, indeed, of its decision
whether or not to prefer a charge.
...
In the next paragraph of your letter on page 6 [my 'preliminary views'
letter to the QNC dated 29 June 1998] you say that it is "arguable" that
there is a public interest on accountability grounds for the Council to
disclose information
concerning its investigation. I respectfully reject
such a contention. ... Your suggestion of the Council having to justify
its
decision arising from an investigation would add an unnecessary, and indeed a
totally unjustifiable, burden on the Council.
...
99. I consider that the QNC's comments above are not only inconsistent with
its own published statement of procedures (see paragraph
93 above) but
demonstrate the want of a full understanding of the public purposes for
which it has been given a statutory
function/duty of investigating complaints
from members of the public about the conduct of registered nurses. The QNC has a
duty to
justify the decision which it reaches at the end of an investigation -
such a duty is fundamental to all law enforcement/regulatory
bodies charged by
statute with the responsibility of maintaining, on behalf of the community and
in the interests of public health
and safety, sufficient standards of
competence and professional conduct by the professionals which the body has
been established
to regulate. The QNC is accountable to both the public
generally and to the complainant specifically, to demonstrate
that it
discharged its duty to conduct an adequate and fair investigation of the
complaint made to it, and that the decision that
it reached at the conclusion of
the investigation was fair and reasonable in all the circumstances.
100. For the reasons given above, I am not satisfied, having
regard to all of the relevant circumstances attending
the communication of
information by the midwife to the QNC, that those circumstances support a
finding that there existed an implicit
mutual understanding that the
information would be treated in confidence as against the applicant.
Accordingly, I find
that the second requirement for exemption under s.46(1)(b)
is not satisfied in respect of that information.
Submissions of Ms Talbot
101. The matter in issue which concerns Ms Talbot is a draft statement
(document 9) which Ms Harrison apparently prepared after speaking
with Ms Talbot
on the telephone. As I stated above, Ms Talbot was a student nurse who was
present during the delivery of the applicant's
baby. She has stated that she
was not aware that the information she provided over the telephone to Ms
Harrison would be incorporated
into a statement; that, had she known that, she
would have sought legal advice before speaking to the QNC; and that the draft
statement
was never forwarded to her by the QNC and that she was unaware of its
existence until the applicant made her FOI access application.
She stated as
follows in her submission dated 12 March 1999:
26
It is my submission that the information I provided to Ms Harrison of the
Queensland Nursing Council was communicated in confidence.
I note that in order
to satisfy this requirement there must be a mutual expectation that the
information be treated in confidence.
It is my understanding that
the Nursing Act Qld 1992 makes no provision that the complainant be provided
with a written report of findings and opinions. Therefore, there was
no
requirement for the Queensland Nursing Council to disclose to
the complainant the confidential information provided
by me. At the time I
provided the information to the investigating officer I was not informed that it
would be disclosed to the
complainant. It was evident to me that the Queensland
Nursing Council did not intend to disclose this information to the complainant
and that the information would be used for the purpose of the investigation only
and at no time did I ever expect that it would be
released to the
complainant.
Furthermore, it is also my understanding that it is only when the
Queensland Nursing Council is satisfied that there is substance
to the complaint
that they may prefer a charge against a nurse and refer the matter to the
Professional Conduct Committee for hearing
and determination. It is only then
that the information is brought into the public arena. Prior to this the
information is confidential.
...
102. In Re McCann at paragraph 48, I acknowledged that there exist
factors which may, in a particular case, inhibit a witness from providing
an investigatory body with information relevant to the investigation. I
also discussed those factors at paragraph 50 of Re McEniery and Medical Board
of Queensland [1994] QICmr 2; (1994) 1 QAR 349. I appreciate that, for example, for reasons
of loyalty, persons may not wish to provide information to the investigator
which may
be adverse to the interests of a colleague under investigation; that
they simply may not wish to get involved in the investigation
and have their
time taken up by that involvement; or that they may fear harassment,
intimidation, retribution, or threats to, for
example, their livelihood or
personal safety, if they cooperate with the investigator. Factors of those
kinds may be evident in
a particular case, and may warrant a finding that there
existed an implicit mutual understanding between a source of information,
and
the relevant regulatory or law enforcement agency, to the effect that the
identity of the source, and/or the information supplied
by the source, would be
treated in confidence so far as practicable, consistent with the use of that
information for the purposes
of the agency's investigation and the prosecution
of any charges stemming from the investigation.
103. However, as a material witness to the events in question, with no
complaints made by the applicant about her conduct during
the delivery of the
baby, and apparently no other risk of detriment being suffered by Ms Talbot in
the event that she decided to
cooperate with Ms Harrison's investigation, I am
satisfied that Ms Talbot's interests were not under threat as a result of the
investigation.
I note that s.103(2) of the Nursing Act provides that a
person does not incur civil liability for the disclosure to an inspector of
information or documents relating to the
person the subject of the complaint.
Further, there is nothing to suggest that the information which Ms Talbot
provided could be
considered adverse to the midwife's interests, or that she was
reluctant to provide Ms Harrison with information because of that
concern. Nor
is there any evidence that Ms Talbot feared harassment, retribution et cetera
were she to cooperate with Ms Harrison's investigation. I therefore am not
satisfied that, in all of the relevant circumstances of
this case, any of the
inhibiting factors to which I referred in the preceding paragraph attended the
communication of information
from Ms Talbot to
27
Ms Harrison, such as to warrant a finding that that there existed a mutual,
conditional understanding that that information would
be treated in confidence
so far as practicable.
104. Ms Talbot's submissions as set out above essentially mirror the
submissions made by the midwife, the QNC and the QNU, which
I have already
analysed. It is clear that Ms Talbot was contacted by Ms Harrison to provide
information as part of a disciplinary
investigation into the midwife's actions.
Ms Talbot was aware that the investigation had been initiated by a complaint
made against
the midwife by the applicant. I think Ms Talbot ought reasonably
to have expected that the QNC would take into account
the information
she provided in deciding whether or not to take any further action against the
midwife. Ms Talbot was present
during the birth of the applicant's baby, and
therefore had first hand knowledge of the events which took place that day. She
was
responsible for admitting the applicant and recording a number of admission
observations. I think it was reasonable for her to expect
that the information
she provided might be of some value to Ms Harrison in corroborating the version
of events given either by the
midwife or the applicant. There is nothing before
me to suggest that Ms Talbot disputes the accuracy of the contents of the draft
statement.
105. Even if Ms Talbot did not reasonably anticipate that disciplinary
charges would be laid against the midwife, I consider that
she should have
expected that the QNC would or may need to disclose to the applicant details of
its investigation, and of the information
it had gathered, in order to give the
applicant a proper account of the manner in which it had carried out its
statutory functions
in relation to her complaint, including a statement of the
outcome of the investigation, and information as to the reasons for that
outcome. As I have said, the information she provided was obviously of some
importance given that she was present during the events
in question, and in a
position to give an independent "eye witness" account of at least some of the
matters central to the applicant's
complaint against the midwife. The
importance or relevance of the information Ms Talbot provided is
demonstrated by
the fact that Ms Harrison included that information in her final
report to the QNC. As it appears that the QNC took such information
into
consideration in deciding to take no further action in respect of the
applicant's complaint, it is again difficult to see how
the QNC could totally
exclude such matter in giving the applicant an adequate explanation of the QNC's
decision.
106. For the reasons given above, I am not satisfied, having
regard to all of the relevant circumstances attending
the communication of
information by Ms Talbot to the QNC, that those circumstances support a finding
that there existed an implicit
mutual understanding that the information would
be treated in confidence as against the applicant. I can see no
indications
sufficient to support a finding that a need or desire, on the part
of Ms Talbot, for the information she provided to be treated in
confidence as
against the applicant, must have been apparent, or implicitly conveyed, to Ms
Harrison, and understood and accepted
by Ms Harrison, so as to give rise
to an implicit mutual understanding that the relevant information would
be treated
in confidence as against the applicant. Accordingly, I find that the
second requirement for exemption under s.46(1)(b) is not satisfied in respect of
that information, and hence that it is not exempt matter under s.46(1)(b) of the
FOI Act.
Submissions of Dr Gordon
107. The matter in issue which concerns Dr Gordon comprises a general
reference (an enclosure to document 8) which he gave in support
of the midwife's
nursing skills and experience
(which reference the midwife in turn submitted to the QNC in support of her
case), and a statement which Dr Gordon provided to the
QNC in which he gave his
opinion regarding the
28
actions of the midwife in delivering the applicant's baby (document 11). In
his submission dated 11 March 1999, Dr Gordon stated:
In 1997 I volunteered to give a reference for [the midwife]. I was
contacted by a member of the Nursing Council regarding giving opinions as well
as a reference. ... I had misgivings about
giving opinions because of the
potential consequences. I was concerned however that a miscarriage of justice
may have occurred.
I made it clear to the Sister from the Nursing Council that
I had not studied the case or seen the case notes but would only answer
questions of management in general and not specifically in this case
although realising that there was a case involved.
I understood that the
opinions would be used only for the enquiry and confidential to outside sources.
At no time was I told that
my report would be given to persons other than the
Nursing Council. I would not have given my opinions if I knew they
were to be given to the complainant. I do believe that a personal reference
given to an enquiry is confidential. ...
108. I will deal briefly with the reference to which Dr Gordon refers above.
It is the usual type of employment reference frequently
prepared by a
person's employer or work supervisor, testifying to the subject's work
experience and skills. The reference
which Dr Gordon prepared for the midwife
is one of three which are in issue in this review. The midwife's solicitors
provided such
references to the QNC under cover of a letter dated 7 August
1997
(document 8) in support of the submission by the midwife's solicitors
regarding their client's experience and reputation in the midwifery
area. All
three references are titled "To Whom It May Concern".
109. I do not accept that any of the three references were given by their
authors to the midwife with an expectation that those references
be kept
confidential from the applicant or from anyone else. The purpose of such
references, as evidenced by the fact that they
are usually titled "To Whom It
May Concern", is that they are provided to the subject of the reference on the
understanding that
that person may use them in any manner in which he or she
chooses and disclose them to anyone he or she chooses (most commonly such
references are disclosed to prospective employers in support of a job
application, or where evidence of good character is required
in support of a
general application of some type et cetera). Although it appears that
the QNC's investigation was the spur for the preparation of the references, I do
not accept that any of
the three references were written on the basis that they
be used specifically for the QNC inquiry and for no other purpose. They
are
written in very general terms and could be used by the midwife for a number of
purposes.
110. Nor do I accept that, in communicating the references to the QNC, the
midwife could reasonably have understood or expected that
the references would
be kept confidential from the applicant. The midwife sought to rely on
the references attesting
to her nursing experience and reputation to
persuade the QNC that, in light of her skills and experience, the judgment she
exercised
(in terms of the medical procedures performed on the applicant) was
sound and reasonable in all the circumstances. The QNC took
into account the
midwife's experience in deciding that her actions were not unreasonable in the
circumstances, and I do not see how
the midwife or the QNC could reasonably have
understood or expected that material attesting to the midwife's skills,
experience and
reputation ought to be treated in confidence as against the
applicant. Accordingly, I find that the three references which are in
issue
were not communicated pursuant to an implied understanding of confidence, and
that
29
they therefore do not satisfy the second requirement for exemption under
s.46(1)(b) of the
FOI Act.
111. As to the statement which Dr Gordon provided to the QNC, it does appear
that he was approached by Ms Harrison to provide such
information on the basis
that he had provided a personal reference for the midwife. One might question
the wisdom of an investigating
body approaching, for the purposes of obtaining
an independent expert opinion, a person who has provided a character
reference
in support of the subject of the investigation.
Nevertheless, I am satisfied that in providing his statement to the
QNC, Dr
Gordon was acting as an expert witness. It is clear that he was contacted by Ms
Harrison to provide information as part
of a disciplinary investigation into the
midwife's actions, and that he was aware that such investigation had been
initiated by a
complaint made against the midwife by the applicant. He gave his
opinion as to whether he thought the actions of the midwife, in
the
circumstances surrounding the birth of the applicant's baby, were reasonable.
Moreover, it is clear that he gave his opinion
freely, with no condition or
restriction sought to be put on its use by the QNC. The QNC therefore was free
to do with the opinion
what it wished.
112. In my view, medical specialists have a professional responsibility to
the public to assist bodies like the QNC or the Medical
Board of Queensland to
properly investigate complaints against health care professionals.
Nevertheless, there may be instances
(particularly, perhaps, where the
medical practitioner is not being paid for providing an expert opinion, as was
the case with
Dr Gordon) where a medical practitioner may not wish
to become involved in an investigation because of the same type of
inhibiting
factors which I have referred to in paragraph 102 above. A medical practitioner
may not, for example, wish to give evidence
which may be adverse to the
interests of a friend or colleague; he or she may not wish to give up the time
necessary to write the
requested opinion; or simply may not wish to become
involved in the investigation because of the possibility that legal proceedings
may result, in which case he/she may be called upon to give evidence before a
court or tribunal (with the associated demands upon
his/her time) were the
matter to proceed to that stage. I accept that such factors may, in certain
cases, act as disincentives to
an expert witness becoming involved in an
investigation. I also accept, in the case of expert witnesses, that an
investigating body
is reliant upon the cooperation of such persons in order to
obtain the necessary opinion. I will discuss this issue further
below, in relation to the third requirement for exemption under
s.46(1)(b).
113. In this case, although Dr Gordon has said in his submission dated 11
March 1999 that he had misgivings about providing an opinion
because of the
"potential consequences" (he did not identify the consequences he had in mind)
it does not appear from the evidence
before me that, at the time he gave his
opinion, Dr Gordon raised any concerns or inhibitions with the QNC regarding the
communication
of his opinion, such as to warrant a finding that the opinion was
given subject to a conditional understanding that it would
be treated
in confidence. As I said, he apparently gave his opinion freely and without
restriction.
114. Like the midwife and Ms Talbot, I consider that Dr Gordon ought
reasonably to have expected that the QNC would or may
need to disclose
to the applicant, details of its investigation and of the information which
it had gathered and relied
upon in forming its conclusions, in order to give the
applicant a proper account of the manner in which it had carried out its
statutory
functions in relation to her complaint, including a statement of the
outcome of the investigation, and information as to the reasons
for that
outcome. I consider that it is reasonable to expect that Dr Gordon should have
anticipated, or contemplated the
30
possibility, that the QNC would rely upon his opinion in deciding
whether or not the complaint against the midwife was
made out, and further,
that the QNC might need, in discharging its public regulatory function under the
Nursing Act, to disclose relevant details of that opinion to the
applicant or to the midwife, in explaining its reasons for finding that the
complaint
did/did not warrant action being taken against the midwife.
115. Furthermore, it appears from Ms Harrison's final report that
she did, in fact, take Dr Gordon's opinion into account
in recommending to
the QNC that the midwife not be charged.
116. For the reasons given above, I am not satisfied, having
regard to all of the relevant circumstances attending
the communication of
information by Dr Gordon to the QNC, that those circumstances support a finding
that there existed an implicit
mutual understanding that the information would
be treated in confidence as against the applicant. Accordingly, I find
that the second requirement for exemption under s.46(1)(b) is not satisfied in
respect of that information.
117. Given that I have found that the second requirement for exemption under
s.46(1)(b) is not satisfied in respect of any of the matter in issue, it is not
strictly necessary for me to consider the third requirement.
However, I will
take this opportunity to make some observations regarding the various parties'
submissions in relation to this requirement.
(c) the disclosure of which could reasonably be expected to prejudice the
future supply of such information
118. In order to satisfy the third requirement for exemption under
s.46(1)(b), it must be the case that disclosure of the information could
reasonably be expected to prejudice the future supply of such information.
(As
to the meaning of the phrase "could reasonably be expected to", see Re
Cannon and Australian Quality Egg Farms Limited [1994] QICmr 9; (1994) 1 QAR 491
at p.515, paragraphs 62-63.) This requirement does not apply by reference to
whether the particular confider, whose confidential
information is being
considered for disclosure, could reasonably be expected to refuse to supply such
information in the future,
but by reference to whether disclosure could
reasonably be expected to prejudice the future supply of such information from a
substantial
number of sources available, or likely to be available, to an
agency: see Re
"B" at p.341, paragraph 161.
119. The QNC, the midwife, the QNU and Ms Talbot all claim that disclosure
of those parts of the matter in issue which were provided
to the QNC by the
midwife and Ms Talbot could reasonably be expected to prejudice the future
supply of such information to the QNC
by members of the nursing profession. Dr
Gordon, the AMA and NASOG all claim that disclosure of those parts of the matter
in issue
which were provided to the QNC by Dr Gordon could reasonably be
expected to prejudice the future supply of such information to the
QNC by
medical practitioners approached to assist the QNC with an investigation.
Submissions of the midwife, the QNC and the QNU
120. I note that the QNC has no power under the Nursing Act to
compel a nurse to provide information to the QNC for the purposes of an
investigation. Unlike the Medical Board, for example,
which has power under the
Medical Act 1939 Qld to compel medical practitioners who are under
investigation to provide the Board with information, the QNC is reliant upon the
voluntary cooperation of nurses for the provision of information to its
investigators.
31
Section 103(4) of the Nursing Act merely provides that the
investigator must provide the person who is the subject of the complaint with an
opportunity during the course
of an investigation to make a formal submission to
the investigator. Only if the QNC decides at the conclusion of its
investigation
to prefer a charge against the subject of the complaint, in which
case the matter is referred to the Professional Conduct
Committee for
a formal hearing, does that Committee have the power to summons witnesses to
appear before it and give evidence.
121. The fact that a nurse can choose whether or not to assist an
investigation into his/her conduct by providing the investigator
with
information, is used as the basis for arguments by the QNC, the midwife and
the QNU that disclosure in this review
of the information voluntarily
provided to Ms Harrison by the midwife, will prejudice future cooperation by
nurses with QNC investigations,
thereby prejudicing the future supply of
information to the QNC.
122. In their submission dated 5 October 1998, the QNC's solicitors
stated:
We are instructed that the Council has been advised by the Queensland
Nurses Union (which represents a large number of nurses whose
conduct is
investigated by the Council) that if a transcript of the interview between the
investigator and [the midwife] [were] subject to disclosure under the FOI
Act then the Union would advise its members not to submit to an interview. On
that basis, the
Council submits that the information provided by [the
midwife] to the investigator should be exempted from disclosure
under section 46(1)(b) of the FOI Act; namely, that the disclosure
could
reasonably be expected to prejudice the future supply of such
information.
The Council is concerned that those nurses who are represented
by the Queensland Nurses Union (which represents about
50% of the
nursing population in Queensland) will not make submissions to the
Council's investigator during the course
of investigations which will
result in the Council having to consider an incomplete investigation report in
determining whether
or not to prefer a charge. ...
123. I note, however, that in his earlier submission dated 7 July 1998, Mr
O'Dempsey of the QNC
said:
On page 6 of your letter [my letter to the QNC dated 29 June 1998]
... you say that a nurse would be motivated to explain matters to the
investigator in order to avoid any disciplinary action being
taken. I can
assure you that with the benefit of the Council's experience this is not the
case. A number of nurses have elected
not to make any submissions to the
Council during the course of investigations, as is their right. ...
124. According to Mr O'Dempsey therefore, the QNC has experienced
difficulties generally in persuading nurses to cooperate with
QNC
investigations, even without the 'threat' of disclosure under the FOI Act.
That fact could be seen as casting doubt on
the proposition that disclosure
under the FOI Act of itself, could reasonably be expected to prejudice the
future supply of information
to the QNC.
32
125. In its submission dated 23 February 1999, the QNU submitted:
... it has been our policy to encourage nurses to participate
fully and cooperatively with the Queensland
Nursing Council
when under investigation. ...
However, since becoming aware of the FOI application requesting release of
information pertaining to our member we are
now, unfortunately,
recommending to all our members that they exercise extreme caution when dealing
with the Queensland Nursing
Council as any information provided by them to
the Queensland Nursing Council, such as a response to a complaint, a
reference
in support of another nurse or merely a response to an enquiry about a
nurse, may be information required to be released subject
to an FOI application.
The result is that our members are no longer willing to co-operate as fully
personal and confidential information
may be released to an FOI applicant.
...
(I must say I find it disappointing that a body such as the QNU would react
to the possibility of disclosure to a patient of information
concerning that
patient's health and the nursing attention she received, by advising its members
not to assist investigations by
the body charged with regulating the nursing
profession in Queensland. The QNC has been conferred with regulatory powers in
respect
of the nursing profession for the benefit and protection of the
Queensland public. One of the methods of discharging those functions
is to
properly investigate the merits of complaints received from members of the
public. Complainants, too, ought to be accorded
fair treatment in the discharge
of the QNC's functions, in particular to the extent of being given sufficient
information to be satisfied
that their complaints have been properly
investigated. If the stance taken by the QNU means that the QNC cannot perform
its functions
effectively, presumably it will have to seek coercive powers
similar to those conferred on the Medical Board of Queensland.)
126. I consider it reasonable to assume that nurses under investigation by
the QNC would be willing to cooperate with the investigation
if they consider
that they have nothing to fear and they wish to take the opportunity to
exculpate themselves. The supply of information
in such a case would be
motivated by the wish to explain matters to the investigator and avoid
disciplinary action. Equally, I think
it is reasonable to assume that in cases
where nurses fear that disciplinary action may result from an
investigation, they
will be inhibited from cooperating with the
investigation in any event, quite apart from the added 'threat' of the
possibility
of disclosure under the FOI Act of the information they provide.
However, in a situation where nurses think that they can
demonstrate to
an investigator that they did nothing wrong such that there is no warrant
for disciplinary action being taken
against them, but they also fear exposure to
a civil suit by the complainant if the information they provide to the
investigator
can be accessed under the FOI Act by the complainant, I accept
that, in those circumstances, nurses may choose, because of the potential
for
disclosure under the FOI Act of information adverse to their interests,
not to provide the QNC with any information
at all during the course of
its investigation, thereby resulting in prejudice to the supply of information
to the QNC.
127. In the present circumstances, I think it is clear that the midwife
believed that she had done nothing wrong in relation to the
delivery of the
applicant's baby. She chose to cooperate with Ms Harrison's investigation so as
to be in a position to provide her
side of the story and to avoid disciplinary
action being taken against her. As an employee of a public hospital, it
33
would not appear that the midwife herself needed to fear exposure to personal
liability in a civil suit by the applicant if the information
she provided to Ms
Harrison were to be disclosed to the applicant. The general principle of
employment law is that an employer is
vicariously liable for any acts of
negligence committed by an employee in the course of performing his/her duties
of employment.
Accordingly, regardless of the advice which the QNU may give to
its members, I do not think it is reasonable to expect that, if
the matter in
issue in this review were to be disclosed, a significant number of nurses in the
same situation as the midwife would
refrain from seeking to exculpate themselves
from possible disciplinary action by disclosing all relevant information
available to
them, merely because their explanation might later be disclosed to
the patient.
Submissions of Ms Talbot
128. The third requirement for exemption under s.46(1)(b) of the FOI Act
will frequently be satisfied with respect to independent
witnesses such as Ms
Talbot when the witness has supplied information adverse to a person subject to
investigation by a law enforcement
agency or regulatory authority, and
especially where the witness has some reasonable basis for expecting
recrimination, harassment
et cetera, as a result of disclosure. I have
referred to those type of inhibiting factors above, in my discussion of
the second
requirement for exemption under s.46(1)(b).
129. I am not satisfied that the third requirement for exemption under
s.46(1)(b) is satisfied with respect to the information provided
by Ms Talbot.
As I said above, Ms Talbot did not provide information which could be considered
adverse to the midwife's interests.
There was apparently no suggestion of any
wrongdoing on Ms Talbot's part causing her to have had concerns about
protecting her
own interests were she to become involved in the
investigation. It seems clear that Ms Talbot decided to provide
Ms
Harrison with information about the events on the day in question because she
felt it might assist the midwife's case. In
her submission dated 12 March 1999,
Ms Talbot stated that "... at no time did I reasonably expect that charges
would be preferred against [the midwife] given her level of expertise,
the nature of the complaint and the nature of the information I provided in
support of her". I do not think that disclosure of information of that kind
could reasonably be expected to prejudice the future supply to the QNC
of
information from witnesses to an incident who believe that a friend or colleague
has been wrongly or mistakenly accused of misconduct.
Submissions of Dr Gordon
130. As to the position of medical practitioners who assist the QNC with its
investigations by providing opinions et cetera, Dr Gordon submitted:
... Not only will I not co-operate with the Nurses Council if my exemption
is overturned but I have demonstrated that the future supply
of information to
the Nurses Council would be prejudiced. I have spoken to the AMA, the National
Association of Obstetricians and
Gynaecologists and the Nursing Union. Each of
those bodies will have provided you with a letter of support of my position.
The
Nursing Council have demonstrated difficulty in obtaining opinions.
Indeed to obtain an opinion from one giving a reference
would suggest a certain
desperation. The above three groups are all integral to the proper working of
the Nurses Council. In fact
the Nursing Council
34
will not function in a meaningful way without the co-operation of the
above three groups to give information. ...
131. The AMA submitted:
...
Dr Gordon is a member of the AMA which has over 4,300 members across
Queensland, and over 25,000 members nation-wide. Dr
Gordon is
concerned about being forced to allow a patient access to a document that he
believes was written in confidence and designed
for the Nursing Council, a group
of professionals and not the patient. ...
The AMAQ will stand by a carefully considered decision of a member to not
supply information in a particular situation - and would
advise all members in
that situation accordingly. There are obvious concerns that any action may
result in a defensive reaction
by the community of doctors which may affect the
information available.
132. NASOG's brief submission focussed on the reference which Dr Gordon
provided in support of the midwife, rather than his statement.
It did state,
however:
As a matter of principle I think it is important for the medical
profession to be able to provide confidential information to act
as expert
assistance to various Government instrumentalities.
133. I have acknowledged above in my discussion of the second requirement
for exemption under s.46(1)(b) that there may exist, in
particular cases,
factors which inhibit expert witnesses from becoming involved in an
investigation by providing an opinion on the
conduct of a friend or colleague.
I have also acknowledged that whether or not an expert chooses to assist an
investigation, by
giving an opinion on the relevant issues, is entirely up to
the individual. However, I am not satisfied that the third requirement
for
exemption under s.46(1)(b) is satisfied with respect to the information provided
by Dr Gordon. As was the case with Ms Talbot,
I consider that Dr Gordon
provided the QNC with his opinion about the midwife's conduct because he felt it
may assist the midwife.
He stated in his submission that he gave his opinion
because he was concerned that a miscarriage of justice had occurred as far
as
the midwife was concerned and that if he did not give his opinion, he feared
that the midwife could have been "unrightfully given
a period of suspension or
limited registration". As in the case of Ms Talbot, I do not think that
disclosure of information of the
kind provided by Dr Gordon could reasonably be
expected to prejudice the future supply to the QNC of information from expert
witnesses
who believe that a friend or colleague has been wrongly or mistakenly
accused of misconduct, and who give their opinion in the hope
that it will
assist to exculpate that friend or colleague.
134. Quite apart from the fact that, in this case, Dr Gordon gave his expert
opinion to the QNC in order to assist a colleague, I
again find it surprising
and disappointing to hear that some members of the medical profession would
contemplate refraining from
providing their expert opinion in order to assist an
investigation of the kind in question here, simply because that opinion might
be
disclosed to the patient whose complaint is being investigated. In fact it
seems reasonable to me to expect that, in the absence
of any agreement to the
contrary, the majority of medical practitioners approached to provide expert
opinion or advice in their
35
professional capacities, for the purpose of assisting law
enforcement/regulatory/disciplinary investigations or legal proceedings,
would
have no expectation of confidentiality with respect to that opinion or advice.
Rather they would appreciate the distinct possibility
that their opinion or
advice may be relied upon, and communicated to the parties to the dispute, in
support of a particular finding
by the investigating body. Dr Gordon attached
no conditions to the giving of his opinion to the QNC. The fact that he
apparently
did not contemplate the disclosure of his opinion to the applicant,
and is upset by that prospect, is unfortunate, but I do not think
that it in any
way justifies a knee-jerk reaction from bodies such as the AMA and NASOG to the
effect that they will give a blanket
advice to their members not to provide such
opinions in the future.
135. Dr Gordon has made much of the fact that he gave his opinion to the QNC
free of charge. I readily acknowledge that it is no
doubt becoming increasingly
difficult for bodies such as the QNC to secure expert opinions unless they are
prepared to pay for those
opinions. However, while medical specialists are free
to decline to provide expert opinion for the purposes of a law
enforcement/regulatory/disciplinary
investigation, or indeed criminal and civil
proceedings, there does not seem to be any shortage of medical specialists
willing to
provide expert opinion to assist investigations and legal proceedings
of the kind indicated, in return for payment for their time
and effort. Even if
the QNC were to experience a prejudice to the future supply of expert opinions
from medical specialists willing
to provide their opinions free of charge,
that is not the relevant test under the third requirement for
exemption under
s.46(1)(b).
136. For the reasons given above, I am not satisfied that disclosure of any
of the matter in issue in this review could reasonably
be expected to prejudice
the future supply of like information.
Public interest balancing test
137. I have discussed above in some detail the principles of procedural
fairness and my view that the QNC has a duty to justify,
both to the applicant
and the midwife, the decision it reached at the conclusion of its investigation,
and to demonstrate that it
discharged its duty to conduct an adequate and fair
investigation of the complaint made to it. I do not consider, at least in
respect
of the applicant, that the QNC has discharged that duty, having regard
to the information it has provided to the applicant to date.
I appreciate that,
during the course of this review, the QNC prepared and gave to the applicant a
brief summary of the QNC's reasons
for deciding not to take further action
against the midwife. Nevertheless, having regard to the general information
contained in
that summary, and the fact that it does not disclose the evidence
or submissions of the midwife regarding the events which occurred
on the day in
question, nor those of other persons who were interviewed by Ms Harrison during
the course of her investigation, and
bearing in mind that those submissions and
evidence appear to have been taken into account by the QNC in reaching its
decision, I
consider that there is a strong public interest favouring disclosure
of the matter in issue to the applicant.
138. There is a public interest in the accountability of the QNC for the
discharge of its functions, that would be assisted by the
disclosure of
information concerning the actions of the QNC in conducting its investigation,
and in deciding to take no further action
against the midwife. The applicant, as
the complainant against the midwife regarding the midwife's involvement in the
birth of the
applicant's baby, has a special interest in scrutinising the QNC's
investigation and the information collected by the QNC during
the investigation,
upon which its findings were based. I recognised in Re Pemberton and The
University of Queensland (1994) 2 QAR
293 at pp.376-377 (paragraph 190) that a particular applicant's interest in
obtaining access to
36
particular documents is capable of being recognised as a facet of the public
interest, which may justify giving a particular applicant
access to
documents:
The kind of public interest consideration dealt with in the above cases is
closely related to, but is potentially wider in scope than,
the public interest
consideration which I identified in Re Eccleston at paragraph 55, i.e.,
the public interest in individuals receiving fair treatment in accordance with
the law in their dealings with
government. This was based on the recognition by
the courts that: "The public interest necessarily comprehends an element
of justice to the individual"
(per Mason C J in Attorney-General (NSW) v Quin (1989-90) 170 CLR 1
at 18; to similar effect see the remarks of Jacobs J from Sinclair v Mining
Warden at Maryborough quoted at paragraph 178 above). It is also
self-evident from the development by the courts of common law of a set of
principles
for judicial review of the legality and procedural fairness of
administrative action taken by governments, that compliance with
the law
by those acting under statutory powers is itself a matter of public interest
(see Ratepayers and Residents Action Association Inc v Auckland City
Council [1986] 1 NZLR 746 at p.750). The public interest in the fair
treatment of persons and corporations in accordance with the law in their
dealings with
government agencies is, in my opinion, a legitimate category of
public interest. It is an interest common to all members of the
community, and
for their benefit. In an appropriate case, it means that a particular
applicant's interest in obtaining access to
particular documents is capable of
being recognised as a facet of the public interest, which may justify giving a
particular applicant
access to documents that will enable the applicant to
assess whether or not fair treatment has been received and, if not, to pursue
any available means of redress, including any available legal remedy.
139. The public interest considerations weighing against disclosure of the
matter in issue which have been identified by the various
participants in this
review are mostly subsumed within the prima facie ground of exemption
under s.46(1)(b) of the FOI Act, i.e., they mostly relate to the third
requirement for exemption - prejudice
to the future supply of information to the
QNC and the resulting detrimental effect which that could reasonably be expected
to have
on the QNC's investigative processes. I have discussed those
submissions above.
140. I acknowledge that the QNC's investigative processes may suffer if
persons are reluctant to provide it with information in a
situation where there
is no power to compel them to do so. However, I think that the issues that have
arisen during the course of
this review demonstrate a clear need for the QNC to
review its investigative procedures. Had this investigation been handled
differently,
with an explanation given to each witness approached by the
investigator to the effect that the information they supplied may need
to be
disclosed (including to the complainant) in certain circumstances (comparable,
mutatis mutandis, to the three exceptions to understandings of
confidentiality relevant in police investigations, which I identified in Re
McCann at pp.53-54, paragraph 58), many of the problems encountered in this
particular case could, in my view, have been avoided. However,
there does not
appear to have been any discussion of confidentiality, and it appears that
no-one turned their minds to what the QNC
might reasonably be expected to do
with the information supplied to it.
141. It remains the case that the applicant's complaint against the midwife
was, in effect, dismissed by the QNC, and that she has
not been provided with a
sufficient explanation as to why that decision was reached. The extent of the
detail that is offered by
way of explanation in such circumstances will
necessarily vary from case to case, depending on the need to respect any
37
applicable obligations or understandings of confidence, or applicable privacy
considerations. Subject to any such constraints, I consider
that there is a
legitimate public interest in a complainant being given sufficient information
to be satisfied that the investigating
body has conducted a thorough
investigation and reached a fair and realistic decision about whether the
available evidence was sufficient
or insufficient to justify any formal action
being taken in respect of the complaint.
142. In their submission, the midwife's solicitors discussed at length the
other processes open to the applicant if she were dissatisfied
with the QNC's
decision, e.g., seeking a statement of reasons under the Judicial Review Act
1991 Qld. However, it is not relevant to the application of the FOI
Act whether or not the applicant has explored all other avenues for obtaining
access to the matter in issue (see my comments in Re Director-General,
Department of Families, Youth and Community Care and Department of
Education; Perriman (Third Party) [1997] QICmr 2; (1997) 3 QAR 459 at p.464). My function
simply is to decide whether or not the matter in issue qualifies for exemption
under the FOI Act.
143. For the reasons discussed above, I am satisfied that disclosure of the
matter in issue to the applicant would, on balance,
be in the public
interest.
Conclusion
144. For the foregoing reasons, I set aside the decision under review (being
the decision made on behalf of the QNC by Mr J O'Dempsey
on 2 April 1998). In
substitution for it, I decide that, with the exception of the information
described below, which I find qualifies
for exemption under s.44(1) of the
FOI Act, the matter in issue in this review does not qualify for
exemption from
disclosure to the applicant under the FOI Act -
(a) the 26th-32nd words appearing in the final paragraph on page 1 of
document 6;
(b) the first full sentence appearing on page 2 of document 6;
(c) the 5th-9th words of the fifth sentence, and the last eight words of the
seventh sentence, as contained in the first paragraph
appearing under the
heading "Our client's nursing experience" in document 8.
............................. F N ALBIETZ
INFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Noosa Shire Council and Department of Communication & Information, Local Government & Planning [2000] QICmr 5 (15 December 2000) |
Noosa Shire Council and Department of Communication & Information, Local Government & Planning [2000] QICmr 5 (15 December 2000)
Last Updated: 18 January 2006
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 05/2000
Application S 157/96
Participants:
NOOSA SHIRE COUNCIL
Applicant
DEPARTMENT OF COMMUNICATION AND INFORMATION, LOCAL GOVERNMENT AND
PLANNING
Respondent
T M BURKE ESTATES PTY LTD
Third Party
DECISION AND REASONS FOR DECISION
FREEDOM OF INFORMATION - 'reverse-FOI' application - legal opinion -
whether disclosure to State government departments of
a legal opinion obtained
by a local council, and/or disclosure to the access applicant and to regional
newspapers of the conclusions
reached in the legal opinion, involved a waiver of
legal professional privilege otherwise attaching to the legal opinion - implied
waiver of legal professional privilege - application of s.43(1) of the
Freedom of Information Act 1992 Qld.
Freedom of Information Act 1992 Qld s.43(1), s.51
Evidence Act 1995 NSW s.122
Local Government (Planning and Environment) Act 1990 Qld s.1.3;
s.2.18, s.2.19
Amalgamated Television Services Pty Limited v Marsden [2000] NSWCA 63
Ampolex Ltd v Perpetual Trustee Co (Canberra) Ltd [1996] NSWSC 7; (1996) 40 NSWLR
12
Attorney-General (NT) v Maurice [1986] HCA 80; (1986) 161 CLR 475
Australian Unity Health Ltd v Private Health Insurance Administration
Council
[1999] FCA 1770
Commissioner, Australian Federal Police v Propend Finance Pty Ltd
(1997) 188 CLR 501
Esso Australia Resources Ltd v Commissioner of Taxation [1999] HCA 67; (1999) 74 ALJR
339
Goldberg v Ng [1995] HCA 39; (1995) 185 CLR 83
Hewitt and Queensland Law Society Inc, Re [1998] QICmr 23; (1998) 4 QAR 328
Mann v Carnell [1999] HCA 66; (1999) 74 ALJR 378
Queensland Law Society v Albietz and Hewitt (1998) 4 QAR 387; [2000] 1
Qd R 621
Weeks and Shire of Swan, Re (Information Commissioner WA, Decision No.
D00595,
2
24 February 1995, unreported)
DECISION
I affirm the decision under review (which is identified in paragraph 5 of my
accompanying reasons for decision) that the legal opinion
of Mr Hampson QC dated
7 July 1994 is not exempt from disclosure to the applicant under s.43(1) of the
Freedom of Information Act
1992 Qld.
Date of decision: 15 December 2000
............................................................ F N ALBIETZ
INFORMATION COMMISSIONER
TABLE OF CONTENTS
Page
Background
.................................................................................................................... 1
External review process
................................................................................................ 2
Application of s.43(1) of the FOI Act
........................................................................... 3
Waiver of legal professional privilege - general principles
.............................. 3
Instances of disclosure
......................................................................................... 5
Whether the intentional disclosure of the legal opinion to the
Department
involved a general waiver or a limited waiver
................................................ 7
Implied
waiver ..................................................................................................... 9
Submissions and evidence of the participants
................................................... 13
Analysis 16
Conclusion
...................................................................................................................... 19
OFFICE OF THE INFORMATION COMMISSIONER (QLD)
Decision No. 05/2000
Application S 157/96
Participants:
NOOSA SHIRE COUNCIL
Applicant
DEPARTMENT OF COMMUNICATION AND INFORMATION, LOCAL GOVERNMENT AND
PLANNING
Respondent
T M BURKE ESTATES PTY LTD
Third Party
REASONS FOR DECISION
Background
1. This is a 'reverse FOI' application by the Noosa Shire Council (the
Council), seeking review of the respondent's decision to give
T M Burke Estates
Pty Ltd (Burke) access, under the Freedom of Information Act 1992 Qld
(the FOI Act), to a legal opinion dated 7 July 1994, prepared for the Council by
Mr C E K Hampson QC. The Council contends that
the document is exempt matter
under s.43(1) of the FOI Act (the legal professional privilege exemption). The
respondent decided
that legal professional privilege in the opinion had been
waived, and that the opinion no longer qualified for exemption under
s.43(1).
2. The legal opinion was sought from Mr Hampson QC at a time when the Council
had prepared a draft Development Control Plan (DCP)
in relation to part of the
Marcus Shores area in the Noosa Shire, held by Burke under a Special Lease from
the government of the
State of Queensland. The terms of the lease envisaged
that land held under the lease would be developed and sold by Burke. At the
time the legal opinion was given, Burke had already developed part of the
land subject to the lease, and had made unsuccessful
applications to the
Council for permission to develop that part of the land which would later be
subject to the DCP. The DCP, which
was approved by the Governor in Council
on
4 May 1995, significantly limited the ways in which Burke can use the subject
land. This prompted Burke to commence legal proceedings
against the Council
claiming substantial compensation for the reduction in value of the land. The
Council has strenuously contested
that Burke has any legal entitlement to
compensation. (For additional background, see T. M. Burke Estates Pty Ltd v
Noosa Shire Council [1997] QCA 267; [1998] 2 Qd R 448; Noosa Shire Council v T. M. Burke
Estates Pty Ltd [2000] 1 Qd R 398; T. M. Burke Estates Pty Ltd v Noosa
Shire Council [2000] QPE 026. I note that, at the time of publication of
these reasons for decision, judgment was reserved in an appeal to the
Queensland
Court of Appeal from the
2
last-mentioned decision).
3
3. One issue which arose in the regional political controversy over
whether further development should be permitted at
Marcus Shores was whether
significant compensation was likely to be payable by the State of Queensland to
Burke if Burke's rights
to develop the land at Marcus Shores were altered.
In this regard, the Council sought advice from Mr Hampson QC. The
legal
opinion given by Mr Hampson QC is the document in issue. As the DCP was made by
the Governor in Council, it was necessary for
State government departments to
become involved in the planning approval process. The approach of the State
government was co-ordinated
through the Department of Local Government
and Planning (the Department). The existence of Mr Hampson's legal opinion was
mentioned in a telephone conversation between a solicitor employed by the
Council and a senior officer of the Department. The latter
asked if the Council
would provide a copy of Mr Hampson's legal opinion, and the Council obliged,
forwarding it under cover of a
letter dated 21 July 1994.
4. By letter dated 12 June 1996, Burke applied to the Department under the
FOI Act for access to the document in issue. In
accordance with s.51
of the FOI Act, the Council was consulted. By letter dated 12 July 1996,
the Shire Solicitor advised
that he considered that the legal opinion had been
provided to the Department to expedite consideration of the DCP and that, in his
opinion, legal professional privilege had not been waived, nor did the Council
wish to waive it.
5. The initial decision of the Department was made by Mr V Tumath, who
determined that the legal opinion was exempt matter under s.43(1)
of the FOI
Act. Burke subsequently applied for internal review of Mr Tumath's decision,
raising the issue of waiver. The internal
review was conducted by Ms L Apelt,
who, by letter dated 10 September 1996, advised the Council that she had decided
that there had
been an imputed waiver of legal professional privilege, and that
the legal opinion was not exempt from disclosure to Burke under
the FOI Act.
6. By letter dated 4 October 1996, the Council applied to me for review,
under Part 5 of the
FOI Act, of Ms Apelt's decision.
External review process
7. A copy of the legal opinion by Mr Hampson QC was obtained from the
Department and examined. It was clear, from my examination
of it, that the
opinion must have satisfied the legal tests to attract legal professional
privilege at the time of its creation.
No participant has disputed that the
document attracted legal professional privilege upon its creation and
communication to the
Council, and I am satisfied that that is the case. The
issue I have to determine is whether legal professional privilege has been
waived, so that the legal opinion no longer qualifies for exemption under
s.43(1) of the FOI Act.
8. Upon being notified of my review, Burke applied for, and was
granted, status as a participant in the review.
I invited the
Council to lodge a written submission and/or evidence in support of its case
that legal professional privilege
had not been waived. There followed an
exchange of submissions between the participants. In making my decision, I
have taken into
account:
• correspondence between the participants
preparatory to the making of the Department's initial and internal review
decisions;
• the application for external review by the
Council dated 4 October 1996;
• copies of the newspaper articles referred
to at sub-paragraphs 18(c) to 18(e) below;
• letters from the Shire Solicitor dated 12
November 1996, 5 June 1997, 13 November 1998,
24 November 1998 and 21 November 2000;
• letter from the Department dated 8 April
1997;
4
• submissions on behalf of Burke dated 16
September 1998.
5
Application of s.43(1) of the FOI Act
9. Section 43(1) of the FOI Act provides:
43(1) Matter is exempt matter if it would be privileged
from production in a legal proceeding on the ground of legal professional
privilege.
10. Following the judgments of the High Court of Australia in Esso
Australia Resources Ltd v Commission of Taxation [1999] HCA 67; (1999) 74 ALJR 339,
the basic legal tests for whether a communication attracts legal
professional privilege under Australian common law can be
summarised as
follows. Legal professional privilege attaches to confidential
communications between a lawyer
and client (including communications
through their respective servants or agents) made for the dominant purpose of
-
(a) seeking or giving legal advice or professional legal assistance; or
(b) use, or obtaining material for use, in legal proceedings that had
commenced, or were reasonably anticipated, at the time of the
relevant
communication.
Legal professional privilege also attaches to confidential communications
between the client or the client's lawyers (including
communications
through their respective servants or agents) and third parties, provided the
communications were made for the
dominant purpose of use, or obtaining material
for use, in legal proceedings that had commenced, or were reasonably
anticipated,
at the time of the relevant communication.
11. There are qualifications and exceptions to this statement of the basic
tests, which may, in a particular case, affect the question
of whether a
document attracts the privilege, or remains subject to the privilege; for
example, the principles with respect to waiver
of privilege (see Re Hewitt
and Queensland Law Society Inc [1998] QICmr 23; (1998) 4 QAR 328 at paragraphs 19-20 and 29),
and the principle that communications otherwise answering the description above
do not attract privilege
if they are made in furtherance of an illegal or
improper purpose (see Commissioner, Australian Federal Police v Propend
Finance Pty Ltd (1997) 188 CLR 501).
12. As stated above, there is no doubt that the legal opinion in issue
attracted legal professional privilege at the time of its creation.
The only
issue is whether legal professional privilege has been waived by the
Council.
Waiver of legal professional privilege - general principles
13. The leading High Court authorities on waiver of legal professional
privilege are Attorney- General (NT) v Maurice [1986] HCA 80; (1986) 161 CLR 475;
Goldberg v Ng [1995] HCA 39; (1995) 185 CLR 83, and Mann v Carnell [1999] HCA 66; (1999) 74
ALJR 378. There are two kinds of waiver - express or intentional waiver, and
waiver imputed by operation of law (also referred to in the
cases as implied
waiver). As to the former, I made the following observations in
Re Hewitt at p.338
(paragraph 19):
... A person entitled to the benefit of legal professional privilege can
waive the privilege through intentionally disclosing
protected material
(see Maurice at p.487, per Mason and Brennan JJ). If disclosure is
incompatible with retention of the confidentiality which is necessary for
maintenance of the privilege, there will ordinarily be a general waiver of
privilege: see Goldberg v Ng [1995] HCA 39; (1995) 185 CLR 83 per Deane, Dawson and
Gaudron JJ at p.95, per Toohey J at p.106. However, the courts will allow an
exception for
6
a limited intentional disclosure of privileged material, if the disclosure
is compatible
7
with the retention of confidentiality. Thus, disclosure of
privileged information by the beneficiary of the privilege to
another person for
a limited and specific purpose, on the clear understanding that the recipient is
not to use or disclose the information
for any other purpose, will not involve
a general waiver of privilege, and, subject to questions of imputed waiver, may
not disentitle
the beneficiary of the privilege from asserting the privilege
against other persons: see Goldberg v Ng per Deane, Dawson and Gaudron JJ
at p.96, per Toohey J at pp.106-109, and per Gummow J at p.116.
14. In Re Hewitt (at pp.338-351; paragraphs 20-61), I examined the
concept of imputed waiver in the context of s.43(1) of the FOI Act, and analysed
relevant authorities at some length, concluding (at p.351, paragraph 61):
... Therefore, I have reached the view that Australian law with respect to
legal professional privilege allows for the application
of principles of imputed
waiver of privilege in the context of an extra-curial dispute, by reference to
some act or omission of
the privilege holder which, though falling short
of intentional waiver, is inconsistent with maintenance of the privilege,
and
by reference to what ordinary notions of fairness require having regard
to all relevant circumstances attending the
extra-curial dispute.
15. My decision in Re Hewitt on imputed waiver of privilege was upheld
by the Supreme Court of Queensland in judicial review proceedings: see
Queensland Law Society v Albietz and Hewitt (1998) 4 QAR 387; [2000] 1 Qd
R 621. Since then, the High Court of Australia has published its decision in
Mann v Carnell. In it, two of the judges of the High Court proposed a
significant revision/simplification of the principles with respect to waiver
of
legal professional privilege. In his dissenting judgment, McHugh J was prepared
to hold that Goldberg v Ng had been wrongly decided, if it were to be
taken as deciding, as a matter of law, that questions of waiver always depend on
notions
of fairness. McHugh J proposed that the relevant rule of law should be
(at p.401, paragraph 134):
Once there is a voluntary disclosure of privileged material to a stranger
to the privileged relationship (i.e., to a person who is
not the lawyer or the
client), privilege in that material is waived as against the world.
Kirby J concurred with McHugh J on this issue (at p.403, paragraphs
147-148).
16. However, in their joint majority judgment, Gleeson CJ, Gaudron, Gummow
and Callinan JJ
were not prepared to overrule Goldberg v Ng. At p.385
(paragraph 30), they stated:
"However, the reasoning of all members of the [High] Court
[in Goldberg v Ng] was inconsistent with the proposition that any
voluntary disclosure to a third party necessarily waives privilege."
Therefore, the passage quoted at paragraph 13 above appears to correctly state
current Australian law on that issue.
17. Perhaps influenced by the push from the minority judges for
revision/simplification of the principles relating to waiver of privilege,
the
comments by the majority judges on implied waiver of privilege disclose a
difference of emphasis from that which is apparent
in the judgments of all
judges in Maurice, and Goldberg v Ng. The majority judges in
Goldberg v Ng observed (at p.96) that: "... it was accepted in all
judgments [in Maurice] that the question of whether a limited disclosure
gives rise to an implied or imputed waiver of legal professional privilege
ultimately
falls to be resolved by reference to the requirements of fairness in
all the circumstances of the particular case." It was clear that the
majority
8
judges in Goldberg v Ng endorsed and applied that view, as did the
minority judges (Toohey J at p.109-110; Gummow J at pp.120-121). The comments
of the
majority judges in Mann v Carnell on implied waiver of privilege
(set out below from pp.384-385) allow that fairness is still a relevant
consideration, but do
not give it emphasis as the determinative
consideration bearing on implied waiver of privilege:
[28] ... Legal professional privilege exists to protect the
confidentiality of communications between lawyer and client. It is the client
who is entitled to the benefit of such confidentiality, and who may relinquish
that entitlement. It is inconsistency between the
conduct of the client and
maintenance of the confidentiality which effects a waiver of the privilege.
...
[29] Waiver may be express or implied. Disputes as to implied waiver
usually arise from the need to decide whether particular conduct is
inconsistent
with the maintenance of the confidentiality which the privilege is intended to
protect. When an affirmative answer
is given to such a question, it is
sometimes said that waiver is "imputed by operation of law". This means
that the law
recognises the inconsistency and determines its
consequences, even though such consequences may not reflect the subjective
intention of the party who has lost the privilege. Thus, in Benecke v
National Australia Bank, the client was held to have waived privilege by
giving evidence, in legal proceedings, concerning her instructions to a
barrister
in related proceedings, even though she apparently believed she could
prevent the barrister from giving the barrister's version
of those
instructions. She did not subjectively intend to abandon the privilege. She may
not even have turned her mind to the
question. However, her intentional act
was inconsistent with the maintenance of the confidentiality of the
communication.
What brings about the waiver is the inconsistency, which the
courts, where necessary informed by considerations of fairness, perceive,
between the conduct of the client and maintenance of the
confidentiality; not some over-riding principle of fairness
operating at
large.
...
[34] ... Disclosure by a client of confidential legal advice received by
the client, which may be for the purpose of explaining or justifying
the
client's actions, or for some other purpose, will waive privilege if such
disclosure is inconsistent with the confidentiality
which the privilege
serves to protect. Depending upon the circumstances of the case, considerations
of fairness may be relevant
to a determination of whether there is such
inconsistency. The reasoning of the majority in Goldberg illustrates
this.
Instances of disclosure
18. The most common instance of conduct inconsistent with maintenance of the
confidentiality of a privileged communication (thereby
giving rise to questions
of whether a waiver of privilege has occurred) is disclosure of the whole, a
part, or a summary, of a privileged
communication. Before considering the
submissions and evidence of the parties, I will list the instances of
disclosure
that have been identified, with respect to the document
9
in issue:
10
(a) The whole of the legal opinion was disclosed to the Department under
cover of a letter from the Shire Solicitor dated 21 July
1994.
(b) Copies of the legal opinion were later passed on by the Department to the
Office of the Crown Solicitor and the Department of
the Premier and Cabinet.
(c) The following reference appeared in the Noosa News on 26 July
1994:
Marcus can be stopped: QC's report
A Report from one of Queensland's top legal advisers has discounted claims
the State Government is in a legal bind over the Marcus
Shores
development.
Queen's Counsel Cedric Sampson [sic] has advised Noosa Council that
the developer's lease could be revoked with compensation only payable
for improvements done
on the site.
Noosa Mayor, Noel Playford released details of the QC's report,
which counteracts the Government's argument that
development may
be unavoidable for legal reasons.
He said the report showed the Government had the legal power to stop
developers from building on the environmentally-acclaimed site
at a minimal
cost.
(d) The following reference appeared in the Sunshine Coast News on 28
August 1994: The Council, however, has produced a report from one of
Queensland's top legal advisers which states that the compensation payable
would
be minimal. Queen's Counsel Cedric Hampson advised the Council that the lease
could
be revoked with compensation only payable for improvements done on the
site.
Noosa Mayor Noel Playford has said that the report shows the government
has the legal power to stop development on the prized site
at a minimal
cost.
(e) A brief reference to the legal opinion appeared in the Noosa News
on 30 August
1994.
(f) The following reference appeared in a letter from the Shire Solicitor to
the solicitors for Burke, dated 19 September 1994:
Your client will also doubtless know that the Council has
obtained an Opinion from Mr C.E.K. Hampson QC which supports
the
Council's assertion that the resumption clause should apply unless there are
reasons, which are presently unknown, which would
indicate to the
contrary.
(g) The following reference appeared in a letter from the Shire
Solicitor to the
Department dated 12 September 1994:
On behalf of the Council, it has been asserted that the Crown
has the contractual right to resume the subject land pursuant
to the express
terms of the Special Lease, and that the quantification of any compensation is
to be assessed in accordance with those
clearly expressed terms. That
assertion
11
has been supported by an Opinion of Mr C.E.K. Hampson QC.
12
19. Copies of the letters referred to in (f) and (g) above were annexed to
the written submission dated 16 September 1998 lodged on
behalf of Burke.
Whether the intentional disclosure of the legal opinion to the Department
involved a general waiver or a limited waiver
20. At paragraph 29 of Re Hewitt, I observed that where a privilege
holder has intentionally disclosed privileged material in such a manner as to
result in a general
waiver of privilege in that material, such material would
not be privileged from production in any legal proceeding on the ground
of legal
professional privilege, and s.43(1) of the FOI Act could not apply.
21. The letter from the Shire Solicitor which forwarded the legal opinion to
the Department did not contain any indication that
the legal opinion was
being provided under some understanding that it would be treated in
confidence. There is no evidence
that any express undertaking of confidential
treatment was sought or given. In the absence of circumstances giving rise to
an implicit
mutual understanding that the legal opinion would be treated in
confidence, I consider that disclosure of the opinion to
the
Department would have constituted a voluntary act inconsistent with
continuation of privilege in the document. I consider
that the Shire Solicitor
had ostensible authority to waive privilege on behalf of the Council. I do not
consider that the relationship
of the Council and the Department was such that
they could be regarded as the same party, or parties with a common interest.
Councils
and the Department have quite distinct roles to play in government in
Queensland, and no doubt the two levels of government often
find themselves at
odds in relation to particular cases. Unless there was some
understanding or obligation binding the
Department to treat the legal
opinion in confidence, it would have been free to further disseminate the legal
opinion, a situation
which is clearly inconsistent with maintenance of privilege
in the legal opinion.
22. The Shire Solicitor has submitted that the disclosure of the legal
opinion to the Department was for the limited purpose
of assisting the
Department's consideration of whether to recommend that the Governor in
Council approve the draft DCP, stating:
Of course there was no specific mention of reserving privilege because I
did not then, or do I now, consider that any such reservation
was necessary.
Here is a case of the Crown, through one of its Departments, requesting a local
government authority for a copy of
a document to assist it to carry out its
statutory duty. In the normal course of events, I do not regard the Crown as
being in the
same category as others. If a citizen, and more so a local
authority, can not deal with the Crown in confidence, without placing
some
restriction on its publication, there is a public interest aspect at jeopardy.
The Crown well knew of the litigation and potential
for further litigation
involving several millions of dollars. I feel sure that confidentiality was
assumed by both the Department
and by me.
.....
Neither the Department nor the Council adverted to the prospect of the
advice being made available to the Developer/Lessee, perhaps
because it was
assumed on both sides that it would not. Remember that the
Developer/Lessee was litigating with Council
and there was a very public
political contest concerning the proposed development of the area. They were
regarded as opponents.
13
23. In a letter dated 8 April 1997, Ms Apelt of the Department made the
following response to my request for further information on
the circumstances
attending the provision of the legal opinion to the Department:
(a) the purpose for which the opinion was requested or
supplied:
Telephone advice was received on 14 July 1994 from Mr Graham Rees- Jones
(Solicitor, Noosa Shire) to the effect that Council had obtained
an opinion
from Cedric Hampson QC who was of the view that no compensation was
payable to T M Burke Estates Pty Ltd by
the Lands Department in the event that
the development did not proceed.
Mr Rees-Jones was asked by Mr Stan Wypych, Manager, South East Queensland
Planning Division, if Council would provide the Department
with a copy of the
opinion for the purpose of expediting the Department's consideration of the
Development Control Plan for Marcus
Shores.
(b) any understanding, express or implied, that the
opinion was communicated in confidence;
There existed an implied understanding that the opinion was released for a
specific purpose to be used only by the Department as
part of the symbiotic
process between local government and the Local Government Department.
The Departmental officers involved did not consider that communication of
the document to Crown Law and to the Office of Cabinet
would compromise any
privilege attaching to the document.
However, it was clearly understood by both parties that the opinion would
not be disclosed to T M Burke Estates Pty Ltd.
(c) any understanding that the opinion was supplied for a limited
purpose only;
It was understood by both parties that the opinion was provided to the
Department for the sole purpose of expediting its consideration
of the
Development Control Plan for Marcus Shores.
(d) any understanding limiting its use and/or distribution
by the
Department;
Noosa Council apparently understood that the opinion was
for Departmental purposes only. Noosa Council was not expressly
made aware that
copies of the document would be provided by the Department to Crown Law and to
the Office of Cabinet.
24. It appears that circumstances relating to the dispute between the Council
and Burke gave rise to an implicit understanding on
the part of the Department,
as well as on the part of the Council, that the legal opinion supplied by
the Council to the
Department was to be treated in confidence,
certainly as against Burke, and to be used only for purposes relating to the
State
government's consideration of the proposed DCP for Marcus Shores. Burke
has been given access to the above statements, and
has not disputed
that they accurately reflect the understanding between the Department and
the Council.
14
25. I am satisfied that the legal opinion of Mr Hampson QC was disclosed by
the Council to the Department for a limited and specific
purpose, on the
understanding that it would be treated in confidence. I consider that the
further disclosure of the legal opinion
by the Department to the Office of the
Crown Solicitor, and the Department of the Premier and Cabinet, was consistent
with the purpose
for which the opinion was supplied. I am satisfied that
disclosure of the legal opinion by the Council to the Department could not
properly be seen as constituting an intentional general waiver of legal
professional privilege, or as destroying the confidentiality
which is necessary
for maintenance of the privilege (cf. Goldberg v Ng at p.95).
Implied Waiver
26. However, the reasoning and result in Goldberg v Ng indicate that a
disclosure of this kind may nevertheless give rise to an issue of implied
waiver. In that case, Mr Goldberg's privilege
was held to have been waived by
imputation of law, notwithstanding that his disclosure of privileged material to
a third party occurred
on the basis of an express undertaking by the third party
that the privileged material would be treated in confidence.
27. In Goldberg v Ng, the Ngs were concerned that their solicitor
Mr Goldberg, had taken improper action in relation to them, which had resulted
in financial
loss to them. They commenced Supreme Court proceedings, but also
lodged a complaint with the New South Wales Law Society (the Law
Society)
foreshadowing a possible claim against the Solicitors' Fidelity Fund. In
the context of the Law Society dealing
with the Ngs' complaint, Mr
Goldberg provided to the Law Society, on the basis of a strict
undertaking as to confidentiality,
copies of statements prepared by him for
the purposes of the Supreme Court proceedings. The Ngs subsequently attempted
to obtain
copies of the statements in the Supreme Court proceedings, on the
basis that legal professional privilege had been waived by Mr Goldberg
providing
copies of the statements to the Law Society. The majority of the High Court
affirmed the decision that legal professional
privilege had been waived. The
following factors were relevant in the finding by the majority judges in the
High Court that ordinary
notions of fairness required that legal professional
privilege was waived in the circumstances of the particular case:
• the fact that Mr Goldberg had voluntarily
used documents generated for use in the court proceedings to assist him in
rebutting
the Ngs' complaint to the Law Society;
• the fact that the statements were
provided for the calculated purpose of assisting Mr Goldberg to rebut the
Ngs' complaint
- for a purpose adverse to the Ngs - and that it probably
assisted in doing so;
• that the usual procedure adopted by the
Law Society was to seek a written response from the practitioner and that, if
the normal
course had been followed, that response would not have been subject
to legal professional privilege.
28. In that case, no part of the privileged statements, or information as to
their contents, had previously been disclosed to the
Ngs. In the present case,
there have been the disclosures referred to in subparagraphs 18(c) to (g) above,
which, in light of the
passage from Mann v Carnell quoted at paragraph 17
above, appear to me to have more significance than the disclosure referred to
in subparagraph 18(a) above,
and indeed to have been inconsistent with the
understanding that applied between the Council and the Department as at 21 July
1994
that the Council regarded Mr Hampson's legal opinion as a confidential
document.
15
29. The Council's conduct in making public disclosures of the substance of Mr
Hampson's legal advice is not too dissimilar from
the conduct considered
by the Western Australian Information Commissioner in Re Weeks and Shire
of Swan (Information Commissioner WA, Decision No. D00595, 24 February
1995, unreported). In that case, an officer of the respondent Council
had read
aloud to the applicant "selected but relevant parts" of a four page legal advice
(amounting to approximately 7 per cent
thereof), which related to an application
for a land use approval that had been made by the applicant to the respondent
Council.
The case involved an extra-curial dispute over access to an otherwise
privileged document. The Western Australian Information Commissioner
decided
that there had been an intentional waiver of privilege in the parts of the legal
advice that were read out to the applicant,
and that the act of reading out
parts of the legal advice to the applicant amounted to a waiver, by imputation,
of privilege in the
whole document.
30. At paragraph 64 of Re Hewitt, I observed:
... Although it may seem a fine distinction in practical terms, the
difference between stating "I have received legal advice and I
deny liability",
and stating "I have received legal advice that I am not liable to compensate
you", is nevertheless a real and
material one, in that the former
involves no conduct inconsistent with maintaining privilege in the legal
advice, but the
latter does. At least in extra-curial contexts, I tend
to agree with the contention put by the QLS that a mere reference
to the
existence of legal advice, or a statement that a person or company was adopting
a certain course of action (e.g., denying
liability to compensate a
claimant for damages) based on legal advice, should not ordinarily, of itself,
involve an imputed
waiver of privilege in the content of the legal advice. (In
the context of litigation, even an implicit assertion, in pleadings
or evidence,
about the content of privileged material, may involve an imputed waiver of
privilege if fairness requires it: see
Bayliss v Cassidy &
Ors (Supreme Court of Queensland - Court of Appeal, No. 1225 of 1998,
Williams J, Davies and McPherson JJA, 11 March 1998, unreported)
at p.3.)
However, the reference in the passage from Goldberg v Ng quoted at
paragraph 21 above to "a limited actual or purported disclosure of the contents
of the privileged material" extends,
in my opinion, to disclosure of a
summary of the conclusions reached in legal advice. I consider that support
for that
view can be found in the following statement by Deane J in
Maurice (at p.493):
Thus, ordinary notions of fairness require that an assertion of
the
effect of privileged material or disclosure of part of its contents in
the course of proceedings before a court or quasi-judicial tribunal be treated
as a
waiver of any right to resist scrutiny of the propriety of the
use he has made of the material by reliance upon legal professional
privilege.
(my underlining).
(See also Ampolex Ltd v Perpetual Trustee Co
(Canberra) Ltd (1996)
[1996] NSWSC 7; 40 NSWLR 12 at pp.14-15, and p.18. In that case, Ampolex
sought declarations that the proper conversion ratio of certain convertible
notes issued by it was one share for one note. In a report
prepared by an independent valuer, which report had entered
the public
domain, it was stated that "Ampolex maintains that the correct ratio is 1:1 and
has legal advice supporting this position."
Rolfe J found that this
statement had
16
voluntarily disclosed the substance of the legal advice, and held
that
17
privilege in that legal advice had been waived. That issue was, however,
decided under s.122 of the Evidence Act 1995 NSW, rather than
under common law principles. See also the decision of Kirby J of the High Court
of Australia dismissing an application
for a stay of the decision that privilege
in the relevant legal advice had been waived: Ampolex Ltd v Perpetual
Trustee Co (Canberra) Ltd & Ors [1996] HCA 15; (1996) 137 ALR 28. A similar conclusion
was reached, in similar circumstances, applying s.122 of the Evidence Act
1995
Cth, in BT Australasia Pty Ltd v State of New South Wales & Anor
(No 7)
[1998] FCA 294; (1998) 153 ALR 722 at pp.743-744.)
31. Although the Ampolex case, referred to in the passage quoted
above, was decided under s.122 of the Evidence Act 1995 NSW, I note that
in Australian Unity Health Ltd v Private Health Insurance Administration
Council [1999] FCA 1770 at paragraphs 15-19, Goldberg J of the Federal Court
of Australia applied the same principles in deciding an issue as to waiver
of
legal professional privilege in circumstances where the common law was
applicable:
15. I commence with the proposition that the legal advice which is
referred to in the two exhibits was, in its inception,
the subject of
legal professional privilege. So much flows from the evidence
of Mr O’Callaghan. In Ampolex Ltd v Perpetual Trustee Co (Canberra)
Ltd [1996] NSWSC 7; (1996) 40 NSWLR 12, Rolfe J had to consider whether there had been a
waiver of legal professional privilege in the legal advice which had been given
to Ampolex by counsel. He drew a distinction between two statements which had
been made in a Pt B statement issued by Ampolex on
8 May 1996.
16. In one part of the statement, it was stated:
"Ampolex's views as to the likely outcome of the Convertible Note litigation.
The views set out below have regard to the pleadings,
the evidence available to
Ampolex and the advice of the barristers and the solicitors engaged by
Ampolex for the purposes
of the litigation, as at 1 May 1996."
Ampolex's views were then set out. Later in the Pt B statement, there was
reference to a report which was incorporated in the Pt B
statement. That report
stated:
"There is a dispute about the conversion ratio. Ampolex maintains that the
correct ratio is 1:1 and has legal advice supporting this
position."
Rolfe J concluded that the statement that Ampolex's views had regard to
the advice of the barristers and the solicitors was not a
disclosure of the
legal advice, whereas the statement that Ampolex has legal advice
supporting the position of the ratio
being 1:1 was a disclosure of the terms or
the substance of that legal advice.
18
17. That decision was the subject of appeal to the Court of Appeal of New
South Wales which was dismissed. An application was made
to the High Court for
a stay, pending the hearing of an application for special leave to appeal.
In Ampolex Ltd v Perpetual Trustee Co (Canberra) Ltd
[1996] HCA 15; (1996) 137 ALR 28, Kirby J refused a stay. At 34 his Honour said:
"Ampolex stated that it had 'legal advice supporting its position'.
Rolfe J concluded this statement was, within s.122, disclosure of the 'substance
of the evidence'. The disclosure suggested, to reasonable inference, that
the legal advice
supported Ampolex's stated position. Ampolex drew
attention to the limit of 'substance' suggested by such decisions
as
Derby and Co Ltd v Weldon No. 10 (1991)
1 WLR 660 at 668. I agree that a mere reference to the existence of legal
advice would not amount to a waiver of its contents.
Rolfe J appears to
have acknowledged this distinction by later rulings to which I was taken
during the course of argument.
But at least in respect of the substance of the
legal advice supporting Ampolex's assertion about the correct ratio, which is in
contest here, it is strongly arguable that the public reference to the
supporting legal advice, waived the privilege as to
the precise content of the
legal advice, on that point I cannot say that the ruling is attended by such
doubt as to promise a substantial
prospect of a grant of special leave to appeal
to this court. On the contrary, on my present understanding of the facts and as
a
tentative view, the opinion expressed in the ruling seems arguably
correct."
That decision was given in the context of s.122 of the Evidence Act, which
as I have indicated earlier is not relevant for present purposes. Nevertheless,
I consider that it is of assistance by way
of analogy in determining whether
there has been either a disclosure of the legal advice or a waiver of
privilege in the
circumstances of this case.
18. I do not consider that the statement made in para 2.23 of the
s.13 statement is a disclosure of the legal advice. It simply says that it is
part of the evidence and other material on which the finding
was based.
Consistently with the reasoning of Rolfe J and Kirby J, I do not consider that
is a disclosure of the contents of the
advice or a waiver of legal professional
privilege. However, I form a different view in relation to the recommendation
where
it is explicitly stated that legal advice supporting the
respondent's view of Rule No 4 has been received. Again, I reach
the conclusion
by analogy with the reasoning of Rolfe J and Kirby J in the Ampolex
cases (supra) above. It seems to me that by stating the respondents' view of
the rule, and that legal advice supports that view,
the existence of legal
advice is being disclosed, the contents of which say that it supports the
respondent's view of the rule.
19. Consistently with the reasoning of the High Court in
Attorney-General
Northern Territory v Maurice [1986] HCA 80; (1986) 161 CLR 475, and Goldberg v Ng
[1995] HCA 39; (1995) 185 CLR 83, I am of the opinion that there is at the least an
implied waiver of legal professional privilege, and at the most an
actual
19
waiver of the legal advice because the contents of the advice are
referred
20
to. So far as an implied waiver is concerned, it seems to me that it can
be said that there is an implied or an imputed
waiver because the
recommendation sets out a justification for the policy and an explanation of it
which is supported by legal
advice. That recommendation is now before the Court
and it seems to me that the fairness principle requires that that advice be
disclosed.
Submissions and evidence of the participants
32. In its submission dated 16 September 1998, Burke gave a history of its
interactions with the Council in relation to the Marcus
Shores site. In
essence, following refusal of applications to rezone the site, the Council
prepared a draft DCP which would
have the effect of significantly limiting the
development potential of the site. Burke was opposed to the making of the DCP.
In
the course of State government consideration of the draft DCP, concern was
expressed about the potential for significant compensation
payments to Burke.
One potential option was the exercise by the State of a resumption clause in the
Special Lease held by Burke.
It was at this stage that advice was sought by the
Council from Mr Hampson QC. The DCP was subsequently approved. The submission
continued:
18. It is submitted that the compensation issue was a factor
(and the Respondent says a significant factor) in whether
the State Government
approved the Development Control Plan prepared by the Applicant ...
19. Indeed, the Respondent submits that the Applicant has used the
Opinion
(which is apparently favourable to the Applicant) to persuade, or
endeavour to persuade, the Department and the State Government
that the approval
of the Development Control Plan would not result in any significant compensation
being payable to the Respondent.
20. As a result of the gazettal of the Development Control Plan,
the Respondent contends that it has suffered significant
loss and has brought
proceedings against the Applicant in the Planning & Environment
Court
(Appeal No. 1193 of 1996) claiming compensation. The amount claimed was
4.53 million dollars together with interest and costs, although
that amount is
likely to significantly increase in light of subsequent land sales data.
...
24. Further, it is clear from [Re Hewitt] that the principle of
imputed waiver of legal professional privilege is based on the notion of
fairness. In assessing fairness,
it is necessary to look at the place which the
principle of legal professional privilege has in the administration of
justice.
25. Relevant factors to consider in relation to the issue of fairness are
as follows:-
(a) The Department is exercising a regulatory function; in this case, to
give advice to the State Government as to whether
the State Government
should approve the Development Control Plan promulgated by the
Applicant which prohibited development
on the Respondent's land.
21
(b) As part of its determinative process, the Department was required to
look at the effect of the "resumption clause" in the Special
Lease and consider
whether the approval of the Development Control Plan could result in a
significant claim for compensation on the
part of the Respondent.
(c) The Applicant provided the Opinion to the Department with a view to
persuading the Department to recommend that the Development
Control Plan be
approved by the State Government.
(d) The subsequent approval of the Development Control Plan by the State
Government has caused significant loss to the Respondent
and is now the subject
of a claim for compensation in the Planning and Environment Court (Appeal No.
1193 of 1996).
26. The Respondent contends that it is entitled to know, as a matter of
fairness, what information the Department had
before it when
considering the terms of the draft Development Control Plan.
33. In her internal review decision, Ms Apelt found that the Council's
conduct in providing the legal advice to the Department, and
disclosing
information to the media, amounted to imputed waiver, finding that a copy of the
advice was requested by an officer of
the Department to assist Crown Law in the
formulation of legal advice as to compensation payable and also to assist in
expediting
the approval of the DCP, and that the advice was provided voluntarily
to the Department with an intention that it would assist in
a decision regarding
the DCP being made favourably to the Council. In relation to publication in the
newspaper, Ms Apelt stated:
"I consider that this would amount to an implied
waiver as it would be unfair to allow the Council to rely on the privilege after
the
election by Council to use a portion of the opinion to its
advantage."
34. I consider that the submissions of the Council are adequately set out in
the following extracts from the letters of the Shire
Solicitor:
The Council contends that it has not used the opinion or referred to it in
any way which would be unfair or misleading to the applicant.
Secondly, the
report in the Sunshine Coast Daily hardly amounts to anything other than a
conclusion reached by Mr Hampson and does
not disclose his reasoning - which is
the important aspect of the document.
It is further submitted that disclosure to a third-party - particularly as
in this case, the Crown, in response to a request
by an independent
authority, should not render the document accessible. It would otherwise be
contrary to public policy to deprive
the Crown of relevant material through any
fear of later disclosure to a litigious opponent.
(letter dated 4 October 1996)
... Certainly, there was no intention by the Council to waive the
privilege either by some mention in the local press - which is
a very weak point
- or by my having sent a copy to the Department of Local Government at its
request.
...
22
Finally, I point out that legal professional privilege is a long
established and important exemption to disclosure of documents, which
is
recognised by the Freedom of Information Act. In my submission, you should only
find that there has been a waiver in the clearest of circumstances as outlined
in the decided
cases. Such circumstances do not exist concerning the release of
a copy of the Opinion of Mr Hampson QC to the Crown.
(letter dated 12 November 1996)
...
...[Burke's] solicitors knew or should be assumed to have known, suspected
or guessed that Council had obtained a barrister's advice in a case
of this
type. Any press report was merely confirmation.
Of course in [Re Hewitt], the publication of the existence of the
Opinion or advice was quite different and is of no assistance.
Again, I strongly assert that it would be contrary to public interest if
legal professional privilege were to be lost by a
Local Government
when a document is supplied to the Crown at its request, in order to assist the
Crown in determining some aspect
which requires a Crown decision in the exercise
of a Statutory function.
I remind you that a Local Government is the creature of the Crown and that
the Crown is under a fiduciary duty to act in the best
interest of the Shire and
its ratepayers. On that basis, it is important that the Council should be able
to communicate freely with
departments of the Crown and to inform them of legal
opinions which support a particular position, without fear of losing legal
professional
privilege to the Council's litigious opponent or others.
Finally, I suggest that no unfairness is occasioned to [Burke] by
protection of Council's privilege, and that there are more substantial
and compelling reasons of public interest to deny
access to the
document.
(letter dated 13 November 1998)
... after reviewing [the newspaper articles] I repeat my assertion
that there is no unfairness to TM Burke flowing from publication from any source
because it already knew through
its Solicitors of Council's assertions
concerning the resumption clause in the Special Lease.
I pose the question - if I write to the Solicitors and inform them that I
have the advice of Counsel which confirms my assertions,
what unfairness flows
from my giving others similar information?
The decided cases really do not assist TM Burke because the
"unfairness"
arises in different circumstances and are of a substantial nature.
(letter dated 24 November 1998)
... In this particular case, the publication of [reports about]
Council's advice was of general information, and did not state any detailed
reasons. That may not be of importance in other cases,
but here it is, I
submit, little different from my having said to the solicitors for T.M. Burke -
"Richard, I have advice from Cedric
Hampson that the Special Lease is
invalid".
23
Surely it would not be suggested that such a statement is a
waiver of privilege. The fact that the statement
is in a newspaper
makes the maintenance of privilege no more "unfair". It may be different if
some detailed reasons had been
given.
(letter dated 21 November 2000)
Analysis
35. There is no public interest balancing test incorporated in the s.43(1)
exemption. However, the Council's concerns do serve to reinforce the
rationale of the principle of legal professional
privilege and its
importance under the general law. In Re Hewitt (at pp.354-
355, paragraph 68), I said that I found the following judicial statements
most apposite:
• An important part of the rationale of
the principle of legal professional privilege is the protection and preservation
of the rights,
dignity and freedom of the ordinary citizen under the law... .
Another aspect of the rationale ... is
... that the ready availability of confidential legal advice and of
skilled and adequate legal representation is in the public interest
in that it
promotes both the observance of the law generally and the administration of
justice in particular. That aspect of the
rationale of the principle applies
with as much force to a public official as it does to a private individual
... (per Deane J in Waterford v Commonwealth of Australia [1987] HCA 25; (1987) 163
CLR 54 at p.82).
• To our minds it is clearly in the
public interest that those in government who bear the responsibility of
making decisions should
have free and ready confidential access to their
legal advisers. ... The growing complexity of the legal framework in which
government must be carried on renders the rationale of the privilege
... increasingly compelling when applied to
decision-makers in the public
sector. The wisdom of the centuries is that the existence of the privilege
encourages resort to those
skilled in the law and that this makes for a better
legal system. Government officers need that encouragement, albeit, perhaps,
for
reasons different to those which might be expected to motivate the citizen
(per Mason and Wilson JJ in Waterford at p.62, p.64).
36. I have already indicated at paragraph 21 above, that I do not think there
is any basis for finding a special relationship between
local authorities and
the State which would justify a finding that there was a "common interest"
between them. I do not regard local
authorities as being in any different
position, for present purposes, from other proponents of development or
planning
control measures, who may wish to provide information to the State
government to advance the position they favour. Local authorities
are certainly
arms of government but they are distinct entities from the State and their aims
will frequently vary from those of
the State. I do not consider that public
policy dictates that a Council should be treated differently under the law from
any other
person seeking to assert privilege.
37. I am also unable to see what benefit the Council can gain by asserting
that Burke was already aware of the Council's position.
The more the Council
has disclosed to Burke about Mr Hampson's opinion, the stronger is Burke's case
in respect of waiver.
38. The Council was in this case performing a statutory function under
Part 2 of the Local Government (Planning and Environment) Act 1990 Qld
(the LGP & E Act) as part of its obligation to facilitate orderly
development and protect the environment (see s.1.3). Pursuant
24
to s.2.18 of the LGP & E Act, the Council was empowered to propose an
amendment to a planning scheme including a DCP for a particular
area. Burke had
a right to view the draft DCP, to make submissions opposing it, and to have
those submissions passed on to the Governor-in-Council
when the Council
forwarded the draft DCP for consideration (see ss.2.18 and 2.19 of the LGP &
E Act). Burke did not have a right
to appeal the approval of the DCP to the
Planning and Environment Court. However, it clearly had a significant interest
in the outcome
of the DCP approval process.
39. In addition to disclosing the whole of Mr Hampson's legal opinion to the
Department, on the understanding that it would be treated
in confidence, the
material before me establishes that the Council made numerous disclosures
about the substance of the
advice given in Mr Hampson's legal opinion.
The Council made disclosures to newspapers, apparently in order to contradict
public
comments by the then Premier of Queensland that the State government
might be subject to a significant compensation payout if Burke's
development
rights regarding Marcus Shores were altered. The Council's solicitors made a
disclosure directly to the solicitors
for Burke (see paragraph 18(f) above).
40. Following Mann v Carnell, the test for implied waiver of
privilege has been formulated by the
New South Wales Court of Appeal, in Amalgamated Television Services Pty
Limited v Marsden
[2000] NSWCA 63 (per Giles JA at paragraph 29, with Mason P and Handley JA
agreeing), as follows:
In Mann v Carnell at [28-9] it was said that it is
the inconsistency between the conduct of the client and maintenance of the
confidentiality protected by the
privilege which effects a waiver of the
privilege. What brings about the waiver is the inconsistency, informed by
notions of fairness,
not "some overriding principle of fairness operating at
large".
41. I also find assistance from the following passage from the judgment of
Gummow J (who was one of the majority judges in Mann v Carnell) in
Goldberg v Ng (at p.120):
... in answer to the question what constitutes waiver by
implication,
[Wigmore] said:
Judicial decision gives no clear answer to this question. In
deciding it, regard must be had to the double elements that
are predicated in
every waiver, i.e., not only the element of implied intention, but also the
element of fairness and consistency.
A privileged person would seldom be
found to waive, if his intention not to abandon could alone control the
situation.
There is always also the objective consideration that when his
conduct touches a certain point of disclosure, fairness requires
that his
privilege shall cease whether he intended that result or not. He cannot be
allowed, after disclosing as much as he pleases,
to withhold the remainder. He
may elect to withhold or to disclose, but after a certain point his election
must remain final.
(I note that the same passage from Wigmore was endorsed in Maurice by
Gibbs CJ at p.481, by
Mason and Brennan JJ at p.488, and by Dawson J at p.498.)
25
42. I consider that the conduct of the Council exceeded that "certain point
of disclosure" referred to by Wigmore. I am satisfied
that the instances of
disclosure of the substance or effect of the legal opinion of Mr Hampson QC that
are particularised at subparagraphs
18(c) to (g) above involved voluntary
conduct on the part of the Council, as client, that was inconsistent with
maintenance of the
confidentiality, in the legal opinion, which legal
professional privilege exists to protect. I am satisfied that the conduct of
the Council requires a finding that privilege in the relevant legal opinion has
been waived, whether the Council intended that result
or not. I consider that
my finding in this regard can be supported without reference to any wider
considerations of fairness
to Burke, although I have referred to such
considerations at paragraphs 44-45 below.
43. I do not consider that there is any substance in the Council's submission
to the effect that it has disclosed only Mr Hampson's
conclusions, and is still
entitled to privilege in respect of the reasoning which supported those
conclusions. All of the authorities
of which I am aware are consistent with the
principle stated by Mason and Brennan JJ in Maurice (albeit with a
context of curial proceedings in mind) at p.488:
The holder of the privilege should not be able to abuse it by using it to
create an inaccurate perception of the protected communication.
... In order
to ensure that the opposing litigant is not misled by an inaccurate perception
of the disclosed communication, fairness
will usually require that waiver as to
one part of a protected communication should result in waiver as to the rest of
the communication
on that subject matter: see Great Atlantic Insurance Co v
Home Insurance Co [1981] 1 WLR 529; [1981] 2 All ER 485.
The cases referred to in paragraphs 29-31 above also illustrate this
point.
44. The basis on which Burke has put its case that fairness requires a
finding of imputed waiver of privilege (at least for its benefit)
reflects an
inaccurate assumption as to the use to which the Council was seeking to put the
relevant legal opinion. Burke has submitted
that the Council "... has used
the Opinion ... to persuade, or endeavour to persuade, the Department and the
State Government that the approval of the
Development Control Plan would not
result in any significant compensation being payable to [Burke]" and
that Burke should be "... entitled to know, as a matter of fairness, what
information the Department had before it when considering the terms of the draft
Development Control Plan." On the material available to me, I consider that
the Council's purpose in supplying a copy of the legal opinion was to interest
the State government in a different course of action, i.e., resumption of the
relevant parcel of land pursuant to a resumption clause
in the Special Lease,
with the State government's liability to compensation being limited
to the value
of improvements only. However, the
State government did not wish to pursue that option, preferring to allow the
DCP
to be approved, and to leave the Council liable for any compensation that might
be payable as a consequence. Since the legal
opinion in issue deals only with
an option which was not pursued, I do not consider it possible to say, at this
point in time, that
considerations of fairness require disclosure of the legal
opinion to Burke in order to allow it to review the approval process in
respect
of the DCP.
45. Nevertheless, at the time of the Council's conduct in August-September
1994 that gave rise to an issue of implied waiver, the
Council was urging on the
State government a course of action that would have been detrimental to Burke's
commercial interests, and
for so long as that course of action was under
consideration by the State Government, there were considerations of fairness
telling
in favour of disclosure to Burke, so as to enable Burke to put its views
to the State government as to the legal validity, and fairness,
of the State
government pursuing that
26
course of action to the detriment of Burke's commercial interests. The
implied waiver of
27
privilege in the legal opinion occurred as a result of the disclosures made
by the Council in August-September 1994, and there were
considerations of
fairness to Burke that supported an implied waiver of privilege in favour
of Burke, at that time, even
though the same considerations appear to me
to have no practical force today.
46. While I am not aware of any authority dealing with the issue, I consider
that a waiver of privilege imputed by operation of law
must logically be
effective from the date of the conduct, on the part of a client, which is
inconsistent with maintenance of the
privilege (if necessary, in combination
with the existence of circumstances in which requirements of fairness support
the finding
of implied waiver). Therefore, if a finding of implied waiver in
this case had been dependent on wider considerations of fairness
to Burke (and I
have stated my view at paragraph
42 above that my finding is not), it would not avail the Council that, by the
time a tribunal had come to rule on the issue of Burke's
entitlement to
disclosure, the passage of time had negated the considerations of fairness which
previously supported the finding
of implied waiver. I do not consider that the
privilege would be revived on that account.
47. I find that the legal professional privilege which initially attached to
the legal opinion of Mr Hampson QC dated 7 July 1994
has been waived by
imputation of law. I therefore find that the legal opinion is not exempt from
disclosure to Burke under s.43(1)
of the FOI Act.
Conclusion
48. For the foregoing reasons, I affirm the decision under review.
......................................... F N ALBIETZ
INFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Price and Department of Police; (Decision currently under Judical Review) [2006] QICmr 21 (29 June 2007) |
Price and Department of Police; (Decision currently under Judical Review) [2006] QICmr 21 (29 June 2007)
Office of the Information Commissioner (Qld)
Decision and Reasons for
Decision
Application
Number: 2005
F0442
Applicant:
Mr R Price
Respondent:
Queensland Police Service
Decision
Date:
29 June 2007
Catchwords:
FREEDOM OF INFORMATION – section 77(1) of FOI Act – matter the
subject of previous
reviews – refusal to deal with part of application
– vexatious.
FREEDOM OF INFORMATION – section 42(1)(ca) of FOI Act – serious act
of
harassment or intimidation.
FREEDOM OF INFORMATION – section 42(1A) of FOI Act – information
given
in the course of an investigation of a contravention or possible
contravention of the law – information given under compulsion
under an Act
that abrogated the privilege against
self-incrimination.
Contents
Background
.................................................................................................................
2
Steps taken in the external review process
................................................................
3
Matter in issue
.............................................................................................................
6
Findings.........................................................................................................................
6
...... Section 77 of the Freedom of Information Act 1992
6
...... Section 42(1)(ca) of the Freedom of Information Act
1992
9
...... Section 42(1A) of the Freedom of Information Act 1992
13
Decision
......................................................................................................................
18
Reasons for Decision
Background
1. By
letter dated 13 May 2005, the applicant applied to the Queensland Police Service
(the QPS) for access to documents
under the Freedom of Information Act 1992
(the FOI Act) as follows:
...all documents related to my complaints/myself to police in Toowoomba
regarding Const. Jim McDonald of the then Gatton Police, re
letter etc from
Toowoomba Assistant Commissioner Southern Region, CM McCallum, dated the
05.05.2005. I also request all documents
and files and reports the police
considered in these recent investigations. A copy of the transcript of
interviews of all parties
is requested also. This also includes a copy of
all tapes of records of conversations with all parties related to these
matters.
This also includes a copy of all records of contact with the
Queensland Nominal Defendant and documents obtained from this agency
and the
Gatton Shire Council etc.
This includes a request of all intelligence reports etc, related to
myself, and or my family and or my property etc. Nominal Defendant
documents
show the QPS have photographs of my property as an example.
This includes all documents related to the traffic conviction in 1991.
Nelson v Price etc.
This includes all documents related to McDonald v Price. ETC.
All documents related to myself and the Department of Veteran Affairs
including staff of the Vietnam Veterans Counseling Service.
All documents related to the so called Prohibition Order of 1991 signed by
the then Inspector Gerry Stevens. This includes the complaints
he acted on
including all documents related to the Department of Veteran Affairs/Vietnam
Veterans Counseling Service etc. You already
have an authority to release
same from this department. The Information Commissioner and the CMC have
previously released documents
under this authority.
This application is to include all documents related to Assistant
Commissioner McCallum’s letter to me dated the 05.05.2005.
Reference
numbers are SRC 2004/ ESC 2005/00284. Inspector Ron Van Saane stated he
was looking at matters including the Driving
Conviction 1991 and the Assault
convictions 1993/94.
I also request all documents related to the following letters from the
QPS. Letter dated 09.02.1990, Regional Superintendent’s
Office
Southern Region Toowoomba. Reference numbers 90/238 – 9 FEB
1990. Other parties reference number to this letter is
90/1353. And
letter dated the 05.03.1990, District Inspector’s office Toowoomba
Reference number 90/1353. All documents related
to these letters are
requested.
Const. Chris Nelson states in documents release to me, refers to orders he
received to attend meetings with my neighbours etc to discuss
me.
Documents related to these meetings have not been discovered to me. I also
request all documents related to me and parts of
documents, not released
including all references to mental health. An example are the documents
related to the matter of Smith v
Price etc.
Medical reports stated by Const. Nelson on his report in January 1993
relating to Daniel Morgan are missing from the records. The
search warrant
used in the matter of Smith v Price has as yet not been disclosed.
I also request the QPS produce all previously requested police diaries and
or notebooks etc. This includes all diaries and notebooks
Brennan states
are not located at the Gatton Police Station etc.
I also specifically request all diary entries of Const. Jim McDonald for
the period between 1986 and now. Const. Jim McDonald would
know when the
entries were made. (Amended on second letter and faxed same day as
well). Related to myself etc.
2. On
25 July 2005, having received no decision from the QPS, the applicant applied to
this Office for external review
of the deemed refusal of access by the
QPS.
Steps taken in the external review process
3. On
16 August 2005 Assistant Commissioner Barker of this Office wrote to the
applicant confirming receipt of his application
and the commencement of the
external review.
4. By
letter dated 16 August 2005 Assistant Commissioner Barker notified the QPS that
this Office was to review the deemed
refusal by the QPS to provide access to
documents requested by the applicant. Assistant Commissioner Barker sought
a copy of the
documents in issue and submissions from the QPS as to which
documents it claimed were exempt in full or in part and which documents
it was
willing to release to the applicant.
5. On
18 August 2005 the applicant faxed 40 pages of material to this Office, the
majority of which related to another
application on foot with this Office at the
time.
6. By
letter dated 26 April 2005 (which is assumed to be a typographical error),
received in this Office on 30 August
2005, the QPS submitted that the applicant
was again seeking access to material that he had sought access to in numerous
previous
FOI applications to the QPS, some of which had been the subject of
decisions by this Office.
7. On
21 August 2006 Assistant Commissioner Barker wrote to the applicant setting out
her preliminary view that:
...to the extent that [the applicant’s] application for
external review seeks review of the QPS’ deemed refusal of access to
documents which have been the subject of
previous decisions and reviews by the
QPS and this office, or to revisit issues of ‘sufficiency of search’
which have
been determined in previous reviews, [Assistant Commissioner
Barker] should refuse to deal further with it on the grounds provided by
s.77(1) of the FOI Act.
Assistant Commissioner Barker advised the applicant that therefore, she had
written to the QPS:
....asking it to locate any relevant documents relating to [the
applicant, his family] or property dated from 14 January 2004 to 13 May 2005
and to advise [her] which of those documents it is prepared to disclose
to [the applicant], either in full or subject to the deletion of matter
claimed to be exempt.
Assistant Commissioner Barker stated that this was on the basis that
documents created between those dates would not have been the
subject of any of
the applicant’s previous FOI access applications to the QPS.
8.
Additionally, in her letter to the applicant dated 21 August 2006 Assistant
Commissioner Barker invited the applicant
to advise her whether he accepted her
preliminary view in relation to the application of section 77 of the FOI Act and
was prepared
to withdraw his application for external review in relation to that
part of his application that dealt with material previously requested,
or if he
did not accept her preliminary view, to make submissions in response on or
before 13 September 2006.
9. On
30 August 2006 the applicant wrote to this Office rejecting Assistant
Commissioner Barker’s preliminary view.
10. On 31 August 2006
Assistant Commissioner Barker wrote to the QPS outlining her preliminary view in
relation to the application
of section 77 of the FOI Act and advising that the
applicant had not accepted this view and that accordingly it would be necessary
to proceed to a formal decision on the issue. Additionally, Assistant
Commissioner Barker required the QPS to undertake searches
for any documents
dated from 14 January 2004 (being the last FOI access application made by the
applicant to the QPS) to 13 May 2005
(being the date of the application the
subject of this review).
11. By facsimile letter dated
7 September 2006, received on 8 September 2006, the applicant again submitted
that section 77
of the FOI Act should not be applied to exclude parts of his
application.
12. On 6 November 2006 this
Office received a letter from the QPS enclosing documents located in response to
Assistant Commissioner
Barker’s letter of 31 August 2006 (23 folios and
two cassette tapes) and setting out exemptions claimed in relation to certain
documents.
13. By letter dated 8
November 2006 the applicant was provided with a full copy of folios 1–9,
14–23 and 29 and
parts of folios 10 and 13. He was also advised of
the exemptions claimed in relation to parts of folios 10 and 13 and the whole
of
folios 11 and 12.
14. By letter dated 27
November 2006 Assistant Commissioner Moss advised the applicant of her
preliminary view that parts
of folios 10, 11 and 13, being a précis of a
tape recorded interview between Inspector R. Van Saane and a third party
witness,
and the corresponding tape recording of the interview, were exempt
pursuant to section 46(1)(b) of the FOI Act. The applicant was
asked to
advise Assistant Commissioner Moss by 21 December 2006, whether he accepted her
preliminary view. If he did not accept
her preliminary view he was invited
to make submissions as to the application of section 46(1)(b). The
applicant was advised that
if he did not respond to Assistant Commissioner Moss
by 21 December 2006, it would be assumed that he accepted her preliminary view
in relation to folios 10, 11 and 13 in respect of matter concerning the
interview between Inspector Van Saane and a third party witness.
15. On 4 December 2006
Assistant Commissioner Moss wrote to the QPS seeking submissions as to their
claim for exemption in
respect of sections 42(1)(ca) and 42(1A) in relation to
folio 12 and parts of folios 11 and 13, being a precis of a tape recorded
interview between Inspector R. Van Saane and Sergeant J McDonald (McDonald), and
the corresponding tape recording of the interview.
16. On 7 December 2006 the
applicant telephoned Assistant Commissioner Moss and indicated that he felt
there were documents
responsive to his application that had not been located by
the QPS, namely, typed transcripts of the tape recorded interviews between
Inspector Van Saane and the third party witness and McDonald, and also an
interview with the applicant.
17. Assistant Commissioner
Moss wrote to the QPS on 11 December 2006 and advised that the applicant had
raised issue with
the sufficiency of the searches conducted by the QPS.
Assistant Commissioner Moss required the QPS to undertake searches to ascertain
whether full transcripts of the three interviews were prepared.
18. On 22 January 2007
Assistant Commissioner Moss wrote to the applicant enclosing a copy of the
QPS’ submissions in
relation to the application of section 42(1)(ca) and
section 42(1A) to the tape recording of the interview with McDonald and the
typed summary of that interview and invited the applicant to provide submissions
in response.
19. By letter dated 30
January 2007 QPS advised that no transcripts of the three interviews had been
made.
20. In a telephone
conversation with Assistant Commissioner Moss on 1 February 2007 the applicant
contended generally that
further documents responsive to his application should
exist with the QPS that had not been located.
21. By letter dated 5
February 2007 Assistant Commissioner Moss notified the applicant of her
preliminary view that no further
documents existed within the possession or
control of the QPS that were responsive to his application. The applicant
was invited
to advise Assistant Commissioner Moss whether he accepted her
preliminary view in relation to this issue. Assistant Commissioner
Moss
invited the applicant to make submissions in response and advised him that if he
did not respond by 23 February 2007 it would
be assumed that he agreed with the
preliminary view and withdrew on the issue.
22. In a telephone
conversation with me on 13 February 2007 the applicant requested and I granted a
further opportunity to
make submissions in relation to the preliminary view of
Assistant Commissioner Barker (21 August 2006) concerning the application
of
section 77 of the FOI Act. At that time it was agreed that the
applicant’s responses to the preliminary views of Assistant
Commissioner
Moss set out in her letters dated 22 January 2007 and 5 February 2007 would be
held in abeyance pending the receipt
of his submissions concerning section 77 of
the FOI Act. The applicant was allowed until 23 February 2007 to provide
his submissions
on the application of section 77 of the FOI Act.
23. By facsimile transmission
dated 20 February 2007 the applicant sought an extension of time within which to
make submissions
concerning the application of section 77 of the FOI
Act.
24. By letter dated 27
February 2007 I advised the applicant that no extension of time within which to
make further submissions
concerning section 77 of the FOI Act would be granted
because the applicant had been afforded prior opportunities to make submissions
on the issue and he had not provided any reasonable basis for seeking the
extension of time.
25. Additionally, by letter
dated 27 February 2007 I advised the applicant that his submissions in response
to Assistant Commissioner
Moss’s letters of 22 January 2007 and 5 February
2007 were now required by 20 March 2007. The applicant was advised that if
no submissions were received by that date he would be taken to have accepted
Assistant Commissioner Moss’s preliminary views
on those matters and they
would no longer be in issue in this review.
26. On 5 March 2007 the
applicant advised that he would not provide a submission in response to the
QPS’ claim that
the record of interview of McDonald was exempt under
sections 42(1)(ca) and 42(1A) (as per Assistant Commissioner Moss’s letter
to the applicant of 22 January 2007) as a preliminary view had not been issued
by this Office.
27. On 14 March 2007 the
applicant wrote to the Information Commissioner with information about his
service with the Australian
Regular Army in the Vietnam War, a Peace and Good
Behaviour Order issued by the Magistrates Court at Gatton in relation to an
application
made by the applicant against a Mr Wit, documents of the Criminal
Justice Commission and the cover page of the Court of Appeal judgment
in the
matter of R v Price. However, the applicant did not make
submissions as to the relevance of these documents to the issues in this review
and the documents
did not appear to have any relevance to the issues in this
review.
28. The applicant sent two
facsimiles on 19 March 2007, neither of which contained submissions concerning
Assistant Commissioner
Moss’s preliminary view of 5 February 2007 on the
issue of the sufficiency of the QPS’s searches to locate documents
responsive to the applicant’s application.
29. In making my decision in
this matter I have taken the following into account:
• The documents in issue
• The applicant’s initial and
external review applications dated 13 May 2005 and 25 July 2005 respectively
• Correspondence from QPS dated 26
April 2005 (received 30 August 2005), 3 November 2006, 3 January 2007 and 30
January
2007
• Correspondence from the applicant
dated 17 August 2006, 30 August 2006, 7 September 2006, 20 February 2007, 14
March
2007 and 19 March 2007
• Telephone conversations with the
applicant dated 7 December 2006, 18 December 2006, 1 February 2007, 13 February
2007
and 5 March 2007
• All relevant case
law
Matter in issue
30. As the applicant did not
respond to the matters set out in Assistant Commissioner Moss’s letters
dated 27 November
2006 and 22 January 2007 concerning the application of section
46(1)(b) of the FOI Act to exempt parts of folios 10, 11 and 13 and
the issue of
the sufficiency of the QPS’ searches, respectively, the applicant is taken
to have resiled from those issues.
Accordingly, those parts of folios 10,
11 and 13 concerning the précis of a tape recorded interview between
Inspector R.
Van Saane and a third party witness and the corresponding tape
recording of that interview and the issue of the sufficiency of the
agency’s searches are no longer in issue in this review.
31. Thus the issues remaining
for my consideration in this review are:
a) The application of section 77 of
the FOI Act to the applicant’s application;
b) Whether matter contained on part
of folio 11 and the whole of folio 13, consisting of a précis of the QPS
interview
with McDonald, and the corresponding tape recording of that interview,
is exempt pursuant to sections 42(1)(ca) and 42(1A) of the
FOI
Act.
Findings
Section 77
32. The first issue for my
consideration is whether section 77 of the FOI Act applies to exclude that part
of the applicant’s
application that has been addressed in previous
external reviews before the Office of the Information Commissioner involving the
applicant and the QPS.
33. Section 77 of the FOI Act
relevantly provides:
77 Commissioner may decide not to
review
(1) The commissioner may decide not to deal
with, or not to further deal with, all or part of an application for review
if—
(a) the commissioner is satisfied the
application, or the part of the application, is frivolous, vexatious,
misconceived or lacking
substance;
34. In Price and Local
Government Association of Queensland (S 111/01, 29 June 2001, unreported)
Deputy Information Commissioner (DC) Sorensen found that:
13. ... Any responsive documents that were in the
possession or control of the LGAQ prior to 10 April 2001 have been dealt with
in
finalised, or soon-to-be finalised, applications for review to my
office.
14. There is a suggestion in the fourth paragraph
of Mr Price's letter dated 18 June 2001 that, because he applied again for all
documents of the LGAQ related to himself et cetera, he is entitled to have
reconsidered, in this application for review, the issues
that were resolved by
my decision dated 17 May 2001 which finalised application for review no. S 52/00
(which stemmed from Mr Price's
first FOI access application to the LGAQ, dated
11 February 2000).
15. Such an application by Mr Price would clearly
be vexatious, and contrary to the principle that a decision by a court or
tribunal
resolves the issues in dispute between the parties. A litigant
cannot seek multiple hearings of the same issues between parties
- that is
vexatious and oppressive to the other party and to the relevant court or
tribunal, and unfair to other citizens waiting
their turn to use the dispute
resolution services, provided from public funds, by courts and tribunals.
To the extent that Mr Price
is seeking to re-open the issues that were dealt
with in my decision dated 17 May 2001, which finalised application for review
no.
S 52/00, I decide, under s.77(1) of the FOI Act, not to review further those
issues on the ground that the application is vexatious.
16. The LGAQ has (in my view, quite properly)
treated each successive FOI access application lodged with it by Mr Price as one
for responsive documents that came into the possession or control of the LGAQ in
the intervening period since lodgment of Mr Price's
most recent prior FOI access
application. It is equally vexatious and oppressive to agencies to make
repeated applications for the
same documents, and, although agencies do not have
a power similar to s.77(1) of the FOI Act enabling them to refuse to deal with
a
vexatious FOI access application, the agency is entitled to seek to persuade the
Information Commissioner (or his delegate) to
apply s.77(1) of the FOI Act if an
actual or constructive refusal by an agency to process a vexatious part of an
FOI access application
becomes the subject of an application for review under
Part 5 of the FOI Act.
35. In this case there have
been 12 reviews in which decisions have been made by former Information
Commissioners or their
delegates on access to documents held by the QPS,
including decisions on whether the QPS has made sufficient searches and
inquiries
for documents which the applicant contended should have been in its
possession or control. Table 1 below sets out the various reviews
conducted by this Office that predate the application the subject of this review
and the documents sought by the applicant in those
reviews:
Table 1. Applications predating the matter currently
under review
Review no.
Date of review decision
Documents applied for
S 188/95
18 Dec 2000
Summons and hearing in Gatton Magistrates Court in 1991; file in Smith v
Price; file in McDonald v Price; prohibition order by Insp. Stevens
(Toowoomba QPS)
S 168/96S 183/96
29 Jun 2001
22 categories of documents relating to yourself
S 132/97
27 Oct 2000
All documents relating to the applicant, his family and property
S 174/97
29 Oct 2002
Various categories of documents relating to the applicant and other
persons
S 50/99S 193/99
30 Oct 2002
Various categories of documents relating to the applicant and other
personsVarious categories of documents relating to the applicant
S 260/99
31 Oct 2002
Documents relating to the applicant
S 262/99
6 Feb 2003
Records of persons who have accessed QPS information concerning the
applicant
S 74/01S 75/01
13 Nov 2002
Various categories of documents relating to the applicant
F 227/04
26 Jul 2004
All documents relating to the applicant, his family and property
36. It is apparent to me that
the majority of the documents sought by the applicant in this review (excluding
those created
since 14 January 2004 [being the date of the applicant’s
initial application to QPS in review 227/04] and before 13 May 2005
[the date of
the applicant’s initial application in this review]) have clearly been
dealt with in previous reviews by this
office. In each of the matters
listed in Table 1 a decision was issued by this office setting out a view as to
either the appropriateness
of the exemption claimed by the QPS or the adequacy
of the QPS’s searches in locating documents responsive to the
applicant’s
application.
37. In bringing this
application for external review the applicant has sought to initiate another
‘hearing’ of
the issues previously addressed in the earlier external
reviews of this Office.
38. Accordingly, I consider
that, to the extent that the applicant’s application for external review
seeks review of
the QPS’ deemed refusal of access to documents which have
been the subject of previous reviews by this office, or to revisit
issues of
‘sufficiency of search’ which have been determined in previous
reviews, it is vexatious.
39. I note that in
communication with this office the applicant has submitted that Kirby J in the
High Court, in the matter
of his application for special leave to appeal against
a judgment of the Court of Appeal of Queensland given on 25 October 1994 (Price
v McDonald B50/1994 (27 June 2001)), found that he was not
vexatious.
40. I gather from such
submissions that he considers that this finding by Kirby J prevents a finding by
this office that an
aspect of the application under review is
vexatious.
41. I have reviewed the case
referred to by the applicant. In the context of a discussion about the
respondent’s non-attendance
before the Court, Kirby J, addressing the
applicant, made the following statement:
KIRBY J: The respondent might take the view that
this is just the latest of your attempts to harass him by litigation and that
he
can trust the Court to protect him from that.
42. An exchange between his
honour and the applicant ensued concerning whether the applicant had pursued
litigation against
the respondent. Which lead to the following
dialogue:
[Applicant]: I am entitled to appeal. That is not – you
are not inferring I am vexatious.
KIRBY J: I did not say vexatious.
[Applicant]: I am not vexatious, your Honour.
KIRBY J: No, I did not say vexatious. I said
he might have taken the view that he has had enough, that he won before the
magistrate
and the Court of Appeal said there was ample material and he can rely
on this Court to defend it.
43. Setting aside the issue
of whether Kirby J’s dialogue with the applicant can be said to be a
finding that the applicant
is not vexatious (which I do not believe it can), I
consider that the statements of Kirby J were clearly made in the context of the
case in which he was presiding and do not have any bearing on the consideration
of whether an aspect of the applicant’s application
in this review is
vexatious for the purpose of section 77(1) of the FOI Act.
44. Therefore, pursuant to
section 77(1) of the FOI Act I have decided not to deal with that part of the
applicant’s
application that revisits matters that have previously been
addressed in decisions of this Office (as set out in Table 1).
45. Thus this review
encompasses only those documents responsive to the terms of the
applicant’s application that came
into existence from 14 January 2004 to
13 May 2005. Section
42(1)(ca)
46. The QPS submit that the
matter in issue (the summary of the QPS’ interview with McDonald and the
corresponding tape
recording of that interview) is exempt under section
42(1)(ca) of the FOI Act.
47. I note that at the time
when the applicant made his initial application for access to documents to the
QPS (13 May 2005),
section 42(1)(ca) did not exist. Section 42(1)(ca) was
inserted into the FOI Act in 2005 and commenced operation on 31 May 2005
as a
result of amendments to the FOI Act in the Freedom of Information and Other
Legislation Amendment Act 2005. However, by virtue of section 114(2)
of the FOI Act section 42(1)(ca) has retrospective operation. Thus it is
open for the QPS
to claim exemption pursuant to section 42(1)(ca).
48. I note that the Freedom
of Information legislation in other Australian jurisdictions have no equivalent
provision to section
42(1)(ca) of the Queensland Act.
49. Section 42(1)(ca) states
as follows:
42 Matter relating to law enforcement or
public safety
(1) Matter is exempt matter if its
disclosure could reasonably be expected to—
...
(ca) result in a person being subjected to a serious act
of harassment or intimidation;
50. The term
‘harassment’ has been considered by the courts in various contexts.
In the Australian Capital Territory
Supreme Court matter of Longfield v
Glover [2005] ACTSC 25; (2005) 191 FLR 332 (at 335) Connolly J said:
[10] It seems to me that the learned chief magistrate
was quite correct to conclude that the persistent telephone calls and letters,
after the complainant made it clear that she did not want contact with the
appellant, amounted to harassment. Harassment is not
defined in the Crimes
Act, but the ordinary plain meaning of the word, as defined in the Macquarie
Dictionary (2nd ed) is:
to disturb persistently; torment as with troubles, cares
etc.
51. This is consistent with a
definition adopted by Hill J in Australian Competition and Consumer Commission v
Maritime Union
of Australia [2001] FCA 1549; (2001) 114 FCR 472 in the context of Trade Practices
legislation where he said (at 485):
The word “harassment’ in my view connotes conduct which can be
less serious than conduct which amounts to coercion. The
word
“harassment” means in the present context persistent disturbance or
torment.
52. In Minister for
Immigration and Multicultural Affairs v Respondents (2004) CLR 1 at 25
– 26, para [72] McHugh J stated:
In its ordinary meaning, persecution involves selective harassment or
oppression of any kind. The terms “harassment”
and
“oppression”, particularly the former, imply repetitive, or the
threat of repetitive, conduct.
53. In Murphy and
Queensland Treasury [1995] QICmr 23; (1995) 2 QAR 744 (at paragraphs 53 and 90-91) (Murphy),
the Information Commissioner noted that the term harassment was defined in the
Collins English
Dictionary, Third Australian Edition, to mean to trouble,
torment or confuse by continual, persistent attacks.
54. The term
‘intimidation’ has also been considered in various contexts.
In the matter of Ratanyake v Chief Executive Officer, Department of the
Registrar, Western Australian Industrial Relations Commission (1998) 78 IR
335 at 338-339 Heenan J of the Western Australian Supreme Court
stated:
As the New Shorter Oxford English Dictionary (1993 reprint) shows,
the word “intimidate” means “terrify, overawe, cow” and
is used frequently these days
in the context of interference with the free
exercise of political or social rights. In the unreported case of
Scales v Thorpe, delivered in the Industrial Magistrates Court at Perth
on 12 June 1997, Mr P S Michelides SM considered the meaning of
“intimidation”
as the word is used in s.68. His Worship
said:
“The term, “intimidation”, in my view in normal parlance
involves the creation of a fear in the mind of the subject
that he or she will
suffer a detriment either directly to him or herself or to some other person
about whom the person the subject
of the intimidation
cares.”
55. In the matter of
Meller v Low [2000] NSWSC 75; (2000) 48 NSWLR 517, Simpson J, when considering the term
‘intimidation’ in the context the Crimes Act,
found:
9. ...it is, first, an ordinary
English word, readily understood, with no technical or complex or concealed
meaning. The Oxford
English Dictionary, 2nd ed
and the Macquarie Dictionary are in agreement that “intimidate”
means to render timid, to inspire with fear, to overawe,
to cow, or to force to
or deter from some action by threats or violence or by inducing
fear.
56. In the matter of
Bottoms v Rogers [2006] QDC 80 (13 April 2006) the terms
‘intimidation’ and ‘harassment’ were considered in the
context of domestic violence.
In that matter the Court held
that:
Intimidation refers to a process where the person is made fearful or
overawed, particularly with a view to influence that person’s
conduct or
behaviour.... Harassment on the other hand involves a repeated or persistent
form of conduct which is annoying or distressing
rather than something which
could incite fear.
57. In light of the above
cases and decisions, I consider that for the purpose of section 42(1)(ca) of the
FOI Act, the ordinary
meaning of the terms ‘intimidation’ and
‘harassment’ should be adopted.
58. The phrase
‘could reasonably be expected to’ has been considered by the
Information Commissioner in the context of section 42 in the matter of B and
Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279. In that
case the Information Commissioner noted that the phrase ‘could
reasonably be expected to’ requires a reasonably based expectation,
namely, an expectation for which real and substantial grounds exist. A
mere possibility,
speculation or conjecture is not enough. The term
‘expect’ means to regard as likely to happen.
59. Thus for the purpose of
section 42(1)(ca) of the FOI Act the question to be asked is whether there are
real and substantial
grounds to expect that disclosure of the matter in issue
would result in a person being subjected to a serious act of harassment
(repeated or persistent conduct which torments or disturbs) or intimidation
(conduct designed to make a person fearful or overawed).
60. I consider that the
matter of Murphy, while it deals with section 42(1)(c) of the FOI Act,
affords useful guidance in the interpretation and application of section
42(1)(ca)
(particularly in light of the fact that 42(1)(ca) was introduced in to
the FOI Act to remedy the perceived shortcoming of section
42(1)(c)).
61. In Murphy the
Information Commissioner found that whether disclosure could reasonably be
expected to endanger a person’s life or physical
safety is to be
objectively judged in light of all relevant evidence, including any evidence
obtained from or about the claimed source
of danger.
62. The Information
Commissioner observed that:
52. ... the relevant words require an evaluation
of the expected consequences of disclosure in terms of endangering (i.e. putting
in danger) a person's life or physical safety, rather than in terms of the
actual occurrence of physical harm.
...
The risk to be guarded against is that of a person's life or physical
safety being endangered by disclosure of the information in
issue.
63. In this case the risk to
be guarded against is that of a person being subjected to a serious act of
harassment or intimidation.
I consider that, whether disclosure of the
matter in issue in this case could reasonably be expected to result in a person
(namely,
Sergeant McDonald) being subjected to a serious act of intimidation or
harassment should be objectively judged in the light of all
relevant evidence,
including any evidence obtained from or about the claimed source of intimidation
or harassment.
64. In relation to its claim
that section 42(1)(ca) applies to exempt the matter in issue the QPS have
submitted that:
With respect to the previous actions and behaviour of [the applicant] it
is reasonable to expect that, such an act may be possible.
65. I have no evidence before
me as to precisely what previous actions and behaviour of the applicant the QPS
considers would
result in a conclusion that ‘such an act may be
possible’.
66. In order to ascertain
what actions or conduct of the applicant might give rise to such a conclusion I
have reviewed both
the material already released to the applicant in this review
and the matter in issue. Those documents reveal that the applicant
made a
complaint about McDonald arising out of an encounter between the two on a street
footpath. The material before me suggests
a certain amount of antagonism
between the applicant and McDonald, resulting in insulting comments from the
applicant about McDonald
in the exchange the subject of the complaint by the
applicant.
67. Additionally, I have
reviewed the material provided by the applicant in the course of the
review. The material discloses
that the applicant sought special leave to
appeal against a judgment of the Queensland Court of Appeal, given on 25 October
1994,
which itself was an appeal against a magistrate’s decision that
resulted in a criminal conviction against the applicant. It
is evident
from the material that McDonald was the arresting officer and that the applicant
was of the view that McDonald committed
perjury.
68. Certainly, it is clear
from the material before me that there has been ongoing contact between the
applicant and McDonald
over a period of time. However, that contact
appears to be in the context of McDonald’s actions in his official
capacity (both
as a Police Officer and an elected official in the Gatton Shire
Council) and the applicant’s pursuit of legal remedies or redress
of
formal complaints. This is not to say that it is not possible to be
subjected to harassment or intimidation when conducting official
duties. I
articulate the point to highlight that the actions of the applicant do not
appear to have been overly unreasonable.
69. Certainly, there is
nothing before me to suggest the applicant has engaged in serious acts of
harassment or intimidation, such as for example, repeated telephone calls to
McDonald at home and or work over an extended
period of time, threatening
letters to his home or work, following McDonald when engaged in his private
pursuits or conducting his
professional life. On the material before it
would seem reasonable to conclude that the applicants conduct may have been a
source
of annoyance or inconvenience for McDonald. The applicant has made
it know in public that he dislikes and/or distrusts McDonald
and has made
insulting remarks. While, such conduct might amount to harassment it is
does not amount to intimidation and it certainly
does not amount to a serious
act of harassment or intimidation.
70. The question remaining to
be addressed is whether it is reasonable to conclude that release of the matter
in issue could
reasonably be expected to result in McDonald being subjected to a
serious act of harassment or intimidation following such release.
As
previously noted the matter in issue is a précis of the QPS interview
with McDonald and the corresponding tape recording
of that interview. I
note that the matter in issue generally corroborates the version of the events
leading to the complaint by
the applicant to QPS about McDonald. As such,
I fail to see how the disclosure of the information could reasonably be expected
to
result in the applicant subjecting McDonald to a serious act of harassment or
intimidation. As discussed above, the applicant has
pursued a course of
action vis-à-vis McDonald over a number of years that while
annoying and inconvenient for McDonald and which may amount to harassment, could
not be
considered to be serious harassment and certainly would not amount to
intimidation. There is nothing in the submissions of the QPS
or the
material submitted by the applicant to suggest that his course of conduct would
change such that his conduct would become
seriously harassing or
intimidatory.
71. Accordingly, I am of the
view that disclosure of the matter in issue could not reasonably be expected to
result in McDonald
being subjected to a serious act of harassment or
intimidation and thus it is not exempt pursuant to section
42(1)(ca). Section 42(1A
72. The QPS have submitted
that the matter in issue is exempt under section 42(1A).
73. Section 42(1A)
states:
42 Matter relating to law enforcement or
public safety
(1A) Matter is also exempt matter if—
(a) it
consists of information given in the course of an investigation of a
contravention or possible contravention of
the law (including revenue law);
and
(b) the
information was given under compulsion under an Act that abrogated the privilege
against self-incrimination.
74. The key issues regarding
the application of section 42(1A) of the FOI Act are:
• whether the information over
which the exemption is claimed was given in the course of an investigation of a
contravention
or possible contravention of the law;
• whether the information was given
under compulsion;
• whether a claim of privilege is
available; and
• whether the information was given
under an Act that abrogated the privilege against
self-incrimination.
75. The requirements of
section 42(1A) of the FOI Act are not mutually exclusive. Consequently, each of
the four limbs of
the provision, set out above, must be established in order for
matter to qualify for exemption under section 42(1A) of the FOI
Act.
In the course of an investigation of a contravention or possible
contravention of the law
76. In relation to the first
limb of the provision, I am satisfied that the investigation was of a
contravention or possible
contravention of the law.
77. In the matter of T and
Queensland [1994] QICmr 4; (1994) 1 QAR 386 Commissioner Albietz considered the term
‘contravention or possible contravention of the law’ with reference
to section
42(1)(e) of the FOI Act. In that matter Commissioner Albietz
held that:
...contraventions or possible contraventions of the law need not be
confined to the criminal law.
There is no reason why the words [contravention or possible contravention
of the law] should not be read as extending to any law which
imposes an
enforceable legal duty to do or refrain from doing some thing. I note in
this regard that s.36 of the Acts Interpretation Act 1954 Qld provides that in
an Act:
‘contravene includes:
(a) breach; and
(b) fail to comply with;’
A law may be contravened in circumstances where the breach does not
attract a sanction of a penal nature. There are many instances
of a
statute imposing a legal duty of general or specific application but imposing no
criminal penalty for a breach of the duty,
usually because enforcement of the
duty is intended to be achieved by other means, which are often specifically
provided for in the
statute itself.
78. Section 7.4 of the
Police Service Administration Act 1990 (the PSAA) provides that officers
are liable to disciplinary action in respect of conduct considered to be
misconduct or a breach
of discipline on such grounds as are prescribed by the
regulations. Regulation 9(1) of the Police Service (Discipline)
Regulations 1990 (the Regulations) provides as follows:
9. Grounds for disciplinary
action
(1) For the purposes of section 7.4 of the
Act, the following are grounds for disciplinary action:
(a) unfitness, incompetence or inefficiency
in the discharge of the duties of an officers’ position;
(b) negligence, carelessness or indolence in
the discharge of the duties of an officers’ position;
(c) a contravention of, or failure to comply
with, a provision of a code of conduct, or any direction, instruction or order
given
by or caused to be issued by, the commissioner;
(d) a contravention of, or failure to comply
with, a direction, instruction or order given by any superior officer or any
other
person who has authority over the officer concerned;
(e) absence from duty except-
(i)
upon leave duly granted; or
(ii) with reasonable excuse;
(f) misconduct
(g) conviction in Queensland of an
indictable offence, or outside Queensland of an offence which, if it had have
been committed
in Queensland would have been an indictable
offence.
79. Breach of discipline is
defined in section 1.4 of the PSAA as:
a breach of this Act, the Police Powers and Responsibilities Act 2000 or a
direction of the commissioner given under this Act, but does not include
misconduct.
80. Misconduct is defined in
section 1.4 of the PSAA as conduct that:
(a) is disgraceful, improper or unbecoming an officer;
or
(b) shows unfitness to be or continue as an officer; or
(c) does not meet the standard of conduct the community
reasonably expects of a police officer.
81. Section 7.2 of the PSAA
makes it clear that a breach of discipline or misconduct relate to conduct,
wherever and whenever
occurring, whether the officer is on or off
duty.
82. The Queensland Parliament
has passed legislation (the PSAA) to provide for the regulation in the public
interest of the
police service including prescribing requirements for continued
service as a police officer. The effect of the above noted provisions
of
the PSAA is to impose a legal duty upon officers of the QPS to refrain from
engaging in conduct that would amount to a breach
of discipline or misconduct
and to enforce that duty through disciplinary action.
83. On the material before I
am satisfied that the investigation being conducted by QPS was an investigation
of a breach of
discipline.
84. I have listened to the
tape recording of the QPS interview with McDonald. The tape recording
makes it clear that the
purpose of the interview was to determine if there were
grounds for disciplinary action pursuant to the PSAA.
85. The nature of the
allegations made by the applicant against McDonald is such as would amount to a
breach of discipline
or misconduct had they been proven. I consider that
the first limb of section 42(1A) is satisfied.
Under compulsion
86. The second limb of the
provision requires that the information be given under compulsion.
87. The tape recording of the
interview with McDonald confirms that McDonald was given a warning that he was
required to answer
questions pursuant to the direction of the Commissioner given
under section 4.9(1) of the PSAA and contained in part 18.2.4.4.9 of
the HRM
Manual, and failure to do so would amount to grounds for disciplinary
action.
88. Part 18.2.4.4.9 of the
QPS Human Resources Management Manual (the HRM Manual) states in
part:
Pursuant to ss. 4.9(1) and 2.5 of the Police Service Administration
Act 1990, all members of the Police Service (including police officers,
police recruits and staff members), are instructed to truthfully, completely
and
promptly answer all questions directed to them by a member responsible for
conducting an Inquiry or Investigation on behalf of
the
Commissioner.
89. The effect of the
Commissioner’s direction is to require the officer to answer
questions. Accordingly I consider
that McDonald was compelled to give the
information required of him and the second limb of section 42(1A) is
satisfied.
Can privilege be claimed
90. It should be noted that
the law distinguishes between the privilege against self-incrimination (or
exposure to criminal
prosecution) and the penalty privilege (or privilege
against exposure to a penalty or forfeiture). Penalty in the context of
the
penalty privilege includes a pecuniary penalty, dismissal from employment in
the public service or disqualification from engaging
in a professional
activity.
91. The High Court case of
Pyneboard Pty Ltd v Trade Practices Commission [1983] HCA 9; (1983) 152 CLR 328
(Pyneboard) established the precedent that a provision which expressly abrogates
the privilege against self-incrimination will also, by implication,
abrogate the
penalty privilege (at 345).
92. Until the recent High
Court cases of Daniels Corporation International Pty Ltd v Australian
Competition and Consumer Commission [2002] HCA 49; (2002) 213 CLR 543 (Daniels) and Rich
and Anor v Australian Securities and Investments Commission [2004] HCA 42; (2004) 209 ALR
271 (Rich) the High Court was of the view that the penalty privilege could be
relied upon in non-judicial proceedings.
93. In the Pyneboard
case Mason ACJ, Wilson and Dawson JJ said they were, ‘not prepared to
hold that the privilege is inherently incapable of application in non-judicial
proceedings’ (at 341). This case was subsequently interpreted to
establish a precedent that the penalty privilege was available in non-judicial
proceedings in the matter of Environmental Protection Authority v Caltex
Refining Co Pty Ltd [1993] HCA 74; (1993) 178 CLR 477 at 547 per McHugh J
(Caltex).
94. However, in the more
recent High Court decision of Daniels, the High Court rejected the
Caltex interpretation of Pyneboard. In Daniels per
Gleeson CJ, Gaudron, Gummow and Hayne JJ, the Majority noted that:
...[the statement in Pyneboard] does not amount to a holding that the
privilege is available in non-judicial proceedings. [at 15]
and in relation to the penalty privilege:
...there seems little, if any, reason why that privilege should be
recognised outside judicial proceedings. Certainly, no decision
of this
court says it should be so recognised, much less that it is a substantive rule
of law... [at 31]
95. The High Court has also
recently cited the Daniels case with approval in
Rich.
96. These recent High Court
decisions indicate a narrower application of the penalty privilege than
previously applied by
the High Court. Therefore, it must be said that the
penalty privilege is now not available to a person to claim in non-judicial
matters. Section 42(1A) of the FOI Act can have no application where there
is no valid claim of privilege.
97. Thus, for the purpose of
determining whether section 42(1A) of the FOI Act applies to exempt information,
the distinction
between the privilege against self-incrimination and the penalty
privilege is an important one in non-judicial proceedings.
98. The distinction between
the penalty privilege and the privilege against self-incrimination is relevant
to this matter
when one considers that disciplinary investigations by the QPS
are non-judicial proceedings and not all disciplinary investigations
will result
in the risk of exposing an officer to self-incrimination. An officer may
only risk being exposed to a penalty.
99. The range of disciplinary
actions that can be taken against an officer is outlined in section 7.4(3) of
the PSAA. That
section states that:
(3 Without limiting the range of
disciplines that may be imposed by the prescribed officer by way of disciplinary
action, such
disciplines may consist of—
(a) dismissal;
(b) demotion in rank;
(c) reprimand;
(d) reduction in an officer’s level of
salary;
(e) forfeiture or deferment of a salary
increment or increase;
(f) deduction from an officer’s
salary payment of a sum equivalent to a fine or 2 penalty
units.
100. I consider that the disciplinary action outlined
in section 7.4(3) of the PSAA is punitive in nature and therefore falls
within
the scope of the penalty privilege.
101. Accordingly, as disciplinary interviews are
non-judicial proceedings, in cases where the only risk to an officer is exposure
to a penalty, the penalty privilege would not be available for an officer to
claim and therefore section 42(1A) would have no application.In
the present case
McDonald was directed to answer questions put to him.
102. in relation to an allegation of
misconduct. He was advised that failure to answer the questions would
result in disciplinary
action. The allegation against McDonald was not
such as to potentially expose him to a risk of criminal sanction. Thus I
do not
consider that the privilege of self incrimination was available to him to
claim.
103. Accordingly, I consider that the third limb of
section 42(1A) has not been satisfied and thus the matter in issue is not
exempt
under that provision.
Under an Act that abrogated the privilege against
self-incrimination
104. The final limb of the provision that must be
satisfied is that the information was given under an Act that abrogated the
privilege against self-incrimination.
105. In light of the fact that the third limb of the
provision has not been satisfied it is not strictly necessary to consider
the
final limb, however, for the sake of completeness I have considered the fourth
limb below.
106. It is an accepted principle of law that
statutory provisions are not to be construed as abrogating important common law
rights,
privileges and immunities in the absence of clear words or a necessary
implication to that effect (Potter v Minahan [1908] HCA 63; (1908) 7 CLR 277 at 304 per
O’Connor J).
107. The High Court in Pyneboard found that
where there are no express words of abrogation, the question of whether the
privilege has been abrogated by implication
will depend upon ‘the
language and character of the provision and the purpose which it is designed to
achieve’ (at 341).
108. There are no provisions in the PSAA or the
Regulations that expressly abrogate the privilege against
self-incrimination.
However, as noted above, section 4.9(1) of the PSAA
and part 18.2.4.4.9 of the HRM Manual operate to require an officer to answer
questions as directed, which may amount to an implied abrogation of the
privilege. Legislation with similar operation was considered
in the matter
of Police Service Board and Another v Morris and Martin [1985] HCA 9; (1985) 58 ALR 1
(Morris).
109. The Morris case dealt with provisions of the
Police Regulation Act 1958 (Vic) and the Police Regulations 1957 (Vic)
that had a similar operation to the Queensland PSAA and the HRM Manual, in
that refusal to answer questions when ordered to do so
resulted in disciplinary
action. In that case the High Court held that the character and object of
the relevant legislative provisions
and the nature of the police force provide a
sufficient indication that it was not intended that the privilege against
self-incrimination
should apply.
110. Thus, in light of the Morris case and the
operation of section 4.9(1) of the PSAA and part 18.2.4.4.9 of the HRM Manual,
in circumstances where a Police Officer will be exposed to a risk of
self-incrimination, I am of the view that it may be that a Police
Officer’s right to claim privilege against self-incrimination is abrogated
by implication. However, I make no specific finding
on this issue as it is not
necessary for the purpose of this review.
Conclusion regarding the application of section 42(1A) of the FOI
Act
111. I do not consider that the third limb of section
42(1A) FOI Act has been satisfied in this case and accordingly the matter
in
issue is not exempt under section 42(1A) of the FOI Act.
Decision
112. I vary the decision under review (being the
deemed decision of the QPS refusing access to documents sought in the
applicant's
FOI access application dated 13 May 2005), by deciding
that:
• pursuant to section 77(1) of the
FOI Act, that part of the applicant’s application that revisits matters
that
have previously been addressed in decisions of this Office is vexatious and
will not be dealt with in this review
• part of folio 11 and the whole of
folio 13, being the typed summary of the interview with Sergeant McDonald, and
the
corresponding taped record of interview, are not exempt pursuant to section
42(1)(ca) or section 42(1A) of the FOI Act
113. I have made this decision as a delegate of the
Information Commissioner, under section 90 of the Freedom of Information
Act 1992 (Qld).
________________________
V Corby
Assistant Commissioner
Date: 29 June
2007
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Sanderson and Department of Justice and Attorney-General [2009] QICmr 5 (28 January 2009) |
Sanderson and Department of Justice and Attorney-General [2009] QICmr 5 (28 January 2009)
Office of the Information Commissioner
(Qld) Decision and Reasons for
Decision Application Number:
210507
Applicant:
Mr B Sanderson
Respondent:
Department of Justice and Attorney-General
Decision
Date:
28 January 2009
Catchwords:
FREEDOM OF INFORMATION – section 28A – section 44(1) –
personal affairs –
witness statements
Contents
REASONS
FOR DECISION
Summary
1.
For the reasons set out below, I find that:
• the Department is entitled to
refuse access to some of the matter in issue under section 28A(2) of the
Freedom of Information Act 1992 (FOI Act)
• the remaining matter in issue
does not qualify for exemption under section 44(1) of the FOI Act.
Background
2. By
application received by the Department of Corrective Services on 6 March 2008,
and transferred to the Department
of Justice and Attorney-General
(Department) on 11 March 2008 (FOI Application), the applicant
sought access to:
1. The Prosecutions Original Statement of [the principal
witness] to Dect Patterson of Kingaroy Police and Dect White of Nambour
Police. That said Detectives arrested me for the Murder of [the deceased]
2001.
2. [the principal witness] new statement to Det White of
Nambour Police and Det Patterson of Kingaroy Police that resulted in [the
principal witness] being charged with Accessory to Murder of [the
deceased].
3. [the principal witness] Psych Report tendered to the
Court but refused by Justice Byrne. As it contains new Evidence.
These
articles are for my appeal to the Supreme Court.
3. By
letter dated 30 April 2008, the Department advised the applicant that a decision
was to have been made on the FOI
Application by 25 April 2008, but as no
decision had been made, the Department advised the applicant:
• that a deemed decision refusing
access to the documents the subject of the FOI Application had been made
• of the applicant’s rights
under the FOI Act to apply for an external review of that deemed decision
• that it was continuing to process
the FOI Application and requested an extension of time to do so until 16 May
2008.
4. By
application dated 2 May 2008 (received 8 May 2008), the Applicant applied to the
Office of the Information Commissioner
(Office) for external review of
the deemed decision of the Department (ER Application) and requested:
1. [the principal witness] Original Statement to Dect
Patterson of Kingaroy Police & Dect White of Nambour Police March
2001.
Which resulted in my Arrest for the Murder of [the
deceased].
2. [the principal witness] 2nd Statement to Dect
Patterson of Kingaroy Police and Dect White of Nambour Police which resulted in
[the principal witness] charged with Accessory to Murder May – June
2001
3. [the principal witness] Psych Report tendered by the
Prosecutor but refused by Justice Byrne because it had word for word statements
[the principal witness] had already admitted were false in Court ... This
page only required as it is new evidence that Supreme
Court should know
about! and went on to say
I have been asked to get these documents by Mr Tim Harland Head of
Queensland Legal Aid Appeals Section ...
5.
Following receipt of the ER Application, this Office made enquiries with the
Department regarding the status of the
FOI Application. Following these
enquires, it was determined that the Department’s deemed decision to
refuse access to the
matter in issue would be externally reviewed by this
Office.
Decision under review
6.
The decision under review is the deemed decision of the Department (under
section 27(5) of the FOI Act), to refuse
access to the matter in issue, deemed
to have been made on 28 April 2008[1]
(Deemed Decision).
Steps taken in the external review process
7.
This Office requested and reviewed copies of the documents which the Department
identified as responsive to the FOI
Application.
8.
Following consideration of the folios supplied, this Office made enquires
to:
• the Brisbane Registry of the
Supreme Court in order to ascertain whether any witness statements were
accessible on the
court record
• the Department
○ to ascertain the Department’s views
regarding the release of some documents to the applicant
○ to request the Department provide this Office
with a copy of one of the documents which had not yet been located by the
Department.
9. By
letter dated 20 August 2008, the applicant provided further information
regarding his reasons for seeking access
to the matter in issue.
10. After obtaining the
applicant’s consent, a staff member of this Office spoke with Ms Kylie
Hilliard of Legal Aid
Queensland (Legal Aid) on several occasions to
clarify which documents were sought by the applicant and to ascertain whether
there were any other avenues
by which Legal Aid could access these documents on
the applicant’s behalf.
11. By letter dated 23
September 2008, the Department provided written submissions in relation to the
issues noted above,
indicating that in the Department’s view, access to
the Witness Statements should be refused under section 44(1) of the FOI
Act.
12. Following receipt of a
letter from Ms Hilliard which set out Legal Aid’s role in relation to the
applicant, the
specific documents requested, and that the applicant was prepared
for the documents to be provided to Legal Aid (on Legal Aid’s
undertaking
not to provide copies of those documents to the applicant), I sought the
Department’s response regarding:
• the outcome of the
Department’s further enquiries regarding the whereabouts of one of the
documents in issue
• whether the Department would
agree to provide copies of documents to Legal Aid on Legal Aid’s
undertaking not
to provide copies of those documents to the
applicant.
13. The Department provided
me with further written submissions in relation to these issues by letter dated
21 November 2008,
along with copies of documents which the Department identified
as responsive to the applicant’s FOI Application.
14. By letter dated 22
December 2008, I communicated a preliminary view to the applicant that the
Department had conducted
reasonable searches to locate one of the documents
requested in the FOI Application, but having been unable to locate the document,
the Department was entitled to rely on section 28A(2) of the FOI Act to refuse
access to that document.
15. This Office received
submissions from the applicant in response to this preliminary view on 5 January
2009 and 7 January
2009. These submissions:
• confirmed the witness statements
to which the applicant sought access
• suggested a number of other
agencies which may have a copy of the document and/or the particular information
sought
from the document.
16. Having considered the
applicant’s submissions, a staff member of this Office spoke with the
Department on 13 January
2009 to confirm the searches undertaken for that
document.
17. By letter dated 14
January 2009, I provided the Department with the preliminary view that
the remaining documents requested by the applicant did not qualify for exemption
under section 44(1) of the FOI Act.
18. By email dated 19 January
2009, the Department provided its response to the preliminary view.
19. In making this decision,
I have taken the following into account:
• the FOI Application
• the ER Application
• the Department’s
submissions
• the Applicant’s submissions
and correspondence received from the applicant during the course of the
review
• information obtained from the
Brisbane Registry of the Supreme Court, Legal Aid, and the website of the
Supreme Court
library
• the matter in issue
• relevant provisions of the FOI
Act
• relevant case law and previous
decisions of this Office.
Matter in issue
20. The matter in issue in
this review consists of:
• a psychiatric/psychological
report of the principal witness (Report)
and
• the statement of the principal
witness to Detective Whyte of Nambour CIB (and Detective Patterson of Kingaroy
CIB) dated
26 March 2001 (consisting of 11 folios) (Statement A)
• the statement of the principal
witness to Detective Whyte of Nambour CIB (and Detective Patterson of Kingaroy
CIB) dated
4 May 2001 (consisting of four folios) (Statement
B)
(collectively the Witness Statements).
Findings
21. Pursuant to section 21 of
the FOI Act, a person has a legally enforceable right to be given access under
the FOI Act to
documents of an agency and official documents of a
Minister. This right of access is subject to other provisions of the FOI
Act,
in particular, section 28 of the FOI Act, which provides that an agency may
refuse access to exempt matter or an exempt document.
Under section 28A of
the FOI Act, an agency may also refuse access to a document which does not exist
or is not locatable.
22. I have set out my
findings in relation to:
• the application of section 28A(2)
of the FOI Act to the Report
• the application of section 44(1)
of the FOI Act to the Witness Statements.
23. I have also considered
whether the principal witness should be notified of the external review under
section 78 of the
FOI Act, to enable the principal witness to provide
submissions regarding the disclosure of the matter in issue, or apply to become
a participant in the review.
Section 28A of the FOI Act
24. Section 28A of the FOI
Act provides:
28A Refusal of access – document nonexistent or
unlocatable
(1) An agency or Minister may refuse
access to a document if the agency or Minister is satisfied the document does
not exist.
Example –
documents that have not
been created
(2) An agency or Minister may refuse
access to a document if –
(a) the agency or Minister is satisfied the
document has been or should be in the agency’s or Minister’s
possession;
and
(b) all reasonable steps have been taken to find the
document but the document can not be found.
Example –
•
documents that have been lost
•
documents that have been disposed of under an authority given by the State
Archivist
...
25. The decision in
Shepherd and Department of Housing, Local Government and Planning
(Shepherd)[2] was made prior
to the enactment of section 28A of the FOI Act. However, the principles in
that decision, which addressed the issue
of sufficiency of search, provide
useful guidance in considering the basis for being ‘satisfied’ that
a document sought
does not exist or is not locatable.
26. Having regarding to the
principles in Shepherd,[3] in
order to establish whether the Department has taken all reasonable steps to
locate the Report, I am required to consider whether
the searches undertaken by
the Department have been sufficient in the circumstances of this case, having
regard to the following
questions:
• whether there are reasonable
grounds to believe that the Report exists and is a document of the Department
(Question One)
• if so, whether the search efforts
made by the Department to locate the Report have been reasonable in the
circumstances
of this particular case (Question Two).
Question One
27. On the information
available to me, I am satisfied that there are reasonable grounds to believe
that the Report exists
and should be a document of the Department.[4] In particular, the Department submits
that comments in other documents of the agency indicate that such a report
should exist.
Question Two
28. The Department submits
that access to the Report should be refused under section 28A of the FOI Act on
the basis that
the Report is unable to be located. In summary, the
Department submits (in its correspondence of 23 September 2008 and 21 November
2008) that:
• it has searched for, located and
reviewed the relevant files relating to the FOI Application
• there is evidence that the Report
should exist (ie. comments in a document refer to a report)
• the Report has not been found in
the place in the Department’s records where it would usually be expected
to be
found
• the Department has made further
internal enquiries to the Office of the Director of Public Prosecutions to
ascertain
from persons involved in the relevant matter, the possible
location of the Report. However, no further information is available
to assist
the FOI Unit to establish the location of the Report
• the test is met for the
Department to refuse access to the Report under section 28A of the FOI Act.
29. Following receipt of the
applicant’s submissions in relation to the letter providing the
preliminary view that the
Department was entitled to refuse access to the Report
under section 28A(2) of the FOI Act, a staff member of this Office made further
enquiries with the Department and confirmed:
• searches were conducted for the
Report in all of the applicant’s DPP files relating to the relevant
offence
• searches were conducted for the
Report in the DPP file of the principal witness, relating to the relevant
offence
• enquiries were made to persons
involved in the relevant matter to ascertain whether they had any independent
recollection
of the possible location of the Report
• the Department reviewed the
relevant transcripts of proceedings and were unable to identify a reference to
the Report
• neither a psychiatric or
psychological report of the principal witness was located as a result of those
searches
• the Department could not identify
any further searches that could be undertaken to locate the
Report.
30. On the information
available to me, I find that:
• there are reasonable grounds to
believe that the Report exists and should be a document of the agency
• the search efforts made by the
Department to locate the Report have been reasonable in the circumstances
• as the Department has been unable
to locate a copy of the Report as a result of its reasonable search efforts, the
Department
is entitled to rely on section 28A(2) of the FOI Act to refuse access
to the Report.
31.
I note that the applicant’s submissions in response to my preliminary view
letter suggest a number of other potential
agencies where the Report and/or
relevant information in the Report may be found. In this respect, I note
that this Office has jurisdiction
to conduct an external review of the
Department’s deemed decision to refuse access to the documents.
While this jurisdiction
extends to a review of the Department’s efforts to
locate relevant documents, it does not extend to undertaking enquiries and/or
searches with other agencies.
Application of section 44(1) of the FOI Act
Section 44(1) of the FOI Act
32.
Subsections 44(1) of the FOI Act provide:
Matter affecting personal affairs
(1) Matter is exempt matter if its
disclosure would disclose information concerning the personal affairs of a
person, whether
living or dead, unless its disclosure would, on balance, be in
the public interest.
(2) Matter is not exempt under
subsection (1) merely because it relates to information concerning the personal
affairs of the
person by whom, or on whose behalf an application for access to a
document containing the matter is being made.
...
33. Section 44(1) of the FOI
Act therefore requires me to consider whether:
• the matter in issue is
information concerning the personal affairs of a person (other than the
applicant) (Personal Affairs Question)? If so, a public interest
consideration favouring non-disclosure of the matter in issue is established
• the public interest
considerations favouring disclosure of the matter in issue outweigh all public
interest considerations
favouring non-disclosure of the matter in issue
(Public Interest Question)?
Personal Affairs Question
What are personal affairs of a person?
34. In Stewart and
Department of Transport[5], the
Information Commissioner discussed in detail the meaning of the phrase
‘personal affairs of a person’ as it appears
in the FOI Act.
In particular, the Information Commissioner found that information concerns the
‘personal affairs of a person’
if it concerns the private aspects of
a person's life and that, while there may be a substantial grey area within the
ambit of the
phrase ‘personal affairs’, that phrase has a well
accepted core meaning which includes:
• family and marital
relationships
• health or ill health
• relationships and emotional ties
with other people
• domestic responsibilities or
financial obligations.
35. Whether or not matter
contained in a document comprises information concerning an individual's
personal affairs is a question
of fact, to be determined according to the proper
characterisation of the information in question.
Characterisation of the information in question
36. The Witness Statements
were made by a person other than the applicant about events concerning that
person, the applicant
and others.
37. In Godwin and
Queensland Police Service[6] (Godwin),
where the matter in issue concerned a witness statement, the Information
Commissioner said:
I consider that, at least so far as concerns a member of the public acting
in a personal capacity, the fact that a person has (or,
indeed, has not) been
prepared to co-operate with an investigation by a law enforcement agency is
properly to be characterised as
information concerning that person’s
personal affairs ... Matter which would disclose the information that an
identifiable
individual, acting in a personal capacity, has or has not
co-operated with an investigation by a law enforcement agency would therefore,
in my opinion, be prima facie exempt from disclosure under section 44(1) of the
FOI Act, subject to the application of the public
interest balancing test
incorporated in section 44(1) and went on to say
I should add that, where information that an identifiable individual has
or has not co-operated with an investigation by a law enforcement
agency becomes
a matter of public knowledge or public record (as would frequently occur when
such information is disclosed through
evidence given in court proceedings), the
weight to be attributed to the privacy interest in protecting disclosure of that
information
would be significantly diminished, for the purposes of any balancing
exercise that must be undertaken in the application of the public
interest
balancing test ...
38. Accordingly, I am
satisfied that the fact of the principal witness making the Witness Statements,
and the content of those
Witness Statements, is matter concerning the personal
affairs of the principal witness.
Shared personal affairs
39. With respect to the
content of the Witness Statements, I find that it is properly characterised as
the personal affairs
of the principal witness and the personal affairs of the
applicant (and in some cases, others mentioned in the documents).
40. Applying the principles
in B’ and Brisbane North Regional Health Authority[7] to the matter in issue, I am satisfied
that the matter in issue concerning the applicant’s personal affairs is
inextricably
intertwined with information concerning the personal affairs of
other persons, such that it is prima facie exempt
from disclosure under section 44(1) of the FOI Act, subject to the application
of the public interest balancing test.
Public Interest Question
41. The way in which section
44(1) of the FOI Act is worded means that where matter concerns personal affairs
of a person
other than the applicant, the matter is, prima facie, exempt
from disclosure. Only if disclosure of the information would, on balance,
be in the public interest is the information not
exempt under section 44(1) of
the FOI Act.
42.
I have carefully considered the public interest considerations favouring
disclosure and non-disclosure of the matter in
issue. My reasoning is set
out below.
Public interest considerations favouring non-disclosure
43. There is one principal
public interest consideration favouring non-disclosure of the Witness
Statements. This is the
inherent public interest in protecting personal
privacy if the information in issue concerns the personal affairs of someone
other
than the applicant.
44. I have also considered
the public interest consideration in safeguarding the flow of information to law
enforcement agencies.
(1) Privacy Interest
45. As indicated above, there
is an inherent public interest in protecting personal privacy if the information
in issue concerns
the personal affairs of someone other than the
applicant. An appropriate weight must be allocated to that interest,
having regard
to the character and significance of the particular information in
issue.[8]
46. In my view, the weight to
be accorded the privacy interest in information relating to the identity of a
witness, that
witness’s willingness (or otherwise) to cooperate with the
authorities and the testimony of that witness concerning the witness’s
own
personal affairs (particularly where there is evidence of wrongdoing on the part
of the witness), would ordinarily be relatively
high, unless that information
has been treated in such a way as to reduce the weight of the privacy
interest.
Department’s submissions
47. The aspects of the
Department’s submissions relevant to the question of the weight of the
privacy interest are as
follows:
Enquiries were made with the Supreme Court Criminal registry in relation
to exhibits tendered at trial. All tendered exhibits remain
on the court
file for a period of time before they are released back to either ODPP or to
police. Any person is able to view the
tendered exhibits of a particular trial
except for those matters/trials involving children or by the order of a Judge
to not release any tendered material on a court file. A person seeking
to have access to tendered material/exhibits, on a court file, need not be a
person who has a particular interest
in a court proceeding and are able to sight
the documents/exhibits upon the payment of a fee. They are, however, prohibited
from
making any copies of any documents or exhibits on the court file.
...
Copies of these statements (upon perusal of the transcripts of Mr
Sanderson’s trial) were tendered in court. Although tendered,
the
contents of the statements were not published in court and therefore not
accessible to the public as such. They are no longer
on the court file as
they were returned to either the police or to the ODPP (this is also confirmed
by ... OIC)
Some of the events in the statements include information that concerns Mr
Sanderson and his personal affairs and therefore comprises
“shared
personal affairs” information. This is in line with the relevant FOI
principles in relation to “shared
personal affairs” as explained by
the Information Commissioner in Re “B” and Brisbane North regional
Health Authority
[1994] QICmr 1; (1994) 1 QAR 279 at pp.343-345 (paras 172-178). Due to the fact
that that the information concerning Mr Sanderson’s personal affairs is
inextricably
interwoven with the information concerning the personal affairs of
other individuals (in this case [the principal witness] and the
deceased and
other witnesses), it is submitted that the information is exempt from disclosure
to Mr Sanderson according to the terms
of s.44(1).
Taking into account the public interest balancing test, it is acknowledged
that the identities of the persons are already known to
Mr Sanderson. It
is also acknowledged that large segments of the statements refer to events which
are known to Mr Sanderson due
to Mr Sanderson’s participation in them and
that Mr Sanderson previously had access to these statements in full.
Therefore,
it is acknowledged that the strength of the privacy interest
attaching to this information has been significantly diminished.
48. The Department’s
submissions go on to balance that diminished privacy interest against the public
interest arguments
which favour disclosure (discussed in further detail
below).
Weight of privacy interest consideration
49. Having carefully
considered the relevant evidence, I am satisfied that the privacy interests in
the Witness Statements
are significantly reduced on the following
basis:
• the Witness Statements were
exhibited and read in open court during the proceedings against the applicant
which commenced
in August 2002 and those which commenced in January 2003.
It is not material that the Witness Statements were not ‘published’
or set out in full in the transcripts of those proceedings. As the Witness
Statements were read in open court, the applicant and
others in the courtroom
were made aware of the content of those statements
• the principal witness was
cross-examined on the Witness Statements and provided other evidence relating to
the matters
the subject of those statements in open court
• the Witness Statements were
exhibited to the court record and members of the public were able to view those
statements
for the period of time that physical copies remained on the Supreme
Court file before they were returned in accordance with the Supreme
Court
registry’s administrative processes[9]
• some of the substance of the
Witness Statements is referred to in the judgment of the Court of Appeal, which
remains
publicly accessible on the Supreme Court of Queensland Library
website
• as acknowledged in the
Department’s submissions, the applicant previously had access to the
Witness Statements
in full.[10]
50. Accordingly, I find that
very little weight can be attributed to the relevant privacy interests in the
circumstances.
(2) Flow of
information
51. In an appropriate case,
there may be a public interest consideration in safeguarding the flow of
information from members
of the public to law enforcement agencies, by not
deterring co-operation by members of the public.[11]
Weight of ‘flow of information’
consideration
52. In light of the
circumstances in which the Witness Statements were provided, and given that the
issues have been dealt
with in a public manner through the criminal process,
there is no evidence before me to suggest that disclosure of the Witness
Statements
would have a detrimental affect on the flow of information from
members of the public in similar circumstances. Accordingly, I am
satisfied that no weight should be attributed to this public interest
consideration.
Public interest considerations favouring disclosure
53. In relation to the
documents in issue, I consider that there are principally three public interest
considerations favouring
disclosure of the Witness Statements:
• disclosure of information about
how government functions are conducted can enhance the accountability of
agencies in
the performance of their functions
• given the information concerns
the applicant to such a degree, this may give rise to a justifiable ‘need
to know’[12]
• the applicant’s right to
pursue a legal remedy.
(1) Accountability of Government
54. Disclosure of information
about how government functions are conducted can enhance the accountability of
agencies in the
performance of their functions. Ordinarily, this is a
public interest argument which favours disclosure of information.
Department’s Submissions
55. The Department submitted
that:
...
Balanced against this diminished privacy interest are public interest
considerations favouring disclosure of the statements to Mr
Sanderson, including
enhancing the transparency of the criminal justice system and providing members
of the community with access
to information held by government in relation to
their personal affairs.
...
Weight of ‘accountability’ consideration
56. In the unreported
decision of MN and QPS,[13] the
Information Commissioner noted that while in cases involving law enforcement
investigations there will generally be a public
interest consideration favouring
disclosure in the interests of furthering the accountability of the law
enforcement agency, this
public interest consideration favouring disclosure does
not carry as much weight in cases where a relevant formal trial process has
been
undertaken (the investigations having already been subjected to a process of
accountability), as it does in cases where there
has been no relevant formal
trial process.
57. In light of this, and the
applicant’s stated reasons for seeking the information, I am satisfied
that little weight
should be attributed to this public interest
consideration.
(2) Justifiable ‘need to know’
58. As previously stated by
the Information Commissioner, in an appropriate case, there may be a public
interest in an applicant
having access to information which affects or concerns
that applicant to such a degree, so as to give rise to a justifiable need
to
know which is more compelling than for other members of the public.[14]
Department’s submissions
59. The Department submits in
its letter of 23 September 2008 that:
...
Balanced against this diminished privacy interest are public interest
consideration favouring disclosure of the statements to Mr Sanderson,
including
enhancing the transparency of the criminal justice system and providing members
of the community with access to information
held by government in relation to
their personal affairs. Section 6 of the FOI Act requires a decision maker
to take into account
the fact that much of the matter in issue contains
information concerning Mr Sanderson in weighing competing public interest
factors.
(Mr Sanderson’s application suggests that he is pursuing access
to these particular statements so as to pursue an appeal of
his manslaughter
conviction. I understand that his previous application for leave to appeal
against his sentence was refused and
his appeal against conviction was dismissed
by the Court of Appeal in 2003.) In this regard, I acknowledge that his
involvement in,
and concern with, the particular information is of such a nature
or degree as to give rise to a justifiable 'need to know'.
However, it is submitted, that the key public interest considerations
favouring disclosure of the statements to Mr Sanderson are themselves
diminished
in strength and therefore carry less weight in the circumstances of his
case. The fact that Mr Sanderson already had
access to the statements,
while lessening the privacy interests as noted above also, operates to diminish
the weight of the transparency
and “need to know” considerations, in
that these public interest considerations have already largely been satisfied as
a consequence of this access.
Regard should also be given to the fact that the FOI release is to the
world at large and not just to Mr Sanderson, given the unconditional
nature of
the right of access contained in s.21 of the Act. It is submitted that the
statements in issue, contain information about
other people that is
particularly personal or sensitive, and the privacy interests attaching to that
information as against the
world at large remains strong. It is
acknowledged that the s.6 of the Act operated to relax this “world at
large” principle
in appropriate cases, the benefit of that provision is
reduced in Mr Sanderson’s case as the relevant information concerns
the
“shared personal information” of Mr Sanderson and other individuals.
Weight of ‘justifiable need to know’ consideration
60. While a public interest
consideration is generally one which is common to all members of, or a
substantial segment of
the community, as distinct from matters that concern
purely private or personal interests, section 4(2)(c) of the FOI Act recognises
‘that, in a free and democratic society ... members of the community
should have access to information held by government in relation to their
personal affairs’ ... [my
emphasis].
61.
I note that disclosure of matter under the FOI Act has previously been
considered to be ‘disclosure to the world
at large’ rather than
disclosure to the particular applicant. However, section 6 of the FOI
Act[15]
effectively relaxes that general principle, in that it requires that
‘the fact that the document contains matter relating to the personal
affairs of the applicant’ be taken into account as a public interest
consideration.
62. I am satisfied that:
• in his correspondence to this
Office, the applicant has expressed a strong desire to have the Witness
Statements disclosed
to him as well as the personal significance of disclosure
of this information, in particular, that the Witness Statements provide
evidence
which is of value to an assessment of merit for a petition for pardon (discussed
in greater detail below)
• the applicant’s interest in
obtaining access to the matter in issue is more compelling than for members of
the
general public
• the applicant’s need to
know the information or right to know constitutes a public interest
consideration favouring
disclosure of the matter in issue to the applicant.
63. Although section 6 of the
FOI Act allows the fact that a document contains matter relating to the personal
affairs of
the applicant to be taken into account as a public interest
consideration, this consideration carries less weight in circumstances
where the
information concerns ‘shared personal affairs’ rather than that
person’s personal affairs alone.[16]
64. In this review,
disclosure of the matter in issue to the applicant would disclose information
concerning his personal
affairs.[17] However, such disclosure would also necessarily disclose
information concerning the personal affairs of others including the principal
witness. Accordingly, the public interest in the applicant having access
to matter constituting information concerning his personal
affairs must be
balanced against the public interest in the protection of personal privacy and
therefore carries only some weight
in the circumstances. (Also, as set out
above, I note that the weight of the relevant privacy interests is significantly
reduced
in the circumstances).
(3) Right to pursue a legal remedy
65. In an appropriate case,
there may be a public interest in a person who has suffered an actionable wrong
being permitted
to access information which would assist them to pursue a remedy
which the law affords in those circumstances.
66. The mere assertion by an
applicant that information is required to enable pursuit of a legal remedy will
not be sufficient
to give rise to a public interest consideration that
ought to be taken into account. As set out in Willsford and Brisbane
City Council (Willsford),[18] it should be sufficient to establish this public interest
consideration, if an applicant can demonstrate that:
• loss or damage or some kind of
wrong has been suffered, in respect of which a remedy is, or may be, available
under
the law
• the applicant has a reasonable
basis for seeking to pursue the remedy
• disclosure of the information
held by the agency would assist the applicant to pursue the remedy, or to
evaluate whether
a remedy is available, or worth pursuing.
67. The existence of a public
interest consideration of this kind represents one consideration to be taken
into account in
the weighing process along with any other relevant public
interest considerations.
Department submissions
68. The Department submits in
its letter of 21 November 2008:
...
The Department notified the Information Commissioner, on 23 September
2008, of its position that the statements concern [the principal
witness]
personal affairs and qualify for exemption under s44(1) of the FOI Act. At
the time that view was formed, Mr Sanderson
had submitted that he required the
documents for use in an appeal to the Supreme Court. It is my
understanding that when an appeal
is lodged, an appellant will be provided with
the necessary documents to conduct the appeal. In fact, Mr Sanderson had
already appealed
his conviction and sentence in 2002 and both appeals were
dismissed. In these circumstances, this type of submission carries no
weight against the privacy interest of the witness, particularly when the views
of the witness have not been ascertained under s.51
of the FOI Act in the
initial decision (because it was a deemed refusal). I do not know if [the
principal witness] has been invited,
or has agreed, to be a participant in the
external review under s.78 of the FOI Act.
We understand from Legal Aid’s letter that Mr Sanderson has applied
for a grant of aid from Legal Aid to petition for a pardon.
In the
Department’s view, this recent action taken by Mr Sanderson carries
greater weight in favour of disclosure than a mere
assertion that he needed the
documents for an appeal. However, the Department would not be inclined to
withdraw an objection to disclosure
of [the principal witness] statements
without [the principal witness’] views being taken into account
...
Application of Willsford test to the Witness Statements
69. On the basis of the
information provided to me, the Willsford test applies in the following
manner:
• the ‘loss or damage’
suffered by the applicant in this case is imprisonment following a conviction of
unlawful
killing. The possible remedy available to the applicant under
law is a petition for pardon[19]
• the applicant seeks this
information to assist in determining whether he has a reasonable basis to pursue
this remedy[20]
• disclosure of the Witness
Statements would assist the applicant to pursue the remedy, or to evaluate
whether a remedy
is worth pursuing. In particular, I understand that the
applicant seeks this information with the intention of providing it to
Legal Aid, to enable Legal Aid to consider this evidence as part of its
assessment of merit for a petition for pardon. Legal Aid
confirms that it
is in the process of assessing merit in respect of a petition for pardon.
Weight of ‘right to pursue a legal remedy’
consideration
70. Having regard to the
application of the test in Willsford, I am satisfied that in the
circumstances of this case, significant weight should be attributed to this
public interest consideration.
Summary – weighing the public interest considerations
71. In its submissions dated
23 September 2008, the Department submitted:
Accordingly it is submitted, that the public interest in protecting the
privacy of the relevant witnesses, and the personal affairs
of other individuals
apart from Mr Sanderson identified in the statements while diminished,
nevertheless outweighs the public interest
factors weighing in favour of
disclosure (themselves significantly diminished). The disclosure of the
information in the statements
will constitute release to the world at large and
that personal information about these persons would be disclosed if
released.
Therefore, the disclosure of the statements would not, on balance, be in
the public interest and that the statements qualify for exemption
under s.44(1)
of the FOI Act.
72. I have weighed the public
interest considerations favouring non-disclosure against the public interest
considerations
favouring disclosure of the Witness Statements, and have done so
having regard to the Department’s submissions.
73. While I acknowledge that
in many cases, the weight to be accorded the privacy interest in information
relating to the
identity of a witness, that witness’s willingness (or
otherwise) to cooperate with the authorities and the testimony of that
witness
concerning that witness’s personal affairs, may be relatively high, I am
satisfied that the Witness Statement have
been treated in such a way (as set out
above) so as to significantly reduce the weight of the privacy interest in that
information.
Accordingly, little weight can be attributed to this public
interest consideration favouring non-disclosure. As noted above, in
the
circumstances of this case, no weight should be attributed to the public
interest in safeguarding the flow of information to
law enforcement agencies.
74. Balanced against this are
the public interest arguments favouring disclosure of the Witness
Statements. In summary, I
am satisfied that:
• the public interest in the
accountability of government attracts only a little weight
• the weight of the
applicant’s justifiable need to know (while ordinarily strong) is reduced
somewhat in the circumstances
by the fact that the Witness Statements contain
personal affairs information about persons other than the applicant (although,
as
noted above, the privacy interest in this information is also significantly
reduced)
• significant weight should be
attributed to the public interest in the applicant’s right to pursue a
legal remedy.
75. Accordingly, having
weighed the significantly reduced privacy interest favouring non-disclosure,
against the public interest
considerations of accountability of government, the
applicant’s justifiable need to know, and the applicant’s right to
pursue a legal remedy, I am satisfied that the public interest arguments which
favour disclosure of the Witness Statements outweigh
the public interest
arguments which favour non-disclosure.
Consultation
76. The Department’s
letter dated 21 November 2008 states that:
... In these circumstances, this type of submission carries no weight
against the privacy interest of the witness, particularly when
the views of the
witness have not been ascertained under s.51 of the FOI Act in the initial
decision (because it was a deemed refusal).
I do not know if [the
principal witness] has been invited, or has agreed, to be a participant in the
external review under s.78
of the FOI Act.
We understand from Legal Aid’s letter that Mr Sanderson has applied
for a grant of aid from Legal Aid to petition for a pardon.
In the
Department’s view, this recent action taken by Mr Sanderson carries
greater weight in favour of disclosure than a mere
assertion that he needed to
the documents for an appeal. However, the Department would not be inclined to
withdraw an objection to
disclosure of [the principal witness] statements
without [the principal witness] views being taken into account
...
77. In my letter to the
Department dated 14 January 2009, I communicated the preliminary view that it
was unnecessary to consult
with the principal witness regarding the possible
disclosure of the Witness Statements.
78. In its response dated 19
January 2009, the Department indicated that:
• the issue of consultation with the
principal witness remained of concern to the Department
• it remained of the view that the
Department would not consider disclosing documents of the type in issue without
having
given the principal witness an opportunity to present their views and
participate in the review process.
79. I have carefully
considered whether the principal witness should be notified of the external
review under section 78 of
the FOI Act,[21] to enable the principal witness to provide submissions
regarding the disclosure of the Witness Statements, or apply to become a
participant
in the review.
80. As set out above, the
Witness Statements have been treated in such a manner so as to significantly
reduce the privacy
interest in the personal affairs information of the principal
witness:
• the Witness Statements were
exhibited and read in open court during the proceedings against the applicant
which commenced
in August 2002 and those which commenced in January 2003.
It is not material that the Witness Statements were not ‘published’
or set out in full in the transcripts of those proceedings. As the Witness
Statements were read in open court, the applicant and
others in the courtroom
were made aware of the content of those statements
• the principal witness was
cross-examined on the Witness Statements and provided other evidence relating to
the matters
the subject of those statements in open court
• the Witness Statements were
exhibited to the court record and members of the public were able to view those
statements
for the period of time that physical copies remained on the Supreme
Court file before they were returned in accordance with the Supreme
Court
registry’s administrative processes
• some of the substance of the
Witness Statements is referred to in the judgment of the Court of Appeal, which
remains
publicly accessible on the Supreme Court of Queensland Library
website
• as acknowledged in the
Department’s submissions, the applicant previously had access to the
Witness Statements
in full.[22]
81. Having participated as a
witness at the applicant’s trials and given oral testimony, the principal
witness would
be aware that the applicant has knowledge of the substance of the
Witness Statements. Accordingly, disclosure of the Witness Statements
could not reasonably be expected to be of substantial concern to the principal
witness, given the public treatment of those statements
and the
applicant’s existing knowledge of their content.
82. For the reasons set out
above, I am satisfied that:
• the Witness Statements do not
qualify for exemption from disclosure under section 44(1) of the FOI Act
• disclosure of those statements
could not reasonably be expected to be of substantial concern to the principal
witness
such that the principal witness need be notified of the review to enable
the principal witness to provide submissions or apply to
become a participant in
the review under section 78 of the FOI Act.
DECISION
83. I set aside the decision
of the Department and find that:
• the Department is entitled to
rely on section 28A(2) of the FOI Act to refuse access to the Report
• the Witness Statements do not
qualify for exemption from disclosure under section 44(1) of the FOI Act.
84. I have made this decision
as a delegate of the Information Commissioner, under section 90 of the
Freedom of Information Act 1992 (Qld).
________________________
Assistant Commissioner Henry
Date: 28 January 2009
[1] On the basis of the information
available to me, a decision on the FOI Application was to have been notified to
the applicant by
25 April 2008. However, taking into account the public
holiday which fell on 25 April 2008 and the weekend following, the Deemed
Decision is taken to have been made on 28 April 2008.[2] [1994] QICmr 7; (1994) 1 QAR
464.[3] See
paragraphs 18 – 19.[4] Section 7 of the FOI Act provides that:
document of an agency or document of the agency means
a document in the possession or under the control of an agency, or the agency
concerned, whether created or received in the
agency, and includes –
(a) a document to which the agency is
entitled to access; and
(b) a document in the possession or under the
control of an officer of the agency in the officer’s official
capacity. [5] [1993] QICmr 6; (1993) 1 QAR 227.[6] [1997] QICmr 11; (1997) 4 QAR 70 at paragraph 64
– 65.[7] [1994] QICmr 1; (1994) 1 QAR 279 at paragraph 176.[8] See Lower Burdekin Newspaper
Company Pty Ltd and Burdekin Shire Council; Hansen, Covolo and Cross (Third
Parties) [2004] QICmr 6; (2004) 6 QAR 328 at paragraph 23.[9] There was no evidence provided
which suggested that the exhibits were treated differently due to the
involvement of any children
in the case, or by order of the
court.[10]
Presumably as they would have been served on the applicant and/or his legal
representatives prior to the commencement of relevant
proceedings.[11] See Godwin at paragraph 68.[12] See Pemberton and The
University of Queensland (1994) 2 QAR 293, paragraphs 164 – 193.
[13]
(Unreported, 23 February 1998).[14] KBN and Department of
Families, Youth and Community Care [1998] QICmr 8; (1998) 4 QAR 422 (KBN) at
paragraph 56.[15] 6 Matter relating to personal affairs of
applicant
If an application for access to a document is made under this Act, the
fact that the document contains matter relating to the personal
affairs of the
applicant is an element to be taken into account in deciding—
(a) whether it is in the public interest to grant access to the applicant;
and
(b) the effect that the disclosure of the matter might have.
[16] See
KBN at paragraph 58.[17] Which is a factor to be taken
into account in considering the effect that disclosure of the matter might have
(section 6(b) of the
FOI Act). [18] [1996] QICmr 17; (1996) 3 QAR 368 at paragraphs 16
– 18.[19] In Re Fritz [1995] 2 Qd R 580, McPherson JA said at
page 596 ‘The power to pardon is an aspect of the royal prerogative of
mercy forming part of the common law’.[20] Willsford, at paragraph
20[21]
Section 78(2) of the FOI Act provides: ‘Any person affected by the
decision the subject of the review (including, if the review concerns matter
that is claimed to be exempt
matter, a person whose views must be sought under
section 51 in relation to the matter) may apply to the commissioner to
participate
in the review.’[22] Presumably as they would have
been served on the applicant and/or his legal representatives prior to the
commencement of relevant
proceedings.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | I7YL5P and Queensland Building and Construction Commission [2018] QICmr 17 (19 April 2018) |
I7YL5P and Queensland Building and Construction Commission [2018] QICmr 17 (19 April 2018)
Last Updated: 10 May 2018
Decision and Reasons for Decision
Citation:
I7YL5P and Queensland Building and Construction Commission [2018]
QICmr 17 (19 April 2018)
Application Number:
313389
Applicant:
I7YL5P
Respondent:
Queensland Building and Construction Commission
Decision Date:
19 April 2018
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - request for information
about fees paid to
adjudicators appointed under the Building and Construction Industry Payments
Act 2004 (Qld) - whether identities of adjudicators can reasonably be
ascertained from fee information cross-referenced with publicly available
information - whether adjudicators fees constitute personal
information
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS
- CONTRARY TO PUBLIC INTEREST INFORMATION - request for information
about
adjudicators and fees paid to adjudicators appointed under the Building and
Construction Industry Payments Act 2004 (Qld) - accountability and
transparency in process of referring applications to adjudicators - income
details of private citizens
- whether disclosure would, on balance, be contrary
to the public interest under sections 47(3)(b) and 49 of the Right to
Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied under the Right to Information Act 2009 (Qld) (RTI
Act) to the Queensland Building and Construction Commission (QBCC)
for access to certain information about adjudicators appointed to determine
payment dispute applications under the Building and Construction Industry
Payments Act 2004 (Qld)
(BCIPA).[1]
QBCC
located a 20 page spreadsheet titled ‘Adjudicators Appointed’
(Report), which presented the requested information as follows:
Adjudicator Number
Adjudicator Classification
Adjudicator Acceptance Date
Adjudicator Fees
Claimed Amount
Released
Released
Released
Redacted
Released
QBCC
released all of the information except that in the column titled
‘Adjudicator Fees’ representing the fees paid to the
adjudicators for each decided application (Adjudicator Fees). QBCC
decided that the disclosure of the Adjudicator Fees would, on balance, be
contrary to the public interest.[2]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of QBCC’s
decision.[3] The applicant submitted
that the public interest favours disclosure of the Adjudicator Fees as it would
promote transparency and
accountability in the referral of matters by the
Registrar of the QBCC Adjudication Registry (Registrar). The applicant
also considers there can be no concerns about prejudice to the
adjudicators’ business, financial or private
affairs as the information
sought is in a ‘deidentified’ format.
For
the reasons set out below, I affirm QBCC’s decision to refuse access to
the Adjudicator Fees as disclosure would, on balance,
be contrary to the public
interest.[4]
Background
QBCC
uses adjudication as a dispute resolution system to help resolve disagreements
between homeowners and contractors over progress
payments.[5] Under the BCIPA, the
Registrar has the power to refer adjudication applications to
adjudicators.[6] While the BCIPA does
not prescribe specific criteria for the selection of adjudicators, QBCC’s
Adjudicator Grading and Referral Policy (Referral Policy)
provides guidance to the Registrar in making grading and referral decisions.
The Referral Policy requires the Registrar to select
adjudicators based on an
analysis of each application and to ‘marry that analysis with a
suitably graded
adjudicator’.[7] Under the
Referral Policy, when selecting an adjudicator for a matter, the Registrar
considers maters including the claim amount,
material issues in dispute, any
specialist discipline or expertise held by the adjudicator and any voided
decisions made by the adjudicator.
Adjudicators
are not paid by the QBCC nor are they paid out of public funds. The claimant and
respondent to a dispute are jointly
and severally liable to pay for adjudicator
fees, and each are liable to contribute to the payment of the adjudicator in
equal portions,
or in the portions that the adjudicator
decides.[8] The fees may be agreed
upon by the parties and the adjudicator. However, the BCIPA provides that where
no amount is agreed, the
adjudicator is entitled to be paid an amount that is
reasonable having regard to the work and expenses incurred by the
adjudicator.[9] To provide guidance
on what may constitute a reasonable amount, the Adjudication Registry has
developed a schedule of recommended
fees, which vary depending on the claim
amount and how the adjudicator is
graded.[10]
Significant
procedural steps relating to the external review are set out in the
Appendix.
Reviewable decision
The
decision under review is QBCC’s decision dated 1 June
2017.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are disclosed in these reasons (including
footnotes and
Appendix).
Information in issue
As
noted at paragraph 3 above, the
information in issue in this review comprises the column of Adjudicator Fees in
the 20 page Report identified by QBCC
in response to the application.
Issue for determination
The
issue to be determined is whether access to the Adjudicator Fees may be refused
under section 47(3)(b) of the RTI Act on the basis
that disclosure would, on
balance, be contrary to the public interest. At the outset, I have also
considered a preliminary issue
with respect to deidentification, as both parties
made submissions on this issue during the review, and it was the subject of an
informal resolution proposal, which was ultimately unsuccessful.
Deidentification
As
set out above, the applicant submits that the information sought does not
include the names of adjudicators, and that the requested
information is in a
‘deidentified’ format. The applicant argues this should negate any
concerns about prejudice to the
adjudicators’ business, financial or
private affairs that may apply to disclosure of the Adjudicator Fees.
QBCC
has however, submitted that[11]
while the Report does not contain the names of adjudicators, releasing the
Adjudicator Fees would enable identification of adjudicators,
through a process
of cross-referencing the information already released in the Report, with the
publicly available information on
the BCIPA website. QBCC explained that the
‘decision search’ facility on the BCIPA website can be used
as follows:[12]
navigate to the
‘decision search’ function on the BCIPA website
enter the
relevant date range
open a decision
and note the payment claim amount; and
cross-reference
that figure with the information already released in the
Report.
QBCC
submits that following the above steps would allow the Adjudicator Fees (if
released) to be matched to the identity of an adjudicator
(obtained through the
cross-referencing process), thereby disclosing a component of an
adjudicator’s personal income.
OIC
attempted to negotiate an informal resolution outcome between the parties to
resolve the deidentification issue. OIC proposed
that the Adjudicator Fees could
be presented in a randomised format, i.e. not aligned with the other columns in
the Report. While
the applicant agreed to this proposal, QBCC was of the view
that such an approach could still reasonably lead to identification of
the
adjudicators due to the value of claim amounts at the highest and lowest ends of
the range, and the fact that some adjudicators
only had one or two decisions.
Therefore, QBCC did not consent to this informal resolution
proposal.[13]
During
the course of the review, OIC explained to the applicant that a party to an
external review is not under any obligation to
accept a negotiated solution
proposed by OIC,[14] and under the
RTI Act, QBCC cannot be compelled to create a new document (i.e. the
Adjudicator Fees in a randomised format) in order to provide deidentified (or
less identifiable) information to
the
applicant.[15] Accordingly, given
that QBCC did not accept the informal resolution proposal, the only issue that
OIC is able to consider is whether
access to the Adjudicator Fees (in their
existing format) may be refused. Relevant
law
The
RTI Act provides a right of access to information in the government’s
possession or under its control.[16]
The RTI Act operates with a ‘pro-disclosure
bias’[17] meaning that it is
Parliament’s intention for an agency to give access to information, unless
the public interest favours
nondisclosure.[18] Various factors
may be relevant to deciding where the balance of the public interest
lies[19] and a decision-maker is
required to take specific steps in reaching a
decision.[20]FindingsIrrelevant
factors
The
applicant made submissions to OIC about previous dealings with QBCC and the
Registrar.[21] The
applicant’s personal experiences with QBCC are irrelevant to deciding
where the balance of the public interest lies in
this case and therefore, I have
disregarded those submissions in reaching my
decision.[22]
Factors favouring disclosure
The
applicant considers that disclosure of the Adjudicator Fees is vital in order to
ascertain whether the Referral Policy is being
applied fairly and appropriately.
In this regard, the applicant’s concerns are as follows:
[23]
An experienced person in the registrar’s position is well able to
judge which matters will generate significant fees and which
will not and, as
such, is in a position to allocate the most valuable work preferentially to some
adjudicators and not others, and
also to disguise any such preferential practice
by keeping tabs on the number and frequency of matters referred. That is to say,
an adjudicator may be allocated an average number of matters at regular
intervals, but still generate a fraction of the fee income
of other
adjudicators. Unless fee income is disclosed, it is impossible to tell whether
the registrar is engaging in this practice
or not, or even whether the entirely
regular application of the policy is generating unfair outcomes. It is not to
the point that
the more valuable matters are more valuable because they require
more work on the part of the adjudicator, or that his or her fees
are not paid
from government funds. The issue is whether and, if so, to what extent, the
registrar is allocating more valuable work
to some adjudicators and why this is
occurring, whether the referral policy facilitates the practice and whether it
should be addressed.
I
acknowledge that disclosing the Adjudicator Fees would reveal the value of
applications that have been referred to each adjudicator,
and the total value of
referrals to the listed adjudicators, across the two year period. I consider
there is a public interest in
the community being able to scrutinise decisions
of a government agency, such as QBCC, that have led, even where indirectly, to a
monetary benefit being conferred on a private
individual.[24] I am also satisfied
that disclosing this information could, to a certain extent, reasonably be
expected to promote open discussion
of the Registrar’s role in allocating
adjudication matters, and enhance QBCC’s accountability with respect to
the appointment
of adjudicators. The Adjudicator Fees are however, a list of
monetary amounts only, and do not contain any reasons explaining the
suitability
of certain adjudicators for particular matters, nor reveal the Registrar’s
grounds for selecting each adjudicator.
Accordingly, I afford these factors
moderate weight in favour of
disclosure.[25]
I
also consider that disclosure of the Adjudicator Fees would allow a level of
transparency into QBCC’s operations in terms
of application of the
Referral Policy, and what constitutes a ‘reasonable’
fee.[26] However, the level of
insight into the latter is relatively limited given that a breakdown of the
total fee paid is not included,
only the total fee paid to the adjudicator.
Further, as discussed above, the Adjudicator Fees do not reveal any qualitative
aspects
of the Registrar’s decision-making process and therefore, I
consider disclosure would only give partial insight into how the
Referral Policy
is applied.[27] Accordingly, I
afford this factor moderate weight in favour of disclosure.
Adjudicators
are not public servants, nor are they paid from the ‘public purse’.
Therefore, I find that disclosure would
not contribute to any oversight of
expenditure of public funds.[28] I
also do not consider that disclosure of the Adjudicator Fees could reasonably be
expected to contribute to positive and informed
debate on important issues or
matters of serious interest.[29]
For this factor to apply, I consider the nature of the subject matter must be of
broad community interest, e.g. a significant public
infrastructure project or
public health and safety issues.[30]
I find that disclosure of the Adjudicator Fees would be of interest to only a
narrow segment of the community and therefore, this
factor does not apply.
The
applicant submits that disclosure of the Adjudicator Fees could reasonably be
expected to allow or assist inquiry into possible
deficiencies in the conduct or
administration of QBCC and/or the
Registrar.[31] For this factor to
apply, it is only necessary for disclosure to ‘assist
inquiry’ into ‘possible deficiencies’. This
is a low threshold. I accept that for the applicant to further investigate
concerns about whether ‘more valuable work’ is being
allocated to particular adjudicators, disclosure of the Adjudicator Fees may
somewhat assist in this line of inquiry. The
application of this factor should
not however, be taken to confirm the applicant’s suspicions in any way. In
the circumstances,
I afford this factor moderate weight in favour of disclosure.
I
find that disclosure of the Adjudicator Fees would not reveal any reasons, or
background or contextual information that informed
the appointment decisions
made by the Registrar, under the Referral
Policy[32] as the information is a
list of monetary amounts only. As discussed above, there is no qualitative
information included which could
raise this public interest factor. Further,
given the particular nature of the information, I find that disclosure could not
reasonably
be expected to reveal or substantiate that an agency or official has
engaged in misconduct or negligent, improper, or unlawful conduct,
as submitted
by the applicant.[33] I am satisfied
that it would be improbable to establish conduct of that nature based solely on
a list of monetary amounts which are,
in many cases, subjectively determined by
the parties to a dispute. Further, at the time of appointing an adjudicator,
the Registrar,
while aware of the claim amount, does not know exactly how much
the adjudicator is going to be paid, as this will be determined in
the future,
either by agreement between the parties, and/or having regard to the schedule of
recommended fees in the Referral Policy,
and the principles set out in the
BCIPA.
The
applicant also raised a number of additional public interest disclosure factors
concerning fair treatment[34] and
the administration of justice.[35]
The applicant has previously worked as an adjudicator and is currently listed on
the BCIPA website as an adjudicator. The applicant
has not however,
particularised any instances of unfair treatment, for example, in terms of
insufficient allocation of adjudication
matters, nor has the applicant provided
evidence of loss/damage, or articulated any available
remedy.[36] In the absence of any
supporting evidence or submissions, I am unable to find that these public
interest factors apply in this case.
Factors favouring nondisclosure
The
RTI Act recognises that disclosure of another individual’s
‘personal information’ is a factor favouring nondisclosure
which could reasonably be expected to lead to a public interest harm (Harm
Factor).[37] The term
‘personal information’ is defined as follows:
information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information or
opinion.[38]
The
Information Commissioner has previously established that the following questions
are relevant in determining whether information
is a particular
individual’s personal information:
[39]
Can an
individual be identified from the information sought?
If so, is the
information sought about that individual?
Generally,
information about an individual which includes their name will be
identifying[40] and information such
as a photograph, or a detailed identifying description may also identify an
individual.[41]
The
Adjudicator Fees do not identify the adjudicators—names,
photographs, adjudicator registration details or other detailed identifying
information does not appear
on the face of the Adjudicator Fees when viewed in
isolation, or even when considered with the remainder of the Report. However,
even where a person’s identity is not readily apparent, it may be possible
with the assistance of additional information to
identify a
person.[42] In
Mahoney,[43] the Right
to Information Commissioner found that the question of whether an
individual’s identity can reasonably be ascertained
will depend on a
number of factors:
how available
the additional information is
how difficult it
is to obtain
how many steps
are required to identify the individual
how certain the
identification will be
whether it will
identify one specific individual or a group of people; and
whether the
individual receiving the information can use it to identify the
individual.
As
discussed at paragraphs 14-15 above, QBCC has submitted that the
identities of the adjudicators can be ascertained through a process of
cross-referencing the information
released in the Report, with information that
is publicly available on the BCIPA website. QBCC submits that if the
Adjudicator Fees
were released, the information could then be linked to the
identity of the adjudicators through the cross-referencing process. Having
followed the cross-referencing process set out by QBCC and having considered the
facto[44] set out in
Mahoney,44 I accept that:
the information
required to identify the adjudicators is readily available and simple to
ascertain through the BCIPA website
minimal
steps[45] are required to identify
the adjudicator, and the identification is relatively certain; and
the process
identifies each individual adjudicator (rather than a group of individuals) and
the applicant will be in a position to
use the information to identify these
individuals.
Accordingly,
I find that the identities of individual adjudicators can reasonably be
ascertained from the Adjudicator Fees and the
cross-referencing
process.
In
terms of whether the information is about the adjudicators, the
Adjudicator Fees reflect a portion of the income received by the adjudicators
within a two year period. I
am satisfied that income information of an
individual is ‘about’ that individual and therefore comprises
the adjudicators’ personal
information.[46]
The
concept of ‘disclosure’ as used in the Harm Factor apprehends the
giving of information to a person or entity not
otherwise possessed of knowledge
of that information.[47] Where
releasing personal information would involve conveying to any person or entity
information that they already know, it cannot
be said such release would
‘disclose’ personal information within the meaning of the Harm
Factor, and therefore, that
factor will not apply. In this case, the
adjudicators are already aware of what they have been paid, as are the parties
to the dispute
(because they paid the fees), however, that is the extent to
which the information has been disclosed. Accordingly, I find that
releasing
the Adjudicator Fees to the applicant would constitute a
‘disclosure’ of the personal information of the adjudicators
listed
in the Report, and therefore, the Harm Factor applies. I am satisfied that the
extent of harm that could flow from disclosure
of the Adjudicator Fees is
relatively high as information about a private citizen’s financial
situation is inherently sensitive.
Accordingly, I afford the Harm Factor
significant weight.
The
RTI Act also recognises that where disclosure of information could reasonably be
expected to prejudice the protection of an individual’s
right to privacy,
the public interest will favour
nondisclosure.[48] The concept of
‘privacy’ is not defined in the RTI Act. It can,
however, essentially be viewed as the right of an individual to preserve their
‘personal sphere’ free from interference from
others.[49] Given the nature of the
Adjudicator Fees, I am satisfied that disclosure would interfere with the
adjudicators’ personal sphere,
and that this factor favouring
nondisclosure therefore applies.
As
set out above, the adjudicators are not public servants, nor are they contracted
to perform a government service and are not paid
from public
funds.[50] In essence, the
Adjudicator Fees represent a component of the gross income received by a group
of private citizens within a two
year period. For adjudicators with multiple
matters, the total amount may represent a significant percentage of their annual
income.
While I acknowledge that the parties to each dispute will be aware of
the fees paid to each adjudicator in a particular matter, the
information
relates only to individual matters and is not published more broadly. In
contrast, the Adjudicator Fees disclose income
information for individuals
across BCIPA matters for a significant period of time. Accordingly, I afford
significant weight to this
factor in favour of nondisclosure.
A
factor favouring nondisclosure will also arise if disclosure could reasonably be
expected to prejudice the business affairs of a
person.[51] While I am satisfied
that the Adjudicator Fees generally concern the income details of private
citizens, I am not satisfied that
adjudicators would suffer any adverse impacts
to their business operations in terms of loss of income or competitive harm
through
disclosure of the Adjudicator Fees. Accordingly, I find that factor does
not apply in the circumstances of this
case.[52]
Balancing the public interest
In
summary, I have found that there are several public interest factors which apply
to favour disclosure of the Adjudicator Fees.
I am satisfied that there is
moderate weight to be afforded to the public interest in promoting QBCC’s
accountability, open
discussion of the Registrar’s referral role, and in
providing a level of transparency in application of the Referral Policy.
I have
also recognised that there is moderate weight to be afforded to assisting
inquiry into possible deficiencies in the conduct
of an agency or official.
Balanced against these however, are two key nondisclosure factors, namely the
Harm Factor which is designed
to protect the personal information of
individuals, and the factor intended to safeguard a citizen’s right to
privacy, which
I have found applies in this case to protect the
adjudicators’ income details. I am satisfied that these factors carry
significant,
and determinative weight in favour of nondisclosure.
Accordingly
I find that, on balance, disclosure of the Adjudicator Fees would be contrary to
the public interest, and access may therefore
be refused on that
basis.DECISION
For
the reasons set out above, I affirm QBCC’s decision to refuse access to
the Adjudicator Fees under section 47(3)(b) of the
RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.K ShepherdAssistant
Information CommissionerDate: 19 April 2018
APPENDIX
Significant procedural steps
Date
Event
30 June 2017
OIC received the external review application and requested relevant
procedural documents from QBCC.
4 July 2017
OIC received the requested procedural documents and further information
from QBCC.
10 July 2017
OIC notified the applicant and QBCC that the external review application
had been accepted. OIC conveyed a preliminary view to QBCC.
24 July 2017
OIC received submissions from QBCC in response to the preliminary
view.
21 September 2017
OIC obtained further submissions from QBCC.
24 November 2017
OIC conveyed a preliminary view to the applicant.
11 December 2017
OIC received submissions from the applicant in response to the preliminary
view.
19 December 2017
OIC presented an informal resolution proposal to the applicant.
15 January 2018
The applicant notified OIC of agreement with the informal resolution
proposal.
19 January 2018
OIC conveyed the informal resolution proposal to QBCC.
1 February 2018
QBCC requested an extension of time within which to respond to the informal
resolution proposal.
2 February 2018
OIC granted QBCC the extension of time.
QBCC provided oral submissions to OIC in relation to the informal
resolution proposal.
6 February 2018
OIC received submissions from QBCC rejecting the informal resolution
proposal.
22 February 2018
OIC advised the applicant that the informal resolution could not be
negotiated with QBCC and as a result, the review would proceed
to be finalised
by a formal decision.
The applicant raised certain concerns regarding OIC’s letter,
including publication of the formal decision and the option of
withdrawing the
application.
27 February 2018
OIC addressed the applicants concerns, and asked to be notified if the
applicant did not wish OIC to issue a formal decision in the
matter.
The applicant then requested clarification about the implications of
withdrawing the application.
28 February 2018
OIC advised the applicant of the process and implications of resolving
reviews informally under section 90(4) of the RTI Act. OIC
confirmed that the
next step, if the applicant did not elect to withdraw the application, would be
a formal written decision to finalise
the review.
[1] Access application dated 30
January 2017. The application requested particular details about each
adjudicator and matters referred
to them, including the fee paid, amount
claimed, adjudicator grade and the date of acceptance. The applicant agreed that
the names
of adjudicators were not required but asked that a ‘unique
identifier’ be used instead to allow analysis of the information.
The
applicant also agreed to accept information in the form of an Excel spreadsheet.
[2] Under sections 47(3)(b) and 49
of the RTI Act. Decision dated 1 June
2017.[3] External review
application dated 30 June 2017.[4]
Under sections 47(3)(b) and 49 of the RTI
Act.[5] See
<http://www.qbcc.qld.gov.au/get-help-getting-paid-bcipa/what-adjudication>
,
accessed on 8 February 2018.[6]
The applicant has previously worked as an adjudicator and is currently listed as
an adjudicator on the BCIPA website at
<http://xweb.bcipa.qld.gov.au/ars_xweb/Pages/adj_search.aspx?Query=A>
.
Accessed on 12 April 2018. [7] See
the Referral Policy at <www.qbcc.qld.gov.au/sites/default/files/Adjudicator_Grading_and_Referral_Policy_2015.pdf>
Accessed on 12 April 2018.[8]
Section 35(2) and (3) of the
BCIPA.[9] Section 35(1) of the
BCIPA. [10] Referral Policy,
p. 9-10, accessed on 12 April
2018.[11] Submissions to OIC
dated 24 July 2017. These submissions were made in response to OIC’s
letter to QBCC dated 10 July 2017,
which set out OIC’s initial view that
adjudicators other than the applicant were not identified in the Report, and
accordingly,
the applicant was entitled to access the Adjudicator Fees. OIC
changed its view after considering QBCC’s
submissions.[12] Available at
xweb.bcipa.qld.gov.au/ars_xweb/Pages/det_search.aspx.
Accessed on 12 April 2018.[13]
OIC has an obligation to identify opportunities for informal resolution and
promote settlement of review applications under section
90 of the RTI Act.
However, OIC does not have any power to direct parties to agree to the terms of
an informal resolution proposal.
Accordingly, where the agreement of both
parties cannot be obtained, OIC must proceed to formally decide the matter under
section
110 of the RTI Act. [14]
OIC’s letter to the applicant dated 22 February
2018.[15] An agency is not
obliged by the terms of the RTI Act to create a new document in response to an
access application. Rather, an agency
is only obliged to locate existing
documents which it is entitled to access or which are in its possession or under
its control:
see Van Veenendaal and Queensland Police Service [2017]
QICmr 36 (28 August 2017) at [27], citing Dimitrijev and Department of
Education (Unreported, Queensland Information Commissioner, 23 February
1998) at [21].[16] Section 3 of
the RTI Act. [17] Section 44 of
the RTI Act. [18] Under section
47(3)(b) of the RTI Act, access to information may be refused where disclosure
would, on balance, be contrary to the
public interest.
[19] See schedule 4 of the RTI
Act. The term ‘public interest’ refers to considerations affecting
the good order and functioning
of the community and government affairs for the
well-being of citizens. This means that in general, a public interest
consideration
is one which is common to all members of, or a substantial segment
of, the community, as distinct from matters that concern purely
private or
personal interests. [20]
Section 49 of the RTI Act. The steps include: disregarding any irrelevant
factors, identifying relevant factors favouring disclosure
and nondisclosure,
and balancing the relevant factors.
[21] Oral submissions made to
OIC on 10 July 2017 and 18 August
2017.[22] I have also
disregarded the irrelevant factors in schedule 4, part 1 of the RTI Act.
[23] Applicant’s
submissions to OIC dated 11 December
2017.[24] As explained above,
the parties to the dispute pay the adjudicators’ fees.
[25] Schedule 4, part 2, item 1
of the RTI Act.[26] Schedule 4,
part 2, item 3 of the RTI Act.
[27] The application of the
Referral Policy can be subject to investigation by the Ombudsman and or the
Crime and Corruption Commission.
See paragraph 2.1.4 of the Referral
Policy.[28] Accordingly, the
factor at schedule 4, part 2, item 4 of the RTI Act does not apply.
[29] Schedule 4, part 2, item 2
of the RTI Act. [30] For
example, Straker and Sunshine Coast Regional Council; NBN Co Limited (Third
Party) [2016] QICmr 44 (28 October 2016) at [74]-[75] and Nine Network
Australia Pty Ltd and Department of Justice and Attorney-General
(Unreported, Queensland Information Commissioner, 14 February 2012) at
[50]-[53].[31] Schedule 4, part
2, item 5 of the RTI Act. [32]
Accordingly, the factor at schedule 4, part 2, item 11 does not apply.
[33] Schedule 4, part 2, item 6
of the RTI Act. Raised by the applicant in the external review application.
[34] Schedule 4, part 2, item 10
of the RTI Act. [35] Schedule 4,
part 2, items 16 and 17 of the RTI Act.
[36] In Willsford and
Brisbane City Council [1996] QICmr 17; (1993) 3 QAR 368 at [17], the Information Commissioner
set out that there is recognisable public interest in the administration of
justice where an applicant
demonstrates that they have suffered loss or damage
or some kind of wrong, in respect of which a remedy is, or may be, available
under the law, and they have a reasonable basis for seeking to pursue the remedy
and disclosing the information itself would assist
the applicant to pursue the
remedy, or to evaluate whether a remedy is available or worth pursuing.
[37] Schedule 4, part 4, section
6 of the RTI Act. [38] See
schedule 5 of the RTI Act which adopts the definition in section 12 of the
Information Privacy 2009 (Qld) (IP
Act).[39] Mahoney and
Ipswich City Council (Unreported, Queensland Information Commissioner, 17
June 2011) (Mahoney) at
[19].[40] Mahoney at
[20].[41]
Ibid.[42] Mahoney at
[21], cited with approval in Marchant and Queensland Police Service
(Unreported, Queensland Information Commissioner, 10 September 2013) at
[15]-[16] and Swiatek and The University of Southern Queensland [2017]
QICmr 57 (8 December 2017) at [19]. These cases can be distinguished
from this review as the identities of the subject individuals in those matters
were found
not to be reasonably ascertainable.
[43]
Ibid.[44] At paragraph 30
above.[45] Four brief
‘steps’ are required, if each step is defined as set out in
paragraph 14 above, although I note
that a level of ‘trial and error’ is required to find the correct
decision within the relevant
date
range.[46] See Edmistone and
Blackall-Tambo Regional Council [2016] QICmr 12 (15 April 2016) at [48],
where it was accepted that an individual’s total remuneration comprises
their personal information.
See also Stewart and Department of Transport
[1993] QICmr 6; (1993) 1 QAR 227 at [80], which noted that a person’s income and personal
financial position fall within the meaning of the phrase ‘personal
affairs’.[47] While
‘disclose’ as used in the Harm Factor is not defined in the
RTI Act, the word is defined in section 23 of the IP Act as it relates to
the
application of the Information Privacy Principles – to ‘disclose
personal information’ relevantly means to give that information to an
entity who does not otherwise know the information and is not in a position
to
find it out. This accords with the ordinary dictionary definition of
‘disclose’: relevantly, to ‘make known;
reveal’: Macquarie Dictionary Online (accessed 19 April 2018).
[48] Schedule 4, part 3, item 3
of the RTI Act. [49]
Paraphrasing the Australian Law Reform Commission’s definition of the
concept in ‘For your information: Australian Privacy Law and
Practice’ Australian Law Reform Commission Report No. 108 released 12
August 2008, at paragraph 1.56. Cited in Balzary and Redland City Council;
Tidbold (Third Party) [2017] QICmr 41 (1 September 2017) at
[28].[50] Compare to the
analysis in Stewart and Department of Transport [1993] QICmr 6; (1993) 1 QAR 227 at [80],
which noted the public interest in ‘seeing how the taxpayers' money is
spent which is sufficient to justify the disclosure of the gross income payable
from the public
purse to the holder of a public office’ applied in
Edmistone and Blackall-Tambo Regional Council [2016] QICmr 12 (15 April
2016) at [49].[51] Schedule 4,
part 3, item 15 of the RTI
Act.[52] I find that no other
factors favouring nondisclosure, including those set out in schedule 4, parts 3
and 4 of the RTI Act, apply
in the circumstances of this case.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Ensham Resources Pty Limited & Ors and Department of Environment and Science; Shaw (Third Party) [2020] QICmr 46 (11 August 2020) |
Ensham Resources Pty Limited & Ors and Department of Environment and Science; Shaw (Third Party) [2020] QICmr 46 (11 August 2020)
Last Updated: 26 October 2020
Decision and Reasons for Decision
Citation:
Ensham Resources Pty. Limited & Ors
and Department of Environment and Science; Shaw (Third Party) [2020]
QICmr 46 (11 August 2020)
Application Number:
314814 and 314891
Applicant:
Ensham Resources Pty. Limited (ACN 011 048 678)
Respondent:
Department of Environment and Science
Third Party:
Shaw
Fourth Party:
Idemitsu Australia Resources Pty Ltd (ACN 010 236 272)
Fifth Party:
Bligh Coal Limited (ACN 010 186 393)
Sixth Party:
Bowen Investment (Australia) Pty Ltd (ACN 002 806 831)
Decision Date:
11 August 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - DISCLOSURE DECISION -
CONTRARY TO PUBLIC INTEREST INFORMATION - documents relating to
an environmental
authority - accountability and transparency - prejudice to a deliberative
process of government - public interest
harm in disclosing deliberative process
information - whether disclosure would, on balance, be contrary to the public
interest -
sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
On
18 December 2018, the access applicant made two applications under the Right
to Information Act 2009 (Qld) (RTI Act) to the Department of
Environment and Science (Department) for access to all documents relating
to the Rehabilitation Management
Plan[1] (RMP) and Ensham
Residual Void Project (ERVP) administered by the
Department[2] pursuant to an
Environmental Authority
(EA).[3]
The
Department consulted Ensham Resources Pty. Limited
(Ensham)[4] about disclosure of
the information it located in response to both applications. Ensham objected to
disclosure of some of the documents,
submitting that disclosure would, on
balance, be contrary to the public interest and that access should therefore be
refused.[5]
The
Department decided to grant access to some information contrary to
Ensham’s objections.[6] Ensham
applied for internal review[7] and the
Department affirmed its decisions relating to the RMP
Application[8] and varied its decision
relating to the ERVP Application.[9]
Ensham then applied to the Information Commissioner (OIC) for external
review of the Department’s disclosure
decisions.[10]
On
external review three additional
parties[11] were consulted. Those
parties also objected to the disclosure of the information in issue and were
joined as participants. The Objecting
Parties are represented by the same lawyer
and have made uniform submissions.
The
access applicant also applied and was added as a participant in the reviews.
I
affirm the Department’s decisions and find the Objecting Parties have not
discharged the onus of demonstrating that:
disclosure of
the information in issue would, on balance, be contrary to the public interest;
and
that a decision
not to disclose the information in issue is justified.
Background
The
EA is the environmental authority approved by the Department setting out the
conditions under which the Ensham
Mine[12] can
operate.[13] The information in
issue in these reviews comprises Department communications about amendments to
the EA.
The
Objecting Parties explained that the relevant EA is the subject of an amendment
application, submitted to the Department on 26
March 2019, relating to the
rehabilitation plan and criteria for final voids, and that the information in
issue relates to the Department’s
preliminary views on the rehabilitation
criteria.[14] The Department
indicated that it reached a decision on the EA amendment application on 24 July
2020.[15]
During
the external reviews, the Department agreed to disclose information to the
access applicant which was not subject to any disclosure
objections. Following
this, the Objecting Parties confirmed to OIC their view that disclosure of the
remaining information in issue,
would, on balance, be contrary to the public
interest.
Significant
procedural steps relating to these reviews are set out in the
Appendix.
Reviewable decisions
The
decisions under review are the Department’s internal review decisions to
Ensham.[16] I have made this
decision in relation to both reviewable
decisions.[17]
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and the Appendix). I have
also had regard to the Human Rights Act 2019 (Qld) (HR
Act),[18] particularly the right
to seek and receive information as embodied in section 21 of the HR Act as it
applies to the access applicant.
Information in issue
The
information in issue in these reviews comprises Department communications about
the:
RMP Application
which comprises parts of 46 pages; and
ERVP
Application which comprises parts of 10 pages.
Issue for determination
As
the decisions under review are ‘disclosure decisions’, the Objecting
Parties have the onus of establishing that a decision
not to disclose the
information in issue is justified, or that I should give a decision adverse to
the access applicant.[19]
The
Objecting Parties claim that access to the information in issue can be refused
under section 47(3)(b) of the RTI Act because disclosure
of the information in
issue would, on balance, be contrary to the public interest. This is therefore
the issue I have considered
in reaching a decision on whether the Objecting
Parties have met the onus of establishing that a decision not to disclose the
information
in issue is justified.
Relevant law
The
primary objective of the RTI Act is to give a right of access to information in
the government’s possession or under the
government’s control
unless, on balance, it is contrary to the public interest to give
access.[20] Section 23 of the RTI
Act establishes a right to be given access to documents, and accordingly a
pro-disclosure basis.[21]
This
right is subject to the grounds on which access to information may be
refused.[22] These grounds allow
access to information to be refused, to the extent it comprises information the
disclosure of which would, on
balance, be contrary to the public
interest.[23]
The
RTI Act identifies many factors that may be relevant to deciding the balance of
the public interest[24] and explains
the steps a decision-maker must take, as
follows:[25]
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information in issue would, on balance, be contrary to the
public interest.
Findings
Irrelevant factors
I
have not taken any irrelevant factors into account in making my decision.
Factors favouring disclosure
In
its disclosure decisions[26] the
Department explained that the information in issue was created or collected by
the Department in its role as an environmental
regulator. As the information in
issue relates to the environmental and rehabilitation conditions of the Ensham
Mine, the Department
considered several factors in favour of disclosure carried
significant weight.[27]
I
note that the Mineral and Energy Resources (Financial Provisioning) Act 2018
(Qld), which took effect from 1 November 2019, amended a number of
laws[28] to ensure that mining
companies rehabilitate the land progressively as they
mine,[29] and ensures the mining
company cover the cost of the
rehabilitation.[30] The Department
has acknowledged the ‘significant public interest in the mine's
rehabilitation – particularly of the voids on the site’ and
commenced public consultation in December 2019 of the Major EA amendment
application as ‘this amendment application proposes an alternative
outcome from that detailed in Idemitsu's Environment Impact Statement for
the
rehabilitation of the
voids...’.[31]
I
have also considered the access applicants contentions that:
Given that the process is for a coal mine, it is our
submission in the first instance, that the public interest in the proper
administration
of the regulation of a coal mine outweighs any prejudice to
deliberative functions of Government...
The access to the documents will confirm the process that has been
implemented, the dialogue between the coal mine and the Department
and assist
the landholder to determine the future uses of their
land.[32]
Having
considered the information in issue and the relevant background circumstances, I
consider that disclosure of the information
in issue could reasonably be
expected to:
promote open
discussion of public affairs and enhance the government’s
accountability[33]
contribute to
positive and informed debate on important issues or matters of serious
interest[34]
inform the
community of the government’s operations, including, in particular, the
policies, guidelines and codes of conduct
followed by government in its dealings
with members of the community;[35]
and
reveal the
reason for a government decision and any background or contextual information
that informed the decision.[36]
In
response to my preliminary assessment of the issues in the
reviews,[37] the Objecting Parties
submitted that:[38]
the Ensham Mine
and current EA Amendment Application to introduce rehabilitation criteria for
final voids has been the subject of
considerable public debate; and
release of this
information therefore has the clear potential to raise undue and unwarranted
community concerns and public debate.
However,
the Objecting Parties also submitted that the public interest factors identified
above were irrelevant, or carried very low
weight.[39]
Given
the community interest in the Ensham Mine and associated EA, I do not agree with
the proposition that these public interest
factors carry only low
weight.[40] I consider that the
information in issue, while limited in nature, forms part of an important
regulatory process to ensure that
significant mining projects are undertaken in
compliance with the relevant environment protection legislation and regulations.
The
information in issue squarely demonstrates how this process is conducted by
the Department. As explained above, this process conducted
by the Department
forms part of crucial government oversight in relation to environmental and
rehabilitation considerations associated
with large scale mining projects, such
as the Ensham Mine. Accordingly, I am satisfied that the above factors in
favour of disclosure
carry significant weight.
Public interest factors favouring nondisclosure
The
Objecting Parties argue that disclosure of the information in issue could
reasonably be expected to cause a public interest harm
by disclosing
deliberative process information (Deliberative Process Harm
Factor);[41] and could
reasonably be expected to prejudice the Department’s consideration of the
Major amendment to the rehabilitation conditions
of the EA (Deliberative
Process Prejudice Factor).[42]
Deliberative Process Harm Factor
The
RTI Act recognises that disclosure of ‘deliberative process’
documents can reasonably be expected to cause a public interest
harm.[43] The Information
Commissioner has consistently recognised that a deliberative process is
considered to be any ‘thinking processes’ of the
agency.[44] A document may be
considered a deliberative process document, even where the relevant
‘thinking process’ has concluded.
The
RTI Act also specifies that this harm factor will not apply if the deliberative
processes include public consultation and that
public consultation has
commenced.[45]
The
Information Commissioner has found that information that meets the requirements
of the Deliberative Process Harm
Factor[46] include:
information
prepared during consultations undertaken by the Treasurer in deliberating on and
evaluating matters in relation to proposed
mining
projects;[47] and
an
agency’s determination of the amount of a financial assurance required in
respect of a mining company's replacement plan
of
operations.[48]
The
Department noted that the information in issue ‘covers only purely
procedural or administrative functions that occur when the department completes
conditions for any EA’[49]
and did not accept that it could be considered deliberative process information.
On
the other hand, the Objecting Parties contend
that:[50]
granting an EA amendment is a statutory decision ...
DES retains the discretion to refuse an EA amendment application or to choose
which conditions are imposed if it is approved. This process requires
deliberation and is not merely procedural in
nature...
Having
considered the information in issue, I acknowledge that it records the
Department’s ‘thinking processes’ and that it can be
considered deliberative process information. While I note that it reveals
minimal information about the
Department’s particular considerations and
appears to discuss mainly administrative issues, I accept that it can be
considered
deliberative process information.
The
Objecting Parties also submitted that the Major amendment application was
subject to public consultation, and over 800 responses
were
received.[51] Once public
consultation starts in response to the deliberative process claimed by the
applicant, the Deliberative Process Harm Factor
no longer applies to the
information in issue. In relation to this issue, the Objecting Parties submitted
that:[52]
...the information in issue was created for the First
EA Amendment dated 26 May 2017, which "was but one initial step in an ongoing
deliberative process for the setting of rehabilitation criteria for final
voids"... The information in issue is, however, essentially
preliminary or
precursory in nature with respect to the Second EA Amendment Application.
Accordingly, the information in issue was not released as part of the public
consultation process conducted in late 2019 for the ongoing
deliberative process
(or as part of any other public consultation process). A public consultation
process was undertaken for the
Second EA Amendment Application only. Therefore,
the information in issue remains deliberative process information which
indicates
the Department's preliminary view and which has never been released to
the public.
I
accept the Objecting Parties’ submissions that the deliberative process
information was not released to the public or subject
to a public consultation
process and that as a result the Deliberative Process Harm Factor continues to
apply.
In
assessing the weight that can be attributed to the Deliberative Process Harm
Factor, I note that the Department maintains that
the disclosure of the
information in issue would not impact on its deliberative processes and also
that it does not consider any
deliberative processes are currently ongoing. I
also note that some time has passed since the relevant information was
communicated
and its disclosure at this point in time, where the relevant EA has
been subject to further amendment and public consultation, is
likely to have
minimal harm to any currently ongoing deliberative processes. Having considered
the specific content of the information
in issue, it is unclear to me how its
disclosure could have any measurable harm on deliberative processes. On this
basis, I have
allocated low weight to this harm factor in favour of
nondisclosure.
Deliberative Process Prejudice Factor
The
Deliberative Process Prejudice Factor will apply where disclosure could
reasonably be expected to prejudice a deliberative process
of
government.[53] The Department
indicated that it reached a decision on 24 July 2020 in relation to the second
EA amendment application and did not
consider that disclosure of the information
in issue would prejudice any ongoing deliberative
process.[54]
In
response, the Objecting Parties submitted
that:[55]
We note that while notice of DES's draft decision has been given to our
clients the deliberative process is not complete until the
final EA is issued.
Under the Environmental Protection Act 1994 (Qld) (EP Act), there is 20 business
days from receipt of the s.181 notice for referral of the Application to the
Land Court under s.183 of the EP Act. A final decision on the Application will
not
be made until the expiry of the period for referral or until the completion
of the Land Court proceedings.
In
earlier submissions to OIC, the Objecting Parties also submitted
that:[56]
prejudice can be
caused to a deliberative process where release of the document could cause
disruptive public debate and require reallocation
of resources to deal with the
disruption;[57] and
disclosure could
also result in interference with the ability of an agency to objectively
consider its options and reach a
decision.[58]
Further,
the Objecting Parties explained
that:[59]
Specifically, the Documents in Issue are likely to
have a detrimental impact on the government's ability to continue to consider
its
options and engage in open and frank negotiations with third parties...
Further, the deliberative process relates directly to a change
in the use of the
land, which could cause community concern. The Ensham Mine and the current EA
Amendment Application to introduce
rehabilitation criteria for final voids has
been the subject of considerable public debate.
In
considering whether the Deliberative Process Prejudice Factor applies in this
case, I note that the words ‘could reasonably be expected to’
call for a decision-maker to discriminate between what is merely possible or
merely speculative, and expectations that are
reasonably
based.[60] The Objecting Parties
have argued that the threshold for establishing ‘could reasonably be
expected to’ is satisfied, noting the decision in the Supreme Court of
Western Australia of Department of State Development v Latro
Lawyers[61] and other decisions
establishing what constitutes a ‘reasonable
expectation’.[62]
Here,
I must be satisfied that there is a reasonably based expectation (and not mere
speculation or a mere possibility) that disclosure
of the information in issue
could reasonably be expected to result in the prejudice claimed by the Objecting
Parties. The word ‘prejudice’ is not defined in the RTI Act
or in the Acts Interpretation Act 1954 (Qld). Therefore, it is
appropriate to consider the ordinary meaning of the word. The Macquarie
Dictionary contains a number of
definitions for the word
‘prejudice’. The most relevant are ‘resulting
injury or detriment’ and ‘to affect disadvantageously or
detrimentally’.[63]
Given
the Objecting Parties’ contentions that disclosure of the information in
issue could reasonably be expected to prejudice
a deliberative process of the
Department, I wrote to the Department to establish its position on this issue.
The Department confirmed
that it did not consider any prejudice would result to
its deliberative processes from disclosure of the information in
issue.[64]
The
Objecting Parties submitted that previous decisions of the Information
Commissioner have held that prejudice to a deliberative
process may occur if
disclosure of a document would result in disruptive public
debate.[65] However, the Information
Commissioner has also held that it is:
likely to be a rare case where exposure of an
individual agency's views on a policy proposal in development would lead to a
degree
of premature debate, and unnecessary concern and confusion in the
community, sufficient to amount to an injury to the public
interest.[66]
The Information Commissioner has also previously held that the fact of an
ongoing deliberative process does not, of itself, permit
a conclusion that
disclosure would, on balance, be contrary to the public
interest.[67]
Having
considered the information in issue, and without being able to discuss it in any
detail,[68] I generally note that
the information that was communicated by the Objecting Parties is not of a
particularly sensitive nature and
relates to an approved, publicly available EA.
Given the Objecting Parties were required to communicate with the Department as
the
regulatory agency, I do not accept that disclosure of the information in
issue could reasonably be expected
to[69] prejudice the
Department’s ability to conduct future similar communications with third
parties.
The
Objecting Parties have also not specified exactly how disclosure of the
specific information in issue would prejudice any currently ongoing
deliberations. The information in issue itself
does not contain any details of
any currently proposed amendments nor does it disclose issues that remain under
active consideration
by the Department. The Objecting Parties argue that the
information in issue reveals the Department’s preliminary view with
respect to the rehabilitation criteria. However, the Department has itself
submitted that its deliberations are now
complete.[70] I cannot identify the
prejudice to any current or future deliberative process of the Department that
could reasonably expected to
result from disclosure of the information in
issue.
Accordingly,
I am satisfied that the Deliberative Process Prejudice Factor does not apply to
the information in issue. If I am incorrect
in this conclusion, and it is
necessary to consider this factor in balancing the public interest, I would give
it minimal weight
in view of the nature of the information in issue and the
considerations summarised above.
Other factors favouring nondisclosure
The
Objecting Parties bear the onus of establishing that disclosing the information
in issue would, as they contend, be contrary to
the public
interest.[71] However, for
completeness, I have considered all factors listed in schedule 4, parts 3 and 4
of the RTI Act, and I can identify
no other public interest considerations
favouring the nondisclosure of the information in
issue[72] that can be supported in
this case. On external review the Objecting Parties have not sought to advance
any evidence or submissions
in relation to the application of any other factors
favouring nondisclosure.[73]
Balancing the public interest factors
The
information in issue was created or communicated by the Department as part of
its regulatory functions in relation to the EA for
the Ensham Mine. The actual
information in itself is limited in nature, however, it forms part of an
important process within government
to ensure compliance with environmental
protections laws and regulations. I am satisfied that, in addition to
the pro-disclosure
bias, several factors favouring disclosure carry significant
weight due to the potential significance of the EA process, and the
level of
community interest in the subject matter generally.
The
nondisclosure considerations advanced by the Objecting Parties with respect to
the deliberative processes of the Department, are
deserving of low weight. In
this case, the Department, which bears responsibility for the relevant
deliberative processes, has consistently
maintained that disclosure of the
information would not prejudice or harm those processes and that it is suitable
for disclosure
to the access applicant. Further, having considered the Objecting
Parties’ submissions regarding any currently ongoing deliberations,
I
consider that the information in issue, which is now over three years old, bears
little relevance or impact upon any currently
ongoing processes. In the
circumstances, I consider that the weight that can be attributed to these weak
nondisclosure factors does
not outweigh the significant weight that I have
attributed to the public interest factors in favour of disclosure.
For
these reasons, I am not satisfied that the Objecting Parties have established
that disclosure of the information in issue would,
on balance, be contrary to
the public interest.DECISION
I
affirm the Department’s decisions and find the Objecting Parties have not
discharged the onus of demonstrating that:
disclosure of
the information in issue would, on balance, be contrary to the public interest;
and
that a decision
not to disclose the information in issue is justified.
I
have made this decision in external reviews 314814 and 314891 as a delegate of
the Information Commissioner, under section 145 of
the RTI
Act.S MartinAssistant
Information Commissioner Date: 11 August 2020
APPENDIX
Significant procedural steps
Date
Event
2 September 2019
OIC received the first application for external review.
5 September 2019
OIC requested preliminary documents from the Department relating to the
first application.
23 September 2019
OIC received the preliminary documents from the Department relating to the
first application.
3 October 2019
OIC received the second application for external review.
4 October 2019
OIC requested and received preliminary documents from the Department
relating to the second application.
11 October 2019
OIC accepted the first application for external review and requested a copy
of the information in issue for the first application
from the Department.
The Department provided a copy of the information in issue for the first
application to OIC.
29 October 2019
The access applicant applied to be a participant in both external reviews.
30 October 2019
OIC accepted the second application for external review and requested a
copy of the information in issue for the second application
from the
Department.
19 November 2019
OIC accepted the access applicant’s application to participate in
both external reviews.
20 November 2019
OIC received the information in issue for the second application from the
Department.
20 December 2019
OIC requested that the Department consult with three additional
parties.
20 January 2020
OIC provided the applicant with an update.
14 February 2020
The Department responded to OIC’s request for further
consultation.
19 February 2020
OIC requested that the Department release some documents to the access
applicant.
OIC wrote to the access applicant seeking to resolve the reviews based on
the released documents, requesting a response by 9 March
2020.
9 March 2020
The access applicant confirmed they wished to proceed with the external
reviews.
8 April 2020
OIC received a submission from the access applicant.
15 April 2020
OIC provided an update to the applicant and the Department.
20 May 2020
OIC conveyed a preliminary view to the Objecting Parties.
OIC provided an update to the access applicant.
11 June 2020
OIC received a submission from the Objecting Parties.
19 June 2020
OIC requested a submission from the Department.
17 July 2020
OIC received a submission from the Department.
24 July 2020
OIC received a further submission from the Objecting Parties.
31 July 2020
OIC received a further submission from Objecting Parties.
[1] (RMP Application),
Department reference 18-258.[2]
(ERVP Application), Department reference
18-259.[3]
EA number EPML00732813.
[4] Under section 37(1)(a) of the
RTI Act.[5] Pursuant to sections
47(3)(b) and 49 of the RTI Act.[6]
In relation to the RMP Application, Ensham was consulted about 102 pages of
information, and the Department decided on 24 May 2019
to grant the
access applicant access to 97 full pages and 5 part pages. In relation to the
ERVP Application, Ensham was consulted
about 205 pages of information, and the
Department decided on 14 June 2019 to grant access to 169 full pages and 34 part
pages.[7] Internal review
applications dated 5 July and 7 August
2019.[8] Internal review decision
dated 2 August 2019.[9] On 5
September 2019, deciding to grant the access applicant access to 168 full pages
and 35 part pages, with the deletion of personal
information of Ensham
staff.[10] External review
applications dated 2 September and 3 October
2019.[11] Those parties being
Idemitsu Australia Resources Pty Ltd (Idemitsu), Bligh Coal Limited and
Bowen Investment (Australia) Pty Ltd (Objecting Parties). Ensham
requested that these parties also be consulted as it considered disclosure would
also be of concern them.[12] I
have considered information at: https://environment.des.qld.gov.au/__data/assets/pdf_file/0027/98280/epml00732813-part10.pdf
> regarding the ownership and operation of the
mine.[13] Published on the
Department website at < https://apps.des.qld.gov.au/env-authorities/pdf/epml00732813.pdf
>.[14] Submissions to OIC
from the Objecting Parties dated 24 July 2020. In those submissions the
Objecting Parties explained that the information
in issue was created for the
First EA Amendment dated 26 May 2017 but is precursory in nature to the second
EA Amendment Application,
made on 26 March
2019.[15] As confirmed in an
email from the Department to OIC on 29 July
2020.[16] Dated 2 August 2019
and 5 September 2019.[17] Noting
the similarities in submissions and the information in issue and the broad
procedural discretion conferred on the Information
Commissioner by section
95(1)(a) of the RTI Act.[18]
Which came into force on 1 January 2020.
[19] Section 87(2) of the RTI
Act.[20] Section 3(1) of the RTI
Act. The Act must be applied and interpreted to further this primary object:
section 3(2) of the RTI Act.[21]
Section 44(4) of the RTI
Act.[22] Section 47(3) of the
RTI Act. The grounds are to be interpreted narrowly (section 47(2)(a) of the
RTI Act), and the Act is to be
administered with a pro-disclosure bias (section
44(4) of the RTI Act).[23]
Sections 47(3)(b) and 49 of the RTI Act.
[24] Schedule 4 of the RTI Act
– a non-exhaustive itemisation of potentially relevant
considerations.[25] Section
49(3) of the RTI Act.[26]
Specifically its internal review decisions dated 2 August 2019 and 5 September
2019.[27] The access
applicant’s submissions of 8 April 2020 also raised a number of public
interest factors in favour of
disclosure.[28] The
Environmental Protection Act 1994 (Qld) (EP Act), the Mineral
and Energy Resources (Common Provisions) Act 2014 (Qld), the Mineral
Resources Act 1989 (Qld), the RTI Act and the Waste Reduction and
Recycling Amendment Act 2017
(Qld).[29] The new requirement
to submit a progressive rehabilitation and closure plan for mined land with a
site-specific environmental authority
is relevant to the issues in this
review.[30] Then Deputy Premier
Trad’s introductory speech in Parliament tabling the Bill <https://www.parliament.qld.gov.au/documents/tableOffice/BillMaterial/180215/MineralFinance.pdf>.[31]
See <https://www.abc.net.au/radionational/programs/breakfast/ensham-mine-first-test-of-new-qld-mining-rehabilitation-laws/11795750>.
The Department has classified this amendment as a Major amendment under the EP
Act.[32] Applicant’s
submissions to OIC dated 8 April
2020.[33] Schedule 4, part 2,
item 1 of the RTI Act. [34]
Schedule 4, part 2, item 2 of the RTI Act.
[35] Schedule 4, part 2, item 3
of the RTI Act. [36]
Schedule 4, part 2, item 11 of the RTI Act.
[37] Dated 20 May
2020.[38] Submissions date 11
June 2020.[39] Submissions
received on 11 June 2020.[40]
The public consultation undertaken by the Department was reported in the media
here <https://www.abc.net.au/radionational/programs/breakfast/ensham-mine-first-test-of-new-qld-mining-rehabilitation-laws/11795750>.[41]
Schedule 4, part 4, section 4(1) of the RTI
Act.[42] Schedule 4, part 3,
item 20 of the RTI Act. The Objecting Parties did not seek to advance evidence
in support of any other nondisclosure
factors in this external
review.[43] Schedule 4, part 4,
section 4(1) of the RTI Act.[44]
Eccleston and Department of Family Services and Aboriginal and Islander
Affairs [1993] QICmr 2; (1993) 1 QAR 60 (Eccleston) at [28]-[30], citing with
approval the definition given in Re Waterford and Department of Treasury
(No.2) [1984] AATA 67; (1984) 5 ALD 588 at 606. While Eccleston concerns section 41(1)(a)
of the repealed FOI Act, it remains relevant to the public interest test under
section 49 of the RTI Act and provides useful analysis of the wording still used
in schedule 4, part 4, section 4(1) of the RTI
Act.[45] Schedule 4, part 4,
section 4(2) of the RTI Act.[46]
Schedule 4, part 4, section 4(1) of the RTI
Act.[47] North Queensland
Conservation Council Incorporated and Queensland Treasury [2016] QICmr 9 (29
February 2016) at [51].[48]
TerraCom Limited and Department of Environment and Science; Lock the Gate
Alliance Limited (Third Party) (No.2) [2018] QICmr 53 (19 December 2018) at
[92].[49] Department’s
internal review decision dated 5 September
2019.[50] Submissions to OIC
dated 11 June 2020.[51] The
public consultation undertaken by the Department was also reported on by the
media here <https://www.abc.net.au/radionational/programs/breakfast/ensham-mine-first-test-of-new-qld-mining-rehabilitation-laws/11795750>.[52]
Objecting Parties’ submission dated 24 July
2020.[53] Schedule 4, part 3,
item 20 of the RTI Act. It is important to note that this factor may apply in
relation to any information –
and not simply ‘deliberative
process’ information – if it can be shown disclosure of that
information could reasonably be expected to prejudice a deliberative
process.[54] Department
submissions to OIC dated 29 July
2020.[55] Submission dated 31
July 2020.[56] Submission dated
11 June 2020. [57] Citing
Pallara Action Group Inc and Brisbane City Council (Unreported,
Queensland Information Commissioner, 21 September 2012) at [42]-[43]
(Pallara).[58]
Citing Pallara at
[42]-[43].[59] Submission dated
11 June 2020.[60]
See Cannon and Australian Quality Egg Farms Limited [1994] QICmr 9; (1994) 1
QAR 491 at paragraphs 62-63. See also B and Brisbane North Regional Health
Authority [1994] QICmr 1; (1994) 1 QAR 279 at [160]. Other authorities note that the words
‘require a judgement to be made by the decision-maker as to whether it
is reasonable, as distinct from something that is irrational,
absurd or
ridiculous to expect a disclosure of the information could have the prescribed
consequences relied upon’: Smolenski
v Commissioner of Police, NSW Police
[2015] NSWCATAD 21 at [34], citing Commissioner of Police, NSW
Police Force v Camilleri (GD) [2012] NSWADTAP 19 at [28], McKinnon v
Secretary, Department of Treasury [2006] HCA 45 at [61] and
Attorney-General’s Department v Cockroft [1986] FCA 35; (1986) 10 FCR 180 at 190.
[61] [2016] WASC 108.
[62] Providing examples of
Manly v Ministry of Premier and Cabinet (1996) 14 WAR 550 at page 44;
Apache Northwest Pty Ltd v Department of Mines and Petroleum [2012] WASCA
167, applying Attorney-General's Department v Cockcroft [1986] FCA 35; (1986) 10 FCR
180. [63] See Re Daw and
Queensland Rail (Unreported, Queensland Information Commissioner, 24
November 2010) at [16]. [64]
Department submissions dated 29 July
2020.[65] Pallara at
[42]-[43], cited by the Objecting Parties in their submissions dated 11 June
2020.[66] Eccleston at
[179]; see also Barling and Brisbane City Council [2017] QICmr 47 (15
September 2017) at [32]
(Barling).[67]
Barling at [32], citing Johnson and Department of Transport;
Department of Public Works (2004) 6 QAR 307 at [39]. While
Johnson was decided under the FOI Act, the comments remain relevant to
the objects of the RTI
Act. [68] As I am
prohibited from doing so under section 108(3) of the RTI
Act.[69] As explained in
paragraph 40 above. [70]
Department submissions to OIC dated 29 July
2020.[71] Section 87(2) of the
RTI Act.[72] In the event that
further relevant factors exist in favour of nondisclosure, I am satisfied that
there is no evidence before me to
suggest that any would carry sufficient weight
to outweigh the significant weight that I have afforded to the public interest
factors
that favour the disclosure of the information in
issue.[73] In earlier
correspondence to the Department lodged while objecting to disclosure, Ensham
sought to rely on public interest factors
relevant to personal information and
business affairs information. I note that these factors are not relevant to the
information
in issue in this review and the Objecting Parties have not sought to
rely on these factors on external review. Specifically I have
turned my mind to
the following sections in Schedule 4 of the RTI Act: Part 3 item 15 and Part 4
section 7(1)(c) with respect to
prejudice to business affairs, and Part 4,
section 6(1) and Part 3, item 3 with respect to privacy and personal
information.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | North Queensland Conservation Council Inc and Queensland Treasury [2016] QICmr 21 (10 June 2016) |
North Queensland Conservation Council Inc and Queensland Treasury [2016] QICmr 21 (10 June 2016)
Last Updated: 20 January 2017
Decision and Reasons for Decision
Citation: North Queensland Conservation Council Inc and Queensland
Treasury [2016] QICmr 21 (10 June 2016)
Application Number: 312534
Applicant: North Queensland Conservation Council Inc
Respondent: Queensland Treasury
Decision Date: 10 June 2016
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS
- EXEMPT INFORMATION - CABINET INFORMATION - information
relating to the
economic viability of government support for proposed mining projects - whether
information would reveal considerations
of Cabinet or otherwise prejudice
confidentiality of Cabinet considerations - whether information is exempt under
section 48 and
schedule 3, section 2(1)(b) of the Right to Information Act
2009 (Qld) - whether access may be refused under section 47(3)(a) of the
Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - EXEMPT
INFORMATION - CABINET INFORMATION - information relating to
the economic
viability of government support for proposed mining projects - documents created
to inform Cabinet Budget Review Committee
- whether information has been brought
into existence in the course of the State’s budgetary processes - whether
information
is exempt under section 48 and schedule 3, section 2(1)(c) of the
Right to Information Act 2009 (Qld) - whether access may be refused under
section 47(3)(a) of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - information relating to
the economic viability
of government support for proposed mining projects - accountability and
transparency - prejudice to commercial
affairs of an entity - prejudice to
economy of the State, the Government’s ability to obtain confidential
information and deliberative
processes of government - whether disclosure would,
on balance, be contrary to the public interest under section 49 of the Right
to Information Act 2009 (Qld) - whether access may be refused under section
47(3)(b) of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
In
December 2014, North Queensland Conservation Council Inc (NQCC) applied
to Queensland Treasury (Treasury) under the Right to Information Act
2009 (Qld) (RTI Act) for access to all documents relating to the
assessment of the economic viability of the ‘Adani projects in
Queensland’, any payment and subsidy information and related
communications between various government agencies, and with the Adani group of
companies (Adani).[1]
Treasury
located 1363 pages and decided to release 68 full pages and 232 part pages.
Treasury refused access to the remaining information
on the basis that it was
exempt, or contrary to the public interest to disclose under the RTI
Act.[2] On internal review, Treasury
affirmed its original decision.
NQCC
applied to OIC for external review of the internal review decision. On external
review, NQCC has argued that the additional information
should be
‘lawfully released in the public interest’ based on a narrow
reading of the exemptions, applying the pro-disclosure bias and a more
appropriate weighting of the factors
favouring disclosure of the information.
NQCC also emphasised the ‘significance and the widespread public
controversy of the projects’ and the ‘appropriateness of a
large expenditure of public
funds’.[3]
For
the reasons set out below, I find that access to the information in issue on
external review may be refused under the RTI Act.
In part, my decision is based
on different grounds to those relied on by Treasury and therefore, I have varied
the internal review
decision. In summary, I find that access may be refused on
the following grounds:
the information
is exempt under schedule 3, section 2(1)(b) or (c) of the RTI
Act;[4] or
disclosure of
the information would, on balance, be contrary to the public
interest.[5]
Background
The
information located by Treasury concerns Treasury’s assessment of the
economic viability of the Adani’s proposed Carmichael
Coal Mine and
related infrastructure projects (Adani Projects) and considers various
options for government assistance in relation to these projects.
Documents
available on Treasury’s Disclosure Log indicate that the Adani Projects
will involve the largest coal mine in Australia
and multibillion dollar
investments in railway and port
infrastructure.[6] This has been
recognised as a major project by the Queensland Coordinator
General[7] and the relevant mining
leases were recently granted to Adani by the State
Government.[8]
During
the timeframe of the access application, the former Deputy Premier announced
that the Government was in negotiations with the
Adani Group regarding direct
investment in infrastructure to facilitate the Adani
Projects.[9] The Queensland Government
has not made any further public announcements on this particular issue.
Significant
procedural steps relating to the application and external review are set out in
the Appendix to this decision. Reviewable
decision
The
decision under review is Treasury’s internal review decision dated 29 June
2015.Material considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision are disclosed in these reasons (including
footnotes and the
Appendix).Information in issue
The
information to which NQCC seeks access comprises emails, correspondence and
other internal records created and/or considered by
Treasury staff in assessing
the economic viability of the Adani Projects and the risks/benefits of the
options available to the State
Government, with respect to support for these
projects. The information includes comprehensive financial, commercial and
economic
data and forecasts relevant to the Adani
Projects.Issues to be considered
In
this decision, I have considered whether access to the information in issue may
be refused on the basis that it is:
exempt
information, the disclosure of which would reveal a consideration of Cabinet
(Cabinet Information)[10]
exempt
information brought into existence in course of the State’s budgetary
processes (Budgetary Processes
Information);[11]
or
information,
the disclosure of which would, on balance, be contrary to the public interest
(CTPI
Information).[12]
The
applicant has confirmed to OIC that it is not seeking information identified by
Treasury as commercially available, subject to
legal professional privilege or
comprising the personal information of third
parties.[13] Therefore, such
information is not dealt with in this
decision.
Cabinet
Information
Relevant law
Under
the RTI Act a person has a right to be given access to documents of an agency
unless access would, on balance, be contrary to
the public
interest.[14] However, this right is
subject to other provisions of the RTI Act, including the grounds on which
access to information may be refused.
Access
may be refused to exempt
information.[15] Relevantly, the RTI
Act provides that information is exempt information if:
it has been
brought into existence for the consideration of
Cabinet;[16] or
its disclosure
would reveal any consideration of Cabinet or would otherwise prejudice the
confidentiality of Cabinet considerations
or
operations.[17]
The
term ‘consideration’ is defined as including
‘discussion, deliberation, noting (with or without discussion) or
decision, and consideration for any purpose, including, for example,
for
information or to make a
decision’.[18]
The
following types of Cabinet documents are taken to be comprised exclusively of
exempt information[19] without any
further consideration of their contents:
(a) Cabinet submissions
(b) Cabinet briefing notes
(c) Cabinet agendas
(d) notes of discussions in Cabinet
(e) Cabinet minutes
(f) Cabinet decisions
(g) drafts of documents (a) to (f) above.
There
are three exceptions to this exemption:
if it is more
than 10 years after the information’s relevant
date[20]
if the
information was brought into existence before 1 July
2009;[21] or
if the
information has been officially published by decision of
Cabinet.[22]
Findings
I
am satisfied that the exceptions to the exemption do not apply as the Cabinet
Information was brought into existence after 1 July
2009 and has not been
officially published. I acknowledge the applicant’s submission that there
have been some public announcements
regarding the subject matter of the Cabinet
Information.[23] However, there is
no evidence available to OIC that the Cabinet Information itself has been
officially published.
The
Cabinet Information includes drafts of Cabinet Budget Review Committee
(CBRC)[24] submissions,
discussion papers, information prepared for the Treasurer and correspondence
between relevant officers within Treasury,
Queensland Treasury Corporation
(QTC), Queensland Investment Corporation, the Department of Premier and
Cabinet and the Department of State Development (DSD).
To
the extent that some documents are drafts of Cabinet submissions, I am satisfied
that these documents comprise exclusively exempt
information under schedule 3,
section 2(3) of the RTI Act. These draft submissions include reports of a
factual nature.[25] The applicant
submits that reports of a factual or statistical nature are only exempt if the
disclosure of these reports would reveal
Cabinet considerations. I have
carefully considered these documents and I am satisfied that while they may be
factual in nature,
the disclosure of this information is likely to reveal a
consideration of
Cabinet.[26]
The
remaining Cabinet Information includes briefing notes, discussion papers, emails
(and attachments) sent to or from staff of Treasury.
Many of these emails refer
to specific Cabinet submissions. Generally this information discusses the
economic viability of the Adani
Projects and the options considered by the State
at the time in relation to investment in or support of the Adani Projects. In
considering
whether this information is exempt, it is firstly relevant to
consider whether its disclosure would reveal any consideration of Cabinet.
If
that question is answered in the negative, it is then relevant to consider
whether disclosure would otherwise prejudice the confidentiality
of Cabinet
considerations or operations.
The
applicant refers to the Information Commissioner’s comments in Ryman
and Department of Main
Roads,[27] that were made in
relation to similar provisions under the repealed Freedom of Information Act
1992 (Qld) (FOI Act), In Ryman, the Information Commissioner
found that ordinarily, for a document to be exempt because its disclosure would
reveal or prejudice
a consideration of Cabinet, the document must be created
contemporaneously with, or after, the relevant Cabinet consideration –
for
example, a document that records or minutes the consideration. The applicant
considers this approach should be taken in applying
the Cabinet exemption to the
information in issue in this
review.[28]
Schedule
3, section 2(1)(b) of the RTI Act states that information is exempt if its
‘disclosure would reveal any consideration of Cabinet or would
otherwise prejudice the confidentiality of Cabinet considerations or
operations’.[29] In
my view, the words of this section do not explicitly require the relevant
information to be created contemporaneously or shortly
after the relevant
Cabinet meeting/discussion. Rather, as set out more recently in
Quandamooka[30] and in
the context of the RTI Act, I consider that the relevant question is
whether, if a reasonable person viewed the information, a Cabinet consideration
would be
revealed to them, or the confidentiality of the Cabinet considerations
or operations would be prejudiced. In my view, the answer
to this largely
depends on the particular nature of the information in question, the
circumstances relating to creation of the information
and the other information
available to the decision maker, under the RTI Act.
The
applicant also refers to the decision in Sunshine Coast Environment Council
Inc,[31] which indicated that
there must be evidence on the face of the relevant document which reveals the
information was considered by
Cabinet or which otherwise connects the document
to a Cabinet consideration.[32] In
that decision, the Acting Assistant Information Commissioner was not satisfied
that there was a sufficient nexus between the
information in issue and any
particular Cabinet consideration, in order for the information to be considered
exempt.
I
am satisfied that the Cabinet Information, if disclosed to a reasonable person,
would reveal the considerations of Cabinet to that
person. This information
directly discusses the contents of Cabinet submissions, the results of Cabinet
considerations or other matters
to be put before
Cabinet.[33] I am satisfied that
disclosure of this information could reasonably be expected to reveal
Cabinet’s noting of some information,
and the focus of its discussions,
deliberations and decisions regarding other information. I am satisfied that the
facts of SCECI can be distinguished from this case in the sense that the
Cabinet Information details the very information that was taken into account
or
noted by Cabinet in its deliberations and therefore, a sufficient nexus is
established. While this information does not comprise
a draft or final
submission, I am satisfied that this it discloses specific considerations and
deliberations of Cabinet.[34]
The
applicant questions how internal Departmental emails could reveal considerations
of Cabinet and contends that it is not apparent
what specific confidential
Cabinet operations would be prejudiced by disclosure of these
emails.[35] I am satisfied that the
content of the relevant emails disclose specific matters that were considered by
Cabinet. This is clear either
on the face of the emails themselves or due to the
content of other information in
issue.[36] For this reason, I
consider that the relevant emails comprise exempt information. Given this
finding, I consider it is unnecessary
to consider the meaning of
‘Cabinet operations’ in the context of the second limb of
schedule 3, section 2(1)(b) of the RTI Act.
The
applicant also contends that the Cabinet exemption should be applied narrowly in
relation to information that is not exclusively
exempt, such as the Departmental
emails. I acknowledge that the grounds for refusal under the RTI Act are to be
applied narrowly.[37] However, I am
satisfied that the Departmental emails meet the requirements of the Cabinet
exemption for the same reasons explained
above. I am also satisfied that given
the particular nature of the information in issue, it would not be practicable
to partially
release the documents containing Cabinet information, with the
exempt information removed, as sought by the
applicant.[38]
Conclusion
I
am satisfied that the Cabinet Information comprises exclusively exempt
information or its disclosure would reveal a consideration
of Cabinet.
Accordingly, I am satisfied that access may be refused to this information under
section 47(3)(a) of the RTI Act.
B. Budgetary Processes Information
Relevant law
The
RTI Act provides that information is exempt if it has been brought into
existence in the course of the State’s budgetary
processes.[39] To determine whether
information is exempt under this section it is necessary to consider the
circumstances under which the information
in issue was brought into existence.
The exceptions set out in paragraph 18
above also apply in relation to this provision.
Findings
Firstly,
I do not consider that any of the exceptions to this exemption apply as the
relevant information was brought into existence
in late 2014 and has not been
officially published by decision of Cabinet.
The
RTI Act does not define the words ‘State’s budgetary
processes’[40],
however, I am satisfied that one of the processes contemplated by
this section is the State’s annual budgetary process recognised on
the
Queensland Treasury website which lists 11 separate components that together
make up the annual budget
process.[41] The first and fourth of
these components refer to the role of the CBRC in relation to:
considering an
overall strategy for the budget
identifying key
areas for resource allocation that respect the government priorities, fiscal
principles and key budget decisions;
and
considering
specific departmental budget submissions.
The
Queensland Government Cabinet Handbook further provides that CBRC generally
works closely with the Treasury Department in relation
to obtaining financial
information in order to make informed decisions on financial and budgetary
matters.[42]
I
am satisfied that information brought into existence by Treasury for the
purposes of advising CBRC in performing its primary role
in identifying key
areas for resource allocation and making key budget decisions, would be captured
by this provision.
In
this case, the following circumstances are particularly
relevant:[43]
Treasury has
confirmed that its involvement in matters relating to the Adani Projects for the
timeframe of the access application
was for the specific purpose of providing
the CBRC with detailed financial and economic data to consider prior to making
investment
decisions
Treasury and QTC
staff were involved in assessing the economic viability of the Adani Projects
for the sole purpose of providing this
information to CBRC; and
the relevant
CBRC considerations would have had a direct and significant impact on the
State’s budget had the CBRC settled on
a particular course of
action.
I
am satisfied that information created by staff of Treasury or QTC in relation to
the economic viability of the Adani Projects, for
the timeframe of this
application, was created specifically to inform CBRC deliberations.
The
applicant submits that not all considerations of the CBRC would have budgetary
consequences[44] and that the State
budgetary processes exemption should be interpreted narrowly in line with
section 47(2) of the RTI Act. In this
case, I am satisfied that the relevant
CBRC considerations can be directly linked to the budgetary process as CBRC was
considering
the State’s potential allocation of significant financial
resources and specifically requested information on the relevant
financial
issues from Treasury.
The
applicant also refers to the 2015-2016 annual Queensland Government budget
documents to argue that the information in issue was
not part of any
agency’s specific budget
submission.[45] I do not consider
the exemption in schedule 3, section 2(1)(c) of the RTI Act requires such
evidence. In my view, the connection
between the creation of the relevant
information in issue and the CBRC budgetary advisory process is clear on the
face of the documents
available to OIC in this review.
Conclusion
I
am satisfied that the Budgetary Processes Information was created for the
purpose of informing CBRC in relation to its specific
budgetary advisory role,
and that this forms part of the State’s budgetary processes. Therefore, I
find that this information
is
exempt[46] and access to it may be
refused under section 47(3)(a) of the RTI Act.
C. CTPI Information
Relevant law
Access
to information may also be refused where disclosure, would, on balance, be
contrary to the public interest.[47]
The RTI Act is to be administered with a pro-disclosure
bias.[48]
The
RTI Act identifies various factors that may be relevant to deciding the balance
of the public interest[49] and
explains the steps that a decision-maker must
take[50] in deciding the public
interest as follows:
(i) identify any irrelevant factors and disregard them
(ii) identify relevant public interest factors favouring disclosure and
nondisclosure
(iii) balance the relevant factors favouring disclosure and nondisclosure; and
(iv) decide whether disclosure of the information in issue would, on balance, be
contrary to the public interest.
Findings
The
CTPI Information consists of information in the following
documents:
Due Diligence
Assessment of the Adani Projects completed by DSD staff
Bank Feasibility
Study commissioned by Adani; and
2013 report
completed by Treasury staff in relation to coal mining, attached to an email
sent within the timeframe of the access application.
I
am satisfied that these documents were brought into existence outside of
Treasury for purposes other than informing CBRC deliberations
and for this
reason, do not fall within the budgetary processes exemption discussed above. In
reaching my decision on this information
I have carefully considered the
extensive submissions made by the applicant throughout this external review, and
in two related (current)
external
reviews.[51]
Irrelevant factors
I
have not taken any irrelevant factors into account in reaching this decision. In
particular, I have not considered whether the disclosure
of the relevant
information could reasonably be expected to embarrass or cause a loss of
confidence in the current or former
Governments.[52]
Factors favouring disclosure
Under
section 44(1) of the RTI Act there is a pro-disclosure bias in deciding access
to documents and this is the starting point for
considering disclosure of the
CTPI Information.
I
consider the following factors also favour the disclosure of information, as
disclosure could reasonably be expected to:
promote open
discussion of public affairs and enhance the Government’s
accountability[53]
contribute to
positive and informed debate on important
issues[54]
inform the
community of the Government’s
operations;[55] and
ensure effective
oversight of expenditure of public
funds.[56]
The
subject matter of the CTPI Information can be described as financial, commercial
and economic advice and assessments made available
to the Government in relation
to the Adani Projects. These projects are expected to have a significant impact
on the Queensland economy
and community. The CTPI Information records the
specific data and economic forecasts that were available to the former
Government
in making investment decisions about the Adani Projects. For these
reasons, I am satisfied that disclosure of the CTPI Information
could reasonably
be expected to:
promote open
discussion about the Government’s considerations of the Adani
Projects
contribute to
positive and informed debate within the community about the impact and economic
merits of the Adani Projects
provide the
community with significant background and detailed contextual information in
relation to the Adani Projects; and
provide
additional information about the economic outlook of the Adani Projects so as to
ensure effective oversight of any future
decisions made by Government on whether
to expend public funds in relation to the Adani Projects.
I
am satisfied that the above factors in favour of disclosure carry significant
weight. While there has been a change in Government
since this information was
initially communicated, I consider that this information is still relevant to
the current Government’s
considerations and related public debate. I am
satisfied that it is in the public interest for matters such as the Adani
Projects
to be the subject of informed public debate and I consider that
disclosure of the CTPI Information would assist in such debate. I
am not however
persuaded that any further weight should be attributed to the factors favouring
disclosure on the basis of the applicant’s
contentions regarding the poor
economic outlook for the Adani
Projects.[57] This is because,
regardless of the economic outlook of each project, the fact that the Government
has considered the expenditure
of taxpayer funds in supporting these projects,
in itself, warrants significant weight to be attributed to this factor.
I
have also considered whether disclosure of the CTPI Information could reasonably
be expected to reveal the reason for a Government
decision and any background or
contextual information that informed the
decision.[58] In considering this
factor, I note that the former Government made public statements with respect to
its intended approach to the
Adani
Projects.[59] However, before a
final decision was reached, the Government changed. Given the change in
Government and the timing of the CTPI Information,
as well as the fact that the
CTPI Information does not detail any particular decision made by Government, I
have only given this
factor low weight.
The
applicant also contends that disclosure could reasonably be expected
to:
allow or assist
inquiry into possible deficiencies in the conduct or administration of an agency
or official;[60] and
advance the fair
treatment of individuals and other entities in accordance with the law in their
dealings with
agencies.[61]
The
CTPI Information does not discuss any specific actions taken by the Government
in any detail nor does it discuss how individuals
or entities will be treated in
their dealings with agencies. I am satisfied the above factors do not apply to
documents assessing
the economic viability of the proposed Adani Projects.
The
applicant submits that disclosure of the CTPI Information could reasonably be
expected to contribute to the protection of the
environment.[62] I am satisfied that
this factor does not apply as the CTPI Information focuses on commercial and
financial matters and does not provide
any information regarding environmental
impacts. While I acknowledge that there is significant public debate regarding
the environmental
impacts of the Adani Projects, I am not satisfied that the
disclosure of the particular CTPI Information would contribute to the
protection
of the environment.
The
applicant also contends that the disclosure of the information could reasonably
be expected to reveal the information was out
of date, misleading, gratuitous,
unfairly subjective or irrelevant. The applicant refers to a recent decision of
the Land Court[63] relating to
financial and economic statements provided by Adani. I have considered the Land
Court decision and while I am prevented
from describing the CTPI Information in
any significant detail,[64] on the
evidence available to OIC, I am unable to identify how its disclosure could
reasonably be expected to reveal that it was incorrect,
out of date, misleading,
gratuitous, unfairly subjective or
irrelevant.[65] Accordingly, I
consider that this factor does not apply.
Factors favouring nondisclosure
Prejudice the private, business, professional, commercial or
financial affairs of
entities[66]
or the business affairs of a person[67]
A
significant portion of the CTPI Information details financial information and
forecasts in relation to the proposed Adani Projects.
I consider that disclosure
of this information could reasonably be expected to prejudice the commercial and
financial affairs of
Adani as the information contained in the Due Diligence
Assessment and Bank Feasibility Study outlines economic forecasts and profit
expectations of the Adani Projects. I am satisfied that disclosure of this
information could reasonably be expected to prejudice
Adani’s commercial
affairs by impeding its ability to negotiate with potential investors and future
subcontractors.
The
applicant’s submissions refer to a range of publicly available
information, Government announcements and media articles
that indicate the Adani
Projects have a poor economic
outlook.[68] While I have
considered this information, I am not satisfied that the availability of this
information negates the likelihood of
a further negative effect on Adani’s
commercial and business affairs. The Due Diligence Assessment and Bank
Feasibility Study
detail the commercial strategies undertaken by Adani in
Australia and its broader global business activities. I consider that disclosure
of this information could reasonably be expected to negatively impact
Adani’s ability to compete in the mining industry, particularly
where its
competitors can access its key strategic planning documents and key financial
data.
The
applicant contends that disclosure of the CTPI Information could not reasonably
prejudice the commercial affairs of entities,
as Adani is a single entity and
this factor refers to the plural, entities. I do not accept this
submission for several reasons. Firstly, Adani is a group of companies and not a
single entity at law.[69] I am also
satisfied that in accordance with section 32C of the Acts Interpretation Act
1954 (Qld) (AI Act) a use of words in the plural in legislation,
includes reference to the
singular.[70]
The
applicant also contends[71] that the
relevant public interest factor in this case, is whether disclosure of the
information in issue could reasonably be expected
to prejudice the business
affairs of a person. Section 36 of the AI Act defines
‘person’ to include a ‘corporation’. I am
satisfied that this public interest factor is also relevant with respect to the
business affairs of each of the Adani companies
that are invested in the Adani
Projects. For the reasons I have already explained, I am satisfied that
disclosure of the Bank Feasibility
Study and Due Diligence Assessment would
significantly impact on the business and commercial affairs of these
corporations. Accordingly,
I also attribute significant weight to this
factor.
I
acknowledge the applicant’s submission that given the lapse of time since
the creation of the relevant documents, recent developments
with respect to the
Adani Projects and the published information regarding the economic forecasts,
that the weight to be attributed
to these factors is reduced. Having carefully
considered the CTPI Information, I am not satisfied that the information already
available
and the passage of time has necessarily reduced the likely prejudice
to the commercial and business affairs of Adani that could reasonably
be
expected from disclosure of the CTPI Information. Accordingly, I do not consider
that the weight to be attributed to these two
factors is reduced and I have
therefore attributed significant weight to these two factors in favour of
nondisclosure.
Prejudice the economy of the State
I
am satisfied that disclosure of the CTPI Information could reasonably be
expected to prejudice the economy of the
State[72] in being able to:
obtain
commercial investment advice without concern of broader disclosure; and
negotiate on
competitive commercial terms with third parties regarding State investment in
large infrastructure projects.
Treasury
has explained that negotiations remain ongoing between the Government and Adani
regarding infrastructure investment
options.[73] Specifically the Due
Diligence Assessment and 2013 Treasury Report into coal mining in Queensland
includes internal advice provided
to Government in relation to the various
investment options available to it and the likely returns and risks of those
investments.
Disclosure of the Government’s internal investment advice to
the general public, including the private sector entities which
the Government
seeks to conduct commercial negotiations with could reasonably be expected to
have a significant adverse impact on
the Government’s ability to conduct
these negotiations on a commercial and competitive basis. For this reason I have
attributed
this factor in favour of nondisclosure significant weight.
I
acknowledge that there is a significant public interest in disclosing
information provided to Government to inform its decision
making processes, as
discussed above. However, I also consider that it is important that the
Government is able to protect the commercial
interests of its constituents by
ensuring that they are on equal footing with other private sector investors when
considering large
scale investment options such as the Adani Projects. With
respect to the Adani Projects specifically, the Government is competing
with
private and public sector entities globally in considering the commercial
returns of these projects. I consider that broader
disclosure of the
Government’s internal investment advice would put it at a significant
disadvantage and could reasonably be
expected to weaken its bargaining position
in any future related or similar transactions.
The
applicant submits that ‘the evidence of the poor economic
outlook of the projects... indicates a potential burden on the State’s
economy that substantially
undermines this
factor’.[74] My findings
on this public interest factor do not consider the specific merits of the
State’s investment in the Adani Projects.
Rather, it is my view that in
general, the State should have the capacity to obtain internal commercial and
investment advice in
relation to the risks and benefits of its investment
options without the general disclosure of this advice. In my view, if this type
of information were to be routinely disclosed under the RTI Act, the State would
be at a disadvantage in competitively negotiating
with third parties to arrive
at the best commercial result for the State, its constituents and the broader
economy. Accordingly,
I find that disclosure of this type of information could
reasonably be expected to prejudice the economy of the State and I have
attributed this factor significant weight.
I
do not however consider that the relevant public interest harm
factor[75] applies as I am not
satisfied that disclosure of the CTPI Information could reasonably be expected
to ‘have a substantial adverse effect on the ability of government to
manage the economy of the State’.
Prejudice an agency’s ability to obtain confidential
information
Treasury’s
decision indicates that the financial data contained in the Due Diligence
Assessment and the Bank Feasibility Study
was provided by Adani on the
understanding that it would remain confidential. While OIC did not obtain
submissions from Adani in
this external review, Treasury consulted with Adani
prior to making its decision. At that stage, Adani indicated that it only
provided
the Bank Feasibility Study and information contained in the Due
Diligence Assessment to the State on the understanding that it would
remain
confidential and be used for the limited purpose of considering its investment
options.[76]
Having
carefully considered the sensitive commercial nature of this information, I am
of the view that its disclosure could reasonably
be expected to prejudice the
supply of this type of confidential information to the Government in the future.
This is because Adani
provided the Bank Feasibility Study, as well as the data
relied upon by DSD staff in the Due Diligence Assessment, on the specific
condition that this information remained confidential. In the circumstances, I
am satisfied that the information provided by Adani
was confidential in nature
and that therefore, both the public interest factor in favour of nondisclosure
as well as the harm factor
in relation to the disclosure of confidential
information both
apply.[77]
Adani
provided this particular information in order to allow the Government to fully
consider its investment options. There is no
evidence before OIC to suggest that
Adani was compelled to provide this information for any other reason but the
limited purpose
of negotiating possible investment by the State Government. I am
satisfied that if this information were to be routinely disclosed
under the RTI
Act, it would impact on the willingness of third parties such as Adani to
provide similar information to the Government
in the future.
While
I am prevented from disclosing the specific content of the CTPI
Information,[78] I can confirm that
the information contained in the Due Diligence Assessment and Bank Feasibility
Study is the type generally provided
by entities seeking to attract investors
and is provided on a confidential basis to allow investors to make an informed
decision.
While the Due Diligence Assessment was authored by DSD, the
information in the document is based on the Bank Feasibility Study
confidentially
provided by Adani. For this reason, I consider the exception to
the harm factor[79] does not apply
as the information, while constituting deliberative process
information[80], was communicated to
Treasury by Adani.
The
applicant submits that any due diligence assessments should otherwise form part
of the publicly available documents for large
scale infrastructure
projects.[81] The question of which
documents should be made publicly available in relation to large scale
infrastructure projects is a broader
government policy matter and is beyond
OIC’s jurisdiction on external review. In this case, I am satisfied that
the relevant
information was provided by Adani on the understanding that it
would be confidential and its disclosure at this stage, particularly
where no
final decision has been reached on investment in the Adani Projects, would have
the effect of deterring the provision of
similar information by third parties in
the future. Accordingly, I have given these factors significant weight in
favour of nondisclosure.
The
applicant questioned the application of these factors given my view that the
breach of confidence exemption in schedule 3, section
8 of the RTI Act is not
made out.[82] I am satisfied that
the circumstances required to establish the breach of confidence exemption can
be more onerous than those required
to give rise to the relevant public interest
factors. It is not necessarily the case that if the exemption does not apply to
certain
information that the confidential information public interest factors
will also not apply. The requirements of each provision are
different and must
be assessed
separately.[83]
Deliberative process
The
RTI Act recognises that a public interest factor favouring nondisclosure will
arise where disclosing information could reasonably
be expected to prejudice a
deliberative process of government (Nondisclosure
Factor).[84] The RTI Act also
provides that disclosing information could reasonably be expected to cause a
public interest harm through disclosure
of an opinion, advice or recommendation
that has been obtained, prepared or recorded or a consultation or deliberation
that has taken
place in the course of, or for, the deliberative processes
involved in the functions of government (Harm
Factor).[85]
Once
it is established that the information in issue is deliberative process
information, the Harm Factor will apply. It is then relevant
to consider the
nature and extent of the public interest harm that may result through
disclosure.[86] For the
Nondisclosure Factor to apply, a reasonable expectation of prejudice to the
relevant deliberative process must be established.
In this case, I am
satisfied that both factors apply to the CTPI Information.
The
Information Commissioner has previously referred with approval to the following
comments in considering the meaning of ‘deliberative
processes’ involved in the functions of an
agency:[87]
The action of deliberating, in common understanding, involves the weighing
up or evaluation of the competing arguments or considerations
that may have a
bearing upon one's course of action. In short, the deliberative processes
involved in the functions of an agency
are its thinking processes - the
processes of reflection, for example, upon the wisdom and expediency of a
proposal, a particular
decision or a course of action ...
In
my view, the CTPI Information is deliberative process information as it was
prepared or communicated in the course of deliberating
on, and evaluating
matters relating to, proposed mining projects. The applicant submits that some
of the Government’s deliberations
in relation to the relevant Adani
Projects are complete. I have carefully considered the CTPI Information and
Treasury’s submissions[88] and
in my view, the specific Government deliberations discussed in the CTPI
Information are ongoing.
NQCC
questions whether any of the exceptions to the Harm Factor apply in this case.
Schedule 4, part 4, item 4(2) of the RTI Act provides
that the deliberative
processes considered in the Harm Factor apply only until public consultation
starts. There is no evidence to
suggest there has been any public consultation
in relation to the CTPI Information and therefore this exception does not apply.
The
Harm Factor also does not apply to information that appears in an
agency’s policy document, factual or statistical information,
or expert
opinion or analysis. I am satisfied that the CTPI Information does not comprise
any of these categories of information.
As
it is my view that the CTPI Information is deliberative process information, and
that the exceptions to the Harm Factor do not
apply, I must now consider the
level of harm that is likely to result from the disclosure of the CTPI
Information.
I
am satisfied that the CTPI Information is not publicly available and its
disclosure at this stage, when the Government is yet to
make a final decision,
could have a negative impact on the decision making and consultation process.
The CTPI Information details
financial information and forecasts in relation to
the proposed Adani Projects and while I acknowledge it was obtained under the
previous Government, I am satisfied that this information remains relevant to
the current Government’s considerations.
The
applicant submits that press releases by the current Government indicate that it
has made a decision ruling out investment in
the proposed Adani
projects.[89] It is not my role to
interpret public media statements. In the context of this external review,
Treasury has confirmed, and I accept
that the Government has not reached a final
decision in relation to the issue of support for the Adani
Projects.[90]
I
am satisfied that the disclosure of the CTPI Information prior to the
Government’s finalisation of its deliberative process
on its investment in
the Adani Projects is likely to have a detrimental impact on the
Government’s ability to continue considering
its options and engage in
open and frank negotiations with third parties including Adani. I am therefore
satisfied that disclosure
of the CTPI Information is likely to prejudice the
deliberative process of Government and cause significant public interest harm
in
prejudicing these processes. I have attributed both the Nondisclosure Factor and
Harm Factor significant weight in favour of nondisclosure
of the CTPI
Information.
Balancing the public interest factors
The
CTPI Information comprises three different documents that were created or
communicated to the former Queensland Government in
order to inform its decision
making processes with respect to the Adani Projects. I am satisfied that, in
addition to the general
prodisclosure
bias,[91] there are a number of
public interest factors favouring disclosure of all of the CTPI Information
which, for the reasons discussed
above, deserve significant weight.
With
respect to the factors favouring nondisclosure, the 2013 Treasury Report does
not address the Adani Projects specifically and
is unlikely to cause any
significant prejudice to Adani’s commercial affairs or the future ability
of the Government to obtain
confidential information from third parties.
However, it was prepared by Treasury staff to provide commercial advice to the
Government
and I am satisfied that disclosure of this type of information could
have an adverse impact on the State economy as well as prejudicing
ongoing
deliberative processes. I am satisfied that the weight of these factors exceeds
that of the factors favouring disclosure
with respect to the 2013 Treasury
Report.
In
relation to the Bank Feasibility Study and Due Diligence Assessment, I am
satisfied that disclosure is likely to cause a significant
public interest harm
by interfering in the Government’s deliberative process and prejudicing
the Government’s ability
to conduct this deliberative process. I also
consider that disclosure of information in the Due Diligence Assessment and Bank
Feasibility
Study is likely to have a detrimental impact on the commercial
affairs of Adani and prejudice the likelihood of the State obtaining
similar
information in the future. I am satisfied that the significant weight of these
factors favouring nondisclosure outweighs
the weight I have given to the factors
favouring disclosure.Conclusion
On
the basis of the above, I find that disclosure of the CTPI Information would, on
balance, be contrary to the public interest and
access to it may therefore, be
refused under section 47(3)(b) of the RTI
Act.DECISION
For
the reasons set out above, I vary the decision under review and find that access
to the information in issue may be refused under
section 47(3)(a) or (b) of the
RTI Act on the basis that it comprises:
exclusively
exempt Cabinet information or information the disclosure of which would reveal a
consideration of Cabinet
exempt
information brought into existence in the course of the State’s budgetary
processes; or
information, the
disclosure of which would, on balance, be contrary to the public
interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.
_______________________
Katie Shepherd
Assistant Information Commissioner
Date: 10 June 2016
APPENDIXSignificant
procedural steps
Date
Event
17 December 2014
Treasury received the access application.
1 May 2015
Treasury issued its decision on the access application.
29 May 2015
Treasury received the application for internal review.
29 June 2015
Treasury issued its internal review decision.
27 July 2015
OIC received the external review application.
7 August 2015
OIC notified the applicant and Treasury that the external review
application had been accepted for external review.
OIC asked Treasury for copies of the information in issue and other
procedural documents.
26 August 2015
Treasury provided OIC with the requested documents.
14 September 2015
OIC contacted the applicant’s representative by phone to confirm the
issues in the external review.
6 October 2015
OIC requested further information from Treasury about third party
consultation.
13 October 2015
Treasury provided OIC with the requested information.
29 October 2015
OIC requested a copy of the Confidentiality Deed from Treasury as referred
to in its internal review decision.
12 November 2015
OIC received a copy of the Confidentiality Deed from Treasury.
15 December 2015
OIC telephoned the applicant’s representatives to provide an update
on the external review and to confirm the issues being considered.
16 February 2016
OIC requested additional submissions from Treasury.
24 February 2016
OIC received submissions from Treasury.
4 March 2016
OIC conveyed a preliminary view to the applicant and invited the applicant
to provide submissions in response.
1 April 2016
OIC received the applicant’s submissions in response to the
preliminary view.
4 April 2016
OIC contacted the applicant by phone and confirmed the outstanding issues
on external review. The applicant confirmed that it no longer
sought external
review of the information claimed to be subject to legal professional
privilege.
12 April 2016
Treasury provided OIC with additional submissions by telephone.
14 April 2016
OIC provided the applicant with a further preliminary view.
4 May 2016
The applicant provided submissions in response to the further preliminary
view.
16 May 2016
The applicant made additional submissions on two related external reviews
raising matters relevant to public interest factors under
consideration by OIC
to in this external review.
[1] Access application dated 17
December 2014. The Adani Group is a group of companies seeking to develop the
largest coal mine in Australia,
the Carmichael Coal Mine in Northern Queensland.
The development of this mine will also involve the development of related rail
and
port infrastructure.[2]
Treasury also relied on sections 47(3)(f) and 53 of the RTI Act to refuse access
commercially available information. NQCC did not
seek internal or external
review of this aspect of the decision and therefore, those pages are not in
issue in this review. [3] External
review application dated 27 July
2015.[4] Under section 47(3)(a) of
the RTI Act.[5] Under section
47(3)(b) of the RTI Act. [6] As
published on Treasury’s Disclosure Log, Reference 577 J Tager
available from: https://www.treasury.qld.gov.au/about-us/right-to-information/previous-disclosure-log.php
(accessed on 19 May 2016). [7]
Further details of this project appear on the Coordinator General’s
website at http://www.statedevelopment.qld.gov.au/assessments-and-approvals/carmichael-coal-mine-and-rail-project.html
(accessed on 25 February 2016).[8]
Ministerial statement dated 13 April 2016 available at http://statements.qld.gov.au/Statement/2016/4/3/carmichael-mine-approvals-put-thousands-of-new-jobs-step-closer
(accessed on 14 April 2016).[9]
Media release dated 17 November 2014 available at: http://statements.qld.gov.au/Statement/2014/11/17/historic-agreements-bring-jobs-to-queensland.[10]
290 pages in full and 37 pages in part. Under sections 47(3)(a), 48 and schedule
3, section 2(1)(b) of the RTI
Act.[11] 265 pages in full and
49 pages in part. Under sections 47(3)(a), 48 and schedule 3, section 2(1)(c) of
the RTI Act.[12] 309 pages in
full and two pages in part. Under sections 47(3)(b) and 49 of the RTI Act. This
includes information which Treasury
found to be exempt under schedule 3, section
8 of the RTI Act, on the basis of breach of confidence. On external review, OIC
formed,
and conveyed to participants, the preliminary view that the requirements
of this exemption were not
satisfied.[13] The issues to be
considered on external review were confirmed by the applicant’s
representative during a phone discussion with
OIC on 14 September 2015.
Subsequently, the applicant’s representatives also indicated that it did
not seek information OIC
considered to be subject to legal professional
privilege, in response to OIC’s preliminary view letter dated 4 March
2016.[14] Section 44(1) of the
RTI Act.[15] Sections 47(3)(a)
and 48 of the RTI Act.[16]
Schedule 3, section 2(1)(a) of the RTI
Act.[17] Schedule 3, section
2(1)(b) of the RTI Act.[18]
Schedule 3, section 2(5) of the RTI
Act.[19] Schedule 3, section
2(3) of the RTI Act.[20]
Schedule 3, section 2(1) of the RTI Act. For information considered by Cabinet,
the ‘relevant date’ is the date the information was most
recently considered by Cabinet; otherwise, ‘relevant date’ is
the date the information was brought into existence, schedule 3, section 2(5) of
the RTI Act.[21] Schedule 3,
section 2(2)(a) of the RTI
Act.[22] Schedule 3, section
2(2)(b) of the RTI Act.[23]
Applicant’s submission to OIC dated 1 April 2016 which refers to a Cabinet
publication from March 2015 concerning Adani and
the Abbot Point Growth Gateway
Project.[24] Schedule 3, section
2(5) of the RTI Act provides that ‘Cabinet’ includes a
Cabinet committee or subcommittee. CBRC is a Cabinet committee for this purpose.
[25] Under schedule 3, section
2(4) of the RTI Act a report of a factual or statistical information attached to
a document identified
in schedule 3, section 2(3) of the RTI Act is only exempt
if it was brought into existence for the consideration of Cabinet or its
disclosure would disclose a consideration of
Cabinet.[26] Schedule 3, section
2(4)(a) of the RTI Act.[27]
(1996) QAR 416 (Ryman) at [39]-[40]. See also Hudson, as agent
for Fencray Pty Ltd, and the Department of the Premier, Economic and Trade
Development [1993] QICmr 4; (1993) 1 QAR 123 at [39]- [44]
[28] Applicant’s
submission to OIC dated 1 April
2016.[29] Schedule 3, section
2(b) of the RTI Act.[30]
Quandamooka Yoolooburrabee Aboriginal Corporation and Department of Natural
Resources and Mines; Sibelco Australia Ltd (Third Party)
[2014] QICmr [47]
(19 November 2014) (Quandamooka) at [57]-[59].
[31] Sunshine Coast
Environment Council Inc and Department of National Parks, Sport and
Racing; Springborg MP (Third Party) [2016] QICmr 10 (4 March 2016)
(SCECI).[32]
SCECI at [48].[33] Given
section 108(3) of the RTI Act, which provides that a decision must not include
information that is claimed to be exempt information,
I am prevented from
disclosing any more details regarding the nature of this
information.[34] In making this
finding, I have also taken into account the content of a draft Cabinet
submission concerning the subject matter of
this application.
[35] Applicant’s
submissions dated 1 April
2016.[36] Which I am prevented
from disclosing in these reasons due to section 108(3) of the RTI
Act.[37] Under section 47(2) of
the RTI Act.[38] Under section
74 of the RTI Act.[39] Under
schedule 3, section 2(1)(c) of the RTI
Act.[40] Also, this exempt
information provision has not been considered in a published decision of the
Information Commissioner and there
was no equivalent provision in the repealed
FOI Act.[41] Treasury website:
https://treasury.qld.gov.au/budget-finance/budget-process/index.php
accessed on 9 May 2016.[42]
Cabinet Handbook: http://www.premiers.qld.gov.au/publications/categories/policies-and-codes/handbooks/cabinet-handbook/
committees/review-committee.aspx accessed on 11 April
2016.[43] This information was
both evident on the face of the information in issue and also confirmed to OIC
in a telephone discussion on
12 April 2016, by a Treasury officer closely
involved in the creation of the information in
issue.[44] Applicant’s
submissions dated 4 May
2016.[45] Applicant’s
submissions dated 4 May
2016.[46] Under schedule 3,
section 2(1)(c) of the RTI
Act[47] Sections 47(3)(b) and 49
of the RTI Act. The term ‘public interest’ refers to considerations
affecting the good order
and functioning of the community and government affairs
for the well-being of citizens. This means that in general, a public interest
consideration is one which is common to all members of, or a substantial segment
of, the community, as distinct from matters that
concern purely private or
personal interests. However, there are some recognised public interest
considerations that may apply for
the benefit of an
individual.[48] Section 44 of
the RTI Act. [49] Schedule 4 of
the RTI Act sets out the factors relevant to deciding whether disclosure of
information would, on balance, be contrary
to the public interest. However, this
list of factors is not exhaustive and therefore, other factors may also be
relevant in a particular
case.[50] Section 49(3) of the
RTI Act. [51] Applicant’s
submissions dated 27 July 2015, 1 April 2016, 4 May 2016 in this external
review, and submissions dated 16 May
2016 in relation to external review numbers
312639 and 312645.[52] In
response to the concerns raised by the applicant in its external review
application dated
27 July 2015.[53]
Schedule 4, part 2, item 1 of the RTI
Act.[54] Schedule 4, part 2,
item 2 of the RTI Act.[55]
Schedule 4, part 2, item 3 of the RTI
Act.[56] Schedule 4, part 2,
item 4 of the RTI Act.[57]
Applicant’s submissions dated 1 April 2016.
[58] Schedule 4, part 2, item 11
of the RTI Act.[59]
Applicant’s submissions dated 1 April 2016 refer to a media release by
then Deputy Premier Seeney available from: http://statements.qld.gov.au/Statement/2014/11/17/historic-agreements-bring-jobs-to-queensland.
[60] Schedule 4, part 2, item 5
of the RTI Act.[61] Schedule 4,
part 2, item 10 of the RTI
Act.[62] Schedule 4, part 2,
item 13 of the RTI Act.[63]
Adani Mining Pty Ltd v Land Services of Coast and Country Inc & Ors
[2015] QLC 48, 15 December
2015.[64] Due to the operation
of section 108 of the RTI
Act.[65] Schedule 4, part 2,
item 12 of the RTI Act.[66]
Schedule 4, part 3, item 2 of the RTI
Act.[67] Schedule 4, part 3,
item 15 of the RTI Act.[68]
Applicant’s submissions dated 1 April
2016.[69] As confirmed on Adani
Australia’s website at http://www.adaniaustralia.com/about-us.
[70] I do not accept the
applicant’s submissions dated 16 May 2016 (made in related reviews, see
note 51 above) that the RTI Act
demonstrates a contrary
intention.[71] Applicant’s
submissions on two related external reviews dated 16 May
2016.[72] Schedule 4, part 3,
item 12 of the RTI Act.[73]
Treasury’s submissions dated 24 February
2016.[74] Applicant’s
submissions dated 4 May
2016.[75] Schedule 4, part 4,
item 9 of the RTI Act.[76]
Letter dated 20 April 2015 from Adani to
Treasury.[77] Schedule 4, part
3, item 16 and schedule 4, part 4, section 8 of the RTI Act.
[78] Due to the operation of
section 108(3) of the RTI
Act.[79] Schedule 4, part 4,
section 8(2) of the RTI Act.[80]
See paragraph 73 below.[81]
Applicant’s submissions dated 1 April
2016.[82] Applicant’s
submissions dated 16 May 2016 (made in related
reviews)[83] However, as stated
above, this decision does not examine the breach of confidence exemption as both
parties accepted my view that
it did not apply to the information in
issue.[84] Schedule 4, part 3,
item 20 of the RTI Act. [85]
Schedule 4, part 4, item 4 of the RTI Act.
[86] In Trustees of the De La
Salle Brothers and Queensland Corrective Services Commission [1996] QICmr 4; (1996) 3 QAR
206 at [34] the Information Commissioner considered, in the context of the
provision relating to deliberative process information under the FOI
Act that
‘specific and tangible harm to an identifiable public interest (or
interests) would result from disclosure’. I consider that this is a
relevant consideration when applying the Harm Factor under the RTI Act.
[87] Eccleston and Department
of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 at
paragraphs [28]-[30] citing with approval the definition given in Re
Waterford and Department of Treasury (No.2) [1984] AATA 67; (1984) 5 ALD 588 at 606.
The Information Commissioner’s decision involved the repealed FOI Act
but I am satisfied the comments remain relevant under
the RTI Act.
[88] Dated 24 February 2016 and
confirmed in a subsequent phone discussion with OIC on 12 April
2016.[89] Applicant’s
submissions dated 1 April 2016.
[90] Treasury’s
submissions dated 12 April
2016.[91] Under section 44 of
the RTI Act, as noted in the applicant’s submissions dated 15 January
2016.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Lusping Pty Ltd and Sunshine Coast Regional Council; Paul Golding (Third Party) [2023] QICmr 16 (30 March 2023) |
Lusping Pty Ltd and Sunshine Coast Regional Council; Paul Golding (Third Party) [2023] QICmr 16 (30 March 2023)
Last Updated: 14 April 2023
Decision and Reasons for Decision
Citation:
Lusping Pty Ltd and Sunshine Coast
Regional Council; Paul Golding (Third Party) [2023] QICmr 16 (30
March 2023)
Application Number:
316204
Applicant:
Lusping Pty Ltd (ACN 147 724 070)
Respondent:
Sunshine Coast Regional Council
Third Party:
Paul Golding
Decision Date:
30 March 2023
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST - request for documents regarding development
approval and
noncompliance investigation - accountability and transparency - business
affairs, administration of justice and personal
information and privacy -
whether disclosure would, on balance, be contrary to the public interest -
sections 47(3)(b) and 49 of
the Right to Information 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - FORMS OF ACCESS - COPYRIGHT
- engineering report - whether giving access to a copy of
an engineering report
would involve an infringement of the copyright of a person other than the State
- access granted by way of
inspection only - section 68(4)(c) of the Right to
Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
access applicant made an
application[1] under the Right to
Information Act 2009 (Qld) (RTI Act) to Sunshine Coast Regional
Council (Council) for a broad range of documents relating to a retirement
village development. Lusping Pty Ltd (Lusping), the owner of the
development, was consulted by Council about disclosure of certain information
and objected to the release of that
information. Council
decided[2] to disclose the information
contrary to Lusping’s objections.
Lusping
applied[3] to the Office of the
Information Commissioner (OIC) for review of Council’s decision.
The access applicant subsequently applied to the Information Commissioner to
participate
in the review.
Following
considerable correspondence between all parties on external review, some of the
information the subject of Lusping’s
objections was released to the access
applicant or excluded from the scope of issues for consideration by the access
applicant.
The
information remaining in issue on external review comprises parts of four pages
of emails and a 26 page Engineering Report. For
the reasons set out below, I
vary Council’s decision granting access to the information remaining in
issue and find that:
access
may be refused to parts of four pages of emails between Council and Lusping on
the basis that disclosure would, on balance,
be contrary to the public interest;
and
access
by inspection only may be granted to a copy of the Engineering Report as it is
subject to the copyright interests of third
parties.
Background
By
application dated 1 February 2021, the access applicant applied to Council
seeking access to certain documents relating to an extension
to the Laurel
Springs Retirement Village.[4]
Lusping was consulted by Council and objected to disclosure of information that
Council decided may be released.
On
review, the access applicant applied to the Information Commissioner to
participate in the review under section 89(2) of the RTI
Act and is now a party
to the review.
Significant
procedural steps in this external review are set out in the
Appendix.
Reviewable decision
The
decision under review is Council’s internal review decision dated 22 June
2021, to disclose information contrary to Lusping’s
disclosure
objections.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision are disclosed in these reasons (including
footnotes and the appendix).
In
making this decision I have had regard to the Human Rights Act 2019 (Qld)
(HR Act), in particular the right of the applicant to seek and receive
information.[5] I consider that a
decision-maker will, when observing and applying the RTI Act, be
‘respecting and acting compatibly with’ these rights and
others prescribed in the HR Act.[6] I
further consider that, having done so when reaching my decision, I have acted
compatibly with and given proper consideration to
relevant human rights, as
required under section 58(1) of the
HR Act.[7]
Remaining information in issue
Following
correspondence exchanged between parties on external review to narrow the issues
on review, the remaining information in
issue comprises parts of four pages of
emails (Emails) and a 26 page Engineering Report
(Report).
The
access applicant has agreed to exclude from further consideration: private
telephone numbers and email addresses, of any individual;
signatures; and
duplicate documents;[8] and documents
not within the date range of the access
application.[9] In the access
applicant’s final correspondence with OIC, the access applicant identified
by specific page number the emails
of interest to him in addition to accessing a
copy of the Report. Lusping has also agreed to the disclosure of further
information
on external review and accordingly that information is no longer in
issue.
Issues for determination
The
issues for me to consider are:
whether
disclosure of the Emails would, on balance be contrary to the public interest
and access may therefore be refused; and
whether
access to a copy of the Report may be given.
Findings in relation to the Emails
Public interest analysis
Lusping
contends that disclosure of the remaining parts of the Emails would, on balance
be contrary to the public
interest.[10] The Emails record
information provided between Lusping and Council in relation to Lusping’s
interactions and concerns with
its contractors.
Irrelevant factors
In
my view, no irrelevant factors arise in my consideration of the public interest
factors here.Factors favouring disclosure
I
have considered the following public interest factors in favour of
disclosure:
disclosure of
the information could reasonably be expected to promote open discussion of
public affairs and enhance the Government’s
accountability[11]
disclosure of
the information could reasonably be expected to contribute to positive and
informed debate on important issues or matters
of serious
interest[12]
disclosure of
the information could reasonably be expected to inform the community of the
Government’s operations, including,
in particular, the policies,
guidelines and codes of conduct followed by the Government in its dealings with
members of the community[13]
disclosure of
the information could reasonably be expected to reveal the reason for a
government decision and any background or contextual
information that informed
the decision[14]
disclosure of
the information could reasonably be expected to reveal environmental or health
risks or measures relating to public
health and
safety;[15] and
disclosure of
the information could reasonably be expected to contribute to the administration
of justice for a
person.[16]
The
above factors have been raised by the access applicant and Council in
submissions throughout the external
review.[17] Council submits that it
is ‘accountable to the public for the decisions it makes in approving
decisions in relation to activities in accordance with the legislative
restrictions and approvals’.[18]
I also consider that Council is accountable to the public for the
decisions that it makes concerning development applications and
that private
sector businesses working with, and seeking approvals from, Council must accept
an appropriate level of scrutiny in
their dealings with
Council.[19] This is particularly
the case in these circumstances, where Council actions are critical to ensure
any possible danger to safety
of the community is removed.
Noting
this, documents relevant to Council’s actions and interactions between
Lusping and Council have been disclosed to the
access applicant and/or are
available to the general public. These include: a Show Cause Notice issued
under the Planning Act 2016 (Qld); an Enforcement Notice issued under the
Building Act 1975 (Qld); and documents and communications relevant to
planning and development applications and approvals, and the compliance
investigations.
The disclosure of this information significantly advances the
public interest factors favouring disclosure outlined above.
On
the other hand, I do not accept that disclosure of Emails would advance any of
the above listed public interest factors significantly.
This information is
limited to the views of Lusping in relation to its interactions and anticipated
legal proceedings with its contractors.
Given the content of the Emails, I
consider that the above noted public interest factors carry low, if any, weight
in favour of
disclosure.
I
have also considered the other public interest factors in schedule 4, part 2 of
the RTI Act and am satisfied that no further factors
favouring disclosure
apply with respect to the Emails.Factors favouring
nondisclosure
The
Emails disclose information about the interactions between Lusping and its
contractors. They refer to anticipated legal actions
and a civil dispute
between these parties in relation to the compliance issues that are identified
in the released information.
Given the content of the Emails, the context of
these Emails, and the particular submissions made by Lusping, I am satisfied
that
disclosure of the Emails could reasonably be expected to:
prejudice the
private, business, professional, commercial or financial affairs of
entities[20]
cause a public
interest harm because disclosure of the information would disclose information
concerning the business, commercial
or financial affairs of an agency or another
person and could reasonably be expected to have an adverse effect on those
affairs;[21] and
disclosure of
the information could reasonably be expected to impede the administration of
justice for a
person.[22]
The
words ‘could reasonably be expected to’ call for a
decision-maker to discriminate between what is merely possible or merely
speculative, and expectations that are
reasonably
based.[23] I must therefore be
satisfied that there is a reasonably based expectation (and not mere speculation
or a mere possibility) that
disclosure of the Emails could reasonably be
expected to result in the harm anticipated by the above factors. Both
Council[24] and the access
applicant[25] essentially dispute
that there is a reasonably based expectation of the connection between
disclosure and the prejudice.
While
I am constrained as to the level of detail I can relay about the contents of the
Emails,[26] having carefully
reviewed the Emails, and Council’s and the access applicant’s
submissions, I am satisfied that disclosure
may obstruct options to remedial
access for Lusping, thereby impeding the administration of justice, and
significant weight may be
afforded to this factor favouring nondisclosure to
relevant information. I also consider that the Emails disclose untested
contentions
and speculation relating to a civil dispute between Lusping and
third parties, that if disclosed, could reasonably be expected to
prejudice the
reputations and accordingly the business affairs of these
parties.
I
also note that the Emails relate to the conduct of other third parties who were
not consulted by Council at the time a disclosure
decision was reached.
Personal information and privacy
The
Emails identify third parties. With respect to this particular information,
Council submits that:
certain names of
third parties have already been disclosed to the access applicant or would
ordinarily be expected to become publicly
accessible;
[27] and
‘Certifying
engineers and professionals are performing their functions as part of the
regulatory framework intended for public
safety, and are subject to their own
professional standards and registration with peak and/or governing bodies which
may investigate
and penalise them for unsatisfactory conduct. Membership and
registration with these bodies is normally publicly searchable on the
internet.’[28]
I
have carefully considered Council’s submission that, in effect, indicates
that the personal information of those parties associated
with this matter
through a professional connection, is or can be available outside of this
process. While I accept that that may
be the case, disclosure outside of this
process, while relevant to weighting, is not determinative to disclosure through
a formal
application process under the RTI Act. Furthermore, I consider that
the harm here results from the disclosure of the third-party
personal
information in the specific context of the Emails relating to a civil
dispute.
The
relevant information is the personal information of other individuals who work
for private sector entities involved in a dispute.
Revealing personal
information of third parties could reasonably be expected to prejudice the
protection of their privacy.[29]
The RTI Act also provides that disclosure of this type of information could
reasonably be expected to cause a public interest harm,
if the disclosure would
disclose the personal information of a person, whether living or
dead.[30] In my view these two
factors favouring nondisclosure warrant significant weight.
Balancing the public interest
In
addition to the pro-disclosure bias,
[31] I have turned my mind to the public
interest factors favouring disclosure of the Emails that I have identified
above. I am satisfied
that these factors carry minimal weight with respect to
disclosure of the particular content in the Emails. This is because the
content
is focussed on the civil dispute between private sector entities and information
has been disclosed that demonstrates Council’s
actions and decision making
processes.
In
relation to the factors favouring nondisclosure, I accept Lusping’s
submissions in relation to the reasonable expectation
of prejudice that
disclosure may have on the commercial affairs of Lusping and other entities, the
administration of justice for
Lusping in anticipated civil legal proceedings,
and I also consider that a public interest harm could reasonably be expected to
result
from the disclosure of personal information in the context of the Emails.
I consider that each of these factors carry moderate to
high weight, and
outweigh any public interest factors in favour of disclosure.
Having
balanced the public interest factors for and against disclosure, I consider that
access to the Emails can be refused on the
basis that disclosure would, on
balance, be contrary to the public
interest.[32]
Findings in relation to access to a copy of the
ReportCopyright
As
Council’s decision was silent as to the form of access to the Report, and
the access applicant insists on a copy of the Report,
while Lusping objects to
disclosure of a copy but agrees to inspection, I have determined the issue of
form of access.[33] The issue for me
to determine is one of form of access only, given inspection access remains
available to the applicant.
Section
68(4)(c) of the RTI Act provides that, if giving access in the form requested by
the applicant would involve an infringement
of the copyright of a person other
than the State, access in that form may be refused and given in another form.
Accordingly, I
have considered whether giving the applicant a copy would involve
an infringement of
copyright.[34]
Section 32(1)
of the Copyright Act 1968 (Cth) (Copyright Act) provides that
copyright subsists in an original literary, dramatic, musical or artistic work
that is unpublished and of which the
author was a qualified person at the time
when the work was made. I am satisfied that the Report is a ‘literary
work’ for the purposes of the Copyright
Act.[35] The Report was prepared in
accordance with a consultancy agreement between two parties—a contractor
and a consultant engaged
by the contractor. As the Report was created by a
professional applying their special skill and
knowledge[36] in their fields, and
does not appear to have been copied from another source, I am satisfied that the
Report is an original[37] work for
the purpose of the Copyright Act. I am also satisfied that the persons who
authored the Report are likely to have been Australian citizens or
residents.[38]
I
find that copyright subsists in the Report and it is an original literary work
that is unpublished and of which the authors were
qualified people at the time
when the work was made.
Would providing copies infringe copyright?
Copyright
in relation to a literary work is an exclusive right to do various acts,
including reproducing the work in a material form,
unless the contrary intention
appears.[39] The company whose
staff authored the Report are the owners of the copyright subsisting in the
Report.[40] Section 36(1) of the
Copyright Act provides that copyright is infringed when a person who is not the
owner of the copyright, and does not have the licence of the owner,
does in
Australia, or authorises the doing in Australia of, any act comprised in the
copyright. The Report clearly states that this
document is to remain the
property of two separate entities. There is no evidence to suggest that the
copyright owners provided any
formal licence or authority, or an implied
licence, for Council to copy the Report for the purpose of releasing it under
the RTI
Act. I am also satisfied that the Report does not appear to have been
otherwise
published.[41]
I
am satisfied that, if Council copied the Report to give to the access applicant
under the RTI Act, this would constitute reproduction
in a material form, which
would infringe the exclusive copyright of the copyright owners. Having
carefully considered the acts not
constituting infringements of copyright in
works, I am also satisfied none of the exceptions
apply.[42] Therefore, I find that
access to the Report in the form sought by the access applicant (being provided
with a copy) may be refused
and instead given in another form (by way of
inspection) under section 68(4)(c) of the RTI
Act.DECISION
For
the reasons explained above, I vary Council’s decision as I am satisfied
that access can be refused to the Emails on the
basis that disclosure would, on
balance, be contrary to the public interest, and access may be granted to the
Report by way of inspection
only.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.S
MartinAssistant Information Commissioner Date: 30
March 2023
APPENDIX
Significant procedural steps
Date
Event
14 July 2021
OIC received Lusping’s external review application.
30 July 2021
OIC notified Council and Lusping it had accepted the application for
external review and requested information from Council.
2 August 2021
OIC received the requested information from Council.
2 September 2021
OIC asked Council to provide copies of certain show cause and enforcement
notices and received that information from Council.
25 November 2021
OIC asked the access applicant to confirm he still wished to access the
deferred documents and if he consented to his identity being
disclosed to
Lusping.
The access applicant confirmed that he still wished to access the
information, and consented to the disclosure of his identity.
26 November 2021
OIC conveyed a preliminary view to Lusping, confirmed the access
applicant’s identity, and invited Lusping to provide submissions
by 10
December 2021 to support their disclosure objection.
6 January 2022
OIC received Lusping’s submissions.
16 February 2022
OIC invited Lusping to provide further submissions in support of its
disclosure objections.
OIC conveyed a preliminary assessment of the deferred documents to the
access applicant and asked him to consider excluding certain
information.
24 February 2022
OIC received the access applicant’s response, which agreed to the
exclusion of certain information.
3 March 2022
OIC received further submissions from Lusping.
19 April 2022
OIC conveyed a further preliminary view to Lusping and invited Lusping to
provide further submissions.
OIC conveyed a preliminary view to the access applicant and invited him to
provide submissions.
20 April 2022
OIC received submissions from the access applicant.
5 May 2022
OIC received Lusping’s further submissions.
3 June 2022
OIC conveyed a further preliminary view to Lusping and asked Lusping if it
objected to inspection access being provided to the access
applicant.
9 June 2022
OIC received Lusping’s further submissions.
13 June 2022
OIC wrote to the access applicant to convey a further preliminary view;
notify that both Council and Lusping had agreed to inspection
access being
provided in the interest of informal resolution; and asked the access applicant
if he was willing to resolve the review
on that basis.
15 June 2022
OIC responded to questions raised by the access applicant.
OIC received the access applicant’s notification that he would not
accept inspection access as the basis for resolving the review.
6 July 2022
OIC conveyed a preliminary view to Council.
OIC invited Lusping to provide submissions in support of its disclosure
objections.
25 July 2022
OIC received Council’s submissions.
26 September 2022
OIC received submissions from Lusping’s representative.
19 October 2022
OIC wrote to Lusping’s representative, requesting clarification of
the received submissions and information concerning Lusping’s
disclosure
objections.
21 October 2022
OIC received a further submission from Lusping’s
representative.
13 January 2023
OIC conveyed a further preliminary view to Lusping’s representative
and invited final submissions if Lusping maintained its
disclosure
objections.
20 January 2023
OIC received further submissions from Lusping’s representative.
31 January 2023
OIC provided a summary of the information remaining in issue to
Lusping’s representative and requested further submissions.
10 February 2023
OIC received further submissions from Lusping.
13 February 2023
OIC provided a summary of the information remaining in issue to the access
applicant and asked if was willing to resolve the review
on the basis of
inspection access being provided.
14 February 2023
The access applicant notified OIC that he did not wish to resolve the
review and requested a formal decision.
1 March 2023
OIC conveyed preliminary views to Lusping, the access applicant and
Council.
13 March 2022
OIC received the access applicant’s further submissions.
17 March 2023
OIC received further submissions from Lusping and Council.
20 March 2023
OIC notified the access applicant that some information would be released
in accordance with the preliminary view and asked the access
applicant whether
he would accept a different form of access to the Report.
21 March 2023
OIC received confirmation from the access applicant that he did not accept
inspection access to the Report.
23 March 2023
OIC asked Lusping to clarify its disclosure position in respect of the
Report.
OIC received Council’s submission regarding the form of access to the
Report.
24 March 2023
OIC received the access applicant’s submissions, including about the
form of access to the Report.
OIC wrote to Lusping to confirm the information which remained in issue and
asked Lusping to confirm whether it maintained its disclosure
objections to that
information.
28 March 2023
Lusping provided further submissions in a telephone conversation with
OIC.
[1] Access application dated 1
February 2021.[2] Decision dated
10 May 2021. Lusping then applied for internal review of Council’s
decision and Council affirmed its original
decision on internal review on 22
June 2021.[3] External review
application dated 14 July 2021.[4]
Other documents, not relevant to this external review were also requested in the
access application. [5] Section 21
of the HR Act.[6] See XYZ v
Victoria Police (General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; and Horrocks v Department of Justice(General) [2012]
VCAT 241 (2 March 2012) at
[111].[7] I note the observations
by Bell J on the interaction between similar pieces of Victorian legislation in
XYZ at [573]: ‘it is perfectly compatible with the scope of that
positive right in the Charter for it to be observed by reference to the scheme
of, and principles in, the Freedom of Information Act.’ I also
note that OIC’s approach to the HR Act set out in this paragraph has
recently been considered and endorsed by the Queensland
Civil and Administrative
Tribunal in Lawrence v Queensland Police Service [2022] QCATA 134 at [23]
(noting that Judicial Member McGill saw ‘no reason to differ’
from our position).[8] By
correspondence dated 24 February
2022.[9] By correspondence dated
20 April 2022. [10] By written
submissions to OIC dated 6 January 2022, 3 March 2022,
5 May 2022, 26 September 2022, 20 January 2023,
10 February 2023
and telephone conversation with OIC on
28 March 2023.[11]
Schedule 4, part 2, item 1 of the RTI
Act.[12] Schedule 4, part 2,
item 2 of the RTI Act.[13]
Schedule 4, part 2, item 3 of the RTI
Act.[14] Schedule 4, part 2,
item 11 of the RTI Act.[15]
Schedule 4, part 2, factor 14 of the RTI Act.
[16] Schedule 4, part 2, factor
17 of the RTI Act. [17] Council
written submissions to OIC dated 25 July 2022, 17 March 2023 and telephone
conversation with OIC on 2 June 2022. Access
applicant written submissions
dated 24 February 2022, 20 April 2022, 14 June 2022, 13 March 2023 and 24 March
2023.[18] Internal review
decision to external review applicant dated 22 June
2021.[19] Campbell and North
Burnett Regional Council; Melior Resources Incorporated (Third Party) [2016]
QICmr 4 (29 January 2016) at [37].
[20] Schedule 4, part 3, item 2
of the RTI Act.[21] Schedule 4,
part 4, section 7(1)(c) of the RTI
Act.[22] Schedule 4, part 3,
item 9 of the RTI Act.[23]
See Cannon and Australian Quality Egg Farms Limited [1994] QICmr 9; (1994) 1
QAR 491 at paragraphs [62]-[63]. See also B and Brisbane North Regional
Health Authority [1994] QICmr 1; (1994) 1 QAR 279 at [160]. Other authorities note
that the words ‘require a judgement to be made by the decision-maker as
to whether it is reasonable, as distinct from something that is irrational,
absurd or ridiculous to expect a disclosure of the information could have the
prescribed consequences relied upon’: Smolenski v Commissioner of
Police, NSW Police [2015] NSWCATAD 21 at [34], citing Commissioner
of Police, NSW Police Force v Camilleri (GD) [2012] NSWADTAP 19 at [28],
McKinnon v Secretary, Department of Treasury [2006] HCA 45 at [61] and
Attorney-General’s Department v Cockroft [1986] FCA 35; (1986) 10 FCR 180 at 190.
[24] Council submissions dated
17 March 2023.[25] Access
applicant submissions dated 13 March
2023.[26] Section 108 of the RTI
Act.[27] Submissions to OIC
dated 25 July 2022.[28] Council
submissions dated 17 March
2023.[29] Schedule 4, part 3,
item 3 of the RTI Act.[30]
Schedule 4, part 4, section 6 of the RTI
Act.[31] Section 44 of the RTI
Act. [32] Under sections
47(3)(b) and 49 of the RTI
Act.[33] The Information
Commissioner has the power to decide any matter in relation to an access
application that, under the RTI Act, could
have been decided by the agency
(section 105(1)(b) of the RTI
Act).[34] For the application of
the copyright provision, see V11 and Brisbane City Council [2021] QICmr
39 (6 August 2021). [35] Section
10 of the Copyright Act.[36]
MacMillan and Co Ltd v Cooper (1923) 1B IPR 204 at
212-213; Interfirm Comparison (Australia) Pty Ltd v Law Society of New
South Wales [1975] 2 NSWLR 104 at 115 and IceTV
Pty Ltd v Nine Network Australia Pty Ltd (2009) 239 CLR 458 at 478-481 per
French CJ, Crennan and Kiefel
JJ.[37] Acohs Pty Ltd v Ucorp
Pty Ltd [2012] FCAFC 16; 201 FCR 173 at [57]; University of London
Press Ltd v University Tutorial Press Ltd [1916] 2 Ch 601 at 608-610 and
Dixon J in Victoria Park Racing and Recreation Grounds Co Ltd v Taylor &
Ors [1937] HCA 45; (1937) 58 CLR 479 at
511.[38] Section 32(4) of the
Copyright Act.[39] Section
31(1)(a)(i) of the Copyright
Act.[40] Section 35(6) of the
Copyright Act.[41] Section
29(1)(a) of the Copyright Act provides that a literary work shall be
deemed to have been published only if reproductions of the work have been
supplied to the public.[42] Part
III, Division 3 of the Copyright Act – Acts not constituting
infringements of copyright in works.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | S36 and Office of the Director of Public Prosecutions [2023] QICmr 18 (17 May 2023) |
S36 and Office of the Director of Public Prosecutions [2023] QICmr 18 (17 May 2023)
Last Updated: 19 September 2023
Decision and Reasons for Decision
Citation:
S36 and Office of the Director of Public Prosecutions [2023]
QICmr 18 (17 May 2023)
Application Number:
316838
Applicant:
S36
Respondent:
Office of the Director of Public Prosecutions
Decision Date
17 May 2023
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - request for brief of evidence
used in criminal
proceedings against the applicant - accountability and transparency
considerations - administration of justice and
procedural fairness - personal
information of other individuals - whether disclosure would, on balance, be
contrary to the public
interest - section 67(1) of the Information Privacy
Act 2009 (Qld) and sections 47(3)(b) and 49 of the Right to Information
Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Office of
the Director of Public Prosecutions (ODPP) under the Information
Privacy Act 2009 (Qld) (IP Act) for access to the full brief of
evidence used in the prosecution of the applicant
(Brief)[2] and an exit report
from a rehabilitative program completed by the applicant at a correctional
centre.[3]
The
ODPP located 473 pages of information responsive to the access application and
decided[4] to grant full access to 51
pages, partial access to 221 pages and refuse access to 201
pages.
The
applicant then applied[5] to the
Office of the Information Commissioner (OIC) for review of ODPP’s
decision.
For
the reasons set out below, I affirm ODPP’s decision and find that access
to the information in issue may be refused as disclosure
would, on balance, be
contrary to the public
interest.[6]
Reviewable decision
The
decision under review is ODPP’s decision dated 24 June 2022.
Evidence considered
The
significant procedural steps taken during the external review are set out in the
Appendix to this decision.
The
evidence, submissions, legislation and other material I have considered in
reaching this decision are referred to in these reasons
(including footnotes and
the Appendix).
In
making this decision I have also had regard to the Human Rights Act 2019
(Qld) (HR Act), in particular, the right of the applicant to
seek and receive information.[7] I
consider that a decision-maker will, when observing and applying the IP Act and
RTI Act, be ‘respecting and acting compatibly with’ these
rights and others prescribed in the
HR Act.[8] I further consider
that, having done so when reaching my decision, I have acted compatibly with and
given proper consideration to
relevant human rights, as required under section
58(1) of the HR Act.[9]
Information in issue
The
information remaining in issue comprises 221 part-pages and 153 full pages
contained in the Brief (Information in Issue).
Following
receipt of the applicant’s external review application, OIC advised the
applicant that the issue to be addressed during
the external review process was
whether access may be refused to the information comprised in the
Brief.[10] I conveyed a preliminary
view to the applicant that some of the information in the Brief, comprises
handwritten margin notes on
various witness statements and that I did not
consider that this was evidence that was put before the Court during the
prosecution
proceedings.[11] The
applicant did not raise any objection to my view in this respect and accordingly
the handwritten notes are not considered as
part of this
decision.
I
am constrained about the level of detail I can provide about the remaining
Information in Issue,[12] however I
can say that it comprises the personal
information[13] of individuals other
than the applicant and can generally be described as:
names and other
identifying information of individuals other than the applicant; and
information
(including observations and opinions) other individuals provided to Queensland
Police Service (QPS).
Issue for determination
The
issue for determination is whether access may be refused to the Information in
Issue, on the ground that disclosure would, on
balance, be contrary to the
public
interest.[14]
Relevant law
Under
the IP Act, an individual has a right to be given access to documents of an
agency to the extent they contain the individual’s
personal
information.[15] However, the right
of access is subject to the provisions of the IP Act, including the grounds on
which an agency may refuse assess
to a document.
In
deciding whether disclosure of information would, on balance, be contrary to the
public interest,[16] the RTI Act
requires a decision-maker
to:[17]
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information in issue would, on balance, be contrary to the
public interest.
Schedule
4 of the RTI Act contains non-exhaustive lists of factors that may be relevant
in determining where the balance of public
interest lies in a particular case.
I have considered these lists, together with all other relevant information, in
reaching my
decision. I have kept in mind the IP Act’s pro-disclosure
bias[18] and Parliament’s
requirement that grounds for refusing access to information be interpreted
narrowly.[19]
Findings
In
deciding whether disclosure of the Information in Issue would, on balance, be
contrary to the public interest, I have taken no
irrelevant factors into account
in making my decision.
Public interest factors favouring disclosure
The
RTI Act recognises that public interest factors favouring disclosure will arise
where disclosing the information could reasonably
be expected
to:
enhance the
Government’s accountability and
transparency;[20] and
reveal the
reason for a government decision and any background or contextual information
that informed that
decision.[21]
Disclosing
the Information in Issue would give the applicant a more complete picture of the
information in the possession of ODPP
at the time it prosecuted the applicant.
ODPP has partially disclosed information from the Brief, which demonstrates the
steps it
has taken in prosecuting the applicant’s case. The information
that has already been disclosed to the applicant has substantially
advanced
ODPP’s accountability and transparency and provided the applicant with the
relevant background or contextual information
that informed any decisions.
Taking into account, the nature of the Information in Issue and the information
which has already been
disclosed to the applicant, I attribute moderate weight
to these factors.
There
is a public interest in individuals being able to obtain access to their own
personal information held by government. Having
reviewed the Information in
Issue, I am satisfied that to the extent that it relates to the applicant, it is
the applicant’s
personal information. Accordingly, this disclosure factor
applies to the applicant’s personal information within the Information
in
Issue and I afford it significant weight. However, the information relating to
the applicant is intertwined with the personal
information of other individuals
to such an extent that it cannot be disclosed without also disclosing the
personal information of
those other individuals (giving rise to the
nondisclosure factors discussed below) in the sensitive context of criminal
proceedings.
The
applicant submits that he is currently incarcerated and intends to appeal his
convictions and sentence when he is out of
prison.[22] The applicant states
that he requires the Information in Issue as he will be self-represented. Given
the applicant’s submissions,
I have considered whether disclosure of the
Information in Issue could reasonably be expected to:
advance the fair
treatment of individuals and other entities in accordance with the law in their
dealings with agencies[23]
contribute to
the administration of justice generally, including procedural
fairness;[24] and
contribute to
the administration of justice for a
person.[25]
The
fundamental requirements of procedural
fairness[26] - that is, an unbiased
decision-maker and a fair hearing, should be afforded to a person who is the
subject of an investigation or
decision.[27] There is no
information before me to suggest that the applicant was not afforded an
opportunity to respond to the charges against
him during the criminal
proceedings which I understand were finalised in
2017.[28] In these circumstances, I
am not satisfied that there is a reasonable expectation that disclosure of the
Information in Issue would,
in any meaningful way, advance the applicant’s
fair treatment or contribute to the administration of justice, including
procedural
fairness. On this basis, while these factors may
apply,[29] I afford them only
moderate weight.
I
have also considered whether the disclosure of the Information in Issue could
reasonably be expected to contribute to the administration
of justice for a
person – namely, the
applicant.[30] For this factor to
apply, it must be established that the applicant has suffered some kind of wrong
in respect of which a remedy
is, or may be available under the law, that there
is a reasonable basis for seeking to pursue any such remedy and that disclosure
of the information held by the agency would assist the applicant to pursue the
remedy, or to evaluate whether a remedy is available
or worth
pursuing.[31]
Following
the decision of Bruce Dulley Family Lawyers v WorkCover
Queensland,[32] I am not
satisfied that the applicant’s intention to appeal his sentence and
conviction, is the type of wrong contemplated
by this factor favouring
disclosure and accordingly I afford this factor no weight. I also note here
that there are other processes
for disclosure available to individuals seeking
to appeal a criminal conviction.
The
applicant submits that there are several sections of the Criminal Code Act
1899 (Qld) (Code) which support disclosure of the Information in
Issue,[33] and in particular
section 590 ‘where it states disclosure of such information
must be made’. Section 590 of the Code provides that when a
person has been charged with an indictable offence and has been committed for
trial,
the Director of ODPP or a Crown prosecutor must present the indictment no
later than six months. As the applicant has been tried,
convicted and is
serving a prison sentence, I do not consider that section 590 of the Code is
relevant in the circumstances of this
matter. In addition, I note that there is
no information before me to suggest that the disclosure requirements of the Code
were
not followed during the proceedings against the applicant.
Similarly,
the applicant also submits that he has a right to a full copy of the Brief, in
particular ‘what was used and not used against’ him in his
trial, as provided in section 32 of the HR
Act.[34] Section 32 of the HR Act
provides rights for a person charged with a criminal offence, including for
example, to be informed promptly
and in detail of the nature and reason for a
charge[35] and to be tried without
unreasonable delay.[36] As noted
above, as the applicant has been tried, convicted and is serving a prison
sentence, I consider that with the exception
of section 32(4) of the HR
Act,[37] section 32 of the
HR Act is not relevant in the circumstances of this
matter.
I
also consider the Information Commissioner’s comments in Phyland v
Department of Police are
relevant:[38]
The RTI Act was not ... designed to serve as an adjunct to court processes,
but to comprise a stand-alone mechanism for enabling public
access to
government-held information. Obviously, the applicant is entitled to elect to
pursue access under the right of access
conferred by the RTI Act. In doing so,
however, she must accept the qualifications upon and limitations to that right
imposed by
the Act itself: including refusal of access where ... disclosure
would disclose personal information or infringe upon an individual’s
right
to privacy.
In
this regard, I note that it is reasonable to expect that the applicant may use
the disclosure processes available to him when he
makes his application for
leave to appeal his conviction/s and/or sentence. I have carefully considered
all factors listed in schedule
4, part 2 of the RTI Act and the
applicant’s submissions. Having done so, I can identify no other public
interest considerations
favouring disclosure of the Information in
Issue.
Public interest factors favouring nondisclosure
The
RTI Act recognises that disclosing an individual’s personal information to
someone else can reasonably be expected to cause
a public interest
harm[39] and that disclosing
information which could reasonably be expected to prejudice the protection of an
individual’s right to
privacy gives rise to a public interest factor
favouring
nondisclosure.[40]
As
noted at paragraph 11, the Information in Issue broadly comprises information
which identifies or is about individuals other than
the applicant and
information that was provided to QPS by other individuals. I am satisfied that
it comprises the personal information
of those other individuals. Most of the
Information in Issue is of a highly sensitive and highly personal
nature,[41] and as noted above, some
of it is intertwined with the applicant’s personal
information.
Given
the nature of the Information in Issue and the context in which it appears, I
consider that disclosure would be a significant
intrusion into the privacy of
those other individuals. While I acknowledge that some of the information may
be known to the applicant,
as it comprises evidence that was provided or
referenced in the applicant’s court process, I do not consider that this
reduces
the weight of these nondisclosure factors to any significant degree, as
the IP Act does not have protections or controls on the dissemination
of
documents once released in this process. For these reasons, I afford these
public interest harm and privacy factors significant
weight.
Finally,
the release of third-party personal information which has been provided to and
treated by QPS as confidential, could reasonably
be expected to prejudice the
future flow of information.[42] The
routine disclosure of third-party personal information could reasonably be
expected to discourage the public from providing
information, negatively
impacting QPS’s ability to obtain information required to perform its
investigative functions. In
the circumstances, of this matter I afford moderate
weight to this factor favouring nondisclosure.
Balancing the public interest factors
I
have taken into account the pro-disclosure bias in deciding access to the
Information in Issue under the IP
Act.[43] I have afforded
significant weight to the factor favouring disclosure of the applicant’s
personal information within the Information
in Issue. In addition, and for the
reasons outlined above, I have found that the factors relating to ODPP’s
transparency and
accountability, revealing the reason for a government decision
and the fair treatment and administration of justice, including procedural
fairness factors are deserving of moderate weight, taking into account the
nature of the Information in Issue and the information
which has been disclosed
to the applicant.
On
the other hand, I have found that the nondisclosure factors which relate to
protecting the personal information and right to privacy
of other individuals,
in a highly sensitive context, are deserving of significant weight. I have also
afforded moderate weight to
the nondisclosure factor relating to the prejudice
of the flow of information to QPS.
On
balance, I am satisfied that the public interest factors favouring nondisclosure
of the Information in Issue outweigh the factors
favouring disclosure.
Accordingly, I find that disclosure of the Information in Issue would, on
balance, be contrary to the public
interest and access may be refused on that
basis.[44]DECISION
For
the reasons set out above, I affirm the ODPP’s decision that access to the
Information in Issue may be refused as disclosure
would, on balance, be contrary
to the public
interest.[45]
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.S
MartinAssistant Information Commissioner Date: 17 May
2023
APPENDIX
Significant procedural steps
Date
Event
2 August 2022
OIC received the application for external review.
OIC requested preliminary documents from ODPP.
3 August 2022
OIC received the preliminary documents from ODPP.
18 August 2022
OIC advised the applicant and ODPP that the application for external review
had been accepted.
OIC requested the Information in Issue from ODPP.
19 August 2022
OIC received the Information in Issue from ODPP.
1 December 2022
OIC conveyed a preliminary view to the applicant.
15 December 2022
OIC received submissions from the applicant contesting OIC’s
preliminary view.
1 February 2023
OIC advised ODPP that the matter would proceed to formal decision.
[1] Access application dated 20 May
2022. The access application was originally made to the Department of Justice
and Attorney-General
(DJAG) and was then transferred to ODPP. DJAG has
delegated power to deal with applications made under the IP Act for access
to documents
in ODPP’s possession or control.
[2] The search period for the
Brief was 1 January 2016 to 31 December
2017.[3] In a letter to the
applicant dated 31 May 2022, DJAG advised the applicant that any exit report and
rehabilitative program completion
documents would be held by Queensland
Corrective Services. Accordingly, the exit report has not been considered as
part of the external
review.[4]
Decision dated 24 June 2022. [5]
External review application received 2 August 2022 and dated 9 July 2022.
[6] Pursuant to section 67(1) of
the IP Act and sections 47(3)(b) and 49 of the Right to Information Act
2009 (Qld) (RTI Act). Section 67(1) of the IP Act provides that an
agency may refuse access to the document of an agency in the same way and to the
same extent the agency could refuse access to the document under the RTI Act
(section 47) were the document to be the subject of
an access application under
that Act.[7] Section 21 of the HR
Act.[8] See XYZ v Victoria
Police (General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; and Horrocks v Department of Justice (General) [2012] VCAT 241 (2
March 2012) at [111].[9] I note
the observations by Bell J on the interaction between equivalent pieces of
Victorian legislation in XYZ, [573]: ‘it is perfectly compatible
with the scope of that positive right in the Charter for it to be observed by
reference to the scheme
of, and principles in, the Freedom of Information
Act.’ I also note that OIC’s approach to the HR Act set out in this
paragraph has recently been
considered and endorsed by the Queensland Civil and
Administrative Tribunal in Lawrence v Queensland Police Service [2022]
QCATA 134 at [23] (noting that Judicial Member McGill saw ‘no reason to
differ’ from our position).
[10] Letter to the applicant
dated 18 August 2022. Included in the 473 pages of information located by ODPP
was some information that
ODPP categorised as ‘traffic
history’ and ‘criminal history’. ODPP refused
access to this information pursuant to section 47(3)(f) of the RTI Act.
OIC conveyed a view to the applicant, that
ODPP’s decision in that respect
appeared to be correct and accordingly OIC did not propose to consider those
issues in the
external review.
[11] On this basis I consider
that this information may be deleted under section 88 of the IP Act, as it does
not form part of the Brief.[12]
Section 121(3) of the IP
Act.[13] Personal
information’ is defined in section 12 of the IP Act as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or
opinion’.[14] Pursuant
to section 67(1) of the IP Act and sections 47(3)(b) and 49 of the RTI
Act.[15] Under section 40(1)(a)
of the IP Act. [16] The term
‘public interest’ refers to considerations affecting the good
order and functioning of the community and government affairs for the well-being
of citizens.
This means that, in general, a public interest consideration is one
which is common to all members of, or a substantial segment of,
the community,
as distinct from matters that concern purely private or personal interests,
although there are some recognised public
interest considerations that may apply
for the benefit of an individual: Chris Wheeler, ‘The Public Interest: We
Know It's
Important, But Do We Know What It Means’ [2006] AIAdminLawF 2; (2006) 48 AIAL
Forum 12, 14.[17] Section 49
of the RTI Act.[18] Section 64
of the IP Act.[19] Section 67(2)
of the IP Act.[20] Schedule 4,
part 2, item 1 of the RTI Act.
[21] Schedule 4, part 2, item 11
of the RTI Act.[22] Letter from
the applicant dated 9 July
2022.[23] Schedule 4, part 2,
item 10 of the RTI Act.[24]
Schedule 4, part 2, item 16 of the RTI
Act.[25] Schedule 4, part 2,
item 17 of the RTI Act.[26]
Schedule 4, part 2, item 16 of the RTI
Act.[27] The fair hearing aspect
of procedural fairness requires that, before a decision that will deprive a
person of some right, interest
or legitimate expectation is made, the person is
entitled to know the case against them and to be given the opportunity of
replying
to it (Kioa v West [1985] HCA 81; (1985) 159 CLR 550 at [584] per Mason
J).[28] Page 1 of the
information disclosed to the
applicant.[29] Schedule 4, part
2, items 10 and 16 of the RTI
Act.[30] Schedule 4, part 2,
item 17 of the RTI Act.[31]
Willsford and Brisbane City Council [1996] QICmr 17; (1996) 3 QAR 368 at [17]; confirmed
in 1OS3KF and Department of Community Safety (Unreported, Queensland
Information Commissioner, 16 December 2011) at [16]).
[32] (Unreported, Queensland
Information Commissioner, 26 July 2012) at [31]. While I acknowledge that the
findings in that matter related
to a civil matter, I consider that the findings
apply equally to a criminal
matter.[33] Letter to OIC dated
9 December 2022.[34] Letter to
OIC dated 9 December 2022.[35]
Section 32(2)(a) of the HR
Act.[36] Section 32(2)(c) of the
HR Act.[37] Section 32(4) of the
HR Act provides a person convicted of a criminal offence has the right to have
the conviction and any sentence
imposed in relation to it reviewed by a higher
court in accordance with the
law.[38] (Unreported, Queensland
Information Commissioner, 31 August 2011) at [24], cited in Sedlar and Logan
City Council [2017] QICmr 52 (& November 2017) at [59]. While I
acknowledge that this case was in relation to an access application made under
the RTI Act,
I consider that the comment applies equally to an access
application made under the IP
Act.[39] Schedule 4, part 4,
section 6 of the RTI Act.[40]
Schedule 4, part 3, item 3 of the RTI Act.
[41] Such as the information
(including observations and opinions) other individuals provided to
QPS.[42] Schedule 4, part 3,
item 13 and schedule 4, part 4, section 8 of the RTI
Act.[43] Section 64 of the IP
Act.[44] Under section 47(3)(b)
of the RTI Act.[45] Pursuant to
section 67(1) of the IP Act and sections 47(3)(b) and 49 of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Queensland Newspapers Pty Ltd and Ipswich City Council [2015] QICmr 30 (26 November 2015) |
Queensland Newspapers Pty Ltd and Ipswich City Council [2015] QICmr 30 (26 November 2015)
Last Updated: 20 January 2017
Decision and Reasons for Decision
Citation: Queensland Newspapers Pty Ltd and Ipswich City Council
[2015] QICmr 30 (26 November 2015)
Application Numbers: 312354 and 312421
Applicant: Queensland Newspapers Pty Ltd
Respondent: Ipswich City Council
Decision Date: 26 November 2015
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
REFUSAL OF ACCESS – NONEXISTENT DOCUMENTS – DOCUMENTS
OF AN AGENCY
– refusal of access to a document because the document is nonexistent
– whether agency has taken all reasonable
steps to locate documents
– sections 47(3)(e) and 52(1)(a) of the Right to Information Act
2009 (Qld) – whether requested documents are documents of an agency
– section 12 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
By
application dated 17 November
2014,[1] the applicant
applied to the Ipswich City Council (the Council) under the Right to
Information Act 2009 (Qld) (RTI Act) for access to documents
concerning ‘[t]ravel arrangements for transport for trip involving
Ipswich City Properties or council agents, for a trip to the US in September
2010.
...’ (First
Application).[2]
The
applicant lodged a further RTI access application with the Council on 12
February 2015 (Second Application),
[3] requesting documents:
...showing travel itineraries and any other documentation
relating to travel taken by Ipswich City Properties and its directors to
Europe
and the Middle East in 2012, including accommodation bookings/reservations, and
flights/other transport arrangements. This
is to include searches of any other
email accounts used for these arrangements external to official council email
addresses, emails
to/from [a nominated Council officer] and any travel
arrangement details emailed either to or from [another named officer].
This should also include a search of diary entries relating to the trip in
the diaries of Crs Paul Pisasale and Paul Tully. ...
The
Council located no information in relation to the First
Application,[4] and a
small amount[5] of
relevant information in response to the Second. The Council:
as regards the
First Application, refused access to requested information under sections
47(3)(e) and 52(1)(a) of the RTI Act, on
the grounds the information was
nonexistent; and
as regards the
Second Application, decided to disclose the information
located.[6]
As
noted, the Council only located a relatively limited number of documents in
processing the applicant’s RTI access applications.
The decision on the
Second Application did, however, suggest that Ipswich City Properties Pty Ltd
(ICP), a Council-owned
company,[7] might hold
further relevant documents, but that any such document would not be a
‘document of
agency’[8] (ie,
the Council) subject to the RTI Act.
The
applicant’s case on external review is that any potentially relevant
documents that may be held by ICP should be regarded
as documents of an agency
– the Council – for the purposes of each of the applicant’s
access applications.
I
agree with the Council’s view. Any documents that may be held by ICP are
not documents of an agency for the purposes of the
RTI Act and are therefore not
subject to the Act.
Accordingly,
the Council is not required to undertake search inquiries of ICP for potentially
relevant documents in relation to either
application. It may therefore refuse
access to any additional information in relation to both the First Application
and the Second
Application, on the basis that such information is, as regards
the Council, nonexistent.
Background
Significant
procedural steps relating to each of the applications and external reviews are
set out in the appendix to this decision.
Reviewable decisions
The
decisions under review are the Council’s decisions dated 9 January 2015
and 19 March 2015.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are disclosed in these reasons (including
footnotes and appendix).
Issue for determination
The
issue for my determination in each of these reviews is whether any relevant
documents that may be held by ICP can be regarded
as Council documents for the
purposes of the RTI Act – that is, are ICP documents ‘documents of
an agency’ (ie,
the Council) within the meaning of section 12 of the RTI
Act?
If
the answer to this question is yes, then by not having made enquiries of ICP,
Council will not have taken all reasonable steps
to locate all relevant
information,[9] and thus
failed to have discharged the search obligations imposed on it by the RTI Act.
The Council would not, therefore, be entitled
to refuse access to ICP
information on the basis of nonexistence as it did in relation to the First
Application. The Council would,
in relation to both access applications, need
to carry out further searches; that is, by making enquiries of ICP.
If
the answer to the above question is no, then Council will only be obliged to
search for and deal with records that the Council
holds directly – which
it appears to have done in this case. There will be no obligation to make any
additional inquiries
of ICP in either review.
Relevant law
A
document of an agency: means a document, other than a document
to which this Act does not apply, in the possession, or under the control, of
the agency whether
brought into existence or received in the agency, and
includes—
(a) a document to which the agency is entitled to access; and
(b) a document in the possession, or under the control, of an officer of
the agency in the officer's official
capacity.[10]
Mere
physical possession of a document by an agency is sufficient to meet the above
requirements and subject the document to the operation
of the RTI
Act.[11]
Physical possession is not, however, the sole test as to whether a document is a
document of an agency subject to the RTI Act. A
document not in the physical
possession of an agency will nevertheless be a ‘document of an
agency’ for the purposes
of the RTI Act, if it is ‘under the
control’ of the relevant
agency.[12] The
Information Commissioner has previously explained that a document will be under
the control of an
agency[13] where the
agency has a present legal entitlement to take physical possession of the
document.[14]
Discussion and findings
Possession
The
Council has explained that searches for relevant documents in relation to each
application involved various lines of enquiry,
including interrogation of the
Council’s electronic document management databases. I have summarised
these below as regards
each of the access applications.
As
regards the First Application, relevant searches were undertaken by both the
Governance Branch and the Strategic Client Branch
(Travel Requests) of the
Council’s Finance and Corporate Services Department, and involved
searching spreadsheets concerning
travel purchase orders and querying the
Council’s ‘ECM’ records management database – including
by way of
search terms such as ‘travel’ and the relevant
traveller’s
name.[15] The
decision on the First Application explained that these searches were undertaken
as ‘...the type of information requested...is all stored in the same
location’.[16]
The
Council further explained on external review that the Ipswich City Mayor and a
Councillor – both of whom, as I understand,
participated in relevant
travel – assisted in search efforts relevant to the First
Application,[17] and
that searches of the offices of the Chief Executive Officer and Chief Financial
Officer were also
undertaken.[18] All
search efforts were
fruitless.[19] On
this basis, the Council decided, as noted, to refuse the applicant access to
requested information on the basis of nonexistence.
Similar
searches were undertaken in processing the Second Application. The ECM was
again
interrogated,[20] and
searches were also undertaken of an ‘Oracle’ electronic data
management system and Council email systems –
reflecting, as I understand,
the particular terms of the Second Application. These searches were undertaken
by Council units including
the Mayor’s office, the Travel Requests unit,
and personal assistants of those named in the Second
Application.[21]
Search
efforts as regards the Second Application located, as I have noted, various
pages, which were released to the applicant subject
to deletion of certain
segments of information. Additionally, the Council’s decision as regards
the Second Application observed
that:
[a]s the travel [targeted by the applicant in the Second
Application] was undertaken on behalf of Ipswich City Properties Pty Ltd,
that entity may hold other information concerning this travel. That is a
separate legal entity to the Council. It has separate premises and information
systems as well as document storage. The
documents of Ipswich City Properties
Pty Ltd are not documents to which council has access and are therefore not
documents of an
agency...the information/documents of Ipswich City Properties
Pty Ltd are not within the possession or control of Council.
The
Council elaborated on the physical division between the Council and ICP in
submissions lodged during these reviews which, while
relatively lengthy, merit
setting out in full:
The
status of Ipswich City Properties, as a separate legal entity has several
practical implications which are relevant in the current
circumstances
including:
(a) Ipswich
City Properties has its own separate licensed premises within the Council
Building premises. This level of separation
between Ipswich City Properties and
the Council has been in operation for some time. The area which Ipswich City
Properties occupies
is specifically identified and the Council has granted a
license to Ipswich City Properties for a nominated licence fee to use the
premises. The rights and obligations of the parties have been agreed and include
that Ipswich City Properties is entitled to occupy
the licensed premises without
unreasonable interference from the Council (other than access for inspection and
maintenance related
purposes).
(b) Ipswich City Properties has its own
separate information management and storage systems. In this regard:
(i) Hardcopy documents of Ipswich City Properties are generated, stored
and maintained within the licensed premises;
(ii) Ipswich City Properties uses a separate information system,
including document management and storage systems, a separate server
for
documents such as emails and separate photocopy systems. This level of
separation is also reflected in the use of Ipswich City
Properties email
addresses; and
(iii) Directors of Ipswich City Properties are responsible for ensuring
that all documents, emails and other information that are
generated in relation
to Ipswich City Properties' business and operations are appropriately stored
within the Ipswich City Property
files.
(c) While Council employees do provide select and discrete services to
Ipswich City Properties, these services are provided under
specific secondment
arrangements.
Ipswich
City Properties and the Council are separate legal entities which do operate
separately and independently of each other.
Relevantly, the separate and
independent nature of the Council and Ipswich City Properties extends to the
separate management, handling,
storage and use of information and
documentation.
Having
carefully reviewed the Council’s accounts of its search efforts in
relation to both applications, I am satisfied that
those efforts were reasonable
in the circumstances of each case. I consider that relevant searches and lines
of enquiry were directed
toward appropriate officers and information
repositories within the Council, sufficient to locate any relevant documents the
Council
may hold. There is nothing before me to suggest that the Council is
itself in possession of any
further[22] relevant
information.
The
applicant, however, is not so satisfied. While I do not understand the
applicant to be querying the reasonableness or adequacy
of the Council’s
searches of its own records in relation to either
application,[23] it
does challenge the extent of the division between the Council and ICP, and seeks
to ascertain whether requested information may
ever have been in the
Council’s possession. In its submissions dated 26 October 2015, the
applicant argued that:
Given the Information Commissioner has previously ruled
“mere physical possession” of documents is sufficient to make
records documents of an agency, we wish to understand more about council’s
submission that refers to ICP having separate premises
and systems.
We submit that council needs to detail when this separation occurred and
who actually has possession of the documents.
Council in their submission has referred to separate servers and
non-council emails, and we wish to address this issue to look at
the idea of
physical possession. Again, we point to instances where council staff handled
queries via council email addresses. Any
postal mail must presumably be handled
at council given ICP’s official address on company documents is given as
council.
Council via Clayton Utz say the documents are kept on a separate email
system and computer system. However, it appears from the email
correspondence/press releases to date that the organisation is using the council
email system/computer system/staff. All email responses
to date regarding ICP
inquiries have been sent from council email addresses, including Mr Lindsay's
council email address.
The critical issue is whether ICP is using/sharing the council email
server, internet router, internet connection or any other council
owned devices
(computers, hard drives) for the sending/receiving of communications and storage
of documents. It would also be pertinent
if the ICP emails passed through any
council mail servers or shared the council domain. This has two issues, first
going to the concept
that ICP is in reality an arm of council, and also to
possession.
To satisfy itself the documents were not in possession of the council, QN
asks that the OIC request further information such as what
email addresses were
being used by ICP, details of the email server (such as was it council owned)
and the use of any council IT
equipment. If ICP used a council-owned email
server/systems, then this would support the case that the documents were in
council's
possession, whether they had a legal entitlement to them or not, by
way of the fact they were transmitted on council equipment.
Also, Clayton Utz states that council staff members were being used on
secondment and that ICP had a licenced room in council where
ICP activities took
place. We again seek clarification about this arrangement to address issues of
ownership. Where was the room
located, how long the lease has been in place, and
how much does ICP pay for the room? Do council staff do ICP work "on secondment"
in the ICP room only or at their council desks, and how does council determine
when staff are performing council work and ICP work
(for instance in handling
media requests)?
I
acknowledge that if any ICP information is stored on Council-owned information
infrastructure or within Council premises or repositories,
then it will be in
the physical possession of the Council and subject to the RTI Act.
The
Council’s position, however is that the circumstances canvassed in the
preceding paragraph do not apply in this case. The
Council’s account is
clear: the Council and ICP operate ‘separately and independently of
each other’, a division which ‘extends to the separate
management, handling, storage and use of information and
documentation.’ I accept that
account,[24] and do
not consider it necessary to descend further into the particulars of the
physical, legal and operational arrangements the
Council and ICP have in place
so as to differentiate their business and affairs. To repeat what I stated in
paragraph 22, there is nothing before
me to suggest that the Council is itself in possession of any additional
relevant information.
I
also accept that the applicant may have received emails from Council officers
concerning ICP affairs. That does not, however, establish
that specific
documents of the kind requested by the applicant in either of its applications
are currently in the physical possession
of the Council.
As
canvassed in paragraph 23 above, the
applicant further seeks to query as to whether requested information may at some
point in time have been in the Council’s
physical possession.
The
submissions excerpted in paragraph 23,
for example, note that ICP and the Council share a postal address, the inference
being, I assume, that post directed to the former
must pass through the
possession of the latter. More directly, the applicant queries whether
‘...ICP emails passed through any council mail servers...’,
and goes on to request that OIC ‘...satisfy itself the documents were
not in possession of the council...’, by seeking information as to
whether requested documentation may have been transmitted through Council-owned
IT infrastructure, on
the basis that if this did occur, ‘...this would
support the case that the documents were in council's possession’.
The
submissions summarised above appear intended to develop a line of argument
initiated by the applicant in submissions dated 29
June 2015:
We wish to clarify that whether any of the documents have ever
been in Ipswich council offices, or communicated or paid for via council
technology (email, phones, use of spreadsheets etc). ...
... we wish to test the idea that the documents might have been in council
possession. If council facilities (email addresses etc)
were used in preparing,
sending or receiving invoices, or paying for travel expenses, or in preparation
of paperwork, or printing
of paperwork, or even storage of paperwork in offices
etc, they should be deemed to have been in possession of council.
If council has possessed the documents, then the Information
Commissioner's reasoning, in Kalinga Wooloowin Residents Association Inc and
Brisbane City Council; City North Infrastructure Pty Ltd (Third Party); Treasury
Department
(Fourth Party)..., is also critical.
That is because the Information Commissioner found: "the correct
interpretation of ‘possession’ is as I have stated in
paragraph 14
above: mere physical possession by an agency is sufficient to render a document
subject to the RTI
Act".[25]
In
additional submissions dated 30 June 2015, the applicant stated:
It is inconceivable that the mayor, deputy mayor and senior
executives did not have possession of documents such as travel itineraries,
hotel booking information and plane tickets when travelling around the US,
Europe and the Middle East. Those documents must have
been in the possession of
those council representatives/staff, and by extension, the council.
...
The fact that multiple council representatives/staff would have had
possession of travel documentation...makes it difficult to argue
council did not
have possession of such documents.
The
above arguments are complemented by a further submission, received from the
applicant on 27 October 2015:
Section 27 (1) of the RTI Act states that "an access application
is taken only to apply to documents that are, or may be, in existence
on the day
the application is received". We respectfully submit that given the wording of
the act, the OIC determines not just the
current situation, but if documents
also had been in physical possession of council.
There
is nothing before me establishing that the Council has ever had any temporary
possession of the kind the applicant speculates
may have occurred in the
submissions summarised in paragraph 28.
While I accept that it is likely that the officials nominated in the submissions
extracted in paragraph 30 were in
possession of documents of the kind specified during the
co[26]se of their
travels,26 I have not pursued either this issue or the
question of any temporary possession, for both are ultimately irrelevant. As I
advised
the applicant in my letter dated 13 October 2015, I am required to have
regard to relevant facts and circumstan[27]s as
they now stand.27 The test under section 12 of the RTI
Act is not, relevantly, whether a document ever has been in the
possession of an agency, but wh[28]her it is
presently.28 There is no evidence that any documents
of the kind requested by QN are presently in the Council’s possession.
In
this regard, the applicant’s reliance on section 27(1) of the RTI Act is
misconceived. That section does not operate to
qualify or extend the test
imposed by section 12 of the RTI Act, but exists simply to establish a temporal
limit to the right of
access conferred by section 23 of the RTI Act; it confines
the scope of that right to documents in existence on the day a valid application
is fielded by a Minister or agency. This is to avoid any suggestion that an
applicant might lodge an ‘open ended’ access
application capturing
not only requested documents in existence at the time of the application’s
lodgment, but those that might
subsequently come into an agency’s
possession or under its control.
On
the basis of its search inquiries and explanations as canvassed above, I am
satisfied that the Council is not itself in possession
of any
further[29] documents
as requested by the applicant.
Control
As
noted above,[30] a
document not in the physical possession of an agency will nevertheless be a
‘document of an agency’ for the purposes
of the RTI Act, if it is
under the control of the relevant agency: if the agency has a present legal
entitlement to take physical
possession of the document. As the Information
Commissioner stated in the key decision concerning this issue, ‘for a
document to be one which is under the control of an agency (or one in respect of
which an agency is entitled to access), the
agency must have a present legal
entitlement to take physical possession of the
document.’[31]
In
this case, I am not satisfied that the Council enjoys a present legal
entitlement to take physical possession of documents held
by ICP.
While
the Council, as sole shareholder, essentially owns
ICP,[32] as an
incorporated entity, ICP has a separate legal
existence[33] and any
property – including records and documents it creates – belong to
ICP.[34] I can
identify nothing in ICP’s
constitution[35] or
the applicable law[36]
that gives the Council a right of access to ICP documents of the kind requested
by the applicant, and nothing that would amount to
a present legal entitlement
to possession of such documents.
It
may be that Council – as ICP’s sole shareholder – would be
able to put itself in a position to take possession
of any relevant ICP
documents, by way of a shareholder
resolution.[37] I do
not, however, consider that this method of acquiring possession would be
sufficiently immediate to amount to a present legal
entitlement of the kind
required under section 12 of the RTI Act. As the Information Commissioner has
previously stated:
I accept that it was the legislature's intention that an agency
should take steps to bring into its physical possession, for the purpose
of
dealing with a valid FOI access application, any requested document in respect
of which the agency has a present legal entitlement
to possession.
However, I do not accept that it was the legislature's intention that an
agency should have to take some additional step in order to put itself
into a
position where it has a legal entitlement to take possession of a document, in
order to respond to an FOI access application
for that
document.[38]
(My emphasis.)
Formulating
an appropriate resolution and then securing its
passage[39] would, in
my view, comprise an ‘additional step’ of the kind the Information
Commissioner has identified as being insufficient
to amount to a present legal
entitlement to possession.
The
applicant resists any conclusion that the Council does not have control of ICP
documents. The applicant’s main line of
argument in support of this
contention is that the circumstances obtaining in these reviews are sufficient
to justify a ‘lifting’
or ‘piercing’ of the corporate
veil separating ICP from the Council. In the first of two sets of submissions
emailed
on 29 June
2015,[40] the
applicant advised that it did not accept any:
...contention that ICP is a separate entity and the council is
not in possession of the documents. We base this on several well-established
legal principles in which the corporate veil can be pierced. If this argument is
successful, any documentation with ICP is under
control of council and therefore
subject to the RTI Act.
Insofar
as the above submission comprises an argument that ICP is not a ‘separate
entity’ from the Council, it cannot,
as I advised the applicant in my
letter dated 13 October 2015, be sustained. As an incorporated body it is
clearly a separate legal
entity distinct from the Council.
In
support of its more general argument that the circumstances in this case justify
a lifting of the corporate veil, the applicant
relies on an academic study
quantifying decisions in which courts have done just
so.[41] Relying on
authorities cited in this paper, the applicant contends that I should
‘lift’ ICP’s corporate veil and
conclude that the Council has
a present legal entitlement to – and thus control of – any relevant
documents that may
be held by ICP.
ICP as agent for/alter ego of the Council
The
applicant’s principal argument appears to be that ICP should be seen as
indistinguishable from and/or agent for/‘alter
ego’ of the
Council.[42] The
applicant points to the fact that the Council is the sole beneficial shareholder
of ICP,[43] and that
all of ICP’s directors are elected Council representatives or senior
Council officials.[44]
The applicant’s key contention is, as I understand, that the Council has
‘such a degree of effective control that the company is held to be an
agent of the shareholder, and the acts of the company are deemed
to be the acts
of the
shareholder.’[45]
I
have given the applicant’s submissions in this regard close consideration.
I am not, however, persuaded that I should adopt
them.
As
a starting point, I cannot see that the main authority relied on by the
applicant in its initial
submissions[46] on
this issue – Taylor v Santos Ltd (Taylor v
Santos)[47]
– actually assists the applicant. The Full Court of the South Australian
Supreme Court in that case found (in the context
of a dispute as to disclosure
obligations) that a parent company did not have an immediate right to inspect
documents held by a subsidiary,
and that the documents were not within the
parent’s power. As noted in a later case which considered this issue in a
similar
context, and which arrived at the same
conclusion:[48]Doyle CJ
said [in Taylor v Santos] that documents of a subsidiary company are,
prima facie, not in the power of the controlling company and that it will not
usually
be appropriate to engage in a lifting of the corporate veil.
Nevertheless,
the applicant’s initial submissions as summarised in paragraph 43 and its citation of Taylor v
Santos did cause me to undertake a careful review of potentially relevant
authorities derived from the law concerning disclosure/discovery,
including:
B v
B[49]
Lonrho Ltd v
Shell Petroleum Co Ltd
(Lonrho)[50]
Marriage of
Barro;[51] and
Schweitzer v
Schweitzer
(Schweitzer).[52]
I
approached these cases with a degree of caution, in view of the fact that they
concern questions of inspection, disclosure and production
of documents in
curial settings, and in the main involve consideration of whether documents
could be said to have been in the ‘possession,
custody or power’ of
a person or entity (despite their being in the physical possession of another),
rather than being ‘in
the possession, or under the control’, as
section 12 of RTI Act requires.
Of
particular interest, however, was O’Reilly J’s decision in
Schweitzer, for the reason that the duty of disclosure prescribed in Rule
13.07 of the Family Law Rules 2004 is framed in very similar terms to the
words used in section 12 of the RTI
Act.[53]
O’Reilly J was guided by older authorities dealing with questions of
‘power’ over documents, when contemplating
what was meant by the
phrase ‘in the possession or under the control’. Specifically,
O’Reilly J gave consideration
to the observations of Lord Diplock in
Lonrho, where:...his Lordship left open the question
whether in respect of "one-man" companies of which "a natural person and/or his
nominees" are
the sole shareholders and directors (alter ego companies) in
effect, documents of the company may be held to be in the possession
or power of
such persons:
... In particular, I say nothing about one-man companies in which a natural
person and/or his nominees are the sole shareholders and
directors. It may be
that, depending on their own facts, different considerations may apply to
these.
O’Reilly
J was not satisfied that the relevant entities in Schweizer were, on the
facts, the alter ego of the individual against whom disclosure was
sought.[54] However,
I did give considerable thought as to whether the judgment in that case may
support ‘lifting the veil’ in these
reviews, particularly given that
the decision dealt with a statutory formulation substantially similar to that
used in section 12
of the RTI Act, concerning questions of
‘control’, rather than ‘power’.
In
considering whether to ‘lift the veil’ in the present context, I
also had regard to the Victorian Supreme Court decision
in Linfa Pty Ltd v
Citibank Ltd
(Linfa).[55]
In that case, Hedigan J looked through the distinction between subsidiary
companies and a parent, finding that the subsidiaries were
not acting as
separate legal entities but on behalf of the parent. Documents in the
possession of the subsidiaries were therefore
held to be in the
‘power’ of the parent.
The
judgment in Linfa has been the subject of some
doubt.[56]
Nevertheless, for the purposes of my preliminary deliberations in these reviews,
I was prepared to entertain the idea that Hedigan
J’s judgment could be
read as extending the comments of Lord Diplock in
Lonrho;[57]
that alter ego considerations might not necessarily be confined to
situations involving ‘one-man’ companies acting on
behalf of a
natural person, but may be relevant as between related bodies corporate, when
assessing whether one entity could be said
to control documents in the
possession of another.
I
wrote to the solicitors for the Council by letter dated 10 September 2015,
setting out my thinking as outlined in paragraphs 44-51 and inviting its submissions in reply.
The Counci[58]replied,
relevantly,58 that:
... there is no settled "agency" or "alter ego" principle that can be applied in
the present circumstances.
It
is a fundamental rule of law that Council and Ipswich City Properties are to be
treated as separate legal entities, notwithstanding
their shareholding
relationship. The same fundamental rule applies with respect to directors of
Ipswich City Properties. While isolated
cases exist where limited exceptions to
this rule have been recognised - some of which were described as "agency" or
"alter ego"
exceptions in [my letter dated 10 September 2015], there is
no consistent line of authority or identifiable principle unifying those
decisions. It has recently been stated that the
various decisions lack "a firm
basis in principle and policy" and that this area of law is beset by a
"conceptual fog". The application
of "agency" or "alter ego" principles with
respect to disclosure obligations in Court proceedings is no exception. The
decisions
selected for reference in [my letter dated 10 September 2015, and
listed in paragraph 45 above] are drawn from a variety of other jurisdictions
and were made under wholly unrelated procedural regimes. They also reflect the
doctrinal
inconsistency that exists in this area of law.
Furthermore
the majority of the cases referred to did not involve a finding that documents
held by a corporate entity related by shareholding
or directorship to a party to
the proceedings should be disclosed under the relevant procedural rules. Council
notes that the only
decision referred to in [my letter dated 10 September
2015] where an order for disclosure by a parent company of documents held by
a subsidiary was made is Linfa Pty Ltd v Citibank Ltd. However, that case
was doubted in another decision referred to in the Letter, Taylor v Santos
Ltd. In that case, Olsson J, with whom Doyle CJ agreed, stated that
Linfa was "the product of a very special set of facts", and was not
intended to challenge the "core concepts" of the law in this area,
which are
that documents held by a subsidiary are not treated in law as documents held by
the parent. To do otherwise, Olsson J remarked,
would "turn long settled
principles of corporate law, established by courts of the highest authority, on
their head".
22. As the OIC is aware, obiter dicta comments have
been made in some cases, such as Lornho Ltd v Shell Petroleum Co Ltd and
Taylor v Santos Ltd, that the emphatic rejection of arguments that a
parent company has documents of a subsidiary in its possession or under its
control
simply as a result of their shareholding relationship does not preclude
the recognition of some exceptions in other, extreme cases.
However,
as discussed above, no generally accepted set of principles has emerged. Given
the fragmented and inconsistent state of
the law in this area, Council submits
that there is no clearly defined "agency" or "alter ego" principle that could be
applied in
this matter. Attempting to discern some form of unifying principle
from a small number of decisions from a variety of jurisdictions
is simply
inappropriate. (Footnotes and citations omitted.)
For
its part, the applicant now urges that I adopt the approach taken in
Linfa, particularly in view of what it contends are various factual
similarities between that case and the present, including a shared
postal
address,[59]
allocation of ICP profit to the Council, and the ‘intertwining’ of
Council/ICP roles by various personnel, the latter
which in its view justifies
‘the conclusion that often people working at ICP are actually also
working for council.’ In support of this latter assertion, the
applicant points to:
a Council
officer and ICP director answering questions about ICP through his Council email
account,
a testimonial
letter from the Mayor of New York City addressed to the Ipswich City Mayor,
despite the latter having apparently met
the former whilst travelling on ICP
business,
Council staff
fielding ICP-related media queries, and
the
‘handling’ by Council of phone charges incurred by a Councillor and
ICP director during overseas
travel.[60]
The applicant submits that, taking all the above into
account, ‘the ... factors in Linfa are significant and similar
enough [in the present reviews] to conclude that ICP is not operating on
its “own behalf but on behalf of the
parent...[entity]”’.[61]
As
the foregoing discussion indicates, I have given the applicant’s
submissions on these matters very careful consideration.
While I think the
issue is finely balanced, ultimately I agree with and accept the Council’s
submissions as extracted in paragraph
52.
The
precise nature of the alter ego concept and the circumstances in which it may
apply appear to be the subject of considerable judicial
uncertainty. As noted,
the cornerstone of the applicant’s alter ego argument – the judgment
in Linfa – has been treated cautiously in later decisions, and I do
not think that I would be justified in relying upon it as establishing
some set
of universal criteria or ‘factors’ satisfaction of which might
permit a lifting of the corporate veil when considering
questions of documentary
control.[62] This is
particularly so, given the dissimilar factual and legal contexts (adversarial
litigation in Linfa as opposed to administrative review here, and
involving interpretation of a rule of court framed differently to section 12 of
the
RTI Act), and the general reluctance of the
courts[63] to
‘pierce the veil’ or regard separate entities as indistinguishable:
particularly in cases where, as in the present,
the controller of a purported
alter ego company is an entity or body corporate.
‘Piercing’
or ‘lifting’ the corporate veil is a significant step that runs
contrary to conventional legal
principle. In the absence of a decision by a
court of record or senior administrative tribunal lifting the veil in a
sufficiently
similar context to that I am considering in these
reviews,[64] I am of
the view that I am bound to observe the notion of corporate personhood –
to have regard to ‘long settled principles of corporate law,
established by courts of the highest
authority...’.[65]
ICP’s corporate personhood means that, in the present context, ICP
documents are not documents in the possession or under the
control of the
Council.
Fairness/justice considerations and miscellaneous submissions
The
applicant sought to complement the alter ego argument discussed above with a
further contention that piercing the veil separating
ICP from the Council would
be justifiable in the circumstances of this case, on the basis that to do so
would achieve a ‘fair
and just’ result. The applicant submitted
that ‘parties might seek to pierce the corporate veil on grounds that
to do so would bring about a fair or just result. We argue this is
relevant as
the RTI Act takes into account factors favouring disclosure in the public
interest.[66]
Whether
a finding that ICP documents are under the Council’s control would
comprise a ‘fair or just result’ or otherwise,
matters of the kind
cited by the applicant do not allow me to simply set aside longstanding legal
principle. Further, the enumeration
of public interest factors in the RTI Act
have no bearing on the threshold question I must decide in these reviews; i.e.
whether
a document actually is a ‘document of an agency’ subject to
the RTI Act. Public interest factors and
considerations[67]
are only of relevance in determining whether disclosure of a document of an
agency ought to be released.
Similarly
misconceived in this context is the applicant’s
citation[68] of
Kalinga Wooloowin Residents Association Inc. and Department of Employment,
Economic Development and Innovation; City North Infrastructure
Pty Ltd (Third
Party) and Kalinga Wooloowin Residents Association Inc and Brisbane City
Council; City North Infrastructure Pty Ltd (Third Party); Treasury
Department
(Fourth Party) (Kalinga
Decisions),[69]
two OIC decisions concerning documents of an agency said to comprise exempt
information,[70] as
information subject to an obligation of confidence owed to a government-owned
company. The principles identified and applied
in these decisions are only of
relevance where a document can first be said to be a ‘document of an
agency’ subject to
the RTI Act. The Kalinga Decisions involved
documents which, unlike here, were clearly in the physical possession of the
respondent agency; the agency had
then sought to claim that the documents were
exempt, on the basis that the agency owed an obligation of confidence to a third
party
company fully owned and funded by government.
60. Critically, the Kalinga Decisions were not, as the
applicant’s submissions appear to
misapprehend,[71]
cases in which OIC found that a government-owned company analogous to ICP was an
agency subject to the operation of the RTI
Act.[72]
OIC’s decision was simply that more onerous
requirements[73] for
establishing exemption under schedule 3, section 8 of the RTI
Act[74] obtain in
relation to documents communicated by such companies, than would ordinarily be
the case as regards information communicated
by a third party entity genuinely
independent of government.
While
not entirely clear to me, it may be that the applicant relies on the Kalinga
Decisions because those cases involved considerations as to government
‘control’ of the company to which public agencies
claimed they owed
an obligation of confidence. This, however, is an issue distinct from that I am
considering in this review –
while the distinction may be fine, assessing
whether an agency has control of a company (as the Council undoubtedly has over
ICP)[75] is in my view
to be distinguished from assessing whether an agency has a present legal
entitlement to and thus control of documents,
within the meaning of section 12
of the RTI Act.
Further
misplaced is the applicant’s reliance upon the state government’s
position in relation to a recommendation by
the FOI Independent Review
Panel[76] that
entities like ICP be subject to the RTI Act:
The State Government-commission Right to Information review in
June 2008 states the Government intended for corporations established
by
Government for public purposes should be subject to freedom of information
legislation. It states: "The Government's intention is that generally,
bodies established on Government initiative and for a public purpose should fall
within
the ambit of the FOI Act, unless expressly excluded by the Act." ICP
fits this category, and this shows that the intent of the 2008 changes was for
such organisations to be captured by RTI legislation.
The
problem with this submission is that, as noted
above,[77] I am not in
these reviews considering whether ICP is ‘captured’ by the RTI Act
– that is, whether it comprises
an ‘agency’ subject to the Act
– but only whether documents it may hold can be said to be in the
possession or
under the control of the Council. It is therefore unnecessary to
address this submission
further.[78]
ICP constitution and ‘beneficiary/trustee’ relationship
The
applicant further argues that:
... article 56 of ICP’s constitution creates a
relationship akin to a beneficiary and trustee between council and ICP.
The constitution states that: “If the company is wholly-owned by a
local government entity, a director is authorised to act
in the best interests
of that local government entity provided that the director acts in good faith in
the best interests of that
local government entity and the company is not
insolvent at the time the director acts and does not become insolvent because of
the
director’s act ”.
ICP’s sole shareholder is council, thereby giving ICP directors
authority to act in council’s best interests. This further
indicates an
obligation on directors to act in council’s best interests. Therefore we
submit that this reinforces the argument
that ICP is an agent of council, and
thereby subject to RTI laws.
Article
56 of IPC’s constitution is intended to do no more than permit ICP
directors to avail themselves of the concession granted
by section 187 of the
Corporations Act 2001 (Cth) – to allow them to act in the interests
of the ‘parent’ entity, the Council, when undertaking ICP business.
Neither article 56 nor the statutory presumption of good faith it is purporting
to enliven go any way, on my understanding, to establishing
a relationship of
principal and agent, and/or beneficiary and trustee as suggested by the
applicant, but merely operate to modify
the general obligations of good faith
owed by directors in certain limited contexts.
Article
56, then, has no bearing on the question as to whether ICP documents can be said
to meet the requirements of section 12 of
the RTI Act.
Conclusion
There
is nothing before me to suggest the Council is in possession of ICP documents
relevant to the First or Second Application.
Further, for the reasons explained
at paragraphs 35-66, the Council does not in my view
have a present legal entitlement to possession of any such ICP documents.
Accordingly, any relevant
document that may be held by ICP is not under the
control of the Council and is therefore not a ‘document of an
agency’
for the purposes of the RTI Act. The Council otherwise appears to
have discharged its obligation to search for and deal with all
documents it does
possess or control, and has therefore taken all reasonable steps to locate
relevant documents in each review. The Council
may therefore refuse access to any additional information in both reviews, on
the basis that it is nonexistent.
I
acknowledge that this may on its face appear a somewhat incongruous conclusion,
in light of the fact that Council is the sole shareholder
of ICP, all of
ICP’s directors are elected officials or Council employees, and the stated
reasons for the company’s
incorporation.[79] My
findings, however, flow from ICP’s status as a separate legal entity
possessed of distinct corporate personhood, a long-standing
concept of the
general law. I am bound to observe this concept. In the present context, its
effect is that ICP documents are not
documents in the possession or under the
control of the Council.
DECISIONS
In
review no. 312354, I affirm the Council’s decision dated 9 January 2015.
Access to information requested in the First Application
may be refused under
section 47(3)(e) of the RTI Act, on the basis that it is nonexistent under
section 52(1)(a) of the RTI Act.
In
review no. 312421, I vary the Council’s decision, by finding that access
to any additional information may be refused under
section 47(3)(e) of the RTI
Act, on the basis that it is nonexistent under section 52(1) of the RTI Act.
I
have made these decisions as a delegate of the Information Commissioner, under
section 145 of the Right to Information Act 2009 (Qld).
________________________
Clare Smith
Right to Information Commissioner
Date: 26 November 2015
APPENDIX
Significant procedural steps
Date
Event
17 November 2014
The Council received the First Application.
18 November 2014
The applicant requested a minor variation to the terms of the First
Application, which was accepted by the Council.
9 January 2015
The Council issued a decision refusing access to information requested in
the First Application, on the basis that the information
was nonexistent.
16 January 2015
OIC received the applicant’s application for external review of the
Council’s decision on the First Application.
19 January 2015
OIC advised the Council of the applicant’s application for external
review of the decision on the First Application. OIC requested
preliminary
documentation from the Council.
28 January 2015
The Council supplied requested documentation.
6 February 2015
OIC informed the applicant and the Council that the application for
external review of the Council’s decision on the First Application
had
been accepted (review no. 312354). OIC asked the Council to provide submissions
on several issues, including details as to searches
undertaken and the
relationship between the Council and ICP.
12 February 2015
The Council received the Second Application.
4 March 2015
The Council (through its solicitors) lodged submissions in review
no.312354, as requested by OIC on 6 February 2015.
19 March 2015
The Council issued a decision in response to the Second Application,
granting access to 10 and partial access to three pages located.
30 March 2015
OIC received the applicant’s application for external review of the
Council’s decision on the Second Application.
31 March 2015
OIC advised the Council of the applicant’s application for external
review of the decision on the Second Application. OIC requested
preliminary
documentation from the Council.
2 April 2015
OIC requested additional submissions from the Council in review no.
312354.
9 April 2015
The Council supplied preliminary documentation concerning the Second
Application, as requested by OIC on 31 March 2015.
17 April 2015
OIC informed the applicant and the Council that the application for
external review of the Council’s decision on the Second
Application had
been accepted (review no. 312421). OIC asked the Council to provide additional
information concerning searches undertaken.
1 May 2015 & 5 May 2015
The Council (through its solicitors) supplied the additional information
requested in review no. 312421.
19 May 2015
The Council’s solicitors provided additional information in review
no. 312354, as requested by OIC on 17 April 2015.
18 June 2015
OIC issued a preliminary view to the applicant in both reviews (312354 and
312421) that any information possessed or controlled by
ICP was not a
‘document of an agency’ subject to the RTI Act. OIC invited the
applicant to provide submissions in the
event it did not accept that preliminary
view.
29 June 2015 & 30 June 2015
The applicant provided submissions (by way of three emails) in response to
OIC’s preliminary view.
4 August 2015
OIC forwarded the applicant’s submissions to solicitors for the
Council, and invited submissions in reply.
18 August 2015
The Council’s solicitors provided submissions.
10 September 2015
OIC wrote to solicitors for the Council, raising various issues and
requesting additional submissions as regards the relationship
between the
Council and ICP.
25 September 2015
The Council’s solicitors provided further submissions, as
requested.
13 October 2015
OIC forwarded the Council’s submissions to the applicant and issued a
further preliminary view, reiterating OIC’s initial
preliminary view that
documents of ICP were not documents of an agency for the purposes of the RTI
Act. OIC again invited the applicant
to provide submissions in support its
case.
23 October 2015
OIC forwarded a copy of the constitution of ICP to the applicant.
26 October 2015 & 27 October 2015
The applicant provided submissions (by way of two emails) in response to
OIC’s reiterated preliminary view.
[1] The terms of
which were subject to minor variation agreed between the participants on 18
November 2014.[2]
The First Application is the application ultimately giving rise to external
review no.
312354.[3] The
application giving rise to external review no. 312421.
[4] And therefore
refused access to requested information under sections 47(3)(e) and 52(1) of the
RTI Act, on the grounds the information
was nonexistent: decision dated 9
January 2015. This 9 January 2015 decision refers to the Information Privacy
Act 2009 (Qld); this appears to have been an administrative oversight.
[5] 13
pages.[6] Subject to
the deletion of information found to be personal information appearing on
several pages, disclosure of which the Council
decided would on balance, be
contrary to the public interest under sections 47(3)(b) and 49 of the RTI Act.
The applicant does not
seek review of the Council’s decision in this
regard.[7] The
Council’s 4 March 2015 submissions note that ICP ‘has one fully
paid up ordinary share which is held beneficially by the
Council.’[8]
Under section 12 of the RTI
Act.[9] As it is
required to do in accordance with the principles explained in PDE and The
University of Queensland (Unreported, Queensland Information Commissioner, 9
February 2009), concerning provisions in the repealed Freedom of Information
Act 1992 (Qld) equivalent to sections 47(3)(e) and 52 of the RTI Act.
[10] Section 12 of
the RTI Act.[11]
Kalinga Wooloowin Residents Association Inc. and Department of Employment,
Economic Development and Innovation; City North Infrastructure
Pty Ltd (Third
Party) (Unreported, Queensland Information Commissioner, 21 December 2011)
and Kalinga Wooloowin Residents Association Inc and Brisbane City Council and
Ors (Unreported, Queensland Information Commissioner, 9 May 2012), each
applying Holt and Reeves and Education Queensland and Ors [1998] QICmr 4; (1998) 4 QAR
310. As noted above, the Council was in physical possession of several
documents relating to the Second
Application.[12]
Or under the control of an officer of the agency in the officer's official
capacity, and includes documents to which the agency is
entitled to
access.[13] Or one
which it is entitled to
access.[14]
Price and the Nominal Defendant [1999] QICmr 3; (1999) 5 QAR 80, at [18]
(Price). The Information Commissioner went on in Price to
explain that the ‘...ruling test imposed by the definition of
“document of an agency” is comprised in the words “in the
possession or
under the control of an agency”. The remaining words of the
definition illustrate, rather than extend, the ruling test.’ (At
[33].)[15]
Decision dated 9 January 2015, and Council’s submissions and enclosures
dated 4 March
2015.[16] Decision
dated 9 January
2015.[17]
Submissions dated 19 May 2015, including enclosed emails dated 13 January 2015
relevantly advising of the lack of any responsive
information. In this regard,
in correspondence to solicitors for the Council dated 10 September 2015, I asked
the Council to clarify
whether any individual officers/ICP directors had
possession of potentially responsive documents. I made this request on my own
initiative, having inadvertently overlooked the material referred to in the
preceding sentence (and the fact that, as regards the
Second Application, the
responsive documents located and released to the applicant were indeed documents
of this very kind; ie email
and calendar entries from the personal account of
the Mayor).[18]
See also email from the Council’s Chief Operating Officer to the
applicant, annexed to the applicant’s application for
external review of
the Council’s decision on the First Application, stating that searches had
been undertaken of the offices
of relevant Council officials and/or personnel.
[19] As
above.[20] Using
similar search terms, and/or involving inquiry of relevant travel management
documents and spreadsheets stored in the ECM –
see enclosures to
correspondence from the solicitors for the Council dated 1 May 2015.
[21] Decision
dated 19 March 2015. See also Council’s submissions and enclosures dated
4 March 2015.[22]
I.e., information beyond the 13 pages located in response to the Second
Application.[23]
Noting that in my letter dated 18 June 2015, I advised the applicant of my view
that searches by the Council of its own records appear
to have been appropriate,
reasonable and sufficient in the circumstances of these reviews; the applicant
has not contested that view.
[24] Noting that
it is an offence to knowingly give false or misleading information to OIC:
section 177(1) of the RTI
Act.[25] Email
submissions dated 29 June 2015, received at
5:08PM.[26] Noting
that this would not of itself bring such documents within section 12 of the RTI
Act, as pursuant to section 12(b), it would
also be necessary to show that such
possession was in the officers’ official capacity (as opposed, say, to
their capacity as
a director of ICP, an issue on which it is unnecessary for me
to make any finding). It should also be remembered that the Council
did
actually have in its possession some documents of this kind – itineraries
– which were disclosed in response to the
Second
Application.[27]
Woodyat and Minister for Corrective Services [1995] QICmr 1; (1995) 2 QAR 383, at [35];
Beanland and Department of Justice and Attorney-General [1995] QICmr 26; (1995) 3 QAR 26,
at [58]. The applicant’s submission as extracted in paragraph 31 was made in direct response to this
advice.[28] In
this regard, see the discussion in Holt and Reeves of the nature of the
materially equivalent right of access conferred by section 21 of the RTI
Act’s predecessor, the Freedom of Information Act 1992 (Qld), at
paragraphs [24]-[27]. The Information Commissioner in that case specifically
noted that an applicant’s right to access
a document in an agency’s
physical possession might be legitimately defeated by a third party enforcing
any superior proprietary
interest in the document and compelling its return
prior to a decision being made or access being granted:
[24].[29] That is,
beyond the 13 pages located and disclosed in response to the Second
Application.[30]
At [15].[31]
Price, at
[18].[32] As noted
above, and see page 16 of the ‘City of Ipswich Annual Financial Statements
for the Year Ended 30 June 2013,’
(2012-13 Financial Statements),
where it is recorded that ‘Council has 100% ownership of
ICP.’
[33] ‘The
effect of incorporation is to establish that the company or association exists
as a separate legal entity distinct in law from
those persons who from time to
time are its members’: Australian Corporations Law Principles and
Practice (Australian Corporations Law), May 2015, [2.1.0140],
citing Salomon v A Salomon and Co Ltd [1896] UKHL 1; [1897] AC 22; [1895–99] All
ER Rep 33; Lee v Lee's Air Farming Ltd [1961] AC 12; Hobart Bridge Co
Ltd v FCT [1951] HCA 33; (1951) 82 CLR 372 at 384–6; [1951] HCA 33; 25 ALJR
225. [34]
‘Company property belongs to the company as an entity and not to the
shareholders individually. The shareholder has no legal interest
in company
property.’: Australian Corporations Law,
[2.1.0155].[35] A
copy of which was supplied by the Council, and provided to the
applicant.[36] The
Corporations Act 2001 confers on shareholders (and directors) limited
rights of access to company information, many of which are themselves
conditional
or contingent (eg, shareholder right to apply for court order
authorising inspection of company books: section 247A(1); shareholder’s
right to minutes under section 251B; and a director’s right to inspect
financial records: section 290), none of which, in any event, relate to
documents requested by
QN.[37] Power over
a company’s affairs ‘[u]ltimately...rests with the
shareholders’: Australian Corporations Law, [3.3.0005], citing
O’Loughlin J in Paringa Mining & Exploration Co Plc v North
Flinders Mines Ltd (1988) 52 SASR 22: ‘...shareholders...control
the destiny of their company’.
[38] Price,
at [27].[39] In
the case of a single-shareholder company such as ICP, a resolution may be passed
without holding a meeting if the shareholder
records the resolution, signs the
resolution and records the resolution in the company’s minute books:
sections 249B(1) and 251A of the Corporations Law
2001.[40]
Received by OIC at
10:16AM.[41] Ian M
Ramsey and David B Noakes, ‘Piercing the Corporate Veil in
Australia’ (2001) 19 Company and Securities Law Journal 250.
OIC accessed a digital version of this paper for the purposes of these reviews,
available at SSRN: http://ssrn.com/abstract=299488. Page number references in
these reasons refer to the numbering used in this digital
version.[42]
Concepts I have treated as one – Ramsey and Noakes note that
‘[a]gency has also been used interchangeably by the courts with the
term “alter ego”’, citing Brewarrana v Commissioner for
Highways (1973) 4 SASR 476 at 480 (‘Piercing the Corporate
Veil’, p. 8). Another decision referred to in that paper and cited by the
applicant
– Heys and Barrow v CSR Ltd (Supreme Court of Western
Australia, 4 August 1988, unreported) – also appears to lend support for
the view that the concepts
may be viewed singly. In finding that a parent
company was liable for injuries suffered by individuals in the employee of a
subsidiary,
Rowland J stated that ‘[w]hether one defines all of the
above in terms of agency, and in my view it is, or control, or whether one says
that there was a proximity
between CSR and the employees of ABA, or whether one
talks in terms of lifting the corporate veil, the effect is, in my respectful
submission, the same.’ It is perhaps relevant to note that OIC has
previously found that documents held by a company the shares of which were owned
by a state agency subject to the application of the RTI Act could be regarded as
documents in the possession or under the control
of that agency: Maurice
Blackburn Lawyers and Department of Transport and Main Roads; City North
Infrastructure Pty Ltd (Third Party) [2014] QICmr [6]. The distinguishing
feature of that case, however, was the existence of an instrument expressly
appointing the company’s
CEO as the agent of the
state.[43]
Admitted by the Council: paragraph 20(a) of its submissions received 4 March
2015.[44] The
applicant also points to the fact that ICP is a ‘controlled entity’
for the purposes of the Auditor-General Act 2009 (Qld) – a fact
recorded at page 16 of the ‘City of Ipswich Annual Financial Statements
for the Year Ended 30 June 2013’
(‘Notes to and Forming Part of the
Financial Statements, Summary of Significant Accounting Policies’’,
item 1(g)).[45]
Ramsey and Noakes, ‘Piercing the Corporate Veil’, p.
8.[46] Email
submissions dated 29 June 2015, received
10:16AM.[47]
(1998) 71 SASR 434. The applicant raised this case under a heading ‘Group
enterprises principle’; I am not certain there is such a principle;
in any
event, I am satisfied I have fairly divined and engaged with the
applicant’s case as to ‘control’. I put
my understanding of
the applicant’s case to it during the course of this review (letter dated
13 October 2015, and enclosures);
it has not sought to correct or contradict
that understanding.
[48] Australian
Competition and Consumer Commission v Prysmian Cavi E Sistemi Energia S.R.L. (No
8) [2014] FCA 376, per Besanko J (at [18]).
[49] [1979] 1 All
ER 801.[50] [1980]
1 WLR 627.[51]
[1983] FamCA 14; (1983) 47 ALR
338.[52] [2012]
FAMCA 445.[53] The
rule relevantly provides that the duty of disclosure in Family Court proceedings
‘...applies to each document that is...in the possession, or under the
control, of the party disclosing the
document’.[54]
At [55].[55]
[1995] VicRp 40; [1995] 1 VR 643.
[56] See
Psalidis and Another v Norwich Union Life Australia Ltd [2009] VSC 417; (2009) 29 VR 123,
Cavanough J observing that Linfa ‘needs to be read with
caution’, before noting that the Full Court of the Supreme Court in
Taylor v Santos had expressed ‘serious reservations about
certain aspects of the reasoning’ in Linfa (at
[31]).[57]
Extracted in paragraph 48.[58]
The Council also argued that it was, essentially, impermissible for me to even
have regard to authorities such as Schweizer in seeking to ascertain the
correct interpretation of section 12 of the RTI Act. I do not accept such
submissions; I consider it
to be not only appropriate, but incumbent upon me to
consider judicial interpretations of identical or substantially similar words
and phrases as those used in the RTI Act, notwithstanding they may appear in
legislation intended to achieve purposes other than
promoting access to
government-held
information.[59]
And the fact that ICP’s registered office and principal place of business
address is the Council’s: ASIC company search
enclosed with the
applicant’s 26 October 2015
submissions.[60]
See generally the applicant’s submissions and enclosures dated 26 October
2015.[61] As
above.[62] And for
that reason, I do not think it necessary to pursue the precise nature of
ICP’s staffing
arrangements.[63]
As evidenced by many of the cases discussed in the paper relied upon by the
applicant, and identified earlier
above.[64] For
example, a decision finding that documents held by the subsidiary company of a
body corporate or a government-owned company are
documents ‘in the
possession, or under the control’ of the parent company or government
shareholder. In this regard, I am unable to see how another of the authorities
relied
upon by the applicant in its initial submissions – the decision in
Bluecorp Pty Ltd vs ANZ Executors and Trustee Co Ltd (1995) 18 ACSR 566
– assists me in determining relevant issues. The court in that case was
analysing the relationship between various interrelated
companies, for the
purposes of determining where proper title to a vessel should lie. It was
decided upon matters specific to the
circumstances of that case, which involved
contemplation of complex factual and legal issues quite distinct from those I am
called
to decide in this external review. As I advised the applicant in my
letter dated 13 October 2015, it is not clear to me that a decision
concerning
questions of property, corporations, bankruptcy and trust law is relevant to a
determination as to whether the Council
can be said to have a present legal
entitlement to possession of ICP documents. The applicant has not sought to
press any case as
based upon
Bluecorp.[65]
Taylor v Santos, 449 (per Olsson J).
[66] Raised in the
first of the applicant’s email submissions dated 29 June 2015, received at
10:16AM.[67]
Raised in both the first of the applicant’s 29 June 2015 email submissions
(ie, the email received at 10:16AM), and email submissions
dated 30 June
2015.[68] Second
set of email submissions dated 29 June 2015 (received at 5:08PM), and email
submissions dated 30 June
2015.[69] See note
11 for
citations.[70]
Under sections 47(3)(a) and 48 of the RTI Act.
[71] The applicant
arguing in the second of its 29 June 2015 email submissions that ‘ICP
thereby features the exact same characteristics... [as the government-owned
companies considered in relevant decisions] and thereby should be subject to
the RTI Act.’
[72] Which, it
must be remembered, is not the question I am actually called to determine
in this case, the applicant not having lodged any RTI access application with
ICP
itself.[73] Of
the kind identified by Mason J in Commonwealth of Australia v John Fairfax
& Sons Limited and Others [1980] HCA 44; (1980) 147 CLR
39.[74] Which, in
conjunction with section 48 of the RTI Act, provides that information is exempt
information if its disclosure would found
an action for a breach of
confidence.[75]
Reflected, not least, in the fact that it is a ‘controlled entity’
for the purposes of the Auditor-General Act 2009 (Qld) – note 42.[76]
In its June 2008 report, The Right to Information: Reviewing
Queensland’s Freedom of Information Act (commonly known as the
‘Solomon Report’). The relevant recommendation is Recommendation
24: ‘The definition of ‘public authority’ in s. 9 of the
Act should be extended to include bodies established for a public
purpose under
an enactment of Queensland, the Commonwealth or another State or
Territory’.[77]
Note 72.[78]
Noting that even if it were, the recommendation and government response on which
this submission is premised are not reflected in
the law enacted by Parliament.
As Applegarth J noted in rejecting a substantially similar argument,
‘...the Queensland government‘s adoption of Recommendation 24 of
the report of the FOI Independent Review Panel chaired by Dr Solomon
AM did not
find expression in the language of the statute [ie, the RTI Act]’:
Davis v City North Infrastructure Pty Ltd [2011] QSC 285, at [26]
(Footnote
omitted).[79] The
Council’s 2013-14 Annual Report recording that ICP was ‘...formed
to provide a business vehicle to support the commercial activities of Council in
generating revenue additional to traditional
fees and charges including rates
revenue’ (page 51). In passing, I note that as a ‘controlled
entity’ within the meaning of the Auditor–General Act 2009
(Qld), ICP is directly subject to the mandate of the Auditor-General. The
definition of ‘public authority’ as contained
in section 16 of the
RTI Act would not, however, presently appear sufficiently broad to encompass
entities such as ICP (again bearing
in mind that this is not an issue I am
called to determine in these reviews).
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Kos and Education Queensland [1998] QICmr 19 (21 May 1998) |
Kos and Education Queensland [1998] QICmr 19 (21 May 1998)
Kos and Education Queensland
(S 43/95, 21 May 1998, Information Commissioner Albietz)
(This decision has been edited to remove merely procedural information
and may have been edited to remove personal or otherwise sensitive
information.)
1.-4. These paragraphs deleted.
REASONS FOR DECISION
Background
The
applicant, Mrs Kos, seeks to amend, under Part 4 of the FOI Act, matter
contained in a document held by Education Queensland (the
Department) to which
she had earlier obtained access under the FOI Act. The one document which
remains in issue in this external
review is a statement by Mr D Gould dated 17
November 1992. At that time, Mr Gould was the Principal of Capalaba State High
School,
and the relevant document is a report by Mr Gould on a claim made by Mrs
Kos for worker's compensation. Mrs Kos had been working
at the Capalaba State
High School as a cleaner prior to November 1992.
An
initial decision in response to Mrs Kos' application for amendment (dated 9
November 1994) was made on behalf of the Department
by Mr E Spring on 7 December
1994. Mr Spring refused to amend the document remaining in issue in the manner
sought by Mrs Kos, but
he was prepared to annotate that document in order to
record the concerns raised by Mrs Kos. Mr Spring refused to amend one document
nominated in Mrs Kos' application for amendment on the ground that it was a
document that Mrs Kos had obtained from the former Workers'
Compensation Board
of Queensland, and not from the Department. (Section 53 of the FOI Act, which
is reproduced at paragraph 9 below,
permits an applicant seeking amendment of a
document to apply for amendment only to the agency from which the document was
obtained.)
By
letter dated 19 December 1994, Mrs Kos applied for internal review of Mr
Spring's decision. The internal review decision dated
2 February 1995 was made
by Mr P Parsons, Manager, Administrative Law and Legislative Operations Branch,
of the Department. The
effect of Mr Parsons' decision was to vary Mr Spring's
decision in part, in the sense that some of the annotations which Mr Spring
proposed to make were expanded upon, but otherwise Mr Spring's decision was
affirmed.
By
application dated 22 February 1995, Mrs Kos applied to me for review, under Part
5 of the FOI Act, of Mr Parsons' decision. External
review process
As
an initial question, it was necessary to determine whether I had jurisdiction to
deal with a number of issues which Mrs Kos sought
to raise by her application
for review. Certain limitations on the right to seek amendment of information
are inherent in the terms
of s.53 of the FOI Act, which I have set out below,
together with s.55 of the FOI Act:
53. If a person has had access to a document from an
agency or Minister (whether or not under this Act) containing information
relating
to—
(a) the person's personal affairs; or
(b) the personal affairs of a deceased person to whom the person is next
of kin;
the person is entitled to apply to the agency or Minister for correction
or amendment of any part of the information if it is inaccurate,
incomplete,
out-of-date or misleading.
55. If an agency or Minister to whom an application is
made under section 53 decides to amend the information to which the application
relates, the agency or Minister may make the amendment by—
(a) altering the information; or
(b) adding an appropriate notation to the information.
In
particular, some documents that Mrs Kos wished to amend were documents that she
had obtained from the former Workers' Compensation
Board. Under the terms of
s.53 of the FOI Act, Mrs Kos was not entitled to apply to the Department for
amendment of documents to
which she had obtained access from an agency other
than the Department, and I had no jurisdiction to consider her application for
review in respect of those documents. The applicant would need to apply to
WorkCover (as the successor to the former Workers' Compensation
Board, the
agency from which the applicant had obtained access) in order to seek amendment
of those documents.
Mrs
Kos also attempted to pursue, on external review, certain amendments which had
not been the subject of her amendment application
dated 9 November 1994. In
other words, the applicant was seeking to "tack on" applications for amendment
which had not followed
the process required under the FOI Act, before the
Information Commissioner acquires jurisdiction to review an agency decision
under
Part 5 of the FOI Act. I have no jurisdiction to conduct a review in
respect of applications for amendment which were not made in
Mrs Kos'
application to the Department dated 9 November 1994.
In
relation to the document remaining in issue in this external review, namely Mr
Gould's statement dated 17 November 1992, most of
the 20 items of information
that Mrs Kos sought to amend comprise information that relates to her employment
affairs rather than
her personal affairs, and hence falls outside the scope of
s.53 and Part 4 of the FOI Act.
In
my decision in Re Pope and Queensland Health [1994] QICmr 16; (1994) 1 QAR 616, after
reviewing relevant authorities (at pp.658-660), I expressed the following
conclusion at p.660 (paragraph 116):
Based on the authorities to which I have referred, I consider that it
should now be accepted in Queensland that information which
merely concerns the
performance by a government employee of his or her employment duties (i.e.,
which does not stray into the realm
of personal affairs in the manner
contemplated in the Dyrenfurth case) is ordinarily incapable of being
properly characterised as information concerning the employee's "personal
affairs" for the
purposes of the FOI Act.
The general approach evidenced in this passage was endorsed by de Jersey J
(as he then was) of the Supreme Court of Queensland in
State of Queensland v
Albietz [1996] 1 Qd R 215 at pp.221-222.
In
reviewing relevant authorities in Re Pope, I had specifically endorsed
the following observations, concerning s.33(1) (the personal affairs exemption)
of the Freedom of Information Act 1982 Vic, made by Eames J of the
Supreme Court of Victoria in University of Melbourne v Robinson [1993] VicRp 67; [1993] 2
VR 177 at p.187:
The reference to the "personal affairs of any person" suggests to
me that a distinction has been drawn by the legislature between those aspects of
an individual's life which might be
said to be of a private character and those
relating to or arising from any position, office or public activity with
which the person occupies his or her time [emphasis added].
Of
the 20 items of information which Mrs Kos sought to have amended in Mr Gould's
statement dated 17 November 1992, 15 related to
her employment affairs rather
than her personal affairs, and Mrs Kos was therefore not entitled to seek
amendment of those 15 items
under s.53 and Part 4 of the FOI Act. That was
explained to Mrs Kos in my letter to her dated 4 December 1995. Thus, only Mrs
Kos' applications
for amendment of items 1, 9, 10, 11 and 15 in Mr Gould's
statement fell within my jurisdiction to conduct a review under Part 5 of
the
FOI Act.
In
March 1996, Assistant Information Commissioner Sammon convened a conference,
attended by representatives of the Department, in
order to attempt to resolve
the questions remaining in issue. The applicant was invited to attend, but
declined the invitation.
As
a result of that conference, the Department was asked to provide evidence in
relation to some items in Mr Gould's statement. The
Department was prepared to
add additional annotations to other items. That concession was conveyed to Mrs
Kos in the Deputy Information
Commissioner's letter to her dated 20 March 1996.
Specifically, concerning item 10, the Deputy Information Commissioner
wrote:
Further, the Department has been prepared to annotate this item in
accordance with your comments. It is therefore my preliminary
view that you
have not set out any ground which particularises why you believe that the
information in this item is inaccurate, incomplete,
out-of-date or misleading.
I will therefore take it that the Information Commissioner need not take any
further action concerning
this item, unless you notify me in writing to the
contrary.
Concerning
item 15, the Deputy Information Commissioner wrote:
I note that in your letter dated 18 January 1995, hand-delivered to the
Department on 2 February 1995, you set out an annotation you
wish to have made
to this item. Unfortunately, Mr Parsons did not receive that letter in time to
take that annotation into account
whilst preparing his internal review decision,
which was made the same day.
The Department is prepared to make the annotation suggested, in respect of
this item, in your letter dated 18 January 1995. I therefore
take it that this
outcome is satisfactory to you in relation to this item, and that the external
review will be finalised in relation
to this item.
Mrs
Kos did not indicate any dissent to the Department's proposals to annotate items
10 and 15, in a manner that Mrs Kos had previously
indicated was acceptable to
her. Accordingly, the Department was authorised to annotate items 10 and 15,
which are no longer in
issue in this review.
Both
participants were given the opportunity to lodge evidence and submissions in
support of their respective cases in this external
review, and the evidence and
submissions were exchanged between the participants, for response. The evidence
and submissions lodged
on behalf of the applicant comprised the
following:
statutory
declaration of Mrs Kos dated 31 May 1996
statutory
declaration of [Mrs Kos' husband] dated 22 May 1996
statement
by [Mrs Kos' son] dated 14 July 1994
letter
by [a relative of Mrs Kos] dated 30 May 1994
letter
by Dr Paul Komarowski dated 7 November 1991
letter
by [Mrs Kos' husband] dated 30 June 1994
report
signed by Mrs Kos dated 12 June 1990 concerning the National Injury Surveillance
and Prevention Program
histopathology
report dated 29 July 1992
handwritten
document by [Person 1] dated 4 March 1992
letter
from [Person 2] dated 2 June 1994
handwritten
report by Dr A Masjakin dated 18 May 1994
written
submission dated 29 August 1996.
In
addition, during the course of the external review, the applicant referred to
medical reports (in particular, reports by Dr M Pitney,
Dermatologist) prepared
for the purposes of litigation commenced by the applicant against the
Department, copies of which had been
provided to the Department. Mrs Kos
provided my office with an authority to allow the Department to provide copies
of those reports
to me. The reports which I obtained from the Department and
examined were:
letter
dated 19 January 1993 from Dr Pitney to the Workers' Compensation Board
letter
dated 2 November 1993 from Dr Pitney to the Workers' Compensation Board
letter
dated 27 January 1995 from Dr Pitney to the Department.
For
its part, the Department lodged:
a
statutory declaration of David Norman Gould dated 18 April 1996
a
further statutory declaration by Mr Gould dated 18 April 1996
a
schedule of leave and workers' compensation taken by the applicant between
5 October 1987 and 11 July 1994
a
staff transfer form dated 7 March 1990
a
workers' compensation medical certificate dated 8 July 1992
a
statement by [Person 3] dated 9 August
1996. Application of Part 4 of the FOI
Act
I
will consider in turn the three items remaining in issue.
Item 1
Item
1 from Mr Gould's statement actually comprises only the second sentence
reproduced below, but the sentence which precedes it
is necessary for a proper
understanding of the chronological context:
Zofia began work at the school in March of 1990, not 1991. When winter
began she developed a [medical condition ("the condition")] and also did
this when winter approached the following year.
Mr
Gould's statement is a response by him to a claim by Mrs Kos for workers'
compensation concerning an injury ------------ which
she alleges was caused by
chemicals used in her employment by the Department as a cleaner. The applicant
seeks amendment of this
item because she believes that it suggests that her
[condition] was caused by the onset of winter, as opposed to her use of cleaning
chemicals, in September 1991.
The
applicant has commenced litigation against the Department concerning the
circumstances in which she sustained [the condition].
She has alleged that the
Department was negligent in the handling and treating of cleaning chemicals,
such that the chemicals caused
the [condition]. A principle emerging from the
decision of Watts v Hawke and David Syme & Co Ltd [1976] VicRp 77; [1976] VR 707 is
that a contempt of court is committed if a non-curial tribunal were to
investigate and make findings on matters the same as those
in issue in a pending
civil action, and if such investigations and findings would create a real and
definite tendency to prejudice
or to embarrass the fair trial of the
action.
In
that case, Kay J of the Victorian Supreme Court issued an injunction to prevent
the Judiciary Committee of the Australian Journalists'
Association from
conducting a disciplinary hearing which was also the subject of an action for
defamation. Kay J found that the
questions of fact which the Judiciary
Committee would be required to investigate and determine would be the same as
those in issue
between the parties at the trial of the action, and the Judiciary
Committee would thereby be pre-judging the same question of fact
as those that
were basic to the issues in the pending legal proceedings. In that case, there
is an exception noted to this principle
(at p.712 of Watts) in the
decision of the High Court of Australia in Lockwood v Commonwealth [1954] HCA 31; (1954)
90 CLR 177 where Fullagar J denied an injunction to restrain a Royal Commission
appointed under statute because the Royal Commission was required
by statute to
undertake the enquiry and what is expressly authorised by statute could not be a
contempt. That principle may be relevant
to the conduct of a review by the
Information Commissioner under Part 5 of the FOI Act.
The
Queensland case of Burton v Harris [1979] Qd R 548 concerned an
apprehended clash between disciplinary proceedings before the disputes tribunal
of a political party, and an action
in defamation. Kelly J of the Supreme Court
of Queensland found that as the question ultimately to be determined in each
proceeding
differed, there could be no contempt of court. Watts v Hawke
was distinguished in that case. It was also found that the defendant had failed
to show that there was any real risk of prejudice
to the defendant on the trial
of the action if the disciplinary tribunal should proceed with its hearing on
the charge.
Applying
Burton v Harris to the present case, I consider that there is no
difficulty in my proceeding to determine whether item 1 should be amended under
s.53 of the FOI Act, because the question that I must consider is different to
the question which the relevant court has to determine
in the action commenced
by Mrs Kos, which is whether the Department's negligence caused Mrs Kos'
condition. Furthermore, the outcome
of my external review concerning this item
will not embarrass any court.
The
real dispute in relation to item 1 concerns the timing of the onset of the
[condition]. The applicant contends that the onset
of the [condition] occurred
in September 1991 during the school holidays, when there was a change of work
procedure to commence "team
cleaning". The version contended for by the
Department is that set out in item 1. However, the wording of item 1 is
ambiguous in
not clearly stating the year in which Mrs Kos first developed [the
condition] in winter. In its present form, it tends to suggest
that the
[condition] developed in winter 1990. Item 1 requires amendment at least for
the purpose of removing the ambiguity. The
Department contends that the winter
in which Mrs Kos first developed the [condition] was the winter of
1991.
The
Department's evidence in relation to item 1 is as
follows:
a
statutory declaration by Mr Gould dated 18 April 1996 which really does no more
than put on oath his observation that Mrs Kos developed
[the condition] in
winter 1991, and again the following winter. Strictly speaking, the season of
winter is regarded in Australia
as falling within the months of June, July and
August. However, on a less strict view, the term "winter 1991" could be
regarded
as extended to something which occurred in September 1991 (when Mrs Kos
says the [condition] first developed), still being in the
cooler months of the
year.
the
Department also lodged a schedule of workers' compensation claims and sick leave
taken by the applicant. This records the first
workers' compensation leave,
specifically in relation to [the condition], as having been taken between the
period 8 July 1992 and
29 July 1992. This does not assist in establishing
whether Mrs Kos first developed the [condition] in "winter 1991" or "September
1991".
The
applicant's evidence on this issue is as follows:
the
statutory declaration dated 22 May 1996 by the applicant's husband, ----, who
says on oath that the applicant first complained
of [the condition], from
chemicals at the Capalaba State High School, on 19 September
1991.
the
handwritten statement of [Person 2], a workmate of Mrs Kos. The statement is
not consistent with Mrs Kos' own case, since the
statement indicates that Mrs
Kos did not have any [such condition] during the years 1990 and 1991. Mrs Kos'
case is that she developed
the [condition] in September
1991.
a
statement by ---- (Mrs Kos' son) dated 14 July 1994, which says that Mrs Kos did
not have any [such condition] until after 19 September
1991.
a
statement by ---- (apparently a relative of Mrs Kos) dated 30 May 1994 which
says that Mrs Kos had no problems [of that type] from
when [the relative] first
knew her in January 1989, until September 1991, and that Mrs Kos first
complained of [certain symptoms]
in late September 1991.
a
number of medical reports, which in my view cannot be relied upon to
independently demonstrate the onset of [the condition] in September
1991, since
most of the reports merely recite the history given to the medical practitioners
by Mrs Kos herself.
Mrs
Kos did not herself give any sworn evidence as to the timing of the onset of the
[condition]. Item 1 certainly requires amendment.
On its face, it could be
construed as meaning that the [condition] commenced in winter 1990. There is no
evidence that Mrs Kos
developed [the condition] prior to winter 1991 (on Mr
Gould's version, according to his statutory declaration dated 18 April 1996)
or
September 1991 (according to the witnesses for Mrs Kos). I consider that the
following points emerge from an analysis of the
available
evidence:
(a) Mrs Kos contends that the [condition] did not develop until September
1991 (she is supported by the evidence of her husband, her
son and [a
relative]).
(b) Mr Gould has said on oath that Mrs Kos developed the [condition] in
winter 1991, although he does not use a more precise term
than "winter 1991" in
his statutory declaration on this subject.
(c) Mrs Kos' records of absences on workers compensation or sick leave do not
record any absences attributed to anything connected
with [the condition] until
July 1992.
(d) The report of Dr Masjakin dated 18 May 1994 reports that the applicant
saw the doctor on several occasions from 21 November 1990
to 14 February 1991
and there was no evidence of [the condition] in that period. For the purposes
of the issue presented to me for
determination, Dr Masjakin's report is
inconclusive, since on both competing versions, there was no evidence of [the
condition] at
that time.
(e) It is certainly clear that the [condition] became chronic in 1992. That
is clear from the record of workers' compensation absences,
which indicates
workers' compensation being taken on account of [the condition] from July 1992
onwards, and from the fact that Dr
Pitney, Dermatologist, became Mrs Kos'
treating specialist from that time.
(f) Dr Pitney's reports, insofar as they concern objective medical
observation, are equally consistent with [the condition] appearing
in winter
1991 (Mr Gould's version) or September 1991 (Mrs Kos' version).
In
all the circumstances, I have decided that the proper course of action is to
amend item 1 by deleting the sentence: "When winter
began she developed a
[medical condition] and also did this when winter approached the following
year", and replacing it with the
following:
Mrs Kos developed a [medical condition] in either winter 1991
(according to Mr Gould) or September 1991 (according to Mrs Kos) which Mrs Kos
attributes to a cleaning chemical
used at Capalaba State High School.
Item 9
Mrs
Kos wishes to amend item 9 of Mr Gould's statement, which is as
follows:
[Person 3] commented that Zofia may have been [acting in a certain
manner].
[Person
3] was also a cleaner at Capalaba State High School, and it has clearly emerged
during the course of the external review that
the relationship between Mrs Kos
and [Person 3] was hostile. In her application to amend the information, Mrs
Kos considered the
comment contained in item 9 most insulting, and contended
that at no stage did she [act in that manner]. Thus, Mrs Kos challenges
the
substantive truth of the statement attributed to [Person 3], rather than the
fact that [Person 3] made the comment. In fact,
Mrs Kos accepts that [Person 3]
made the statement that Mrs Kos was [acting in a certain manner] (see Mrs Kos'
statutory declaration
dated 31 May 1996). Thus, it cannot be said that item 9
is inaccurate, incomplete, out-of-date or misleading. For that reason,
I do not
consider it appropriate to amend item 9. However, given Mrs Kos' concerns, it
is appropriate that an annotation be made
to item 9, in accordance with s.55(b)
of the FOI Act, setting out Mrs Kos' version of events. At the conference
convened at my office
on 13 March 1996, an appropriate form of annotation was
discussed with the Department and was subsequently put to Mrs Kos.
I
decide that an annotation in the following terms should be made to item
9:
Mrs Kos says that the comment made by [Person 3] may infer that Mrs
Kos was [acting in a certain manner]. Mrs Kos says that at no stage did
she [act in that manner]. She said that she had to assist the carpet
cleaners by opening up buildings et cetera, a task which should have been done
by the
janitor or Registrar, but neither was present. Mr Gould has no knowledge
that Mrs Kos was [acting in a certain manner].
Item 11
Mrs
Kos wishes to amend item 11 of Mr Gould's statement, which reads as
follows:
There was an incident where [Person 3 and the applicant engaged in
certain behaviour].
In
her application for amendment, Mrs Kos objected to this item on the basis that
she had "[not acted as she is stated to have done]".
During the course of the
external review, the Department provided a statement by [Person 3] dated 9
August 1996. In that statement,
[Person 3] recounts her version of the events
which involved a confrontation between the two, but, significantly, [Person 3]
says
that during the course of the encounter she [Person 3] [acted in a certain
way]. In other words, [Person 3] accepts that Mrs Kos
did not [act in that
way]. It is also common ground that there was some altercation which took place
upon both Mrs Kos and [Person
3] commencing work.
I
have decided that the appropriate course of action is to amend item 11 by
deleting the words [deleted from the quote in paragraph
38 above], and in their
place inserting the words:
where [Person 3] and Zofia Kos had an altercation at the
commencement of work.
DECISION
I
decide to vary the internal review decision made by Mr Parsons on 2 February
1995 by finding that -
(a) item 1 of Mr Gould's statement should be amended in the manner stated in
paragraph 34 above;
(b) item 9 of Mr Gould's statement should be annotated in the manner stated
in paragraph 37 above;
(c) item 11 of Mr Gould's statement should be amended in the manner stated in
paragraph 40 above.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Hughes and Department of Communities, Child Safety and Disability Services [2012] QICmr 37 (17 July 2012) |
Hughes and Department of Communities, Child Safety and Disability Services [2012] QICmr 37 (17 July 2012)
Hughes and Department of Communities, Child Safety and Disability Services [2012] QICmr 37 (17 July 2012)
Last Updated: 10 September 2012
Decision and Reasons for Decision
Application Number: 311031
Applicant: Hughes
Respondent: Department of Communities, Child Safety and Disability
Services
Decision Date: 17 July 2012
Catchwords: ADMINISTRATIVE LAW – INFORMATION PRIVACY ACT –
REFUSAL OF ACCESS – EXEMPT INFORMATION – applicant
sought access to
information held by agency about him – whether access is prohibited by an
Act – whether access can be
refused under section 67(1) of the
Information Privacy Act 2009 (Qld) and sections 47(3)(a) and 48 of the
Right to Information Act 2009 (Qld) on the ground set out in schedule 3,
section 12 of the Right to Information Act 2009 (Qld) and section 187 of
the Child Protection Act 1999 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to
the Department of Communities, Child Safety and Disability Services
(Department)[2]
for access to all documents relating to him held by the Department from 1
September 2009 to 19 January 2012, including any reference
to himself as
flatmate, carer or support person of a woman with whom he shared accommodation
(Access Application).
The
Department decided to refuse the applicant access to information which it
considered was either not relevant to the Access Application
(Category A
Information) or comprised the personal information of persons other than the
applicant (Category B
Information).[3]
The
applicant sought external review by the Office of the Information Commissioner
(OIC) of the Department’s decision to refuse access.
The
Department’s decision is varied and access to both the Category A
Information and the Category B Information is refused
on the basis that the
information is exempt from disclosure under section 67(1) of the Information
Privacy Act 2009 (Qld) (IP Act) and sections 47(3)(a) and 48 of the
Right to Information Act 2009 (Qld) (RTI Act) on the ground that
disclosure is prohibited by schedule 3, section 12 of the RTI Act and section
187 of the Child Protection Act 1999 (Qld) (CP Act).
Background
Significant
procedural steps relating to the application are set out in Appendix A to this
decision.
Reviewable decision
The
decision under review is the Department’s Internal Review Decision dated
18 April 2012.
Evidence considered
The
evidence, submissions, legislation and other material I have considered in
reaching my decision are disclosed in these reasons
(including footnotes and
appendices).
Information in issue
The
information in issue comprises:
208 full pages
and parts of 157 pages that the Department claimed were irrelevant to the Access
Application, the Category A Information;
and
parts of 155
pages comprising information which the Department claimed was personal
information of persons other than the applicant,
the Category B Information.
Disclosure Prohibited by Act
Category A Information
The
terms of the access application seek all documents relating to the applicant
from 1 September 2009 to 19 January 2012, including
any reference to the
applicant as flatmate, carer or support person of a woman with whom he shares
accommodation.
The
Department decided that 208 full pages and parts of another 157 pages were not
relevant to the access application.
The
IP Act provides that where giving access to a document will disclose to the
applicant information that an Agency reasonably considers
is not relevant to the
access application, an Agency may give access to a copy of the document with the
irrelevant information
deleted.[4] An Agency
may only give access in this way if it considers from the terms of the
application, or after consultation with the applicant,
that the applicant would
accept the copy and it is reasonably practicable to give access to the
copy.[5]
I
have carefully considered the 208 full pages and the parts of the additional 157
pages that the Department blacked out on the basis
of irrelevance and I am
satisfied that:
while the
deleted information is not relevant to the applicant’s access
application–the information is predominantly to do with the
applicant’s flatmate, her children and their father; not the
applicant;
the information
is more appropriately categorised as information obtained under the CP Act,
which Act makes it an offence to disclose
such information.
Accordingly,
I am satisfied that it is more appropriate to consider the Category A
Information in light of schedule 3, section 12
of the RTI
Act.[6] Thus, the issue
to be considered in relation to the Category A Information is whether access
should be refused on the basis that
it is exempt information. I will deal with
the issue of whether access may be refused to the Category A Information in my
consideration
of the application of schedule 3, section 12 of the RTI Act to the
Category B Information below.
Category B Information
The
Department decided that access to the Category B Information should be refused
on the grounds that release would, on balance,
be contrary to the public
interest. I have carefully reviewed the Category B Information, the relevant
law, the Department’s
decision and the applicant’s submission and I
am satisfied that it is more appropriate to consider the application of schedule
3, section 12 of the RTI Act to the Category B Information.
Additionally,
as noted above, I will consider the application of schedule 3, section 12 of the
RTI Act to the Category A Information
here.
Relevant law
Access
must be given to a document unless disclosure would, on balance, be contrary to
the public interest.[7]
Schedule 3 of the RTI Act sets out information which Parliament considers is
exempt information on the basis that disclosure would,
on balance, be contrary
to the public
interest.[8] Schedule
3, section 12 of the RTI Act provides that information is exempt if its
disclosure is prohibited by a number of listed
provisions, including section 187
of the CP Act.[9]
Section
187 of the CP Act makes it an offence to disclose certain information obtained
under the CP Act. If this provision applies
to the Category B Information and
the Category A Information, that information will be exempt from disclosure
under the RTI Act.
To
be exempt from disclosure, the Category B Information and the Category A
Information must:
be
information about a person’s affairs
have
been received by a listed person performing functions under or relating to the
administration of the CP Act; and
not
be subject to an exception in section 187 of the CP Act.
(a) Is the information about a person’s affairs?
I
have examined the Category A Information and the Category B Information and I am
satisfied that it contains information about the
personal affairs of the
applicant’s flatmate, her children and their father.
(b) Was the information received under the Child Protection Act?
The
Category A Information and the Category B Information is information received by
Departmental officers (public service employees)
under the CP Act.
Section
187 of the CP Act lists a public service employee as a person to whom
section 187 applies.
I
have examined the Category A Information and the Category B Information and am
satisfied that it was received by Departmental officers
in the course of
performing functions under or relating to the CP Act.
(c) Do any of the exceptions listed in section 187 of the Child Protection Act
apply?
Section
187 of the CP Act contains a number of exceptions where information received
under the CP Act may be disclosed.
In
this case, section 187(4)(a) is relevant. It provides that a person may
disclose the information or give access to the document
to another person, to
the extent that the information or document is about the other person. (the
CP Act exception)
The
Category B Information and the Category A Information is predominantly about the
applicant’s flatmate, her children and
their father, not the applicant;
some of the Category B Information and the Category A Information is about the
applicant. However,
where the Category B Information or the Category A
Information is about the applicant, it is, in all instances, also about the
flatmate,
her children or their father.
The
CP Act exception only applies where the information is solely about the
applicant. Thus where information is simultaneously about
the applicant and
others, the CP Act exception will not apply.
I
am satisfied that in this case the CP Act exception does not apply and therefore
neither the Category A Information nor the Category
B Information can be
disclosed.
In
addition to the CP Act exception, section 12 of schedule 3 of the RTI Act also
contains an exception to nondisclosure. Section
12(2) of schedule 3 of the RTI
Act states that the exemption provided for in section 12 does not apply if the
relevant information
comprises only the applicant’s personal information
(the RTI Act
exception).[10]
Like
the CP Act exception, the RTI Act exception only applies if the information is
the applicant’s personal information alone.
That is not the case here as
the personal information of the individuals other than the applicant cannot be
separated from the personal
information of the applicant. Accordingly, I am
satisfied that the RTI Act exception does not apply to either the Category A
Information
or the Category B Information and therefore access to it should be
refused.
I
note that in his submission dated 18 June 2012 the applicant provided the OIC
with a a written consent to release the personal information
of the
applicant’s flatmate and her children, signed by his flatmate. The
applicant argued that in light of such consent there
was no longer any barrier
to release of the Category B Information or the Category A Information.
I
consider that the terms of the RTI Act are not such that they can be overridden
by consent. As previously noted, schedule 3, section
12 of the RTI Act sets out
information which Parliament considers is exempt information. Thus it is
Parliament’s intention
that if information satisfies the criteria in
schedule 3, section 12 of the RTI Act (as is the case here with the Category A
Information
and the Category B Information) then it is exempt information to
which access is refused.
I
note that while the Department has some discretion to release documents that it
considers are exempt, and therefore may have been
at liberty to disclose the
exempt matter had the applicant provided such a consent document to it, I do not
have the same discretion.
I am bound by the provisions of the IP Act and the
RTI Act and can not exercise any discretion to release documents that I decide
are exempt,[11]
regardless of the existence of consent. I am satisfied that the Category A
Information and the Category B Information is exempt
information and that access
to it must be refused. The consent purported to be given by the flatmate does
not alter this outcome.
DECISION
I
vary the Department’s Internal Review Decision by finding that the
Department is entitled to refuse access to the Category
A Information and the
Category B Information pursuant to section 67(1) of the IP Act and sections
47(3)(a) and 48 of the RTI Act
on the ground that disclosure is prohibited by
schedule 3, section 12 of the RTI Act and section 187 of the CP Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.
________________________
Assistant Information Commissioner V Corby
Date: 17 July 2012APPENDIX A
Significant procedural steps
Date
Event
19 January 2012
The Department of Communities, Child Safety and Disability Services
(Department) receives the applicant’s request for access (Access
Application).
26 March 2012
The Department decides (Decision) to:
omit 216 pages
and parts of 157 pages which are not relevant to the scope of the Access
Application
partially
release 145 pages; and
give full access
to 97 pages.
2 April 2012
The applicant seeks internal review of the Department’s
Decision.
18 April 2012
The Department decides to vary the Decision by (Internal review
Decision):
giving full
access to 95 pages
omitting 208
pages and parts of 157 pages which contain information which is not relevant to
the scope of the Access Application;
and
partially
release 155 pages.
27 April 2012
The applicant seeks external review of the Department’s Internal
Review Decision.
10 May 2012
OIC informs the applicant and the Department that the external review
application has been accepted.
22 May 2012
OIC receives relevant documents from the Department.
6 June 2012
OIC conveys a preliminary view to the applicant and invites the applicant
to provide a submission in support of his case by 21 June
2012 if the view is
contested.
12 June 2012
The applicant seeks an extension to provide a written submission.
13 June 2012
OIC grants the applicant an extension until 28 June 2012 to provide a
written submission.
18 June 2012
The applicant provides a written submission and signed consent to release
information from the applicant’s flatmate.
APPENDIX B
Section 187 of the Child Protection Act relevantly provides:
187 Confidentiality of information obtained by persons involved in
administration of Act
(1) This section applies to a person who—
(a) is or has been—
(i) a public service employee; and
...
(b) in that capacity acquired information about another person’s
affairs or has access to, or custody of, a document about another
person’s
affairs.
(2) The person must not use or disclose the information, or give access to
the document, to anyone else....
(4) Also, the person may disclose the information or give access to the
document—
(a) to another person, to the extent that the information or document
is about the other person;
[1] By application
dated 19 January
2012.[2] Machinery
of government changes in April 2012 transferred relevant responsibility from the
Department of Communities (Communities) to the Department of Communities,
Child Safety and Disability Services. Accordingly, existing RTI applications and
reviews involving
certain applications made to Communities before the machinery
of government changes now rest with the Department of Communities,
Child Safety
and Disability Services (here in after referred to as ‘the
Department’), including this external review.
[3] On internal
review, the Department decided to release some additional information to the
applicant.[4]
Section 88 of the IP Act.
[5] Section 88(3) of
the IP Act.[6]
Please note that section 67(1) of the IP Act provides that an agency (such as
the Department) may refuse access to a document under
that Act in the same way
it would be entitled to do so under the RTI Act were the application made under
the RTI Act.[7]
Section 44(1) and 48(1) of the RTI Act.
[8] See also,
section 48 of the RTI Act.
[9] See Appendix B
for the text of the relevant parts of section 187 of the Child Protection Act.
[10] Schedule 3
section 12(2) of the RTI Act. Personal information is defined in section
12 of the IP Act as information or an opinion whether true or not, and
whether recorded in a material form or not, about an individual whose identity
is apparent, or can reasonably be ascertained, from the information or
opinion.[11]
Section 118(2) of the IP Act states: (2) If it is established that a document
is an exempt document or a contrary to public interest document, or contains
exempt information
or contrary to public interest information, the commissioner
does not have power to direct that access to the document, or the document
to
the extent of the information, is to be given. Section 105(2) of the RTI
Act is stated in identical terms.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Murphy and Queensland Treasury [1998] QICmr 9; (1998) 4 QAR 446 (24 July 1998) |
Murphy and Queensland Treasury [1998] QICmr 9; (1998) 4 QAR 446 (24 July 1998)
Last Updated: 20 February 2001
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 98009Application S
140/96 Participants: JOHN PAUL
MURPHY Applicant QUEENSLAND
TREASURY Respondent
DECISION AND REASONS FOR DECISION
FREEDOM OF INFORMATION - refusal of access - communications between
the respondent and its legal advisers concerning a previous FOI
access
application by the applicant, subsequent external review by the Information
Commissioner, and subsequent judicial review proceedings
- whether
communications made in furtherance of an illegal or improper purpose so as to
preclude the communications from attracting
legal professional privilege -
whether bills of costs for legal services provided to the respondent attract
legal professional privilege
- application of s.43(1) of the Freedom of
Information Act 1992 Qld.Freedom of Information Act 1992
Qld s.27(4), s.28(1), s.32, s.33(1), s.34, s.40(c), s.42(1)(c),
s.43(1), s.44(1), s.52(4), s.52(6), s.73(3), s.79(1), s.81Administrative
Decisions (Judicial Review) Act 1977 CthFreedom of Information Act
1982 Cth s.22, s.42(1)Freedom of Information Act 1992
WAJudicial Review Act 1991 Qld s.20(2)(e), s.23(c), s.23(d),
s.23(e)Allen, Allen & Hemsley v Deputy Commissioner of
Taxation (1988) 81 ALR 617Attorney-General (NT) v Kearney [1985] HCA 60; (1985)
158 CLR 500Attorney-General (NT) v Maurice [1986] HCA 80; (1986) 161 CLR
475Baker v Campbell [1983] HCA 39; (1983) 153 CLR 52Butler v Board of Trade
[1970] 3 All ER 593Commissioner, Australian Federal Police v Propend
Finance Pty Ltd (1997) 71 ALJR 327; 141 ALR 545Durrisdeer Pty
Ltd v Nordale Management Pty Ltd [1998] 2 Qd R 138Grant v Downs
[1976] HCA 63; (1976) 135 CLR 674
ii
Hewitt and Queensland Law Society Inc, Re (Information
Commissioner Qld, Decision No. 98005, 24 June 1998,
unreported)Johnson and State Government Insurance Commissioner, Re
(Information Commissioner WA, D02896, 17 May 1996, unreported)Lake
Cumbeline Pty Ltd v Effem Foods Pty Ltd (1994) 126 ALR 58Murphy and
Queensland Treasury & Others, Re [1995] QICmr 23; (1995) 2 QAR 744Packer v Deputy
Commissioner of Taxation [1985] 1 Qd R 275Potter and Brisbane City
Council, Re [1994] QICmr 18; (1994) 2 QAR 37R v Bell: ex parte Lees [1980] HCA 26; (1980) 146 CLR
141R v Cox and Railton (1884) 14 QBD 153Ricegrowers
Co-operative Mills Ltd v Bannerman and Trade Practices Commission
[1981] FCA 211; (1981) 38 ALR 535Skopalj and Transport Accident Commission, Re (1989)
4 VAR 16Smith and Administrative Services Department, Re [1993] QICmr 3; (1993) 1 QAR
22State of Queensland v Albietz [1996] 1 Qd R 215Sullivan and
Department of Industry, Science and Technology, Re (Commonwealth
Administrative Appeals Tribunal, Mr P Bayne (Senior Member), No. A95/197,
6 June 1997, unreported)Trade Practices Commission v Sterling [1979] FCA 33; (1979)
36 FLR 244Waterford v Commonwealth of Australia [1987] HCA 25; (1987) 163 CLR
54Woodyatt and Minister for Corrective Services, Re [1995] QICmr 1; (1995) 2 QAR
383Z and Australian Taxation Office, Re (1984) 6 ALD 673
DECISION
1. I decide to vary the decision under review (which is
identified in paragraph 4 of my accompanying reasons for decision) by finding
that the matter in issue which is identified in paragraph 26 of my accompanying
reasons for decision is not exempt matter under the
Freedom of Information
Act 1992 Qld.2. I affirm those parts of the decision under review
which found that the balance of the matter in issue (which is identified in
sub-paragraphs
5(b), (c), (d) and (e) of my accompanying reasons for decision)
is exempt matter under s.43(1) of the Freedom of Information Act 1992
Qld.Date of decision: 24 July
1998.........................................................F
N ALBIETZINFORMATION COMMISSIONER
TABLE OF CONTENTS
Page
Background 1External review
process 2Application of s.43(1) of the FOI Act
3 Correspondence attaching legal accounts
4 Remaining matter in issue, and the application of the 'improper
purpose exception' 9 Principles with respect
to the 'improper purpose exception' 9 Knowledge of
wrongdoing necessary 12 Submissions and evidence of the
applicant 14 Mr Sarquis' decision
21 Subsequent events 25Conclusion
26
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 98009Application S
140/96 Participants: JOHN PAUL
MURPHY Applicant QUEENSLAND
TREASURY Respondent
REASONS FOR DECISION
Background1. The applicant seeks review of the
respondent's decision to refuse him access, under the Freedom of Information
Act 1992 Qld (the FOI Act), to documents recording communications between
the respondent and its legal advisers relating to the processing
of FOI access
applications made by the applicant to the respondent, and relating to the
conduct of the respondent's case in an external
review under Part 5 of the FOI
Act, and in subsequent judicial review proceedings. The respondent contends
that the documents in
issue would be privileged from production in a legal
proceeding on the ground of legal professional privilege, and are therefore
exempt under s.43(1) of the FOI Act. The applicant contends that the
communications were made in furtherance of an illegal or improper
purpose, and
so would not be protected from disclosure on the ground of legal professional
privilege. The applicant also questions
whether some documents, relating to
legal fees for services provided to the respondent, qualify for legal
professional privilege.2. On 24 June 1993, Mr Murphy made an FOI access
application for documents held by the respondent relating to the land tax
affairs
of his Family Trust. (I will refer to that application as the 1993
access application.) He obtained access to all matter falling
within the terms
of the 1993 access application, subject to the deletion of the names of a number
of officers of the respondent.
Mr Murphy sought internal review of the decision
to refuse him access to those names, but was again refused access. Both of
those
decisions were subsequently revoked, and a fresh decision was made by the
Under Treasurer, who also decided to refuse access to the
names of the officers.
(The detail of those decisions is more fully explained in Re Murphy and
Queensland Treasury & Others [1995] QICmr 23; (1995) 2 QAR 744, at p.749, paragraphs
3-7. See also paragraph 44 below.) Mr Murphy then applied to me for
external review of the Under Treasurer's decision. My review
resulted in a
decision that Mr Murphy wasentitled to access to the names of the officers
(see Re Murphy cited above). My decision was challenged, unsuccessfully,
by the respondent in the Supreme Court of Queensland (see State of Queensland
v Albietz [1996] 1 Qd R 215). Mr Murphy thereafter obtained access to the
names of the officers. 3. By letter dated 18 March 1996, Mr Murphy
applied to the respondent for access, under the FOI Act, to numerous documents,
including
documents relating to the 1993 access application and the ensuing
proceedings. By letter dated 15 May 1996, Ms F Smith, on behalf
of the
respondent, decided that Mr Murphy should be granted access to a large number of
documents falling within the terms of his
access application. However, she
decided that some documents or parts of documents were exempt matter under
s.43(1) (the legal professional
privilege exemption), and that parts of other
documents were exempt matter under s.44(1) (the personal affairs exemption) of
the
FOI Act.4. By letter dated 19 June 1996, Mr Murphy made an
application for internal review of Ms Smith's decision (see s.52 of the FOI
Act), which application was confined to Ms Smith's decision to invoke the
s.43(1) exemption
for certain documents and parts of documents.Mr Murphy
argued that legal professional privilege did not apply, because the relevant
communications were made in furtherance of
an illegal or improper purpose. The
internal review was conducted on behalf of the respondent by Mr G G Poole who,
by letter dated
1 July 1996, affirmed Ms Smith's initial decision. Mr
Murphy then challenged the adequacy of the reasons for decision given by Mr
Poole, and was provided with further reasons for decision dated 31 July 1996.
By letter dated 31 August 1996, Mr Murphy applied
to me for review, under Part 5
of the FOI Act, of Mr Poole's decision.External review
process5. The documents in issue were obtained and examined.
They comprise:(a) correspondence attaching legal accounts (parts of
documents H8, H9 and I7);(b) correspondence between the respondent and the
Crown Solicitor, seeking or giving legal advice or prepared for the purpose of
legal
proceedings (documents A6, A7, A20, F7-F9, F30, F32, H1-H3, H5-H7, H12,
H21, H22, H24, H26-H28, I57, K83, O1-O3, O8, P11, P13, P17
and P49, and part of
document P34);(c) records of communications between officers of the
respondent and the Crown Solicitor, appearing in file notes or internal
memoranda
(documents A5, A6, F30, H23, H25 and I58(a), and parts of documents
A64, I69, K85, K88, K91, K96, K99, K104 and O9);(d) written legal advice
given by an in-house legal adviser employed by the respondent (documents H10,
H11 and H20); and(e) an opinion of counsel (document I58).6. In the
course of this review and other related external reviews, Mr Murphy has provided
me with a number of written submissions.
He has also provided me with an
undated and unsigned copy of an affidavit by himself, the original of which he
has informed me was
sworn and filed in the course of Supreme Court proceedings
he initiated against the Department of Justice. I have no reason to doubt
that,
and I have accepted the copy affidavit on that basis.7. By letter
dated 27 February 1997, I wrote to the respondent questioning whether a small
number of the documents in issue qualified
for exemption under s.43(1). The
respondent, by letter dated 3 April 1997, agreed to withdraw its objection to
disclosure of some
of that matter, but maintained its claim for exemption in
respect of the correspondence attaching legal accounts, and made a brief
submission in that regard.8. With my letter to the respondent dated 27
February 1997, I also forwarded copies of a number of Mr Murphy's submissions
(dated,
or received by me on, 23 April, 19 June, 9 July and 16 September
1996) and the affidavit furnished by Mr Murphy, and raised a number of issues
concerning the application of
the 'improper purpose exception' to legal
professional privilege. I invited the respondent to lodge written submissions
and/or evidence
in support of its case that the matter in issue is exempt matter
under s.43(1) of the FOI Act.The Under Treasurer responded by letter dated 3
April 1997, in which he stated:... There is really nothing new in the
material which has not been raised by Mr Murphy previously in various forums.
However, I think
it is important to focus on the review which is presently in
issue.Full consideration of the nominated documents had been
given by Mr Poole on the internal review and the decision of 1 July 1996 was
duly made.Mr Murphy by letter dated 4 July 1996 then sought a
Statement of Reasons in relation to that decision and a Statement of Reasons
dated
31 July 1996 was provided to him. A copy of this statement of reasons has
previously been provided to you.I reiterate what was set out in
the Statement of Reasons. There is no improper or illegal purpose which would
defeat the applicability
of the doctrine of legal professional privilege in
relation to the subject documents.The officers concerned carried out
their duties appropriately and honestly.Mr Murphy has made
various claims. It is a matter for Mr Murphy to prove these claims in the
Court.I provided Mr Murphy with a copy of the Under Treasurer's
letter, and Mr Murphy made a brief reply dated 14 April
1997.Application of s.43(1) of the FOI Act
9. Section 43(1) of the FOI Act provides:
43.(1) Matter is exempt matter if it would be privileged from
production in a legal proceeding on the ground of legal professional
privilege.10. The s.43(1) exemption turns on the application of
those principles of Australian common law which determine whether a document,
or
matter in a document, is subject to legal professional privilege. The grounds
on which a document can attract legal professional
privilege are fairly well
settled in Australian common law. In brief terms, legal professional privilege
attaches to confidential
communications between lawyer and client for the sole
purpose of seeking or giving legal advice or professional legal assistance,
and
to confidential communications made for the sole purpose of use, or obtaining
material for use, in pending or anticipated legal
proceedings (see Re
Smith and Administrative Services Department [1993] QICmr 3; (1993) 1 QAR 22 at pp.51-52
(paragraph 82), which sets out a summary of the principles established by the
High Court authorities of Grant v Downs [1976] HCA 63; (1976) 135 CLR 674, Baker v
Campbell [1983] HCA 39; (1983) 153 CLR 52, Attorney-General (NT) v Kearney [1985] HCA 60; (1985)
158 CLR 500, Attorney-General (NT) v Maurice [1986] HCA 80; (1986) 161 CLR 475, and
Waterford v Commonwealth of Australia [1987] HCA 25; (1987) 163 CLR 54). There are
qualifications and exceptions to that broad statement of principle, which may,
in a particular case, affect the question
of whether a document attracts the
privilege, or remains subject to the privilege; for example, the principles with
respect to waiver
of privilege (see Re Hewitt and Queensland Law Society
Inc (Information Commissioner Qld, Decision No. 98005, 24 June 1998,
unreported) at paragraphs 19-20 and 29), and the principle that
communications
otherwise answering the description above do not attract privilege if they are
made in furtherance of an illegal or
improper purpose (see Commissioner,
Australian Federal Police v Propend Finance Pty Ltd (1997) 71 ALJR
327).Correspondence attaching legal accounts11. Documents
H8 and H9 each comprise a covering letter dated 14 February 1996, a notional
invoice for services from the Crown Solicitor,
and a standard form questionnaire
entitled "Review of Notional Bill". Document I7 comprises a covering letter
dated 8 March 1996,
a notional invoice from the Crown Solicitor and a memorandum
of fees from Counsel. (The documents date from a period when the Crown
Solicitor was trialling a system for charging government agencies for legal
services.) I can see no basis on which the respondent
can sustain a claim for
exemption of the standard form questionnaire under s.43(1) of the FOI Act. It
clearly relates to matters
of administration, and was not communicated for the
purpose of seeking or giving legal advice or professional legal assistance, or
for use in legal proceedings. I find that it is not exempt matter under s.43(1)
of the FOI Act.12. In his letter dated 3 April 1997, the Under Treasurer
(responding to a preliminary view I had conveyed in my letter dated 27 February
1997) stated:... You have indicated that as those accounts do not
disclose any detail of legal advice sought or given, it appears that they do
not
qualify for exemption under s.43(1).However, with respect,
s.43(1) provides that matter will be exempt if it would be privileged from
production in a legal proceeding
on the ground of legal professional
privilege.Legal professional privilege attaches to accounts from
a lawyer to the client.It is an inherent part of obtaining legal
advice that the client receives an account. Those accounts usually contain
details of the
amount of work done as this is reflected in the quantum of the
account.Accounts are not required to be produced in proceedings
by a person who has received advice except in circumstances where a person
seeks
to recover their costs from another party.In circumstances where
an award of costs has been made to a party and taxation is required, it is up to
that party to voluntarily
provide their costs for the taxation. There is no
compulsion on them to provide the account if they do not want to recover their
costs.13. In Packer v Deputy Commissioner of Taxation [1985] 1 Qd
R 275, the members of a Full Court of the Supreme Court of Queensland made some
incidental remarks about legal professional
privilege and solicitors' accounts.
The documents in issue in that case were trust account ledgers, but in the
course of considering
the position of such documents, members of the Court
referred to older authorities concerning privilege attaching to solicitors'
bills of account. Andrews SPJ said (at pp.281-282):We were referred
to a number of decisions touching upon bills of costs, for example. Speaking
generally I would accede to a contention
that if disclosure of material under
consideration could be said to expose material by way of communication whether
documentary or
otherwise between solicitor and client for the relevant purposes
discussed herein legal professional privilege should exclude it
from a
requirement of disclosure. ...... In my view there is nothing in
particular to set aside a bill of costs as forming some special category of
record of privileged
information. Even bills of costs may on careful scrutiny
in particular cases be shown not to contain privileged information.
Consideration
of individual cases demonstrates that bills of costs frequently
contain a history of matters in respect of which solicitors have
been consulted
by clients which discloses the nature of advice sought or
given.In "Daily Express" (1908) Ltd v Mountain (1916) 32
TLR 592, for example Swinfen Eady LJ at p.593 expressed the view that a bill of
costs came within the rule as to privilege; that it contained
the history of the
transactions to which it related and was valuable because it recorded the events
in chronological order. It had
been common ground between the parties there
that this was so. In Chant v Brown [1852] EngR 605; 9 Hare 791; 68 ER 735 Turner VC made
it plain that a bill of costs was privileged as a history of matters dealt with
by the solicitor. I would hold the
material under consideration here to be
quite different from a detailed bill of costs. In any event I am of the opinion
that if
a bill of costs does not contain such details it is not per se
protected by legal professional privilege.14. On the other hand,
both McPherson J (at pp.286-287) and Shepherdson J (at pp.295-296), referred
with apparent approval to those
older, predominantly English, cases which
suggest that a solicitor's bill of costs in detailed form would prima
facie attract the cloak of legal professional privilege, on the basis that a
bill of costs will ordinarily disclose instructions given
by a client to a
solicitor, and refer to work done and disbursements made by the solicitor in a
professional capacity.15. In Allen, Allen & Hemsley v Deputy
Commissioner of Taxation (1988) 81 ALR 617, another case dealing with a
claim of legal professional privilege in respect of solicitors' trust account
ledgers, Pincus J (then
of the Federal Court of Australia) was implicitly
critical of that approach (his specific reference was to the judgment of
Shepherdson
J at p.295), saying (at p.626):One approach to the
problem of defining the scope of privilege is to proceed from the assumption
that, except in so far as the High
Court has expressly rejected older statements
as to the scope of the privilege, such statements continue to be authoritative:
cf. Packer v DCT (Qld) [1985] 1 Qd R 275 at295, where that
technique is used. I incline, on the other hand, to the course of assuming that
the High Court's recent analyses
of the topic must constitute the main source of
the relevant principles.16. All of the cases concerning legal
professional privilege and solicitors' bills of costs that were referred to by
McPherson J and
Shepherdson J predated the High Court's insistence (commencing
from Grant v Downs in 1976) that relevant communications must satisfy the
'sole purpose' test to attract legal professional privilege. Packer v
DCT itself predated the High Court decision in Waterford's case,
which dealt with the application of the 'sole purpose' test to documents
containing legal advice and other "extraneous matter",
and the circumstances in
which such "extraneous matter" may be severed (and disclosed) from a document
which, considered as a whole,
attracts legal professional privilege. (The
treatment of those issues in Waterford's case was analysed in detail in
my decision in Re Hewitt at paragraphs
97-129.)17. Waterford's case involved a decision on the
application of a statutory provision (s.42(1) of the Freedom of Information
Act 1982 Cth - the legal professional privilege exemption) very similar in
its terms, and its intended operation, to s.43(1) of the Queensland
FOI Act.
Mason and Wilson JJ (who, with Brennan J, formed a majority in dismissing Mr
Waterford's appeal) said (at p.66):The appellant's submission fails
to appreciate that the sole purpose test is a test that looks to the reason why
the document was
brought into existence. If its sole purpose was to seek or to
give legal advice in relation to a matter, then the fact that it contains
extraneous matter will not deny to it the protection of the privilege. The
presence of matter other than legal advice may raise
a question as to the
purpose for which it was brought into existence but that is simply a question of
fact to be determined by the
Tribunal and its decision on such a question is
final. It may also be appropriate in a particular case for the Tribunal to
require
those parts of the document which do not bear the necessary relation to
legal advice to be disclosed. The doctrine of legal professional
privilege
allows room for questions of fact and degree such as these to fall for decision.
Moreover the [Freedom of Information Act 1982 Cth] contemplates
that where an exempt document contains material which, standing alone, would not
render the document exempt, the agency
or Minister should, if it is reasonably
practicable to do so, delete the privileged material and grant access to the
remainder: s.22.[I note that s.32 of the Queensland FOI Act is similar,
in purpose and effect, to s.22 of the Freedom of Information Act 1982
Cth.]18. In the High Court's recent consideration of aspects of legal
professional privilege in Propend Finance, Kirby J said (at p.375): "...
it is now settled that the privilege, at common law, extends only to
communications brought into existence for the sole purpose of submission
to legal advisers for advice or for use in legal proceedings. ..." (my
underlining). Dawson J also used language
indicating a similar confinement of
the scope of the privilege in his comment (at p.335) that: "... the preferred
view is that a
communication constituted by a document will only be protected by
privilege if the document is brought into existence for the sole
purpose of
seeking or giving legal advice or for use in legal proceedings." Brennan CJ
made comments to the same effect at p.330
(the relevant passage is quoted in
Re Hewitt at paragraph 112).19. I have difficulty in accepting that
solicitors' bills of costs are brought into existence for the sole purpose of
providing legal
advice or professional legal assistance, or for the sole purpose
of use in pending or anticipated legal proceedings. They are ordinarily
brought
into existence for the purpose of rendering an account for legal services
performed. Although a solicitor's bill of costs
may (and in the case of a
detailed bill of costs inevitably will) refer to communications between
solicitor and client, or with third
parties, (e.g., instructions received, and
advice or professional legal assistance given, by the solicitor) which are
prima facie privileged communications, those references are included as a
record of instructions received and services performed, for the purpose
of
rendering an account for payment.20. A strict application of the 'sole
purpose' test as stated in paragraphs 17 and 18 above would, in my view,
ordinarily have the
result that a solicitor's bill of costs does not attract
legal professional privilege because it would not ordinarily have been brought
into existence solely for a privileged purpose. However, any segments of a
solicitor's bill of costs which comprise a record of
prior privileged
communications would, in my view, attract legal professional privilege
(cf. Lockhart J's category (d) of material to which legal professional
privilege extends, as stated in Trade Practices Commission v Sterling
[1979] FCA 33; (1979) 36 FLR 244 at p.246: "Notes, memoranda, minutes or other documents
made by the client, or officers of the client, or the legal adviser of the
client, of communications which are themselves privileged, or containing a
record of those communications, ..."). I consider that
the common law
principles of legal professional privilege must permit severance from a
solicitor's bill of costs (and continued protection
from compulsory disclosure)
of those segments of the bill which record prior privileged communications.
That seems to me to be necessary
to preserve the efficacy of the doctrine of
legal professional privilege (cf. Re Hewitt at paragraphs 119-120, and
the cases there discussed), given the frequent necessity to include in a
solicitor's bill of costs records
of prior privileged communications, albeit not
for the sole purpose which attracted legal professional privilege to those prior
communications.
In my view, the rationale for legal professional privilege
requires that protection from compulsory disclosure be extended only
to any
record, contained in a solicitor's bill of costs, of a communication which
itself satisfies the requirements to attract legal
professional privilege. The
balance of a solicitor's bill of costs would not ordinarily, in my opinion,
attract legal professional
privilege under the prevailing High Court
authorities.21. The views I have expressed are similar, in essence, to
the views expressed in Packer v DCT by Andrews SPJ (see paragraph 13
above), whose views were accepted and applied, in an FOI context, in the two
Tribunal decisions referred
to in paragraphs 22 and 23 below. My views also
accord with the approach adopted by Tamberlin J of the Federal Court of
Australia
in Lake Cumbeline Pty Ltd v Effem Foods Pty Ltd (1994) 126 ALR
58 at p.68:Disclosure of the memoranda of fees and other documents
does not in any way disclose the nature or contents of the advice or
communications
between the applicants and their legal advisers. The memoranda
of fees simply set out the dates and refer to the action taken in
respect of
which a charge is made. The memoranda of fees were brought into existence, on
their face, not solely for the purpose
of obtaining legal advice or for use in
legal proceedings but for the purpose of recording and raising charges in
respect of work
which had been already completed. It is evident that the
documents were made or brought into existence for a purpose different from,
or
beyond, the obtaining of legal advice or use in legal
proceedings....In the present case, I have perused the
memoranda of costs which have been provided by the applicants and I do not
consider that they
disclose the nature or content of privileged
material. ... The memoranda and the other documents are simply recording, in
outline form, the work which has been
undertaken by the solicitors and in
respect of which the charges are raised and do not disclose the content of the
communications,
advices, briefs or conferences.22. In Re Skopalj
and Transport Accident Commission (1989) 4 VAR 16, Deputy President Galvin
of the Victorian Administrative Appeals Tribunal analysed a number of documents
on the basis of the comments
of Andrews SPJ in Packer v DCT. Deputy
President Galvin found that a bill of costs disclosing no particulars of the
matter, save for the names of the parties,
and an accompanying letter simply
enclosing an account, would not be protected by legal professional privilege
(see pp.28 and 29).23. The Western Australian Information Commissioner
considered the status of solicitors' bills of costs in Re Johnson and State
Government Insurance Commissioner (Information Commissioner WA, D02896, 17
May 1996, unreported). After an analysis of the decided cases on the point,
including Packer v DCT, Lake Cumbeline and Re Skopalj, the
Western Australian Information Commissioner determined that the amount alone of
the solicitors' bill did not indicate the nature
of instructions given by the
client, nor could it in any way reveal the advice or assistance given by legal
advisers. The Information
Commissioner determined that, subject to deletion of
certain matter, the bills of costs in issue were not exempt matter under the
exemption provision of the Freedom of Information Act 1992 WA which
corresponds to s.43(1) of the Queensland FOI Act.24. Even if,
contrary to my views, the principles applied in the older cases referred to with
apparent approval by McPherson J and
Shepherdson J in Packer v DCT (see
paragraph 14 above) remain applicable in Australian law, I consider that the
result I have described in the last two sentences
of paragraph 20 above would
ordinarily be arrived at by the application of the provisions of the FOI Act to
a solicitor's bill of
costs. That result would, in my view, be required by the
application, in conjunction with s.32 of the FOI Act, of the principle
stated in
the final sentence of the passage from Waterford's case quoted at
paragraph 17 above. Thus, in my view, even if it be correct that privilege
usually attaches to solicitors' bills
of costs, because they record or refer to
privileged communications, an authorised decision-maker under the FOI Act
should, where
it is practicable to do so, grant access to any matter in a bill
of costs which, standing alone, would not be privileged from production
in a
legal proceeding on the ground of legal professional
privilege.25. Turning to the covering letter, the notional invoices, and
the memorandum of counsel's fees which are in issue in this review,
the only
matter in any of those documents which could be said to record anything
regarding the legal services provided is the heading
to each document. The
letters dated 14 February 1996 describe, in general terms, the type of work
carried out, e.g., "discussions
between Crown Law officers and the Office of
State Revenue" and "all necessary perusal of material". Descriptions of that
kind convey
nothing about the nature or content of privileged communications,
and they do not, in my opinion, constitute information of a kind
that attracts
the protection of legal professional privilege. The headings themselves give
only the broadest idea of the subject
of the legal advice and services provided,
and do not give any detail of particular advice provided. (It must already be
obvious
to Mr Murphy, given the nature of his FOI access application dated 18
March 1996 and the fact that the respondent has identified
the documents now
under consideration asfalling within its terms, that the legal advices
obtained by the respondent related in some way to his FOI access applications,
or
to the review proceedings arising from the 1993 access application.) I have
significant reservations as to whether those headings
attract legal professional
privilege but, in any event, Mr Murphy has indicated that he does not seek
access to them. The headings,
therefore, are not in issue in this external
review. It is practicable to give Mr Murphy access to the documents with the
headings
deleted. 26. I find that documents H8, H9 and I7 (subject to
deletion of the headings to the covering letters, notional invoices and
memorandum
of counsel's fees) are not exempt matter under s.43(1) of the FOI
Act.Remaining matter in issue, and the application of the 'improper
purpose exception'27. I have described the other documents in issue
in sub-paragraphs 5(b), (c), (d) and (e) above.Those documents fall into
categories which are well recognised as being subject to legal professional
privilege. 28. In Re Potter and Brisbane City Council [1994] QICmr 18; (1994) 2
QAR 37 at pp.45-47 (paragraphs 19-27), I discussed the application of legal
professional privilege to communications to or from in-house legal advisers.
In summary, the authorities establish that legal professional privilege may
apply with respect to employee
legal advisers of a government Department or
statutory authority, provided there is a professional relationship of solicitor
(or
barrister) and client, which secures to the advice an independent character
notwithstanding the employment.Important indicia are whether the legal
adviser has been admitted to practice as a barrister or solicitor, and remains
subject to
the duty to observe professional standards and the liability to
professional discipline. Possession of a current practising certificate
is not
necessary for establishing the requisite degree of independence, but will carry
some weight in assisting to establish the
requisite degree of independence.
29. I have previously indicated that the Crown Solicitor is in a
position to give independent legal advice which attracts legal professional
privilege (see Re Smith and Administrative Services Department, at p.54,
paragraphs 88-90). I also consider that the author of the documents listed in
sub-paragraph 5(d) was in a position to
provide independent legal advice of a
kind which would attract legal professional privilege. 30. Having
examined each document containing or comprising matter in issue, it is my view
that, subject to consideration of the 'improper
purpose exception', the matter
listed in sub-paragraphs 5(b), (c), (d) and (e) above, was created solely for a
purpose which attracts
legal professional privilege, and hence would qualify for
exemption under s.43(1) of the FOI Act.Principles with respect to the
'improper purpose exception'31. Detailed analyses of the 'improper
purpose exception' to legal professional privilege can be found in the judgments
of the High
Court of Australia in Attorney-General (NT) v Kearney and in
Propend Finance. In the latter case, McHugh J said (at p.358):
"Communications in furtherance of a fraud or crime are not protected by legal
professional
privilege because the privilege never attaches to them in the first
place. While such communications are often described as 'exceptions'
to legal
professional privilege, they are not exceptions at all. Their illegal object
prevents them becoming the subject of privilege."
However, for the sake of
convenience, when I have needed to refer to the relevant principles in a
short-hand way, I have described them, in these reasons for decision, as the
'improper purpose exception'.32. In Propend Finance, Gaudron J said
(at p.352): Communications made in furtherance of future wrongdoing
fall outside legal professional privilege, although there is no particularly
precise statement as to the nature of the wrongdoing that produces that result.
(As to the different formulations of the nature
of the wrongdoing which
'displaces' legal professional privilege, see Attorney-General (NT) v
Kearney (1985) [1985] HCA 60; 158 CLR 500 at pp.528-529 per Dawson J and the
cases there cited.)However, legal professional privilege clearly
extends to the situation in which a person seeks advice with respect to past
misdeeds.
33. The passage from Dawson J's judgment in
Kearney, to which Gaudron J referred, is the following (at
pp.528-529):It is true that different expressions are to be found in
the cases to explain what is meant by crime or fraud in the present context:
"any unlawful or wicked act" (Annesley v Anglesea (1743) 17 St. Tr. 1139
at p.1229); "a criminal or unlawful proceeding", "fraudulent contrivance, or ...
any illegal proceeding", "an
improper or an illegal act", "illegality or fraud
or trickery" (Bullivant v Attorney-General (Vict) [1901] AC 196 at
pp.201, 203, 205, 206), "crime or civil fraud", "wrong-doing", "illegal object"
(Varawa v Howard Smith & Co Ltd (1910) 10 CLR at pp.386, 387, 390);
"any illegal or improper purpose", "to frustrate the processes of law", "taint
of illegality"
(Reg v Bell; Ex parte Lees (1980) 146 CLR at pp.145, 156,
162), "crime or fraud or civil offence" (Baker v Campbell [1983] HCA 39; (1983) 153 CLR
52 at p.86).(See also per Gibbs CJ in Kearney at
pp.511-515.)34. Having regard to the nature of the case put forward by
Mr Murphy, perhaps the most apposite statement for present purposes is
that made
by Gibbs CJ in Kearney at p.515:It would be contrary to the
public interest which [legal professional] privilege is designed to
secure - the better administration of justice - to allow it to be used to
protect communications made to
further a deliberate abuse of statutory power and
by that abuse to prevent others from exercising their rights under the
law.35. Gibbs CJ also stated the evidentiary requirements for a
finding that legal professional privilege had been displaced in such
circumstances
(at p.516):The privilege is of course not displaced by
making a mere charge of crime or fraud or, as in the present case, a charge that
powers
have been exercised for an ulterior purpose. This was made clear in
Bullivant v Attorney-General (Vict) and in O'Rourke v Darbishire.
As Viscount Finlay said in the latter case, "there must be something to give
colour to the charge". His Lordship continued:"The statement
must be made in clear and definite terms, and there must further be some
prima facie evidence that it has some foundation in fact ... The Court
will exercise its discretion, not merely as to the terms in which the
allegation
is made, but also as to the surrounding circumstances, for the purpose of seeing
whether thecharge is made honestly and with sufficient probability of its
truth to make it right to disallow the privilege of professional
communications."[footnotes omitted]36. Similarly, in Propend
Finance, Brennan CJ said (at p.334):In determining whether a
claim of legal professional privilege can be upheld, it is open to the party
resisting the claim to show
reasonable grounds for believing that the
communication effected by the document for which legal professional privilege is
claimed
was made for some illegal or improper purpose, that is, some purpose
that is contrary to the public interest. I state the criterion
as "reasonable
grounds for believing" because (a) the test is objective and (b) it is not
necessary to prove the ulterior purpose
but there has to be something "to give
colour to the charge", a "prima facie case" that the communication is made for
an ulterior
purpose. [footnotes omitted]37. Discussing the
evidence necessary to displace legal professional privilege, Gaudron J said in
Propend Finance (at p.353):... there must be evidence to raise
a sufficient doubt as to a claim of privilege, to cast a further evidentiary
onus on the person
making the claim to show that, in truth, the privilege
attaches.Inevitably, what will be sufficient to cast a further
evidentiary burden on a person claiming legal professional privilege will vary
according to the facts of each case. However, the presumption of innocence is
not lightly displaced.Thus, for example, it was said by Lord Wrenbury
in O'Rourke v Darbishire, a case involving an allegation of fraud, that
there must be material which shows "good ground for saying that prima facie a
state
of things exists which, if not displaced at the trial, will support a
charge of fraud". Similarly in Buttes Gas and Oil, Lord Denning MR said
that it was necessary for there to be "strong evidence".Bearing
in mind the purpose served by legal professional privilege and the importance of
the presumption of innocence, a further evidentiary
burden is, in my view, cast
upon a person claiming legal professional privilege only if there is evidence
which, if accepted, raises
a prima facie case of illegal or other purpose
falling outside the privilege. Evidence of that nature need not be led by the
person resisting
the claim of privilege. It might emerge, for example, from
documents for which the claim is made.[footnotes omitted]38. I
consider that the following principles can be drawn from the decided
cases:
To displace legal professional privilege, there must be prima facie
evidence (sufficient to afford reasonable grounds for believing) that the
relevant communication was made in preparation for, or
furtherance of, some
illegal or improper purpose.
Only communications made in preparation for, or furtherance of, the illegal
or improper purpose are denied protection, not those that
are merely relevant to
it (see Butler v Board of Trade [1970] 3 All ER 593 at pp.596-597). In
other words, it is not sufficient to find prima facie evidence of an
illegal or improper purpose. One must find prima facie evidence that the
particular communication was made in preparation for, or furtherance of, an
illegal or improper purpose.
Knowledge, on the part of the legal adviser, that a particular communication
was made in preparation for, or furtherance of, an illegal
or improper purpose
is not a necessary element (see R v Cox and Railton (1884) 14 QBD 153 at
p.165; R v Bell: ex parte Lees [1980] HCA 26; (1980) 146 CLR 141 at p.145); however,
such knowledge or intention on the part of the client, or the client's agent, is
a necessary element (see paragraphs
39-40 and 42
below).Knowledge of wrongdoing necessary39. In
Kearney (at p.515), Gibbs CJ said that there must be a "deliberate abuse
of statutory power". This point was considered at some length by
Wilson J in
Kearney (at pp.524-525):The principle may be expressed by
saying that, generally speaking, the public interest in the protection of
alleged confidential professional
communications will not be outweighed by the
public interest in ensuring that all relevant evidence is admissible save when
the professional
relation is abused in a manner involving dishonesty that goes
to the heart of the relationship. The presence of such dishonesty
is enough to
cause the privilege to "take flight", to use the words of Cardozo J in Clark
v United States, because it precludes a true professional relationship from
arising: see the remarks of Stephen J in Cox and Railton. A passage from
the judgment of Isaacs J in Varawa v Howard Smith & Co Ltd is in
point. His Honour said:"The words 'for the perfect administration
of justice' are all important, because, as was pointed out by Turner VC in
Russell v Jackson, the privilege which protects any confidential
disclosure between solicitor and client is not intended simply to protect that
confidence,
but it rests upon the necessity of carrying it out.Otherwise
justice could not be administered, as the Courts would not have the proper
opportunity and means of administering the law
between the litigants. That
being the foundation of the rule, says the learned Vice-Chancellor, the Court
must, of course, have
regard to the foundation on which it rests, and not extend
it to cases which do not fall within the mischief which it is designed
to
protect."I turn now to consider whether the conclusion I have
expressed with respect to the privilege of the citizen is entirely apposite in
the case of a claim of privilege by a government in respect of legal advice
sought in connexion with the making of regulations.
Woodward and Neaves JJ, in
the passage I have cited, express the view that any exercise of the
regulation-making power for an ulterior
purpose would displace the privilege.
With all respect, I think that is too wide. Where legal advice is sought with
reference to
the making of regulations for a purpose which is believed to be
consistent with the scope and objects of the enabling legislation,
in my opinion
the privilege shouldattach to those communications notwithstanding
that it is alleged that the regulations are beyond power and notwithstanding
that some
secondary motive unrelated to the statutory power is also present.
The purpose which the privilege is designed to serve is in no
way denied when
legal advice is taken in those circumstances. In my view, the implications for
the privilege would be serious if
an allegation of ultra vires, based on
a genuine but mistaken view of the scope of the power, were sufficient to expose
a government to discovery of confidential
professional communications. It must
be remembered that whatever rule is found to apply to government law making will
find a close
parallel in the case of the exercise of a local government's power
to make by laws. Conversely, if the advice is sought in the deliberate
pursuit
of a purpose which is known to be beyond power, then in those circumstances the
public interest cannot concede to a government
any right to withhold relevant
material from scrutiny in the courts. The distinction between a deliberate and
a mistaken misuse
of power is to my mind of crucial
significance.Counsel for the appellant argues against the drawing
of such a distinction on the ground that there is a single category by reference
to which regulations will be held invalid because made for an ulterior purpose.
The test is an objective one. That may be so when
testing regulations for
validity but the question is a different one when the issue is whether legal
professional privilege may be
claimed in respect of certain communications. The
test goes to the professional quality of the relationship. That quality depends
on the good faith, the integrity that the client brings to the consultation, not
upon the correctness or otherwise of the advice
that may be
given.[footnotes omitted]40. In this case, Mr Murphy has made
allegations which, if established, would mean that certain decisions made by the
respondent in
dealing with Mr Murphy's 1993 access application were made
contrary to law, in the sense that grounds would have existed for overturning
those decisions in proceedings brought under the Judicial Review Act 1991
Qld. The Judicial Review Act lists numerous errors of law into which a
decision-maker might fall, and which (subject to the exercise of the court's
discretion
to grant, or decline to grant, a remedy to an aggrieved applicant)
might result in the overturning of an administrative decision.
For example, a
decision-maker may take into account irrelevant considerations or may make an
error in interpreting the law. I do
not consider that prima facie
evidence that a communication was made in furtherance of the purpose of making
an administrative decision, which decision can be
shown to have been based on a
flawed understanding of the legal requirements attending the making of that
administrative decision,
will necessarily lead to the establishment of the
'improper purpose exception' to legal professional privilege. A mere mistake as
to legal requirements will usually be insufficient. Consistently with the
observations by Wilson J in the second last paragraph
of the above-quoted
passage, in order to displace legal professional privilege, there would
ordinarily need to be prima facie evidence that the impugned
communications were made in furtherance of a purpose of making (and, in the
context of this case, defending)
an administrative decision known to be contrary
to the law.41. Legal professional privilege plays a very significant
part in the proper functioning of the legal system. In Re Hewitt at
paragraph 68, I quoted passages from Waterford's case (per Mason and
Wilson JJ at p.62 and p.64; per Deane J at p.82) which acknowledged that the
public interest rationale for the
principles of legal professional privilege
extends to benefiting thepublic interest through encouraging public
officials to consult professional legal advisers, with the same protection for
confidential
communications between legal adviser and client as is afforded to
the ordinary citizen In Kearney, Gibbs CJ made a similar point (at
p.511):The reasons justifying the privilege apply when a public
authority preparing regulations which will have the force of law seeks legal
advice from its legal advisers. It is in the interest of the public as well as
that of the authority that the latter should make
full and candid disclosure to
its advisers so that it may obtain sound legal advice.42. In my
view, in order to establish the 'improper purpose exception', it will be
necessary for me to find prima facie evidence that the client, or an
agent of the client, had embarked on a deliberate course of action knowing that
the proposed actions
were contrary to law, and had made the relevant
communications in furtherance of that illegal or improper purpose.
43. By virtue of s.81 of the FOI Act, the onus is on the Department to
satisfy me that the requirements for exemption under s.43(1)
have been met.
This extends to showing that the documents in issue are not excluded from
eligibility for legal professional privilege
under the 'improper purpose
exception'. Mr Murphy's evidence and submissions were directed to showing a
prima facie case that the documents in issue did not attract legal
professional privilege because they were brought into existence in furtherance
of an illegal or improper purpose. An agency in the position of the respondent
should carefully consider its position before deciding
(as the respondent did in
this case) not to provide evidence to establish its case for exemption on the
ground of legal professional
privilege, in the face of an attempt by an
applicant to show grounds for the application of the 'improper purpose
exception'.Nevertheless, if I am to find that the 'improper purpose
exception' applies in respect of the matter in issue, I must be satisfied
that I
have before me prima facie evidence that the matter in issue was
communicated in preparation for, or furtherance of, an illegal or improper
purpose.Submissions and evidence of the applicant44. In
her original decision on Mr Murphy's 1993 access application, Ms Natalie Barber
of the Department decided that the names of
a number of officers of the
Department were exempt matter under s.44(1) of the FOI Act. An internal review
was undertaken by Mr
M Sarquis, who, in his written decision dated 20 September
1993, affirmed Ms Barber's decision that the names of officers were exempt
matter under s.44(1), and also determined that they were exempt matter under
s.42(1)(c) of the FOI Act. The decisions of Ms Barber
and Mr Sarquis were
subsequently revoked, and a decision was made by Mr H Smerdon, the then Under
Treasurer (and the principal officer
of the respondent agency in terms of s.33
of the FOI Act), that the names were exempt matter under s.40(c) and s.44(1) of
the FOI
Act. On external review, I set aside Mr Smerdon's decision, finding
that the names of the officers concerned were not exempt matter
under the FOI
Act. The respondent's challenge to my decision under the Judicial Review
Act was dismissed.45. Mr Murphy set out his allegations relating to
his claim of improper purpose at paragraph 2 of his submission received by me on
16 September 1996, as follows:(a) The Queensland Treasury's duly
authorised delegate (Michael Sarquis) decided on or before 13 September 1993
that the Applicant
was entitled without exemption to certain
documents.(b) The Queensland Treasury determined that it did not want
to allow the Applicant to exercise his right to have access to the documents
as
required by the FOI Act and wished to delay access as long as possible, if it
could not finally prevent his gaining access.(c) The Queensland
Treasury decided not to comply with the legal obligations binding it consequent
upon Sarquis' decision.(d) The Queensland Treasury, by means of
fraud, unlawful directions and abuse of power on the part of its employees
concealed its
delegate's true decision, knowing that the Applicant would
continue to attempt to exercise his right of access to the documents in
issue.(e) The Queensland Treasury, knowing full well that the
Applicant had an unrestricted right of access, thereby committed itself to
carrying out the unlawful purpose of obstructing the Applicant's subsequent
attempts to exercise his right of access.(f) To assist in that
unlawful purpose, the Queensland Treasury sought and obtained legal advice and
assistance from the Crown Law
Office and counsel
in:- (i) composing a fraudulent letter to the Applicant from
Sarquis; (ii) formulating the reasons for decision of Henry
Smerdon, its Principal Officer; (iii) opposing the Applicant
before the Information Commissioner; and(iv) conducting an
Application for Review to the Supreme Court (Application 696 of
1995).(g) In formulating its case before the Supreme Court, the
Queensland Treasury acted unlawfully in that it sought to pervert the operation
of section 98 of the FOI Act and thereby abuse the process of the Supreme Court.
To assist it in that purpose, the Queensland Treasury
sought and obtained legal
advice and assistance from the Crown Law Office and counsel.Mr
Murphy added that he did not allege that Crown Law officers, or counsel, were
aware of the "true purpose and unlawful conduct of Queensland
Treasury".46. Mr Murphy alleged that prior to making his written
decision, Mr Sarquis had made up his mind to disclose the names of officers
appearing on the documents to which Mr Murphy had requested access. Mr Murphy
alleged that Mr Sarquis was subsequently instructed
to find that the names were
exempt matter. In support of this allegation, Mr Murphy referred to a number of
documents, including
a memorandum dated 13 September 1993 to the Under Treasurer
from Ms J Macdonnell, who was then the Director of the Office of State
Revenue,
and which stated:A freedom of information application was lodged by Mr
John Murphy on behalf of Milglade Pty Ltd on 24 June 1993 seeking access to
a
land tax file.It could be inferred from the wording of the
application that one of the purposes of the request was to access the names of
Office
of State Revenue staff who had dealt with the company's
file.Mr Murphy, on behalf of his company, has had ongoing
dealings with the office and was investigated in relation to a land tax
principal
place of residence concession, which was subsequently disallowed. He
has been aggressive and abusive in his conversations with staff
and has
threatened to place various staff members on a "list" for reprisal action. I
have personally spoken to Mr Murphy on one
occasion and was threatened with
having my name put on the list when I did not agree to negate the land tax
assessment.On this basis and in reliance on exemptions available
in the FOI Act, exemption of material disclosing officers' names was recommended
to the FOI Co-ordinator. Access to the file was granted on this basis. Mr
Murphy has now lodged a request for internal review of
the decision to exempt
this material and I am advised it is the internal reviewer's intention to
reverse the original exemption decision.
I am concerned at the preparedness to
reverse this decision as it may effectively establish a precedent, making it
difficult to
support any future recommendation for exemption of officers' names.
While such exemption is not generally sought by the Office of
State Revenue,
certain instances are considered to warrant a more cautious approach,
particularly where there is an indication of
officers being targeted for
undesirable attention.A similar issue was considered by the
Administrative Appeals Tribunal in respect of the Commonwealth FOI Act in Re
Z and Australian Taxation Office (1984) 2 AAR 190. In that case it was held
the names of ATO staff were exempt from disclosure under section 40(1)(c) or (d)
of the Commonwealth FOI
Act, because there was a strong possibility that the
revelation of the names of officers who had dealt, even in a routine way, with
the taxpayers' affairs would undermine public confidence in the strict
confidentiality which surrounds the ATO's operations. The
AAT considered this
confidentiality was respected by both the public and the agency's officers and
it, therefore, was not in the
public interest to breach that
confidence.Section 40(1)(c) of the Commonwealth FOI Act corresponds
with section 40(1)(c) of the Queensland FOI Act. There is no section directly
comparable with section 40(1)(d) in the Queensland Act.While the
matter is untested in relation to the Queensland FOI Act, a similar approach
should be adopted - particularly where there
is evidence that the taxpayer would
seek to intimidate the officers concerned. It is, therefore, my strong view the
original exemption
decision should be confirmed on internal review and the
matter be determined by the Information Commissioner should the applicant
pursue
the matter to external review (- it is expected he will). Any decision prior to
such external review would, in my opinion,
be premature.Your
thoughts on the matter would be appreciated.47. Appearing on the
memorandum are two handwritten notes. The first appears to be a response from
the Under Treasurer to Ms Macdonnell,
which states:If Mr Murphy's
behaviour has been as you say it has, then I agree we should take all reasonable
steps to protect the names of staff
involved.This should be
conveyed to the Internal reviewer.It would then be a matter for
the Information Commissioner to determine, if necessary.48. The
second handwritten note appears to have been made by Ms M Haley, a staff member
of the respondent, and states: "Advised Mike Sarquis 16/9/93. He requested
background info in writing re applicant and reason for exemption." It
appears that a memorandum dated 17 September 1993 was then sent to Mr
Sarquis by Ms Macdonnell, outlining her concerns about disclosure of the names
and pointing
out the possible relevance of s.40(c).Ms Macdonnell concluded
by saying:While the matter is untested in relation to the Queensland
FOI Act, a similar approach [to the approach in Re Z] should be adopted -
particularly where there is evidence that the taxpayer would seek to intimidate
the officers concerned. It is
my strong view the matter should be considered by
the Information Commissioner if the applicant pursues the matter to external
review
as this will provide guidance in future similar cases. Any decision
prior to such external review would, in my opinion, be
premature.49. At paragraphs 83-88 of his affidavit, Mr Murphy
deposed to a conversation he had with Ms Haley as follows:83. I
discovered Haley's part in the matter early in 1996, and I contacted her by
phone on 4 April 1996.84. I put to her that she knew that Sarquis
had decided that the material was not exempt but that she had nevertheless
relayed what
she knew to be an unlawful direction from her
superior.85. Without hesitation, Haley admitted to me that she
knew the nature of the communication. She admitted readily that she knew that
Sarquis had decided I was to have unrestricted access.86. She
readily admitted that she knew the instruction she relayed was intended to cause
Sarquis to notify me that he had reached
a decision to exempt the documents
when, in fact, he had not.87. She justified herself by saying
that she was entitled to so instruct Sarquis because she was following an order
from her superior
officer (Macdonnell).88. I was unable to
persuade her that she was obliged not to obey an instruction which was unlawful
to her knowledge.50. Mr Murphy also deposed to the fact that he had had
a discussion with Mr Sarquis, and that Mr Sarquis had failed to deny that he
had
previously decided that the names of the staff were not exempt, or that he had
acted under direction. Mr Murphy contended that
this lack of a denial supported
a finding of those facts.51. Mr Murphy contended that once Mr Sarquis
had made up his mind that the matter in issue was not exempt matter, then Mr
Murphy became
entitled to have access to the matter unless Mr Sarquis changed
his mind. Mr Murphy says Mr Sarquis at no stage changed his mind
but was rather
directed to make a finding contrary to his original conclusion. Mr Murphy
contended that from the time Mr Sarquis
made up his mind that the matter in
issue was not exempt matter, Mr Murphy was entitled to the names of the
officers, and from that
time there was a conscious intention on the part of
officers of the respondent to deny him access to matter which he had a right
to
obtain.52. At paragraph 26 of his submission received on 16 September
1996, Mr Murphy listed some 19 circumstances which he contended lend
support to
his allegation of a continuing intention on the part of staff of the respondent
to deny him access to what was lawfully
his. The listed circumstances
were:(a) the general behaviour of Treasury employees
- (i) they have refused to recognise the purport of the judgment
of the Supreme Court in Application 696 of 1995 and remove the offending
material from their files; (ii) they have repeatedly refused to
confirm the untruth of the assault allegations by the simple expedient of
phoning the Director
of Legal Services of the B.C.C. (Ms. Robyn
Chapman).Ms. Chapman conducted an internal investigation in 1995 and
subsequently admitted to the Applicant and his solicitor that the allegations
were a "malicious and vindictive fabrication by Council employees." The
Applicant has informed a number of OSR employees of her
admission;(iii) the quite obviously contrived "reasons" advanced
by Siddle (the OSR decision maker) to suppress documents under section 41 -
those very documents which evidence the unlawful directions given to Sarquis and
which ought to have been produced to the Applicant
under two previous requests
under the FOI Act (MPL56 and MPL58), tendered to the Information Commissioner in
application MPL46, and
disclosed to the Supreme Court under RSC Order 35 in
Application 696 of 1995.(b) the fact that certain Treasury
employees had personal motives to cause the documents to be suppressed
- (i) certain of the material is defamatory of the Applicant -
the Information Commissioner has the Applicant's affidavit and exhibits
in
application MPL46 which demonstrate this. Whether or not the Applicant might
ultimately succeed in a suit againstthem and to what extent, it was
obviously in the employees' interests that he not have the names of the persons
responsible for the
creation and dissemination of that material (see also
sub-paragraph (1), below);(ii) some of the documents now in the
Applicant's possession (including those mentioned in this application)
demonstrate prima facie
that Treasury employees committed criminal
offences;(c) the extremely deficient nature of the purported
"Reasons for Decision" given by Kevin Martin (the Department of Justice internal
reviewer). Mr. Martin failed to give adequate reasons at his first attempt. He
failed again when prompted by the Applicant. In
our submission, he again failed
to comply with the law and the order of the Supreme Court on his third
attempt.It is open to the Information Commissioner to take
cognisance of the fact that Mr. Martin is a very experienced lawyer who should
be taken to know his duty and the law on this subject.It is
further open to the Information Commissioner to recognise, it is submitted, that
Mr. Martin's refusal to do his duty (despite
prompting by the Applicant, and by
the Court) is consistent with a course of conduct which is designed to obstruct
and frustrate
the Applicant at every turn;(d) the otherwise
inexplicable omission by Sarquis to mention in his affidavit before the
Information Commissioner that he had formed
the opinion that section 42(1)(c)
did not apply to the Applicant when he well knew that section 42(1)(c) was being
claimed as a ground
for exemption. Indeed, his statutory declaration was, it is
submitted, misleading in this important sense and deliberately
so;(e) Barber's otherwise inexplicable failure to depose to her
personal knowledge of the Applicant and her judgment (which she recorded
in
writing) that the Applicant was not a dangerous person;(f) the
failure of the Treasury to disclose certain very relevant documents (inimical to
its case before the Information Commissioner)
to the Commissioner and the
Supreme Court in Application 696 of 1995;(g) the obvious
intention of the Treasury to release the documents only if its employees had no
objection.Sarquis made his decision on 13 September 1993 at the
latest as is evidenced by Macdonnell's letters (documents 294 and 296 in the
bundle "JPM-11"). [There is no document 296 in my copy of exhibit "JPM-11"
but document 268 is a memorandum from Ms Macdonnell.] Therefore,
it is submitted, Sarquis was functus officio possibly as early as that
date and certainly on 20 September 1993 when he notified the Applicant (falsely,
it is submitted) of his
alleged decision.Nevertheless, Treasury
employees were making enquiries on 20 September 1993 and 14 October
1993 plainly directed to determining the desires of certain OSR employees. The
Applicant reminds
the Information Commissioner that Sarquis did not allegedly
"revoke" his decision formally until 4 October 1993 at the earliest -
even if
that was a valid revocation, which, we submit, it was not, since the decision he
allegedly revoked (that the documents were
exempt) was never made, in fact or in
law.In this regard, the Information Commissioner might have
regard to document 186 and consider that that document, coupled with the
enquiries
mentioned in the last sub-paragraph are further evidence that the
alleged revocation was fraudulent and for an ulterior
purpose;(h) the coincidence of the simultaneous destruction of
the computer copy, the OSR copy and the Minister's copy of each of two faxes
which were directed towards preventing the Applicant complaining to Members of
Parliament (probably in contempt of the Parliament),
and which must, it is
submitted, both have been in a similar vein - i.e. defamatory of the
Applicant;(i) document 186 addressed to a person named "Mark" -
alleged by the Applicant to be Mark Viglan, a Treasury solicitor. In our
submission,
this is plainly both a recognition at the time by Sarquis that no
proper grounds existed for the section 42(1)(c) exemption he claimed
and a plan
to keep the Applicant at bay until some evidence could be
gathered;(j) the dishonest and fraudulent behaviour of Sarquis
and Barber prior to and at the meeting on 15 October 1993 where they contrived
to deceive the Applicant by purporting to revoke their decisions on the grounds
that, having met the Applicant, they realised in
effect that they had made a
mistake;(k) Sarquis' enquiries of the wishes of the OSR employees
on the very day (20 September 1993) he wrote his letter conveying his alleged
decision to the Applicant - four days after he was apprised of the
Under-Treasurer's comments agreeing with Macdonnell's wish that
the Applicant
not have the documents; (l) the comment by the Under-Treasurer on
21 September 1993 that the alleged exemption decision was "wise" in the
circumstances of
the Applicant's threat to sue Sarquis - as was his legal right.
The Applicant submits that this comment confirms the true purpose
of the
Treasury - to protect its employees from civil suit.There was no
suggestion in that document that Smerdon thought the decision "wise" because he
regarded the Applicant as dangerous -
consistently with Smerdon's failure to
raise section 42(1)(c) when he made his decision. On the contrary, the decision
was seen
as "wise"because the Applicant had asserted that he was
willing to sue Sarquis and therefore could be assumed to be willing to sue other
employees
whose names he was unable to obtain because of Sarquis' "wise"
decision;(m) the fact that Sarquis told the Applicant that
section 42(1)(c) would not be used again; that Barber recorded her opinion that
the Applicant was not dangerous; that Smerdon did not raise section 42(1)(c);
that the Treasury did raise the section on external
review - these are all
consistent with Macdonnell's express wish that the Applicant not have access
unless it was granted by the
Information Commissioner;(n) the
behaviour of the Crown Law solicitor, Lisa Fleming, who, given the very serious
nature of the allegations, had a plain professional
duty to take reasonable
steps to check the accuracy of what she had been told by the two B.C.C.
employees (Quin and Corrie) before
she swore the statutory declaration she
tendered to the Commissioner;(o) the "manure incident", in our
submission, is consistent with the vindictive and high-handed behaviour of the
Treasury's employees
from the beginning of this matter in
1991;(p) the plain threat to the Information Commissioner by the
employees' trade union - the State Public Services Federation (Queensland)
- in
its submission in the external review of request MPL46;(q) that
the Treasury's use of the natural person Bradley as its "Applicant" in
Application 696 of 1995 to circumvent section 98 of
the FOI Act was, it is
submitted, an abuse of the process of the Supreme
Court;(r) further, it is submitted, the circumstances of that
application, particularly the attempt to circumvent section 98 of the FOI
Act,
point to an ulterior motive on the part of the Treasury. In our
submission, that motive could have been none other than to frighten the
Applicant away from defending his rights by the threat
of an adverse costs order
in the Treasury's own application - a situation which the Parliament had
deliberately intended to avoid
when it enacted section
98;(s) Macdonnell's letter to the SPSF(Q) rejecting the very
argument she instructed her agency's solicitors to put to the Information
Commissioner and the Supreme Court against the Applicant.Mr
Sarquis' decision53. Much of Mr Murphy's evidence is aimed at
establishing that Mr Sarquis had already made a decision prior to formulating
his written
reasons for decision, but changed it at the direction of a superior
officer or officers. 54. In her memorandum dated 13 September 1993, Ms
Macdonnell stated, "I am advised it is the internal reviewer's intention to
reverse the original exemption provision." However, the written decision of
Mr Sarquis was dated 20 September 1993 and differed markedly from that
"intention". Mr Murphy
argued that a distinction can be drawn between the
formulation of a decision and committing the decision and reasons for decision
to writing. 55. A useful discussion of what constitutes a decision,
made in the exercise of a statutory decision-making power, can be found in
the
judgment of Northrop J in Ricegrowers Co-operative Mills Ltd v
Bannerman and Trade Practices Commission [1981] FCA 211; (1981) 38 ALR 535, at pp.542-544
(see also Re Sullivan and Department of Industry, Science and Technology
(Commonwealth Administrative Appeals Tribunal, Mr P Bayne (Senior Member), No.
A95/197, 6 June 1997, unreported), at paragraphs 84-89).
In considering what
constitutes a "decision" under the Administrative Decisions (Judicial Review)
Act 1977 Cth, Northrop J stated (at p.544):... The mere
thought processes taking place in the mind of the person when considering
whether or how to exercise a power or to perform
a duty of an administrative
character under an enactment do not, in my opinion, constitute a decision. In
addition to thought processes,
there must be some overt act by which the
conclusions reached as a result of those thought processes are manifested. The
manifestation
may take many different forms.It may take the form of a
verbal or written communication of the conclusion to the person affected. It
may take the form of no action
being taken when otherwise a definite action
would have been taken.56. Also relevant are the observations of
Ambrose J in Durrisdeer Pty Ltd v Nordale Management Pty Ltd [1998] 2 Qd
R 138, at pp.144-145. At p.144, Ambrose J stated:Indeed there is
strong authority in my view for the proposition that until at least some
notification of a decision is given to an
interested party or until some formal
public record is effected, no final decision can be said to have been made.
Until the decision
maker notifies an applicant of the decision made upon his
application either personally or by a form of public notification, he has
a
locus poenitentiae to alter or vary that decision.57. I do
not consider that the evidence before me can be described as prima facie
evidence that Mr Sarquis had reached a final decision in relation to Mr Murphy's
internal review application prior to the time at
which Mr Sarquis signed and
posted his notice of decision addressed to Mr Murphy, dated 20 September 1993.
In the process of developing
a final decision, a decision-maker will often
develop views on particular aspects of the case. Some of those views will be
more
strongly held than others. A decision-maker generally should take care in
expressing such views to other persons (e.g., by cautioning
that they represent
the official's present thinking, rather than a final decision), but the
expression of such views will often be
a valuable tool in drawing out responses
which may shed further light on the issues, and may well lead to a change of
view on the
part of the decision-maker.58. Section 34 of the FOI Act
sets out the requirements for a notice of decision given in response to an FOI
access application, or
an application for internal review (see s.52(4) of the
FOI Act). Leaving aside those provisions which deem an agency to have made
a
negative decision when statutory response times have been exceeded (see s.27(4),
s.52(6), and s.79(1) of the FOI Act), I have difficulty
conceiving of a case in
which it might be proper to find thata decision refusing access had been
made on behalf of an agency under the FOI Act, prior to the decision-maker
despatching a signed
notice of decision in response to a relevant application
under the FOI Act. On the evidence before me, I consider that the decision
of
Mr Sarquis in response to Mr Murphy's internal review application was
expressed in his letter to Mr Murphy dated 20 September 1993,
and that any
earlier comments made by Mr Sarquis to officers of the respondent did not
constitute a decision in response to Mr Murphy's
relevant application for
internal review under s.52 the FOI Act.59. There was therefore no
earlier decision to grant access, which agency officers acted in disregard of,
to defeat Mr Murphy's rights.
But there are still allegations made by Mr
Murphy which call into question the propriety of Mr Sarquis' decision, as
recorded in the letter dated 20 September 1993.60. The Judicial
Review Act contains three grounds for challenge to a decision which reflect
the allegations of impropriety made by Mr Murphy. Under s.20(2)(e) of the
Judicial Review Act, a decision may be challenged on the basis
that the making of the decision was an improper
exercise of the power conferred by the enactment under which it was purported to
be
made.Section 23 of the Judicial Review
Act lists instances of improper exercise of power, including, the
exercise of a personal discretionary power at the direction or behest of another
person (s.23(e)), the exercise of a power for a purpose other than a purpose for
which the power is conferred (s.23(c)), and the exercise of a discretionary
power in bad faith (s.23(d)).61. Under s.28(1) of the FOI Act, an agency
has a discretionary power to refuse access to exempt matter. An authorised
decision-maker
at agency level who, in responding to a valid FOI access
application, proposes to exercise the power conferred by s.28(1) of the
FOI Act,
is ordinarily faced with two decisions:(a) whether particular matter
satisfies the test for exemption under at least one of the exemption provisions
in the FOI Act; and(b) whether he or she should exercise the discretion
conferred by s.28(1) of the FOI Act (which is the only source of power to refuse
access to exempt matter) so as to refuse access to the matter in
question.62. Strict logic would suggest that decision (a) should always
come first. If the matter in issue does not qualify for exemption,
the
applicant for access has a legally enforceable right to be given access under
the FOI Act (see Re Woodyatt and Minister for Corrective Services [1995] QICmr 1; (1995)
2 QAR 383 at p.403, paragraph 48) and no occasion arises for the exercise of the
discretion conferred by s.28(1). However, in practical terms,
it is not
strictly necessary that decision (a) should be the first one considered by an
authorised decision-maker under the FOI Act.
For example, it may well be that a
decision-maker need not give detailed consideration to whether the matter in
issue technically
qualifies for exemption, if he or she decides (assuming the
matter in issue to be exempt) that the matter should be disclosed in
any event,
on the basis that no essential private or public interests would be prejudiced
by disclosure. Considerations relevant
to the proper exercise of the discretion
conferred by s.28(1) may well be more extensive than the material facts and
considerations
which afford a basis for exemption. In many cases, the gathering
of information and consideration of issues involved in both decisions
will
probably proceed simultaneously (although a decision-maker should always be
careful to clearly distinguish between the material
facts and relevant
considerations which affect each decision).63. Ms Macdonnell's memorandum
dated 13 September 1993 raised with the Under Treasurer concerns about staff
problems which might arise
if the names of officers were released in the
particular case. She also raised the possible application of an exemption
provision
relating to staff management (s.40(c) of the FOI Act) and referred to
a decision of the Commonwealth Administrative Appeals Tribunal
on a similar
issue (Re Z and Australian Taxation Office (1984) 6 ALD 673) which, at
face value, tended to support the application of the s.40(c) exemption. She
sought the Under Treasurer's thoughts on the
matter. 64. It may be that
the Under Treasurer's response to Ms Macdonnell's memorandum (see paragraph 47
above) was taken as a direction
by Ms Haley and communicated as such to Mr
Sarquis (although, in my view, it was not framed in the terms of a direction).
However, the evidence I have of Mr Sarquis' actions
does not suggest that he
immediately followed any direction which may have been passed on by Ms Haley.
Ms Haley's note records that
his response was to ask for background information
in writing and seek reasons for exemption.He then received Ms Macdonnell's
memorandum dated 17 September 1993, which raised the possible application of
s.40(c). But, in his
written decision, he determined that the names of the
officers were exempt under s.42(1)(c) and s.44(1) of the FOI Act. If he was
directed to find matter exempt under s.40(c), he failed to act in accordance
with such a direction. 65. Mr Sarquis was dealing with Mr Murphy's
internal review application "on behalf of the [respondent] agency" (see s.33(1)
of the
FOI Act). I consider that Mr Smerdon and Ms McDonnell were entitled to
make known to Mr Sarquis their views that officers' names
qualified for
exemption under the FOI Act. There would have been no impropriety in Mr Sarquis
taking their views into account, and
being persuaded to make a decision which
accorded with their views, provided his decision was not made at the direction
or behest
of Mr Smerdon or Ms McDonnell. I am not satisfied that the
material before me raises a prima facie case that Mr Sarquis made his
decision at the direction or behest of another.66. I have also referred
to the contention that Mr Sarquis' decision was made in bad faith or for an
ulterior purpose. In this case,
the evidence of internal departmental
communications displays information which would be relevant to whether the names
of the officers
were exempt matter, and information which would be relevant to
the exercise of the s.28(1) discretion. The evidence itself goes
to what
representations were made to Mr Sarquis, rather than directly to the matters Mr
Sarquis considered in making his decision.
I do not consider that the material
before me can be characterised as prima facie evidence that Mr Sarquis'
decision was made in bad faith or for an ulterior purpose. As explained at
paragraph 40 above, simply
falling into an error of law or procedure is not
sufficient grounds for the application of the 'improper purpose exception'. I
consider
that what must be shown is prima facie evidence of a course of
action adopted with knowledge of wrongdoing. I could not make such a finding
based on the material before
me.67. Finally, I note that even if I were
mistaken, and the actions of officers of the respondent overall constituted an
improper purpose
capable of displacing legal professional privilege, the fact of
the matter is that none of the documents in issue was created for
the purpose of
Mr Sarquis making his internal review decision. In fact, none of them was
prepared prior to Mr Sarquis' decision being revoked.
Therefore, none of the
communications in issue could be said to have been made in preparation for, or
in furtherance of, any improper
purpose with respect to the making of Mr
Sarquis' decision.Subsequent events68. Mr Murphy also
complained about the subsequent revocation of Mr Sarquis' and Ms Barber's
decisions. However, in a letter dated
22 September 1993 to the respondent, Mr
Murphy actually suggested that "to save time and trouble for all concerned,
and to facilitate my access to the documents, that the whole process be
restarted and
done according to law".That course was adopted by the
respondent. 69. After the revocation of Mr Sarquis' and Ms Barber's
decisions, a new decision in respect of the 1993 access application was made
by
Mr Smerdon, in his capacity as principal officer of the respondent agency. The
respondent explained that the principal officer
made the decision so as to
permit Mr Murphy to proceed directly to external review by the Information
Commissioner (see s.73(3) of
the FOI Act). Before making his decision, Mr
Smerdon obtained legal advice (which is in issue in this external review).
After considering
the legal advice, Mr Smerdon decided that the names of the
officers were exempt matter under s.40(c) and s.44(1) of the FOI Act.
While it
is true that Mr Smerdon's decision was overturned on external review, I am not
satisfied that the material before me raises
a prima facie case that Mr
Smerdon sought legal advice, and made his decision, knowing that a decision to
exempt the officers' names would be contrary
to law. In light of the result
arrived at on similar issues in cases heard by the Commonwealth Administrative
Appeals Tribunal (the
cases are analysed in Re Murphy at pp.781-787;
paragraphs 109-134), I do not think it could be seriously maintained that there
were no grounds to support an honest
belief on the part of Mr Smerdon (or
other officers of the respondent) that the names of officers were exempt matter
under the FOI Act.70. Turning to the proceedings for review, under Part
5 of the FOI Act, of Mr Smerdon's decision, the case on behalf of the respondent
was conducted by the Crown Solicitor. The Crown Solicitor lodged written
submissions (supported by sworn evidence), contending that
the names of the
officers were exempt matter under s.40(c), s.42(1)(c) and s.44(1) of the FOI
Act. I do not consider that there
is before me prima facie evidence that
relevant officers of the respondent (or of the Crown Solicitor's office) had
formed a concluded view that those exemption
provisions did not apply to the
matter in issue, but that nevertheless the respondent would continue to refuse
access to the officers'
names. While I ultimately found that the names were not
exempt matter, I do not consider that there was any impropriety in the
respondent,
through its legal representatives, seeking to argue a case for
exemption. The law relating to freedom of information in Queensland
was, at the
time of my decision, still in its developmental stages. I consider it
reasonable that agencies should, from time to
time, consider it necessary to
raise issues for consideration by the Information Commissioner, where the law is
not clear. (In saying
this, I consider that it is incumbent on agencies, when
making decisions to pursue objections to disclosure of matter in issue in
an FOI
access application, to consider carefully the commitment of their own resources,
the resources of the Information Commissioner,
and perhaps ultimately the
Supreme Court. It would be unfortunate if public resources were to be wasted on
objections to disclosure
of matter which is most unlikely to be found to be
exempt matter.)71. My comments in the preceding two paragraphs apply
equally to the conduct of the Supreme Court proceedings. Further, I should
note
that there is no prima facie evidence before me to suggest that any of
the matter in issue was communicated in furtherance of an abuse of the processes
of the
Supreme Court in terms of paragraph (g) of Mr Murphy's submission set out
at paragraph 45 above.72. Mr Smerdon's decision, the participation of the
respondent in my external review, and the subsequent Supreme Court challenge,
were all undertaken with the input of legal advisers.The documents in issue
record that legal advice. I have examined that advice in the course of this
external review. I have also
considered the evidence and submissions of Mr
Murphy, including the list of circumstances set out at paragraph 52 above. Mr
Murphy
is clearly very dissatisfied with the conduct of the respondent in its
dealings with him. He has asserted that his evidence and
submissions constitute
prima facie evidence of an improper purpose which underlay and tainted
all communications with the respondent's legal advisers.73. Whatever the
merit of the conduct of the respondent's officers with respect to Mr Murphy in
particular instances, I do not agree
with Mr Murphy on that point. I am not
satisfied that there is prima facie evidence before me that any of the
matter in issue was created in preparation for, or furtherance of, an illegal or
improper purpose
so as to displace the legal professional privilege which (as I
have explained at paragraphs 27 and 30 above) otherwise attaches to
the matter
in issue.74. I therefore find that the matter in issue listed in
sub-paragraphs 5(b), (c), (d) and (e) above, is exempt matter under s.43(1)
of
the FOI Act.Conclusion75. I vary the decision
under review (being the decision made on behalf of the respondent on 1 July
1996 by Mr G Poole) by finding that documents H8, H9 and I7 (subject to deletion
of the headings to the covering letters, notional
invoices and memorandum of
counsel's fees, which headings are not in issue) are not exempt matter under
s.43(1) of the FOI Act.76. I affirm those parts of the decision under
review which found that the balance of the matter in issue (described in
sub-paragraphs
5(b), (c), (d) and (e) above) is exempt matter under s.43(1) of
the FOI
Act..........................................................F
N ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Cullen and Department of Public Works [2011] QICmr 12 (21 January 2011) |
Cullen and Department of Public Works [2011] QICmr 12 (21 January 2011)
Last Updated: 7 June 2011
Decision and Reasons for Decision
Application Number: 310218
Applicant: Cullen
Respondent: Department of Public Works
Decision Date: 21 January 2011
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
APPLICATION FOR ACCESS TO INFORMATION – REFUSAL OF ACCESS
–
NON-EXISTENT DOCUMENTS – applicant seeks access to documents concerning
his transfer – applicant contended additional
information should exist
– whether there are reasonable grounds for agency to be satisfied that
documents exist to the extent
they should be in the agency’s possession
– whether agency has taken all reasonable steps to locate the documents
–
whether access to documents can be refused under sections 47(3)(e) of
the Right to Information Act 2009 (Qld) on the ground set out in section
52(1)(b) of the Right to Information Act 2009 (Qld) – whether
search of backup system required by section 29 of the Right to Information
Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
The
applicant applied to the Department of Public Works (Department) under
the Right to Information Act 2009 (Qld) (RTI Act) for access to
particular documents about his transfer from the Education Portfolio to the
Business Development Portfolio in about
mid 2000 and a later attempt to transfer
him to the Housing
Portfolio.[1] He
requested that the date range for the Department’s searches cover the
period of ‘01 January 2000 to present’.
In
its decision, the Department advised that it had not located any responsive
documents. During the course of this external review,
as a result of further
searches requested by this Office, the Department located 43 pages related to
the applicant, one of which
is responsive to the applicant’s access
application. The Department has agreed to release this page to the applicant in
full.
The
applicant submits that the Department should conduct further searches of its
‘electronic records’ for the documents—namely searches
of its backup system.
After
carefully considering all the submissions and evidence before me, I am satisfied
that:
the documents
sought by the applicant should be in the Department’s possession
the Department
has taken all reasonable steps to find the documents but they cannot be found
and
on this basis,
the Department may refuse access to the
documents[2] because
they are
unlocatable.[3]
Reviewable decision
The
decision under review is the Department’s decision dated
14 April 2010.
Background
Relevant
steps taken in the Department’s and this Office’s consideration of
the applicant’s access application are
set out in the Appendix to this
decision.
For
the purpose of this decision, three
persons[4] referred to
in the applicant’s application, Departments’ decision and both
parties submissions are referred to as Officers
1, 2 and 3.
Relevant evidence
In
making this decision, I have taken the following into account:
the
applicant’s access application and supporting material
the
applicant’s application for external review and supporting material
the
Department’s decision
submissions
provided by the applicant
submissions
provided by the Department
file notes of
telephone conversations between OIC staff and the applicant
file notes of
telephone conversations between OIC staff and Department staff
relevant
provisions of the RTI Act and
previous
decisions of the Information Commissioner of Queensland and other relevant case
law as identified in this decision.
Relevant law
Under
section 23 of the RTI Act, a person has a right to be given access to documents
of an agency. However, this right is subject
to a number of exclusions and
limitations, including grounds for refusal of
access.[5]
Section
47(3)(e) of the RTI Act sets out the following grounds for refusal of
access:
47 Grounds on which access may be refused
(3) On an application, an agency may refuse access to a document of the
agency and a Minister may refuse access to a document of
the
Minister––
...
(e) because the document is nonexistent or unlocatable as mentioned in
section 52 ... .
Section 52 of the RTI Act
Section
52(1) of the RTI Act provides:
52 Document nonexistent or unlocatable
(1) For section 47(3)(e), a document is nonexistent or unlocatable
if—
(a) the agency or Minister dealing with the application for access is
satisfied the document does not exist; or
Example—
a document that has not been created
(b) the agency or Minister dealing with the application for access is
satisfied—
(i) the document has been or should be in the agency’s or
Minister’s possession; and
(ii) all reasonable steps have been taken to find the document but the
document can not be found.
The
Information Commissioner considered the grounds for refusal of access set out in
section 52 in PDE and the University of
Queensland[6]
(PDE).
In
PDE, the Information Commissioner said
that:[7]
... [T]he FOI Act [equivalent of section 52]
address[es] two different scenarios faced by agencies and Ministers
from time to time in dealing with FOI applications: circumstances where the
document sought does not exist and circumstances where a document sought exists
(to the extent it has been or should be in the agency’s
possession) but
cannot be located. In the former circumstance, an agency or Minister is required
to satisfy itself that the document
does not exist. If so satisfied, the agency
or Minister is not required by the FOI Act to carry out all reasonable steps to
find
the document. In the latter circumstance an agency or Minister is required
to satisfy itself that the document sought exists (to
the extent that it has
been or should be in the agency’s possession) and carry out all
reasonable steps to find the document before refusing access.
In
PDE,[8] the
Information Commissioner found that to be satisfied that a document does not
exist, it is necessary for the agency to rely upon
its particular knowledge and
experience with respect to various key factors including:
the
administrative arrangements of government
the agency
structure
the
agency’s functions and responsibilities (particularly with respect to the
legislation for which it has administrative responsibility
and the other legal
obligations that fall to it)
the
agency’s practices and procedures (including but not exclusive to its
information management approach)
other factors
reasonably inferred from information supplied by the applicant
including:
○ the
nature and age of the requested document/s
○ the
nature of the government activity the request relates to.
For
an agency to be entitled to refuse access under section 47(3)(e) of the RTI Act
on the ground set out in section 52(1)(b) of that
Act, it is necessary to ask
the following questions:
are there
reasonable grounds for the agency to be satisfied that additional documents
exist, to the extent that they have been or
should be in its possession and
has the agency
taken all reasonable steps to find the additional documents sought.
In
answering these questions, regard should be had to the circumstances of the case
and the factors set out at paragraph 14 above.
Are there reasonable grounds for the Department to be satisfied that the
documents should be in its possession?
On
careful consideration of all of the information before me, I am satisfied that
the answer to the first question is ‘yes’
and is not an issue in
contention in this external review.
In
this regard, I have paid particular regard to:
the
applicant’s applications and submissions and
the
Department’s decision, which stated that ‘the relevant documents
may have been or should be in the [D]epartment’s possession however after
thorough and extensive
searches the documents could not be located’
and submissions.
Has the Department taken all reasonable steps to find the documents?
The
Department’s decision sets out the nature of the searches that it
conducted to locate documents responsive to the terms
of the applicant’s
access application prior to issuing the decision:
hardcopy files
held by Officer 1
Officer
1’s emails
hardcopy files
held by Officer 2
Officer
2’s emails
personal
hardcopy files of Officer 3
Project Services
Corporate Human Resources hardcopy files
personal
archived emails of Officer 3
Project Services
Human Resources G drive
the
applicant’s personnel file in Project Services
Project Services
General Manager’s hardcopy files
Project Services
General Manager’s Tracking Database
Project Services
General Manager’s saved email folder
Project Services
Housing Portfolio’s hardcopy files
Project Services
Housing Portfolio’s G drive
Aurion
establishment records and
Document
Management System (DMS).
During
the course of this review, at the request of this Office, the Department
conducted further searches. The searches were conducted
within the following
business groups:
Project
Services—because the applicant had worked there
Human Resources
(HR)— because Officer 3 worked in HR, specifically dealing with
Project Services HR
QBuild—because
Officer 1 and Officer 2, who previously worked within Project Services now
worked in QBuild.
The
Project Services searches examined all on-line electronic documentation stored
on the network drives for Project Services in Brisbane
and the Sunshine Coast
Regional Office and file stores for the DMS, including documents with restricted
access. The search term
used for electronic searches was “cullen”.
The HR searches reviewed documents controlled by the HR Directorate. The
QBuild
searches involved a search of the archived email folders for Officer 1 and
Officer 2.
As
a result of the searches, the Department located 43 pages in Project Services
related to the applicant, one of which is responsive
to the applicant’s
access application. The Department has agreed to release this page to the
applicant in full. No responsive
documents were located in HR or QBuild.
The
Department submits that no further responsive documents can be located for the
following reasons:
... [W]hen the events occurred in [the applicant’s]
application, the DMS records management system did not exist. The records
management system that was in use at the time only had
functionality to record
files and did not register individual documents or folios against each file.
Therefore, it is not possible
to ascertain whether the requested documents have
been registered and subsequently placed on a file. However, reviews of physical
hardcopy files have failed to locate any relevant documents. As such, it
appears that the documents requested by [the applicant] may not have been
placed on a file. Alternatively, the documents may have been misfiled or placed
on another file and due to the
limited functionality of the records management
system it is impossible to determine which files the documents were placed on.
In respect to email correspondence requested by [the applicant],
reviews of physical hardcopy files have failed to locate any relevant documents.
As such, it appears that the emails may not have
been printed and placed on
hardcopy files. Checks of current staff email accounts have also failed to
locate any relevant documents.
Backup tapes would need to be searched in order
to retrieve emails.
The
Department submits that it is not necessary, nor appropriate, to search its
backup tapes for the requested documents.
However,
the applicant submits that:
the Department
should search its backup system and
in failing to do
so, the Department has ‘opted not to exercise due
diligence’.
In
these circumstances, it is necessary to consider the RTI Act provisions relating
to backup systems.
Searches of backup systems
The
RTI Act defines “backup system” to mean ‘a system that has,
for disaster recovery purposes, copied electronic data onto a separate data
storage medium, for example,
onto a backup
tape’.[9]
Section
29 of the RTI Act provides:
Application
not for backup system documents
(1) An access application, however expressed, for a
document does not require an agency or Minister to search for the document from
a backup system.
(2) However, subsection (1) does not prevent an agency or Minister
searching for a document from a backup system if the agency or
Minister
considers the search appropriate.
Note—
While a search for a document from a backup system is not generally required
before refusing access on the ground that the document
is nonexistent or
unlocatable, a search is required in the particular circumstances mentioned in
section 52(2).
Accordingly,
the RTI Act requires a search of a backup system only in the circumstances set
out in section 52(2) of the RTI
Act.[10] Section
52(2) provides:
52 Document nonexistent or unlocatable
...
(2) Before an agency or Minister may be satisfied under subsection (1)(a)
that a prescribed document does not exist, a search for
the document from a
backup system is required, but only if the agency or Minister considers the
document has been kept in, and is
retrievable from, the backup system.
That
is, section 52(2) requires that a backup system be searched only with respect to
documents that may not exist—not documents
that exist but cannot be found.
Otherwise,
according to section 29(2) of the RTI Act, a backup system search occurs only if
the relevant agency considers the search
“appropriate”.
In
considering whether or not a backup system search is appropriate, an agency may
take into account factors including:
the nature and
age of the requested document
the length of
time it would take to undertake the search and
any costs that
may be incurred by the agency as a result of undertaking a search of the backup
system.
In
relation to these factors, the Department submits
that:[11]
As the
request spans 10 years, technology (hardware/software) has changed several times
and any need to access data from tapes stored
prior to our current technology
environment will require technology from that period in which the backup was
completed. Costs unknown.
In order for
the [Department] to search for data and email [sic] for the period
specified we would need to create an environment including legacy tape readers
and identify enough disk space. An
approximate cost would involve around 600
individual restores and searches from tapes each consisting of approximately
four hours.
An absolute minimum cost would be approximately $108,000.
Given
the inapplicability of section 52(2) of the RTI Act to documents that cannot be
found, and on careful consideration of the technological
difficulties, time and
cost involved in searching backup tapes specified by the Department in the
particular circumstances of this
review, I am satisfied that:
the RTI Act does
not require that the Department undertake a search of its backup system and
such a search is
not appropriate in the circumstances.
However,
I acknowledge the applicant’s frustration with the search processes
undertaken by the Department. It is noted that
the Department’s failure
to locate documents responsive to the applicant’s application indicates
that the Department
did not maintain adequate hardcopy files at the relevant
time. In this regard, it is hoped and expected that the Department is utilising
its current DMS so as to ensure that, in future, documents of a similar nature
can be searched for and located both physically and
electronically.
Conclusion
As
set out above, I am satisfied that a search of the Department’s backup
system is neither required nor appropriate.
On
careful consideration of the searches that the Department has conducted, set out
at paragraphs 19 to 21 above, and all evidence
before me, I am satisfied that
the Department has used its knowledge of factors such as organisational
structure, the functions and
responsibilities of its business groups, its
internal practices and procedures and the nature and age of the documents
sought[12] to
appropriately identify all relevant business groups to search and persons with
whom to make enquiries. In doing so, I am satisfied
that:
the Department
has conducted comprehensive searches for the documents sought by the applicant
and
such searches
comprise all reasonable steps to locate them.
Findings
Taking
into account all of the information set out above, I am satisfied that:
the documents
sought by the applicant should be in its possession
the Department
is not required to search its backup system for the documents and such a search
is not appropriate in the circumstances
the Department
has taken all reasonable steps to locate the documents and they cannot be
found
the documents
are unlocatable for the purpose of section 52(1)(b) of the RTI Act
the Department
can refuse access to the documents under section 47(3)(e) of the RTI Act.
DECISION
I
affirm the decision under review and find that the Department can refuse access
to the documents sought under section 47(3)(e) of
the RTI Act on the ground set
out in 52(1)(b) of the RTI Act
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.
________________________
Jenny Mead
Right to Information Commissioner
Date: 21 January 2011
Appendix
By
application dated 18 February 2010, the applicant sought access to
documents as follows:
[The applicant]... was transferred from management duties (in
the Education Portfolio to the Business Development Portfolio about mid-2000) to
provide
advice and assistance on the Integrated Planning Act within Project
Services and a later attempt was made by [Officer 1] to contrive a
transfer of [the applicant] from there to the Housing Portfolio, aborted
after [the applicant’s] objection to [Officer 2].
A condition of [the applicant’s] acceptance of the initial
transfer was the reclassification [of] his position from PO4 grade (at
least) to PO5 grade.
letters,
memos, emails, etc – particularly between [the applicant] and
[Officer 1]; and
creation
of Housing Portfolio PO4 Town Planner Position (2002/03); and
memo
(12/08/2003) from [the applicant] to [Officer 1], copied to
[Officer 2] & [Officer 3]? and subsequently.
The
applicant requested that the Department’s searches cover the period of
‘01 January 2000 to present’.
By
letter dated 14 April 2010, the Department:
set out the
nature of the searches that it conducted to locate documents responsive to the
terms of the applicant’s access application
advised that it
had not located any responsive documents and
decided to
refuse access on the basis that ‘the relevant documents may have been
or should be in the [D]epartment’s possession however after thorough and
extensive
searches the documents could not be located’.
In
his application for external review dated 13 May 2010 and submissions dated 26
July and 9 August 2010, the applicant submitted
that:
Information
independently provided to him is that the documents should exist.
In particular,
there should be email communications between himself and Officer 1 which
occurred prior to, and discussed matters mentioned
in, a ‘missing’
memorandum (a copy of which he has provided to the Department).
The Department
should search ‘electronic records’—that is, its backup
system.
The Department
‘has opted not to exercise due diligence in searching the electronic
records as requested’.
On
4 June 2010, this Office requested that the Department conduct further searches
for documents responsive to the terms of the applicant’s
access
application and provide submissions and certified record sheets in relation to
the searches conducted. By correspondence
dated 28 June 2010, the Department
complied with this request.
In
its response, the Department advised that searches of its network drive and
current DMS resulted in location of 19 documents (comprising
a total of 43
pages) related to the applicant. The Department submitted that the first 42
pages were outside the scope of the access
application. The applicant was
provided with a copy of the Department’s submissions and did not make any
submissions in response
regarding this issue.
The
Department accepted that page 43 was within the scope of the access application
and did not object to the release of this page
to the applicant.
On
31 October 2010, this Office requested further submissions from the Department
regarding the technology necessary to search backup
tapes and the time and cost
involved in doing so. By correspondence dated 31 October 2010, the Department
responded to this request.
[1] Paragraph 1 of
the Appendix sets out the terms of the
application.[2]
Under sections 47(3)(e) of the RTI
Act.[3] As mentioned
in section 52(1)(b) of the RTI
Act.[4] Who were, at
the relevant time, employees of Project Services within the
Department.[5] As
set out in section 47(3) of the RTI
Act.[6] Unreported,
Queensland Information Commissioner, 9 February 2009. Note—Although
PDE concerned the application of section 28A of the now repealed
Freedom of Information Act 1992 (Qld), the requirements of that section
are replicated in section 52 of the RTI Act.
[7] At paragraph
34.[8] At paragraph
37. [9] Schedule 6
of the RTI
Act.[10]
‘Before an agency or Minister may be satisfied under subsection (1)(a)
that a prescribed document does not exist, a search for
the document from a
backup system is required, but only if the agency or Minister considers the
document has been kept in, and is
retrievable from, the backup
system.’[11]
The information that comprises these submissions was obtained by the Department
from its advice from its Information Services
Directorate.[12]
As noted at paragraph 37 of PDE.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Seven Network (Operations) Limited and Department of Justice and Attorney-General; Department of Child Safety, Youth and Women (Third Party) [2018] QICmr 48 (29 November 2018) |
Seven Network (Operations) Limited and Department of Justice and Attorney-General; Department of Child Safety, Youth and Women (Third Party) [2018] QICmr 48 (29 November 2018)
Last Updated: 20 December 2018
Decision and Reasons for Decision
Citation:
Seven Network (Operations) Limited and Department of Justice and
Attorney-General; Department of Child Safety, Youth and Women (Third
Party)
[2018] QICmr 48 (29 November 2018)
Application Number:
313657
Applicant:
Seven Network (Operations) Limited (ACN 052 845 262)
Respondent:
Department of Justice and Attorney-General
Third Party:
Department of Child Safety, Youth and Women
Decision Date:
29 November 2018
Catchwords:
ADMINISTRATIVE LAW – RIGHT TO INFORMATION REFUSAL OF ACCESS
– EXEMPT INFORMATION – INFORMATION THE DISCLOSURE OF
WHICH IS
PROHIBITED BY AN ACT – pixelated CCTV footage concerning incidents
occurring in a youth detention centre – whether
information is
confidential information under section 288 of the Youth Justice Act 1992
(Qld) – whether disclosure is prohibited by an Act – whether
access to information may be refused under section 47(3)(a) and section 48 and
schedule 3, section 12(1) of the Right to Information Act
2009 (Qld)
ADMINISTRATIVE LAW – RIGHT TO INFORMATION REFUSAL OF ACCESS
– CONTRARY TO PUBLIC INTEREST INFORMATION – pixelated
CCTV footage
concerning incidents occurring in a youth detention centre – whether
disclosure would, on balance, be contrary
to the public interest – section
47(3)(b) and section 49 of the Right to Information Act
2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Department
of Justice and Attorney-General (DJAG) under the Right to Information
Act 2009 (Qld) (RTI Act) for information, including photographs and
CCTV/body-worn camera and video footage relating to security breaches at
Queensland’s
correctional and youth detention centres since 1 January
2015. In its application, the applicant advised that it was agreeable to
receiving access to documents and photos etc, with personal information redacted
or pixelated.
DJAG
located 173 pages and three pieces of CCTV footage. It decided that 19 pages
fell outside the scope of the application. It
decided to give the applicant
full access to 21 pages, partial access to 113 pages, and to refuse access in
full to 20 pages and
to the three pieces of CCTV footage. It decided that the
CCTV footage was exempt information under schedule 3, section 12(1) of
the RTI
Act. It decided that disclosure of other information would, on balance, be
contrary to the public interest.
The
applicant applied[2] to the Office of
the Information Commissioner (OIC) for review of DJAG’s decision to
refuse it access to the three pieces of CCTV footage, which concerned escape
attempts from
a youth detention centre. The applicant stated that it did not
seek access to information that would identify a young person in
detention and
was agreeable to receiving access to the footage with the faces of the young
people involved pixelated or blurred,
so as to remove identifying information.
During
the course of the review, Machinery of Government changes occurred which
resulted in responsibility for the youth justice portfolio
being transferred
from DJAG to Department of Child Safety, Youth and Women
(DCSYW).[3] As the only
information that remained in issue on external review was CCTV footage taken at
a youth detention centre over which
DCSYW now had control, DCSYW applied to OIC
to participate in the review as a third party under section 89(2) of the RTI Act
on the
basis that it now had an interest in the information in issue and the
decision under review. Participant status was granted on 18
April 2018. The
practical effect of this was that, while DJAG technically remained the
respondent agency, it played no further role
in the
review.[4] DCSYW assumed
responsibility for providing submissions in support of the nondisclosure of the
information in issue, and OIC dealt
only with DCSYW for the remainder of the
review.
As
the central issues for determination were the same as those raised in an
application for external review that had been lodged earlier
in time by another
media organisation and that also involved CCTV footage taken inside a youth
detention centre, I advised the applicant
at an early stage that this review
would be unable to finalised until a decision had been issued by OIC in the
earlier review. A
decision in the earlier review was published on 21 November
2018. In making my decision in this review, I have applied and rely
upon the
same principles and reasoning explained in detail in that earlier decision. A
copy of that decision is attached as Appendix
2 to these reasons for
decision.[5]
For
the reasons set out below, I set aside the decision under review. I find that
there are no grounds upon which access to the pixelated
CCTV footage to which
the applicant seeks access may be refused under the RTI Act, and that the
applicant is therefore entitled to
access it.
Reviewable decision
The
decision under review is DJAG’s decision dated 1 December 2017. While
DCSYW also claims that the pixelated CCTV footage
is exempt information under
schedule 3, section 12(1) of the RTI Act, it additionally argues that disclosure
of the footage would,
on balance, be contrary to the public interest.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching this
decision are disclosed in these reasons (including
footnotes and the
appendices).
Significant
procedural steps are set out in Appendix 1 to these reasons.
Information in issue
The
information in issue is contained in three pieces of pixelated CCTV footage.
The footage contains images of young people involved
in escape attempts from a
youth detention centre (Information in Issue). Two pieces of footage
show the same incident from different angles.
OIC
has applied pixelation/blurring to the top half of the young persons’
bodies so as to redact identifying information to
which the applicant does not
seek access. I will provide DCSYW with a copy of the Information in Issue in
this format.
Issues for determination
The
central issues for determination are:
(a) whether the Information in Issue is exempt information under schedule 3,
section 12(1) of the RTI Act because its disclosure
is prohibited under section
288 of the Youth Justice Act (1992) (Qld) (YJ Act); and
(b) whether disclosure of the Information in Issue would be, on balance,
contrary to the public interest. Exempt information
– disclosure is prohibited by an Act
Relevant law
Under
the RTI Act, a person has a right to be given access to documents of an
agency.[6] However, this right is
subject to limitations, including grounds on which access may be
refused.[7]
An
agency may refuse access to a document to the extent it comprises exempt
information.[8] Schedule 3 of the RTI
Act specifies the type of information the disclosure of which Parliament has
determined is exempt because
its release would be contrary to the public
interest. Relevantly, under schedule 3, section 12(1) of the RTI Act,
information is
exempt under the RTI Act if its disclosure is prohibited under
specified legislative provisions, one of which is section 288 of the
YJ Act.
DCSYW submits that disclosure of the Information in Issue is prohibited by
section 288 of the YJ Act, and that the Information
in Issue is therefore exempt
information under schedule 3, section 12(1) of the RTI Act.
Application of relevant provisions of the YJ Act
Section
283(1) of the YJ Act provides that part 9 (Confidentiality) applies to
confidential information relating to a child who is
being, or has been, dealt
with under the YJ Act. Section 283(2) provides that one of the ways that a
child may be dealt with under
the YJ Act is being detained.
‘Confidential
information’ is relevantly defined in section 284 of the YJ
Act:
confidential information, relating to a child, includes
–
(a) identifying information about the child;
...[9]
‘Identifying
information about a child’ is defined in schedule 4 to the YJ Act as
meaning:
‘information that identifies the child, or is likely to lead to the
identification of the child, as a child who is being, or
has been, dealt with
under this Act’.
Example –
Each of the following is identifying information about a child if it
identifies the child, or is likely to lead to the identification
of a child, as
a child who is being or has been dealt with under this Act –
(a) the child’s name, address, school or place of employment;
(b) a photograph, picture, videotape or other visual representation of the
child or someone else.
Division
2 of the YJ Act is titled ‘Preservation of confidentiality
generally’. Section 287 provides that this division applies to a
person who has gained, gains, or has access to, confidential information
relating
to a child through involvement in the administration of the YJ
Act.
Section
288 of the YJ Act provides that such a person must not:
(a) record or use the [confidential] information, or intentionally disclose it
to anyone, other than under division 2; or
(b) recklessly disclose the [confidential] information to
anyone.
Section
286 of the YJ Act provides that a person ‘discloses’
confidential information to someone else if the person:
(a) orally discloses the information to the other person; or
(b) produces to the other person, or gives the other person access to, a
document containing the information; or
(c) discloses the information to the other person in another
way.
Submissions of DCSYW/DJAG
In
its decision, DJAG simply stated that disclosure of the Information in Issue was
prohibited under section 288 of the YJ Act, and
that no exception to that
prohibition applied in the circumstances.
While
DCSYW initially advised that it would rely on the same submissions it had lodged
in ABC and DCSYW, it later decided to provide a fresh set of submissions
specifically relating to this
review.[10] Those submissions are
essentially the same as made by DCSYW in ABC and DCSYW and which are set
out in detail at paragraphs 23-32 of that decision (see Appendix 2). I have
given careful consideration to all
of the submissions made by DCSYW. In the
interests of brevity, given that they are dealt with fully in ABC and
DCSYW, the central points relied upon by DCSYW can be summarised as
follows:
the CCTV footage
cannot be de-identified so as to remove confidential information within the
meaning of the YJ Act because it is likely
that there would be numerous people
who are familiar with the young persons in question (including friends, family,
detention centre
workers and other detainees) and who, despite pixilation of the
footage, would still be able to identify the young persons as children
who are
being, or have been, dealt with under the YJ Act
a
‘disclosure’ for the purposes of section 286 of the YJ Act simply
requires the production of ‘confidential information’
to another
person: it does not require that the recipient of the confidential information
not know the information
Parliament’s
object in enacting section 288 of the YJ Act was to protect the privacy of young
persons being dealt with under
the YJ Act and a sense of violation of privacy is
likely to be felt by young persons even if the information is disclosed in a
form
where only those who already know of the young persons’ identity and
the fact that they are/have been held in youth detention
are able to recognise
them
a person tasked
with pixelating the footage would not be familiar with the individual and would
be exercising their own subjective
view to decide what measures are necessary to
de-identify the individual which may not be sufficient
the small
population of youth detention centres, together with young persons possibly
coming from a small community, increases the
likelihood of identification, even
by those who may not already be aware that the young person is being dealt with
under the YJ Act
it is reasonable
to expect that media organisations will use their ‘skill and experience in
investigative journalism’
to identify the young persons in the footage;
and
consultation
with the young persons shown in the footage should take place if disclosure is
being contemplated.
In
support of its argument that pixelation may not be enough to protect a
person’s identity, DCSYW relied upon a case which
it did not raise in its
submissions in ABC and DCSYW. In this case, which related to an alleged
sexual offence against a minor in the United Kingdom, The Sun newspaper
published a photograph
of the 15 year old alleged victim with the alleged
offender (a well-known football player whose identity was publicly known) that
was posted on the victim’s Facebook account. The Court found that
extensive efforts had been made by The Sun to de-identify
the victim in the
photograph. However, despite those efforts, the original photograph was still
available on Facebook and social
media users, who were familiar with the
victim’s Facebook profile, recognised the photograph.
Applicant’s submissions
The
applicant provided brief
submissions[11] in which it argued
that DCSYW’s arguments were ‘clearly flawed and untenable’ and
stated that it disagreed that
children could be identified if their identifying
features were obscured:
Nothing would ever be released under FOI legislation across the country if
the basis of personal information was more than just names,
addresses,
numberplates, faces and other distinctive features like a birthmark or tattoo.
Discussion
I
repeat and rely on my detailed discussion of DCSYW’s submissions in favour
of nondisclosure as contained at paragraphs 34-67
of ABC and DCSYW.
I
am satisfied that the intention of the relevant confidentiality provisions
contained in the YJ Act is to protect the identity of
a young person in
connection with their status as someone who is being, or has been, dealt with
under the YJ Act. It is reasonable
to conclude that the reason for the
protection of a young person’s identity in connection with their status
under the YJ Act
is to avoid prejudicing the rehabilitation, reintegration and
acceptance of young persons into society upon their release from detention.
I
therefore do not accept that the provisions were intended to operate to prevent
the disclosure of information about identity and
status to those who already
know of the young person and their status under the YJ Act, i.e., those with
‘special knowledge’.
The
correct test for whether information qualifies as ‘confidential
information about a child’ for the purposes of the YJ Act is whether
it will identify a child, or will likely lead to the identification of a child,
as a child
who is being or has been dealt with under the YJ Act, to a person who
has no special knowledge.
Having
carefully reviewed the Information in Issue, I do not accept that it is
identifying information about a child for the purposes
of section 284(a) of the
YJ Act. I do not consider it likely that a person who does not already know of
the incident(s) in question
and the young persons’ involvement in them
would be able to view the pixelated CCTV footage and identify the young persons,
thereby learning of their status as young persons being dealt with under the YJ
Act. The footage is taken at night and parts of
it are blurred and of poor
quality. This, together with the pixelation that has been applied, is
sufficient, in my view, to remove
any identifying information about a child from
those with no special knowledge.
In
assessing whether the Information in Issue is confidential information for the
purposes of the YJ Act, I have given regard to the
factors identified at
paragraph 53 of ABC and DCSYW, namely:
the length and
quality/clarity of video footage
the event that
is depicted and any other ancillary information that is depicted/described,
including the circumstances in which the
incident took place and the
setting
whether the
incident/information has received public attention or notoriety, or whether
there is ancillary information in the public
domain that, when linked, is likely
to lead to the identification of the child in question; and
the manner in
which the young person is depicted, including the presence of any distinctive
clothing, or distinctive physical traits
or characteristics, such as tattoos or
other identifying marks, an unusual gait, a distinctive body shape,
etc.
On
the information before me, I am not aware that the incidents have received
public attention or notoriety, nor that there is ancillary
information in the
public domain that, when linked, is likely to lead to the identification of a
young person to someone with no
special knowledge. I accept that the likelihood
of identification should not be considered in a vacuum and regard must be given
to whether a person can be identified or is likely to be identified through
reference to external sources (see the discussion at
paragraphs 57 to 62 of
ABC and DCSYW). However, there is nothing before me to suggest that that
is likely in the circumstances of this case.
I
do not accept that the circumstances of the UK case relied upon by DCSYW and
discussed above at paragraph 23) have any relevance
or application in the
present case. Identification of the victim there was possible not because
insufficient measures had been taken
to de-identify her, but because the alleged
offender’s identity was publicly known and social media users were
familiar with
the original, unedited photograph of the victim with the offender
that was still available on Facebook. I can find no similarities
between that
case and the circumstances that arise for my consideration in this review.
In
response to DCSYW’s contention that the young persons in question ought to
be consulted about disclosure of the pixelated
footage, I refer to and rely upon
my reasoning in paragraphs 31 and 32 of ABC and DCSYW in rejecting that
submission. Finding
For
the reasons set out above and explained in further detail in ABC and
DCSYW, I find that the Information in Issue does not satisfy the definition
of ‘confidential information’ in section 284(a)
of the YJ Act and
that its disclosure is therefore not prohibited by section 288 of the YJ Act.
Accordingly, it is not exempt information
under schedule 3, section 12(1) of the
YJ Act.
Application of the public interest balancing test
Relevant law
Another
ground for refusing access is where disclosure would, on balance, be contrary to
the public interest.[12] The term
‘public interest’ refers to considerations affecting the good order
and functioning of the community and government
affairs for the well-being of
citizens. This means that in general, a public interest consideration is one
which is common to all
members of, or a substantial segment of, the community,
as distinct from matters that concern purely private or personal interests.
However, there are some recognised public interest considerations that may apply
for the benefit of an
individual.[13]
The
RTI Act list factors which may be relevant to deciding the balance of the public
interest[14] and sets out the
following steps[15] to decide where
the public interest lies in relation to disclosure of information:
• identify any irrelevant factors and disregard them
• identify relevant public interest factors favouring disclosure and
nondisclosure • balance the relevant factors favouring disclosure and
nondisclosure; and
decide whether
disclosure would, on balance, be contrary to the public
interest.
No
irrelevant factors, including those in schedule 4, part 1 of the RTI Act, arise
for consideration in this case.
Factors favouring disclosure
DCSYW
recognised the following public interest factors favouring disclosure of the
Information in Issue:
(i) disclosure could reasonably be expected to promote open discussion of public
affairs and enhance the Government’s
accountability;[16] and
(ii) disclosure could reasonably be expected to ensure effective oversight of
public
funds.[17]
It
did not discuss the application of these factors to the Information in Issue,
but simply submitted that the factors should be given
only moderate weight when
balancing the public interest because release of the footage would not
significantly advance the public
interest.
I
do not consider that factor (ii) raised by DCSYW has any application to the
Information in Issue. I cannot identify any reasonable
basis for expecting that
disclosure of pixelated CCTV footage showing unsuccessful escape attempts from a
youth detention centre
could enable effective oversight of public funds.
In
addition to factor (i) above, I consider that the following factors apply in
favour of disclosure:
(iii) disclosure could reasonably be expected to contribute to positive and
informed debate on important issues or matters of serious
interest;[18] and
(iv) disclosure could reasonably be expected to inform the community of the
Government’s operations.[19]
I
am satisfied that disclosure of the Information in Issue would enhance
DCSYW’s accountability for the management of youth
detention centres and
the security measures that exist at the centres. Disclosure could reasonably be
expected to contribute to
positive and informed debate about management and
security of the centres, which are important issues of public interest,
particularly
given recent security incidents that have occurred at the centres
and the resultant cost to the taxpayer. As I have noted, the escape
attempts
were unsuccessful and I consider disclosure would enable assessment of the
security measures in place at the centre and
how they could be improved so as to
prevent other attempts, and improve security generally. For these reasons, I am
also satisfied
that disclosure could reasonably be expected to inform the
community of the government’s operations in terms of the way in
which it
manages youth detention centres and the security of young persons who are
detained there.
Having
regard to the nature of the Information in Issue and what it depicts, as well as
its length and clarity, I afford moderate
weight to factors (i), (iii) and (iv).
Factors favouring nondisclosure
DCSYW
relied upon the following public interest factors favouring
nondisclosure:
(i) disclosure could reasonably be expected to cause a public interest harm, as
disclosure would disclose personal information of
a person other than the
applicant[20]
(ii) disclosure could reasonably be expected to prejudice the protection of an
individual’s right to
privacy;[21] and
(iii) disclosure could reasonably be expected to prejudice the security of the
youth detention
centres.[22]
I
will refer to factor (i) as the ‘Personal Information Harm Factor’.
I discussed the application of this factor at paragraphs
101 to 108 of ABC
and DCSYW and I repeat and rely on the reasoning contained in that decision
in finding that this factor does not apply to the Information in
Issue. I am
not satisfied that it is possible for those without special knowledge to
identify an individual from the pixelated Information
in Issue. Nor am I
satisfied that the special knowledge that would allow identification is
generally or easily available such as
to demonstrate that identity could
reasonably be ascertained by others.
As
discussed at paragraph 107 of ABC and DCSYW, even if I were to be
satisfied that the Information in Issue should properly be characterised as
personal information, the harm
to the public interest contemplated by this
factor only arises through the disclosure of such information. The
concept of disclosure as used in the Personal Information Harm Factor
apprehends the giving of information to a person or entity not otherwise
possessed
of knowledge of that information. While ‘disclose’
as used in the Personal Information Harm Factor is not defined in the RTI Act,
the word is defined in section 23 of the IP Act as
it relates to the application
of the Information Privacy Principles – to ‘disclose personal
information’ relevantly means to give that information to an entity
who does not otherwise know the information and is not in a position to find
it
out. Where releasing personal information would not involve conveying to any
person or entity information not already known to
them, it cannot be said such
release would ‘disclose’ personal information within the
meaning of the Personal Information Harm Factor, and that factor will therefore
not apply.
I
therefore find that the Personal Information Harm Factor does not apply to the
Information in Issue.
As
regards factor (ii), DCSYW simply submitted that disclosure of information which
could reasonably be expected to prejudice the
protection of an
individual’s right to privacy is a public interest factor favouring
nondisclosure that should be afforded
significant weight in the public interest
balancing test.
The
concept of ‘privacy’ is not defined in the RTI Act. It can,
however, essentially be viewed as the right of an individual to preserve their
‘personal sphere free from interference by
others’.[23]
I
acknowledge that protecting the privacy of young persons held in detention is
one of the youth justice principles upon which the
YJ Act is based. I have
explained above why I accept that the young persons involved in the escape
attempts may be able to be recognised
by a very small cohort of people with
special knowledge, despite the de-identification/pixelation of the Information
in Issue. To
that extent, I am satisfied that disclosure of the Information in
Issue could reasonably be expected to prejudice the protection
of the young
persons’ right to privacy.
In
considering the weight that should be attributed to this factor, I take account
of the following:
the brief nature
and sometimes poor quality of the pixelated CCTV footage; and
the fact that
only a very small cohort of persons who already have knowledge of the incidents
may be able to recognise the young persons
concerned.
In
these circumstances, I afford factor (ii) low weight in balancing the public
interest.
In
relation to the application of factor (iii), DCSYW submitted that protecting the
security of a detention centre is of the utmost
importance and a security
failure may result in harm to young persons and staff and, potentially, others.
It argued that this factor
should be afforded the highest weight and that it
outweighs the public interest in disclosure. It also raised comments I had made
in another review where young persons had gained access, through an internal
point, to the roof of a detention centre and where I
accepted that photographs
that showed how that access was gained could reasonably be expected to prejudice
the security of the centre.
DCSYW submitted that:
If the information were to be released to the applicant and subsequently
broadcast, the children and young people in the youth detention
centres will be
able to view the footage and it has been the experience of youth detention
centres nationally that seeing footage
of misbehaviour in detention emboldens
children and young people to imitate the actions and involve themselves in high
risk behaviours
that can put the security of the centre at risk.
I
accept that protecting the security of youth detention centres is extremely
important, for the safety of young persons, staff and
the community. In
determining the weight to be afforded to this factor, I must assess to what
extent disclosure of the particular
Information in Issue could reasonably be
expected to prejudice the security of the centre.
I
note that the two escape attempts do not involve covert or secretive techniques
or methods. Rather, they were conspicuous and opportunistic
attempts made in
clear view of security cameras and that were quickly stopped by staff.
Moreover, while I am constrained in being
able to describe what the footage
depicts,[24] I am satisfied that the
ability to make attempts of the same nature could be avoided relatively easily,
thus limiting the risk of
imitation. To that extent, the Information in Issue
is distinguishable from the photographs referred to in paragraph 52 above.
In
that other review, I was persuaded by the agency’s submissions that the
internal point used by young persons to gain access
to the roof and stage a long
and destructive rooftop riot remained vulnerable to future access attempts were
photographs of it to
be disclosed.
I
also consider that the opportunity to make the kind of escape attempts depicted
in the Information in Issue in this review would
present itself very rarely,
given the obvious and somewhat brazen nature of the attempts, such that I am not
satisfied that disclosure
of the Information in Issue would result in a
significant increase in escape attempts of the same type or otherwise prejudice
the
security of the centre.
For
these reasons, I afford factor (iii) low weight in the public interest balancing
test. Balancing the public interest
test
Having
carefully considered the nature of the Information in Issue and what it depicts,
and for the reasons explained above, I give
moderate weight to each of the three
public interest factors that weigh in favour of disclosure of the Information in
Issue. I afford
low weight to the public interest in protecting the privacy of
the young persons concerned, and low weight to the public interest
in protecting
the security of a youth detention centre. I also take account of the RTI
Act’s pro-disclosure bias as set out
in section 44 of the RTI Act.
After
balancing those competing factors, I find that disclosure of the Information in
Issue would not be, on balance, contrary to
the public interest.
DECISION
I
set aside the decision under review. In substitution for it, I decide there are
no grounds upon which access to the Information
in Issue may be refused under
the RTI Act.
I
have made this decision under section 110 of the RTI Act as a delegate of the
Information Commissioner, under section 145 of the
RTI
Act.Louisa LynchRight to Information
CommissionerDate: 29 November 2018
APPENDIX 1
Significant procedural steps
Date
Event
12 December 2017
Office of the Information Commissioner (OIC) received an application
for external review of the decision made by Department of Justice and
Attorney-General (DJAG).
5 January 2018
OIC advised the applicant that its application for external review had been
accepted.
12 January 2018
DJAG provided a copy of the Information in Issue.
22 March 2018
OIC wrote to the applicant to confirm that the applicant did not wish to
pursue access to any information that would identify a child
in detention and
that OIC therefore had requested that DJAG advise whether it was prepared to
grant access to a pixelated copy of
the Information in Issue.
OIC wrote to DJAG to express the preliminary view that the pixelated
Information in Issue was not exempt information under schedule
3, section 12 of
the RTI Act and to request that DJAG advise whether it was prepared to release
it to the applicant in its pixelated
form.
18 April 2018
DJAG advised that it had forwarded OIC’s letter to Department of
Child Safety, Youth and Women (DCSYW) for response as DCSYW now had
responsibility for youth justice information following Machinery of Government
changes.
DCSYW requested to be joined as a party to the external review.
OIC granted the request.
OIC updated the applicant.
26 April 2018
OIC requested that DCSYW provide its response to OIC’s letter dated
22 March 2018 by 11 May 2018.
17 May 2018
OIC advised DCSYW that it unless it advised to the contrary by 21 May 2018,
OIC would proceed on the basis that DCSYW relied on the
submissions it had made
in external review 313486 that raised the same issues for determination, and OIC
would provide those submissions
to the applicant for response.
24 May 2018
OIC communicated to the applicant the submissions made by DCSYW in external
review 313486.
28 May 2018
The applicant provided a brief submission in response.
31 May 2018
OIC advised the applicant that there would be a delay in finalising this
review as it would be necessary to finalise review 313486
before steps could be
taken to progress this review.
30 July 2018
DCSYW informed OIC that it had decided that it preferred to lodge separate
submissions for this review rather than relying on the
submissions lodged in
external review 313486.
7 August 2018
DCSYW provided written submissions.
22 August 2018
OIC provided the applicant with DCSYW’s submissions and invited a
response.
21 November 2018
OIC published its decision in external review 313486.
APPENDIX 2Australian Broadcasting Corporation and
Department of Child Safety, Youth and Women [2018] QICmr 47 (21 November
2018)
[1] Access application dated 14
September 2017. [2] External
review application dated 12 December
2017.[3] Administrative
Arrangements Order (No.3) 2017.
[4] DCSYW and DJAG advised that it
was necessary for DJAG to retain administrative control of the relevant file as
the respondent agency
rather than transferring it to DCSYW because the access
application had requested access to correctional centre information, for
which
DJAG retained responsibility. OIC confirmed with DJAG again on 19 November 2018
that it retained administrative control over
the external review and remained
the correct respondent agency.
[5] Australian Broadcasting
Corporation and Department of Child Safety, Youth and Women [2018] QICmr 47
(21 November 2018) (ABC and
DCSYW).[6] Section 23 of
the RTI Act. [7] As set out in
section 47 of the RTI Act. [8] See
section 47(3)(a), section 48 and schedule 3 of the RTI Act.
[9] DCSYW does not rely upon any
of the other subsections of section 284 of the YJ
Act.[10] Dated 7 August
2018.[11] Dated 28 May
2018.[12] Sections 47(3)(b) and
49 of the RTI Act. [13] For
example, where disclosure of the information could reasonably be expected to
contribute to the administration of justice for
a person (schedule 4, part 2,
item 17 of the RTI Act). [14] In
schedule 4 of the RTI Act. However, this list is not exhaustive and factors not
listed may be relevant in a particular case.
[15] In section 49(3) of the RTI
Act.[16] Schedule 4, part 2,
item 1 of the RTI Act.[17]
Schedule 4, part 2, item 4 of the RTI
Act.[18] Schedule 4, part 2,
item 2 of the RTI Act. [19]
Schedule4, part 2, item 3 of the RTI Act.
[20] Schedule 4, part 4, item 6
of the RTI Act.[21] Schedule 4,
part 3, item 3 of the RTI
Act.[22] This is similar to
schedule 4, part 3, item 10 of the RTI Act which concerns prejudice to the
security or good order of a corrective
services facility under the Corrective
Services Act 2006 (Qld).
[23] Paraphrasing the Australian
Law Reform Commission’s definition of the concept in ‘For your
information: Australian Privacy
Law and Practice’, Australian Law
Reform Commission Report No.108, released 12 August 2008, at [1.56]. Cited
in Balzary and Redland City Council; Tidbold (Third Party) [2017]
QICmr 41 (1 September 2017) at
[28].[24] Section 108(3) of the
RTI Act prohibits the inclusion by OIC in its reasons for a decision of
information that is claimed to be exempt
information or contrary to public
interest information.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Gilmour-Walsh and Caloundra City Council [2006] QICmr 7 (8 February 2007) |
Gilmour-Walsh and Caloundra City Council [2006] QICmr 7 (8 February 2007)
Office of the Information Commissioner
(Qld) Decision and Reasons for
Decision Application
Numbers: 2006 F0072, 2006 F0114, 2006
F0224, 2006 F0235, 2006 F0241
Applicants:
2006 F0072 – Caloundra City News
2006 F0114 – J Smith
2006 F0224 – A Farrand-Collins
2006 F0235 – J Wildman
2006 F0241 – P Gilmour-Walsh
Respondent:
Caloundra City Council Decision
Date:
8 February 2007
Catchwords:
FREEDOM OF INFORMATION – application of section 43(1) of the Freedom of
Information Act 1992 – whether matter in issue qualifies for legal
professional privilege – whether legal professional privilege waived
–
whether communications were made for an improper purpose
Contents
Background
.............................................................................................................
2
Steps taken in the external review process
.............................................................
3
Matter in issue
.........................................................................................................
6
Application of section 43(1) of the FOI Act to the matter in
issue.............................
6
Submissions by the
applicants.....................................................................
8
Conclusion
.............................................................................................
18
Decision
...................................................................................................................
19
Reasons for Decision Background
1.
The five applicants reside in or near Maleny on Queensland’s Sunshine
Coast. Each applied to the Caloundra
City Council (‘the
Council’) for access, under the Freedom of Information Act 1992 Qld
(the FOI Act), to the ‘Maleny Community Precinct Probity Audit
Report’ (the ‘Probity Report’). In 2001,
the Council
identified parcels of land to the east of the Maleny township as a proposed site
to develop a Maleny Community Precinct
including a residential development, golf
course and other facilities. The Council’s proposal for the Precinct
was the subject
of widespread debate, controversy and criticism within the local
community, with allegations of improper conduct being made against
Council
officers in connection with aspects of the proposal, including financial
expenditure. In 2005, in response to the community
criticism and unrest,
the Council commissioned financial consultants, KPMG, ‘to conduct a
probity audit with respect to the ...Project ... and report on whether the
Council has conducted itself in compliance
with all relevant aspects of the law,
the Local Government Act, regulations, Council’s policies and procedures
and prudent commercial practice’ (see page 1 of the Probity
Report). The Probity Report examines specific issues in connection with
the Project, including property
issues, procurement and financial issues,
governance issues and planning, joint venture and community consultation
issues. It examines
various aspects of the Council’s development of
an effluent disposal plant on land owned by the Council (‘the CalAqua
land’), as well as the Council’s purchase of farm land for the
proposed golf course and residential development.
2.
Given the similarity of issues arising in each of the review applications, it is
appropriate to deal with them
together in this decision.
3.
As noted, in their initial FOI access applications, each applicant sought access
to the Probity Report. Messrs
Wildman, Farrand-Collins and Gilmour-Walsh
also sought access to all addenda and papers accompanying the Probity Report,
while Caloundra
City News also sought access to:
‘the
review by Council’s legal advisors, Allens Arthur Robinson;
the covering
letter as completed by KPMG;
the Chief
Executive Officer’s response;
the legal
advice from Allens Arthur Robinson dated 17/11/05 reference GNR:405612555; and
the legal
advice from Allens Arthur Robinson dated 16/11/05 reference
GNR:RLM:000000.’
4.
The table below sets out the history of each application prior to external
review:
External Review Application No.
Date of Access Application
Date of Initial Decision
Date of Internal Review Application
Date of Internal Review decision
Date of External Review application
Caloundra City News 53696
21.11.05
23.12.05
9.1.06
2.2.06
7.2.06
Smith 53738
8.12.05
23.12.05
19.1.06
2.2.06
22.2.06
Farrand-Collins 53848
10.3.06
20.3.06
5.4.06
18.4.06
4.5.06
Wildman 53859
8.3.06
9.3.06
20.3.06
18.4.06
6.5.06
Gilmour-Walsh 53865
8.3.06
9.3.06
4.4.06
18.4.06
13.5.06
5.
By identically worded letters dated 23 December 2005, 9 March 2006 and
20 March 2006, the Council’s Director
(Governance and Strategy),
Mr Terry Scanlan, informed the applicants of his decision to grant access to the
Probity Report and associated
documentation, subject to the deletion of some
matter that Mr Scanlan decided was exempt from disclosure under the FOI
Act. Mr Scanlan
did not identify the relevant exemption provisions upon
which he relied in deciding that some matter was exempt from disclosure.
6.
Each applicant sought internal review of Mr Scanlan’s decision. By
identically worded letters dated 2 February
2006 and 18 April 2006, Ms Dawn
Maddern, Director (City Services), decided to affirm Mr Scanlan’s
decision, indicating in the
schedule attached to her decision that the deleted
matter was exempt from disclosure under section 45(1) and section 49 of the FOI
Act.
7.
Each applicant applied to the Office of the Information Commissioner, on the
dates shown in the table above, for
external review under Part 5 of the FOI Act,
of Ms Maddern’s decision to refuse them access to parts of the various
documents. Steps taken in the external review
process
8.
Copies of the documents in issue were obtained and examined. Caloundra
City News raised a ‘sufficiency
of search’ issue regarding the
existence of another document referred to in the material disclosed by the
Council, and apparently
responsive to the terms of Caloundra City News’
access application. The Council subsequently produced a copy of the
document,
comprising a letter dated 15 November 2005 from Allens Arthur
Robinson to the Council with enclosures. Accordingly, the matter in
issue
in the external review initiated by Caloundra City News (review 53696)
comprised:
•
document 1 - part 4.1 of KPMG’s covering letter to the Council dated
27 October 2005;
•
document 2 - various sections of the Probity Report;
•
document 3 - various sections of the Chief Executive Officer’s
‘Without Prejudice’ response to
the Probity Report; and
•
document 4 - a letter dated 16 November 2005 from Allens Arthur Robinson to the
Council with enclosures.
9.
The matter in issue in the other four reviews comprised only documents 1-3 as
described above.
10.
By letter dated 6 July 2006, Assistant Information Commissioner (AC) Barker
informed Caloundra City News of her preliminary
view that document 4 qualified
for exemption from disclosure under section 43(1) of the FOI Act. In the
event that Caloundra City
News did not accept her preliminary view, AC Barker
invited it to lodge written submissions and/or evidence in support of its case,
and advised that if she did not hear from it to the contrary by 24 July 2006,
she would proceed on the basis that Caloundra City
News accepted her preliminary
view and withdrew its application for access to document 4. Caloundra City
News did not respond within
the time frame stipulated by AC Barker.
Accordingly, document 4 is no longer in issue in review
53696.
11.
By letter dated 7 July 2006, AC Barker informed the Council of her preliminary
view that there was insufficient material
before her to be satisfied that the
matter in issue qualified for exemption under sections 45(1)(a), 45(1)(b),
45(1)(c), 45(3) or
49 of the FOI Act, and invited the Council to supply written
submissions and/or evidence in support of its claims for exemption.
12.
By telephone on 26 July 2006, Ms R Morrison of Allens Arthur Robinson advised
that her firm had been instructed to
act on behalf of the Council in connection
with the reviews, and sought a meeting with AC Barker to discuss the nature of
the material
required in order to provide the Council’s response to AC
Barker’s letter dated 7 July 2006. A meeting was
held on
27 July 2006, at which Ms Morrison advised that the Council abandoned
any claim for exemption under sections 45(1)(a), 45(1)(b) and
45(3) of the FOI
Act, but maintained a claim for exemption under sections 45(1)(c) and 49 of the
FOI Act. In addition, the Council
advised that it also relied upon section
43(1) of the FOI Act in claiming exemption over some segments of matter.
13.
By letter dated 7 August 2006, Allens Arthur Robinson provided the following
material in support of the Council’s
claim for exemption:
• a
submission from the Council dated 7 August 2006;
• a
statutory declaration by the Council’s Chief Executive Officer (Mr Garry
Storch) dated 7 August 2006 with
exhibits ‘GSO1’ to
‘GSO11’.
14.
Copies of the submission, statutory declaration and exhibits (edited so as to
remove references to the matter in
issue) were provided to the applicants, who
were invited to lodge responses. Responses were lodged by Caloundra City
News, and Messrs
Smith, Farrand-Collins, Wildman and Gilmour-Walsh on 2
September 2006, 30 August 2006, 7 September 2006, 10 September 2006 and 10
September 2006, respectively.
15.
The applicants raised a number of issues of concern in their responses.
Caloundra City News challenged the authority
of Allens Arthur Robinson and Mr
Storch to represent the Council’s position in the reviews (I will discuss
that issue further
below). Furthermore, Caloundra City News together with
Messrs Farrand-Collins, Wildman and Gilmour-Walsh made additional submissions
to
the effect that paragraph 17 and exhibit GSO5 to Mr Storch’s statutory
declaration were inaccurate and misleading. Paragraph
17 referred to the
tabling, at a general meeting of the Council on 5 August 2004, of a financial
feasibility report dated 23 July
2004 prepared by the Council’s Property
Manager and which indicated that the Maleny Community Precinct Project could
expect
to provide a profit of nearly $8 million. Exhibit GSO5 purported to
be that report. However, the applicants contended that the
exhibit was not
in fact the report that was tabled at the meeting, and that paragraph 17 could
not be relied upon.
16.
The Council was given an opportunity to respond to the applicants’ various
submissions. By letter dated 28
September 2006, the Council’s
solicitors provided a response, which included a copy of the financial
feasibility report that
had, in fact, been tabled at the Council’s general
meeting on 5 August 2004, and which differed from exhibit GSO5 to Ms
Storch’s
declaration.
17.
By telephone to the Council’s solicitors on 28 September 2006, a member of
staff of my office sought clarification
as the interpretation that was now to be
placed on paragraph 17 of Mr Storch’s statutory declaration in light of
the two differing
reports concerning the Precinct Project’s
profitability.
18.
In response, the Council’s solicitors provided a supplementary statutory
declaration of Mr Storch dated 29
September 2006, together with exhibits GSO12
and GSO13. Copies of that material were provided to the
applicants.
19.
By letter dated 13 November 2006, the Council advised that, in view of the
recent resolution of legal difficulties
concerning the contract to purchase the
farm land, it was prepared to withdraw its claims for exemption under sections
45(1)(c) and
49 of the FOI Act. However, it maintained its claim for
exemption under section 43(1) in respect of some segments of
matter.
20.
By letter dated 27 November 2006, I authorised the Council to give the
applicants access to the matter which previously
had been subject to exemption
claims under sections 45(1)(c) and 49 of the FOI Act. I also informed the
applicants that the sole
matter remaining in issue comprised segments of matter
that the Council claimed were exempt under section 43(1) of the FOI Act.
21.
By letter dated 4 December 2006, I informed the applicants that, having now had
an opportunity to review the matter
remaining in issue, I had formed the
preliminary view that it qualified for exemption from disclosure under section
43(1) of the
FOI Act. In the event that the applicants did not accept my
preliminary view, I invited them to provide written submissions and/or
evidence
in support of their respective cases for disclosure of the relevant
matter.
22.
The Council then advised that, due to confusion regarding the highlighting of
matter which it claimed qualified for
exemption under section 43(1), there were,
in fact, additional segments of matter that the Council claimed qualified for
exemption
under section 43(1) of the FOI Act, and which I had not dealt with in
my letter to the applicants dated 4 December 2006. I reviewed
that
additional matter (which had not been disclosed to the applicants) and advised
the applicants by letter dated 14 December 2006
of my preliminary view that
that matter also qualified for exemption under section 43(1) of the FOI
Act.
23.
By letters dated 8 December 2006, 21 December 2006, 1 January 2007,
7 January 2007 and 12 January 2007, the various
applicants advised
that they did not accept my preliminary view, and lodged submissions in support
of their respective positions.
24.
In making my decision in this review, I have taken account of the following
material:
• the
matter remaining in issue;
• the
applicants’ FOI access applications dated 21 November 2005, 8 December
2005, 8 March 2006 and 10 March
2006; applications for internal review dated
9 January 2006, 19 January 2006, 20 March 2006, 4 April 2006 and 5 April
2006; and applications
for external review dated 7 February 2006, 22 February
2006, 4 May 2006, 6 May 2006 and 13 May 2006;
• the
Council’s initial decisions dated 23 December 2005, 9 March 2006 and
20 March 2006; and internal review
decisions dated 2 February 2006 and
18 April 2006;
•
Caloundra City News’ submissions dated 2 September 2006 and
21 December 2006;
• Mr
Smith’s submissions dated 30 August 2006 and 8 December 2006;
• Mr
Farrand-Collins’ submissions dated 7 September 2006 and 1 January
2007;
• Mr
Wildman’s submissions dated 10 September 2006 and 7 January 2007;
• Mr
Gilmour-Walsh’s submissions dated 10 September 2006 and
12 January 2007;
• the
Council’s submissions dated 7 August 2006 and letters dated
13 November 2006 and 12 December 2006;
•
Allens Arthur Robinson’s letters/emails dated 28 September 2006,
5 October 2006, 2 November 2006, and 13
December 2006; and
• the
statutory declarations of Mr Garry Storch dated 7 August 2006 and
29 September 2006, and exhibits GSO1 to GSO13
to those statutory
declarations. Matter in issue
25.
The matter remaining in issue in this review comprises:
•
segments of matter contained on pages 4, 35-38, 45, 46, 95, 101 and 109 of
document 2 (the Probity Report); and
•
segments of matter contained on pages 12, 14, 15, 19, 22 and 23 of document 3
(the Chief Executive Officer’s
‘Without Prejudice’ response to
the Probity Report). Application of section
43(1) of the FOI Act to the matter in issue
26.
Section 43(1) of the FOI Act provides:
43(1) Matter is exempt matter
if it would be privileged from production in a legal proceeding on the ground of
legal professional
privilege.
27.
Following the judgments of the High Court of Australia in Esso Australia
Resources Ltd v Commission of Taxation [1999] HCA 67; (1999) 74 ALJR 339, the basic legal
tests for whether a communication attracts legal professional privilege under
Australian common law can be summarised
as follows:
Legal professional privilege attaches to confidential communications
between a lawyer and client (including communications through
their respective
servants or agents) made for the dominant purpose of –
(a) seeking or giving legal advice or professional legal assistance;
or
(b) use, or obtaining material for use, in legal proceedings that
had commenced, or were reasonably anticipated, at the time of the
relevant
communication.
28.
Legal professional privilege also attaches to confidential communications
between the client or the client's lawyers
(including communications through
their respective servants or agents) and third parties, provided the
communications were made for
the dominant purpose of use, or obtaining material
for use, in legal proceedings that had commenced, or were reasonably
anticipated,
at the time of the relevant communication.
29.
There are qualifications and exceptions to this statement of the basic tests,
which may, in a particular case, affect
the question of whether a document
attracts the privilege, or remains subject to the privilege; for example, the
principles with
respect to waiver of privilege (see Re Hewitt and Queensland
Law Society Inc [1998] QICmr 23; (1998) 4 QAR 328 at paragraphs 19-20 and 29), and the
principle that communications otherwise answering the description above do not
attract privilege
if they are made in furtherance of an illegal or improper
purpose (see Commissioner, Australian Federal Police v Propend Finance Pty
Ltd (1997) 188 CLR 501).
30.
The matter in issue in this review is contained in non-privileged communications
between the Council and KPMG (the
Probity Report) or in an internal Council
document prepared to respond to aspects of the Probity Report (document
3). However, the
segments of matter in issue all comprise repetitions or
summaries of the substance of professional legal advice provided to the Council
by its legal advisers. It has been established in several cases that
matter (contained in an otherwise non-privileged communication)
which repeats,
verbatim or in substance, the contents of a privileged communication, is itself
privileged from production on the
grounds of legal professional privilege.
In Re Hewitt at paragraphs 119-120, Information Commissioner Albietz
referred to the principle that a body corporate must be permitted to inform
its
servants or agents (who are responsible for taking some action in connection
with, or to comply with, privileged legal advice
which the body corporate has
obtained) of the contents, or the substance, of privileged legal advice which
the body corporate has
obtained, without losing the benefit of the privilege. At
paragraph 119 of Re Hewitt, Information Commissioner Albietz referred to
the case of Brambles Holdings Ltd v Trade Practices Commission (No. 3)
[1981] FCA 81; (1981) 58 FLR 452, in which Franki J of the Federal Court of Australia said
(at pp.458-459 and p.462):
[The disputed claim of legal professional privilege] is not limited to an
internal memorandum merely setting out legal advice which has been obtained and
which would be the subject of
legal professional privilege if it was a record of
a communication of advice from a legal adviser in the litigation. [The
disputed claim of legal professional privilege] in its terms is applicable to
an internal memorandum setting out legal advice together with comment on that
advice by other persons
in the Commission. In such a case that part of the
memorandum which set out the legal advice would be privileged but not that part
which set out the comment on the advice. I agree with the unreported views
in this regard of Rath J in Komacha v Orange City Council [Supreme Court of
New South Wales, Rath J, 30 August 1979, unreported]:
The privilege attaching to a document will be accorded to copies made of it,
provided confidentiality is maintained. If for example
counsel's advice is
circulated among officers of a corporation obtaining the advice, then privilege
is preserved, whether the circulation
is of the original or of copies. If
in such a case an officer of the corporation were to report to another officer
setting out portions
of the advice, privilege would attach to the report in
respect of those portions. ...
... My decision in relation to any document which I have held not to be
privileged is subject to the qualification that any part of
any such document
which does no more than reproduce legal advice obtained in relation to the
proceedings need not be made available
for inspection.
31.
A similar principle was applied by Lehane J of the Federal Court of Australia in
GEC Marconi Systems Pty Ltd v BHP Information Technology Pty Ltd [2000]
FCA 593.
32.
Based upon my review of the matter in issue in documents 2 and 3, I am satisfied
that each segment of matter repeats,
verbatim or in substance, the contents of a
privileged communication between the Council and its legal advisers (i.e., a
communication
that, of itself, was made for the dominant purpose of providing
professional legal advice). I am therefore satisfied that the matter
in issue
attracts legal professional privilege, and is prima facie exempt from
production under section 43(1) of the FOI Act, subject to the operation of any
relevant qualification or exception to
the doctrine of legal professional
privilege (which I will discuss below).
33.
Mr Stevenson, owner/editor of Caloundra City News, argued in his submission
dated 21 December 2006 that the matter
in issue could not attract legal
professional privilege because it had not been created for the dominant purpose
of use in existing
or anticipated legal proceedings. However, as stated
above, the Esso Australia case confirmed that legal professional
privilege may arise in either of two circumstances, one of those being that the
confidential
communication was created for the dominant purpose of giving or
receiving legal advice, and the other being that the confidential
communication
was created for the dominant purpose of use in existing or anticipated legal
proceedings. I have explained above why
I consider that the first limb of
that test is satisfied by the matter in issue.
34.
The applicants raised a variety of other arguments in support of a finding that
the matter in issue does not qualify
for exemption under section 43(1) of the
FOI Act, including waiver and the improper purpose exception (see paragraph 29
above).
Other arguments raised by the applicants have no relevance to a
finding that the matter in issue attracts legal professional privilege.
Nevertheless, I will discuss below, all of the arguments raised by the
applicants. Submissions by the
applicants Improper purpose exception
35.
As I noted at paragraph 29 above, legal professional privilege can be displaced
if legal advice is given in furtherance
of an illegal or improper purpose. To
displace legal professional privilege, however, there must be prima facie
evidence (sufficient to afford reasonable grounds for believing) that the
relevant communication was made in preparation for, or
furtherance of, some
illegal or improper purpose. Only communications made in preparation for,
or furtherance of, the illegal or
improper purpose are denied protection, not
those that are merely relevant to it (see Butler v Board of Trade [1970]
3 All ER 593 at pp.596-597).
36.
Messrs Farrand-Collins and Wildman argued in their submissions dated
1 January 2007 and 7 January 2007, respectively,
that there was
impropriety in various actions taken by the Council. They asserted that the
Council was endeavouring to use section
43(1) of the FOI Act as a screen to
avoid scrutiny of the way Council officers conduct Council
business.
37.
Mr Farrand-Collins gave, as an example, an issue concerning the boundary
realignment of the CalAqua land. He submitted
that material disclosed in
the Probity Report supported the local community’s belief that, in respect
of the CalAqua land,
Council officers had chosen to disregard legal advice (to
the effect that there was a strong argument that the entity
‘AquaGen’
had some form of interest in the land) and had proceeded
with a boundary realignment application regardless of the legal advice,
and
without resolving the issue of a possible conflicting interest in the land by
AquaGen. Mr Farrand-Collins expressed concern
that the Council may have
disregarded other legal advice provided to it. He argued that, in respect
of the contract to purchase
the farm land, the Council was aware for over a year
that its failure to have obtained the Treasurer’s prior consent to the
purchase of the farm land (in breach of state legislation), rendered the
purchase contract vulnerable, but that the Council appeared
in that period to
have ‘fished’ among several firms of solicitors for
‘suitable’ legal advice.
38.
Mr Wildman’s submission was along similar lines, and argued that the
sequence of events in question showed
a lack of professionalism and integrity by
Council officers. Mr Wildman stated that he sought access to the matter in issue
to allow
him to examine ‘ ... what advice or briefs Council requested,
what was given and when, then what action was taken by the parties
concerned’.
39.
Information Commissioner Albietz considered the 'improper purpose' exception at
some length in Re Murphy and Queensland Treasury (No. 2) [1998] QICmr 9; (1998) 4 QAR 446
at pp.457-462; paragraphs 31-42. At paragraphs 35, 36 and 37, he
considered the judgments in Attorney-General (NT) v Kearney [1985] HCA 60; (1985) 158
CLR 500 and in Propend Finance concerning the evidentiary onus that is on
a person who contests the existence of legal professional privilege to
demonstrate a prima facie case that the relevant communications were made
in furtherance of an illegal or improper purpose. At paragraph 38, he drew
the following
principles from those cases:
• To
displace legal professional privilege, there must be prima facie evidence
(sufficient to afford reasonable grounds for believing) that the relevant
communication was made in preparation for, or
furtherance of, some illegal or
improper purpose.
• Only
communications made in preparation for, or furtherance of, the illegal or
improper purpose are denied protection,
not those that are merely relevant to
it. In other words, it is not sufficient to find prima facie
evidence of an illegal or improper purpose. One must find prima
facie evidence that the particular communication was made in preparation
for, or furtherance of, an illegal or improper purpose.
•
Knowledge, on the part of the legal adviser, that a particular communication was
made in preparation for, or furtherance
of, an illegal or improper purpose is
not a necessary element (see R v Cox and Railton (1884) 14 QBD 153 at
p.165; R v Bell: ex parte Lees [1980] HCA 26; (1980) 146 CLR 141 at p.145); however,
such knowledge or intention on the part of the client, or the client's agent, is
a necessary element.
40.
Some assistance in understanding the second principle above is afforded from the
observations of Hodgson CJ in Eq
of the Supreme Court of New South Wales in
Watson v McLernon [2000] NSWSC 306, 13 April 2000, at paragraph
116:
The next question is, what would amount to furtherance of such a
[dishonest] purpose? I accept that a purpose of merely concealing
previous dishonest conduct, and avoiding adverse consequences, such as penalties
or claims for damages, which could flow therefrom, would not amount to
furtherance of the improper purpose. The policy of the law
is to encourage
people to get legal advice so that they can be aware of their rights in relation
to such matters. However, if the
person seeking advice proposes to
continue the dishonest conduct, ... and proposes to use legal advice to assist
in this purpose,
then in my opinion that would be sufficient to amount to a
furtherance of the improper purpose.
41.
It is noteworthy also, that in the Federal Court decision of Freeman v Health
Insurance Commission and Ors (1998) 157 ALR 333 at 342, Finkelstein J
said:
Notwithstanding the submissions made by the applicant, I do not believe
that the exception should be extended so that the privilege
is lost if there is
an inadvertent abuse of statutory power. .... Legal professional privilege
is an important right and the public
interest does not require it to be lost
except by conduct which is morally reprehensible. ... if the
exception was now to be extended
to cover inadvertent conduct it might endanger
the basis of the privilege.
42.
There was a successful appeal against parts of Finkelstein J's judgment (see
Health Insurance Commission and Anor v Freeman (1998) 158 ALR 26), but no
issue was taken with the above statement of principle.
43.
Having examined the matter in issue, I am not satisfied that there is prima
facie evidence before me that the various communications were made in
preparation for, or furtherance of, some illegal or improper purpose.
For
example, as regards the purchase of the farm land, it is evident from the
material which has been disclosed to the applicants
that Council officers were
aware that the Council was first required to obtain the Treasurer’s
consent to the purchase of the
land, and that the Council had nevertheless
proceeded with the contract without obtaining the Treasurer’s
consent. It is also
evident that the Council obtained legal advice on
issues relating to the purchase and the development of the land, and that the
deficiency
in the purchase contract was remedied. There is nothing before me to
suggest that the relevant legal advice was obtained in preparation
for, or in
furtherance of, an illegal or improper purpose.
44.
In those circumstances, I am not satisfied that the improper purpose exception
operates to displace the prima facie privilege which I have found
attaches to the matter in issue. Waiver
45.
The High Court of Australia's decision in Mann v Carnell [1999] HCA 66; (1999) 74 ALJR
378 dealt with the principles relating to waiver of legal professional
privilege. At pp.384-385, the High Court said:
[28] ... Legal professional privilege exists to protect the
confidentiality of communications between lawyer and client. It is the
client who is entitled to the benefit of such confidentiality, and who may
relinquish that entitlement. It is inconsistency between
the conduct of
the client and maintenance of the confidentiality which effects a waiver of the
privilege...
[29] Waiver may be express or implied. Disputes as to implied
waiver usually arise from the need to decide whether particular conduct
is
inconsistent with the maintenance of the confidentiality which the privilege is
intended to protect. When an affirmative answer
is given to such a
question, it is sometimes said that waiver is ‘imputed by operation of
law’. This means that the
law recognises the inconsistency and
determines its consequences, even though such consequences may not reflect the
subjective intention
of the party who has lost the privilege. Thus, in
Benecke v National Australia Bank, the client was held to have waived
privilege by giving evidence, in legal proceedings, concerning her instructions
to a barrister
in related proceedings, even though she apparently believed she
could prevent the barrister from giving the barrister's version of
those
instructions. She did not subjectively intend to abandon the
privilege. She may not even have turned her mind to the question.
However, her intentional act was inconsistent with the maintenance of the
confidentiality of the communication. What brings about
the waiver is the
inconsistency, which the courts, where necessary informed by considerations of
fairness, perceive, between the
conduct of the client and maintenance of the
confidentiality; not some over-riding principle of fairness operating at large.
...
[34] ... Disclosure by a client of confidential legal advice
received by the client, which may be for the purpose of explaining or
justifying
the client's actions, or for some other purpose, will waive privilege if such
disclosure is inconsistent with the confidentiality
which the privilege serves
to protect. Depending upon the circumstances of the case, considerations
of fairness may be relevant
to a determination of whether there is such
inconsistency. The reasoning of the majority in Goldberg
illustrates this.
46.
The applicants contend that various actions by the Council have resulted in
privilege in the matter in issue being
waived.
(i) Disclosure of the
legal advice to KPMG
47.
In his submission dated 8 December 2006, Mr Smith submitted that the disclosure
by the Council to KPMG of legal advice
obtained by the Council amounted to a
waiver of the privilege attaching to that advice.
48.
It is clear that the Council intentionally disclosed to KPMG the legal advice
that it had obtained from its solicitors.
As regards such express or intentional
conduct, Information Commissioner Albietz made the following observations in
Re Hewitt at p.338 (paragraph 19):
... A person entitled to the benefit of legal professional privilege can
waive the privilege through intentionally disclosing protected
material. ... If
disclosure is incompatible with retention of the confidentiality which is
necessary for maintenance of the privilege,
there will ordinarily be a general
waiver of privilege .... However, the courts will allow an exception for a
limited intentional
disclosure of privileged material, if the disclosure is
compatible with the retention of confidentiality. Thus, disclosure of privileged
information by the beneficiary of the privilege to another person for a limited
and specific purpose, on the clear understanding
that the recipient is not to
use or disclose the information for any other purpose, will not involve a
general waiver of privilege,
and, subject to questions of imputed waiver, may
not disentitle the beneficiary of the privilege from asserting the privilege
against
other persons. ...
49.
The Terms of Reference given to KPMG by the Council are reproduced on pages
131-132 of the Probity Report. The Audit
Objectives as stated in the Terms
of Reference (see paragraph 1 above) are as follows:
To conduct a probity audit with respect to the Maleny Community Precinct
Project (‘the Project’) and report on whether
the Council has
conducted itself in compliance with all relevant aspects of the law, the Local
Government Act, regulations, Councils policies and procedures and prudent
commercial practice.
50.
One of the specific Audit Requirements stated in the Terms of Reference
is:
Review and assess all relevant documentation to ensure compliance with
relevant requirements and that any departures from established
procedures have
been appropriately approved.
51.
The Terms of Reference state that KPMG is ‘to have full access to
records, personnel, meetings and premises’, and is to
‘obtain, analyse, interpret and document information to support the
outcomes of the audit’.
52.
I am satisfied that the Council intentionally disclosed to KPMG all relevant
material in its possession (including
legal advice it had obtained form its
solicitors), for the specific and limited purpose set out in the Terms of
Reference, namely,
to conduct a probity audit and to report back to Council on
the results of that audit. While it does not appear that there was an
explicit statement by the Council that KPMG was not to use the legal advice and
other material for any other purpose than the conduct
of its audit and the
preparation of its report for the Council, I consider that it is reasonable to
imply from the specific Terms
of Reference by which KPMG was retained, as well
as from the sensitivity of the matter, and the actual conduct of KPMG, that it
was
clearly understood between the Council and KPMG that all relevant material
was being disclosed to KPMG only for the purpose of conducting
the probity audit
and for no other purpose. The fact that KPMG did not, in fact, use or disclose
the legal advice other than for
that specific purpose supports a finding that
KPMG understood the limited purpose for which it was given access to the legal
advice,
and that disclosure by the Council of the advice in those circumstances
was not intended to operate as a general waiver of the privilege
attaching to
the advice.
53.
Accordingly, I do not consider that disclosure of the legal advice to KPMG for
the limited and specific purpose of
allowing it to conduct a probity audit and
report to the Council on the results of that audit, is incompatible with the
retention
by the Council of confidentiality in the advice. There is no
suggestion that the Council has otherwise disclosed the legal advice
or acted in
a manner that is inconsistent with maintaining a claim for privilege over the
advice.
(ii) Undertaking to give full
public access to Probity Report
54.
In his submission dated 21 December 2006, Mr Stevenson stated that KPMG was
aware, when it prepared the Probity Report,
of an undertaking by the Mayor that
the complete Probity Report would be disclosed to the public. He also
submitted that the Council’s
initial and internal review decision-makers
did not claim exemption under section 43(1) of the FOI Act as both were aware of
the
Mayor’s undertaking and would have believed that privilege had been
waived.
55.
Mr Smith contended in his submission dated 8 December 2006 that the Mayor
had verbally assured Mr Smith and Mr Peter
Bryant OAM (the secretary of
the Caloundra City Ratepayers & Residents Association Inc) that the Probity
Report would be made
public when completed. Mr Smith contended that the
Mayor’s undertaking amounted to an implied waiver of privilege in the
legal
advice contained in the Probity Report.
56.
These submissions by the applicants demonstrate a misunderstanding of the law
relating to waiver of privilege. Whether
or not privilege has been waived
is a question of fact, and it is only the conduct of the client (i.e., the
Council) which can amount
to a waiver of privilege. What KPMG knew or did
not know about what the Council intended or did not intend to do with the
Probity
Report is not relevant. When assessing an issue of waiver, it is
necessary to examine the conduct of the client and decide whether
that conduct
is inconsistent with the maintenance of the confidentiality which the privilege
is intended to protect. Accordingly,
regardless of what the Mayor may or
may not have said about intended public disclosure of the Probity Report, the
issue is whether
the Council has, in fact, disclosed the content of privileged
legal advice in such circumstances as to amount to a general waiver
of
privilege. As there is nothing before me to demonstrate that there
has been public disclosure by the Council of those parts
of the Probity Report
or document 3 which repeat or summarise legal advice obtained by the Council, it
follows that I must find that
the Council has not waived privilege in that
advice. I have already explained above why I am satisfied that the limited
disclosure
of the advice to KPMG in order to allow it to conduct its probity
audit did not amount to a waiver of privilege.
(iii) Australian
Wheat Board inquiry
57.
Mr Smith referred in his submission to the 2006 Cole report (Report by
Commissioner Terence Cole ‘Inquiry into
certain Australian companies in
relation to the UN Oil-For-Food Programme’ delivered 24 November 2006) in
which Commissioner
Cole published certain matter which he stated would have been
exempt from publication on the basis that it attracted legal professional
privilege, except for the fact that the matter had previously been published in
a report.
58.
As I noted above, there is nothing before me to demonstrate that the matter in
issue has been publicly disclosed
or published by the Council in circumstances
that would amount to a general waiver of privilege.
59.
In summary, as regards the improper purpose exception to legal professional
privilege, and the principles with respect
to waiver of privilege, I am
satisfied for the reasons explained above that neither qualification or
exception operates to displace
the legal professional privilege which I have
found attaches to the matter in issue.
60.
I will now discuss the various other arguments raised by the applicants in
favour of disclosure of the matter in
issue. Public interest
61.
Mr Smith contended in his submission dated 8 December 2006 that it is in the
public interest that the entire Probity
Report be made public because the
Council agreed to the probity audit in order to demonstrate to the public that
its dealings in
all matters pertaining to the Maleny Community Precinct were
both legal and ethical. Mr Smith submitted:
In particular I refer to the following statement on page 109 of the
[Probity] Report
On 24th June 2004, when Council decided to exercise
the option to purchase The Porter land on a 6-3 vote, Councillors had been
further provided
with, among other things;
•
.....
•
.....
•
.....
•
.....
•
Information that the deferred payment arrangement under the Porter Contract
breached the SBFA Act.
This new disclosure is central to this submission, and establishes clearly
that the majority of the Members of the Council were prepared
to ignore the law
so far as the contract with Porter was concerned.
This then begs the question whether the same Councillors can be trusted to
act within the law insofar as other important issues in
the overall dealing are
concerned.
There can be little doubt that the answer to this question would be
clearly within the public interest. The only way that the public
can be
satisfied that their elected Councillors have acted lawfully and with probity in
the balance of dealings in the overall proposal
is by the release of the total
content of the Probity Report, the submission by the CEO thereon, and associated
reports.
62.
Mr Gilmour-Walsh stated in his submission dated 10 September 2006:
Lack of proper community and stakeholder consultation has provided an
avenue for the provision of incomplete or inaccurate information
and has been a
key feature of Council behaviour in this matter. As a result of these poor
practices a complex set of circumstances
and issues has evolved, creating
confusion and misperceptions that have already caused conflict and will
influence the conduct of
the community during any further stages of the project
in question, impacting the quality of the final outcome.
As confirmed in the recent report of the abridged probity audit conducted
by KPMG, Council has misled the community. During Council-controlled
stakeholder consultations held via a community-based Taskforce (formed August
2003) Council provided verbal reassurances that key
risks and issues were being
properly addressed. For example the taskforce were not advised of the
conditions of Council’s
joint venture arrangement that already proved
itself to be unworkable. Not only were the taskforce members
sufficiently qualified
and knowledgeable to advise Council of the risks, each
member and their associated community groups found that they potentially had
agreed to Council action that was not in accord with their own
interests.
The community has lost faith in Council and requires all the information
in order to completely understand the current situation and
be reassured that in
getting this project back on track, all issues have been identified. The
lack of trust and faith in Council
had already been raised as a serious issue in
a Council-commissioned report in May 2003 (Tract Consultants Report, July
2003). From
the information provided it would appear that Council either
did not appreciate the Community’s need to know or it was not
in the
interests of certain Council officers to release complete and accurate
information. Some of these Council officers still
hold office.
...
Whilst I am in support of Council acquiring this land for community
purposes, I also require assurance that I have information that
will enable me
to fully assess the implications of further Council
action.
63.
In his submission dated 12 January 2007, Mr Gilmour-Walsh stated:
The subsequent disclosure of most of the withheld information through the
Probity Audit and under the direction of the Information
Commissioner justified
some of the concerns held by myself and other members of the community.
The information withheld under ‘legal professional privilege’
is more than likely to further support my belief that Council
failed to act in a
professional manner.
64.
In his submission dated 7 January 2006, Mr Wildman stated:
By the end of 2007 Council hopes to complete the community consultation
process on the Community precinct (Porters/Armstrong properties).
It is
essential for the community to participate with a clean slate, they must know
about any legal restraints that may have arisen
in the original
negotiations.
65.
It is clear that the Council’s actions with respect to the Maleny
Community Precinct Project have been the
subject of much criticism within the
local community, and that the applicants are of the view that the Council has
withheld from
the community, important information about the Project. They
argue that all information held by Council concerning the probity audit
of the
Project should be disclosed in the public interest, given the contentious nature
of the Project and its importance to, and
potential impact upon, the wider
community.
66.
While I acknowledge the controversy surrounding the Project, and the submissions
of the applicants regarding the
significant public interest in disclosure of the
Probity Report, section 43(1) of the FOI Act is not subject to a public interest
balancing test. As I have explained, the only issue for determination
under section 43(1) is whether the matter in issue satisfies
the test for legal
professional privilege set down by the High Court in the Esso case.
That test does not contain any element of public
interest. Authority to act on behalf of the
Council
67.
Caloundra City News challenged the authority of Allens Arthur Robinson and Mr
Storch to represent the Council’s
position in these external reviews. Mr
Stevenson submitted on 2 September 2006:
On Thursday, February 2 Council by resolution, ceded the authority of
Principal Officer to the Director City Services, Dawn Maddern
(Att. A). To my
knowledge that has not been rescinded.
Both the AAR Submission and the Storch Declaration are dated August 7,
2006 and are in response to the Commissions preliminary decision
notification to
Council of July 7, 2006.
In the Commission’s correspondence to me, of August 15, it is
apparent from the words used that the Commission is of the opinion
that the AAR
Submission and Storch Declaration were made on behalf of, and with the full
knowledge of, Caloundra City Council.
On or about Tuesday, August 15 the then-Acting Mayor of Caloundra City
Council, Councillor Anna Grosskreutz, became aware of the existence,
for the
first time, of correspondence between Council and the Commission.
She demanded to be provided with it, and in an open General Meeting of
Caloundra City Council on Thursday, August 17 it was debated.
It was the first occasion the elected representatives knew anything about
the AAR Submission and the Storch Declaration.
The Sunshine Coast Daily the following day reported happenings within that
meeting (Att.B).
An attempt during the meeting by one Councillor to get some information
made public was thwarted (Att.C).
In such circumstances it would be dangerous for the Commission to believe
that the views expressed in the AAR Submission or the Storch
Declaration are
representative of the wishes of Caloundra City Council.
Their views are not known as they were never sought or expressed.
And there has been no directive to either Allens Arthur Robinson or Mr
Garry Storch from Caloundra City Council to respond on their
behalf, in the
manner in which the Commission has received.
In my opinion both the AAR Submission and the Storch Declaration are
‘without power’ and should form no part in the Commission’s
deliberations and final decision.
68.
The internal arrangements which an agency makes regarding its handling of FOI
external review applications is not
a matter over which the Information
Commissioner has any jurisdiction under the FOI Act. An issue regarding
who or who was not informed
about the way in which the Council responded to
correspondence from this office is similarly of no relevance to the exercise of
the
Information Commissioner’s powers under Part 5 of the FOI Act.
Nevertheless, I would take this opportunity to observe that
section 1131 of the
Local Government Act 1993 Qld would appear to be wide enough to authorise
a Chief Executive Officer to make a statutory declaration on behalf of the
Council,
and to instruct solicitors on its behalf. Section 1131
provides:
1131 Role of chief executive
officer
(1) The chief executive officer of a local
government has the role of implementing the local government’s policies
and decisions.
(2) On a day-to-day basis, the chief executive
officer’s role includes managing the local government’s
affairs.
(3) The chief executive officer alone is
responsible for—
(a) organising the presentation of reports and
reporting to the local government; and
(b) conducting correspondence between the local
government and other persons; and
(c) managing and overseeing the administration of
the local government and its corporate plan; and
(d) coordinating the activities of all employees
of the local government.
(4) The chief executive officer has—
(a) all the powers necessary for performing the
chief executive officer’s role; and
(b) the powers the local government specifically
delegates to the chief executive officer.
69.
The sole issue for my determination in this review is whether or not the matter
in issue qualifies for exemption
under the FOI Act. I have reviewed the
matter in issue and formed the view that it meets the requirements for exemption
under section
43(1) of the FOI Act. Any issue about who had
authority to author the Council’s submissions throughout the course of
this
review does not alter my view that the matter in issue attracts legal
professional privilege under section 43(1) of the FOI Act.
Expert opinion or analysis
70.
In his submission dated 8 December 2006, Mr Smith argued that the legal advice
in issue constitutes expert opinion
or analysis within the meaning of section
41(2)(c) of the FOI Act and, accordingly, cannot be exempt from disclosure under
the FOI
Act.
71.
Sections 41(1) and (2) provide as follows:
41 Matter relating to deliberative
processes
(1) Matter is exempt matter if its
disclosure—
(a) would disclose—
(i)
an opinion, advice or recommendation that has been obtained, prepared or
recorded; or
(ii) a
consultation or deliberation that has taken place;
in the course of, or for the purposes of, the deliberative processes
involved in the functions of government; and
(b) would, on balance, be contrary to the public
interest.
(2) Matter is not exempt under subsection (1) if
it merely consists of—
(a) matter that appears in an agency’s
policy document; or
(b) factual or statistical matter; or
(c) expert opinion or analysis by a person
recognised as an expert in the field of knowledge to which the opinion or
analysis
relates.
72.
This submission reflects a misunderstanding of the operation of the exemption
provisions of the FOI Act. Under the
FOI Act, matter may qualify for exemption
under one or more of the exemption provisions contained in Part 3, Division 2,
of the FOI
Act. The mere fact that the matter in issue may not meet the
requirements for exemption under section 41(1) of the FOI Act (which
I am not
required to decide in this case in any event) does not prevent it from
qualifying for exemption under section 43(1) of the
FOI Act if the requirements
of that exemption provision are met. The exemption provisions contained in
Part 3, Division 2, of the
FOI Act operate independently of each other.
The
section 43(1) exemption claim was not made by the Council at the
outset
73.
Mr Smith argued in his submission dated 8 December 2006 that it was
inappropriate for the Council to make a claim
for exemption under section 43(1)
of the FOI Act during the external review stage, when it had not relied upon
that provision during
the initial processing of his access application. Mr
Stevenson argued in his submission dated 21 December 2006 that this office
did
not discuss the application of section 43(1) of the FOI Act in its initial
correspondence with the applicants because it presumably
held the view that
section 43(1) did not apply.
74.
I recognise that it may be disconcerting for an applicant to be notified during
the course of an external review
that an agency is now relying upon an exemption
provision not previously raised during the processing of the FOI access
application.
However, the right of agencies, on external review, to raise
new grounds for exemption, has been recognised in numerous court and
tribunal
proceedings. A review under Part 5 of the FOI Act is a review de novo.
The agency is not bound to adhere to the position adopted in the decision under
review (although it still carries the onus, under
section 81 of the FOI Act, of
establishing that the Information Commissioner should give a decision adverse to
the applicant). In
Re ‘NKS’ and Queensland Corrective Services
Commission [1995] QICmr 21; (1995) 2 QAR 662, Information Commissioner Albietz said (at
paragraph 5):
I am empowered to make a fresh decision as to the correct application of
the provisions of the FOI Act to any documents (or parts
of documents) of the
respondent agency or Minister, which fall within the terms of the applicant's
FOI access application and to
which the applicant has been refused access under
the FOI Act. In the course of a review under Part 5, the respondent agency or
Minister
may, in effect, abandon reliance on the grounds previously given in
support of the decision under review, in whole or in part, whether
by making
concessions to the applicant (which mean that some matter is no longer in issue)
or by arguing fresh grounds to support
a refusal of access to matter in
issue.
75.
I am satisfied that the applicants have been accorded procedural fairness in
that they were notified of the Council’s
fresh claim for exemption under
section 43(1) of the FOI Act when it arose, and were given an opportunity to
lodge submissions and/or
evidence in response to that
claim. Conclusion
76.
For the reasons explained above, I am satisfied that the matter in issue
qualifies for exemption from disclosure
under section 43 of the FOI Act, and
that the applicants therefore are not entitled to obtain access to it under the
FOI Act. Decision
77.
I decide to vary the decisions under review (being the decisions of Ms Dawn
Maddern of the Council dated 2 February
2006 and 18 April 2006), by finding that
the matter in issue (identified in paragraph 25 above) is exempt from disclosure
under section
43(1) of the FOI Act.
78.
I have made this decision as a delegate of the Information Commissioner, under
section 90 of the FOI
Act. ________________________R
MossAssistant Information
Commissioner Date: 8 February
2007
|
queensland | court_judgement | Queensland Information Commissioner 1993- | VHL and Department of Health [2009] QICmr 11 (20 February 2009) |
VHL and Department of Health [2009] QICmr 11 (20 February 2009)
Office of the Information Commissioner
(Qld) Decision and Reasons for
Decision
Application
Number:
210239
Applicant:
VHL
Respondent:
Department of Health
Decision
Date:
20 February 2009
Catchwords:
FREEDOM OF INFORMATION – section 42(1)(h) - matter relating to law
enforcement or public
safety - whether disclosure of an Application for a
Justices Examination Order issued under the Mental Health Act 2000 (Qld)
could reasonably be expected to prejudice system or procedure
FREEDOM OF INFORMATION – section 42(1)(ca) – matter relating
to law enforcement or public safety – whether disclosure of identifying
information about a Justice
of the Peace could reasonably be expected to result
in that person being subjected to a serious act of harassment or
intimidation
Contents
REASONS FOR
DECISION
Summary
1. In
setting aside the decision under review, I am satisfied that:
• parts of the Justice Examination
Order (JEO) and JEO application that could identify the Justice of the
Peace (JP) are exempt from disclosure under section 42(1)(ca) of the
Freedom of Information Act 1992 (FOI Act)
• the JEO application is exempt
from disclosure under section 42(1)(h) of the FOI Act.
Background
2. By
letter dated 20 February 2007, the applicant applied to the Department
for access to documents concerning the JEO
application and the order pursuant to
which she had been detained and examined (FOI Application).
3. On
21 March 2007, the Department decided that (Original
Decision):
• part of folio 12 qualified for
exemption from disclosure under section 44(1) of the FOI Act
• folio 15 is fully exempt from
disclosure under section 42(1)(ca) of the FOI Act
• folios 16 and 17 are fully exempt
from disclosure under sections 42(1)(b) and 42(1)(ca) of the FOI Act
• the remainder of the folios found
to respond to the FOI Application may be released to the
applicant.
4. By
letter dated 26 March 2007, the applicant applied for an internal
review of the Original Decision (Internal Review Application).
5. On
23 April 2007, Ms McKay, District Manager at the Department decided to affirm
the Original Decision (Internal Review Decision).
6. By
application received by the Office on 24 April 2007, the applicant sought
external review of the Internal Review
Decision (External Review
Application).
Decision under review
7.
The decision under review is the Internal Review Decision dated
23 April 2007.
Steps taken in the external review process
8. In
correspondence to the Office dated 25 April 2007, the applicant
withdrew her External Review Application.
9. By
letter dated 3 May 2007, the applicant applied to have the external
review reopened on the basis that she had withdrawn
her External Review
Application in the mistaken belief that her concerns could be addressed by the
Office of the Health Minister,
but now realised that it was necessary to pursue
external review under the FOI Act, in order to seek access to the relevant
documents.
10. By letters dated
8 June 2008, First Assistant Commissioner Rangihaeata informed the
applicant and the Department of her
decision to reopen the external review.
11. The Office undertook
third party consultation with the JP in telephone conversations on 12 July
2007 and 19 July 2007.
12. The Office undertook
third party consultation with the JEO applicant/s in telephone conversations on
12 July 2007 and
23 July 2007.
13. By letter dated 8
November 2007, Acting Information Commissioner Rangihaeata informed the
Department of her preliminary
view regarding specific parts of the documents in
issue.
14. By letter dated 4
December 2007, the Department confirmed that whilst it maintained the same
exemption claims that appeared
in its Original Decision, it now also sought to
claim that folios 16 and 17 were exempt under section 42(1)(h) of the FOI
Act.
15. By facsimile dated
18 February 2008, the JEO applicant confirmed the accuracy of the
information conveyed in their prior
telephone conversations with the
Office. The JEO applicant also advised that, with the exception of three
parts of folio 16 that
concerned the personal affairs of persons other than the
applicant, the JEO applicant did not object to the applicant being given
access
to the balance of folio 16.
16. By letter dated 3 March
2008, the JEO applicant provided information about the JP.
17. In telephone
conversations on 11 March 2008 (later confirmed in a facsimile to the
Office dated 25 March 2008), the JP
supplied additional information to the
Office relevant to the external review.
18.
In letters dated 20 May 2008, Acting Information Commissioner Rangihaeata
informed the applicant, the Department, the
JEO applicant and the JP of her
preliminary view regarding the exemption provisions sought to be relied upon by
the Department.
19. In response to the
preliminary view noted at paragraph 18 above:
• the applicant provided written
submissions to the Office on 22 May 2008 and 2 June 2008,
and verbal submissions on 27
May 2008.
• the JEO applicant/s, in their
letter dated 1 June 2008, informed Acting Information Commissioner Rangihaeata
that they
did not accept the preliminary view and now objected to disclosure of
folios 15-17. The JEO applicant/s stated that that they would
‘take no further part in this process nor submit to any further
arguments in regards this matter’.
• by letter dated 4 June 2008, the
JP provided further submissions for consideration in the external
review.
20. By email dated
3 June 2008, the Department requested copies of correspondence
received by the Office concerning the issues
raised in Acting Information
Commissioner Rangihaeata preliminary view of 20 May 2008, in order to
better inform its response to
that letter. Copies of the following[1] were supplied to the
Department:
• written correspondence received
from the JEO applicant dated 18 February 2008, 3 March 2008
and 1 June 2008
• written correspondence received
from the JP dated 25 March 2008.
21.
By letter dated 10 June 2008, First Assistant Commissioner Rangihaeata
informed the applicant that it was now her preliminary
view that the part of
folio 16 that set out the reasons for the JEO application qualified for
exemption under section 42(1)(h) of
the FOI Act.
22. By letter dated
10 June 2008, First Assistant Commissioner Rangihaeata informed the
Department that it was now her preliminary
view that, while the section of the
JEO application that set out the reasons for the JEO application qualified for
exemption from
disclosure under section 42(1)(h) of the FOI Act, the remainder
of the JEO application was not exempt from disclosure under sections
42(1)(b) or
42(1)(h) of the FOI Act.
23. By letter dated 12
June 2008, the applicant responded to the preliminary view at paragraph 21
above.
24. By letter dated 13 June
2008, First Assistant Commissioner Rangihaeata advised the JP that the reasons
for the JEO application
in folio 16 qualified for exemption under section
42(1)(h) of the FOI Act.
25. By letter dated 25 June
2008, the Department provided further submissions in response to both
preliminary views,[2] and claimed, in
addition to previous exemption claims, that matter in folios 15 and 17 which
identified the JP qualified for exemption
from disclosure under section 42(1)(h)
and section 42(1)(ca) of the FOI Act.
26. On the basis that parts
of its submission above had inadvertently been omitted, the Department provided
a further edited
copy of its submissions to the Office on 30 June 2008.
27.
On 11 July 2008 a segment involving the applicant was run by Channel 7 on the
Today Tonight programme. The Office wrote
to Channel 7 on 15 July 2008
requesting a copy of the segment and a transcript. The Office contacted Channel
7 in writing and by
telephone on several occasions during the period July to
October 2009 to obtain the documents requested. Channel 7 provided a copy
of the
segment and a transcript on 14 October 2008.
28. During the period July to
December 2008 the applicant provided further submissions and information by
telephone and written
correspondence.
29. OIC revised the
preliminary view based on submissions received from all parties and information
provided by Channel 7.
30. In a telephone
conversation on 9 January 2009, First Assistant Commissioner Rangihaeata
communicated to the applicant
the revised preliminary view.
31. By letter dated 3
February 2009, I confirmed the above preliminary view in writing by informing
the applicant that:
• the residential address and
telephone details of a departmental employee contained within folio 12 qualified
for exemption
under section 44(1) of the FOI Act[3]
• parts of folios 15 and 17
qualified for exemption under section 42(1)(ca) of the FOI Act
• folio 17 is exempt from
disclosure under section 42(1)(h) of the FOI Act.
32. By letter dated 4
February 2009, the applicant indicated that whilst she did not accept First
Assistant Commissioner Rangihaeata’s
preliminary view at paragraph 27
above, she had chosen not to spend any further time on this review.
Accordingly, I have proceeded
on that basis in progressing this external
review.
33. In making my decision in
this matter, I have taken the following into account:
• the applicant’s FOI
Application, Internal Review Application and External Review Application
• the Department’s Original
Decision and Internal Review Decision
• file notes of telephone
conversations between staff members of the Office and the JEO applicant
• written correspondence provided
to the Office by the JEO applicant
• written correspondence provided
to the Office by the Department throughout the course of the external review
• written correspondence provided
to the Office by the applicant throughout the course of the external review
• file notes of telephone
conversations between staff members of the Office and the applicant
• written correspondence provided
to the Office by, and on behalf of, the JP
• the Channel 7 Today Tonight
programme broadcast on Friday, 11 July 2008
• the JEO and JEO application
• relevant sections of the FOI Act
and Mental Health Act 2000 (Qld) (MHA 2000)
• explanatory notes to the
Mental Health Bill 2000 (Qld)
• previous decisions of the
Information Commissioner of Queensland and the decisions and case law from other
Australian
jurisdictions as identified in this decision
• factsheets published by the
Department on its website
• relevant provisions of the FOI
Act and other legislation, caselaw and decisions of this Office.
Matter in issue
34. The matter remaining in
issue in this review comprises the JEO[4] and JEO application[5]
(Matter in Issue).
Relevant legislation
35.
Under section 21 of the FOI Act, a person has a legally enforceable right to be
given access to documents of an agency
and official documents of a
Minister. This right of access is subject to other provisions of the FOI
Act, in particular, section
28 of the FOI Act, under which an agency can
refuse access to exempt matter or an exempt document.
36. As noted above, the
Department has refused the applicant access to the JEO and JEO application on
the basis of sections
42(1)(h) and 42(1)(ca) of the FOI Act. My findings
with respect to the application of these provisions to the Matter in Issue are
set out below.
Findings
Section 42(1)(h) of the FOI Act
37.
Section 42(1)(h) of the FOI Act provides:
42 Matters relating to law enforcement or
public safety
(1) Matter is
exempt matter if its disclosure could reasonably be expected to –
...
(h) prejudice a system or procedure for the
protection of persons, property or environment;
or
...
(2) Matter is not exempt under subsection
(1) if –
(a) it consists of-
(i) matter revealing that the scope of
a law enforcement investigation has exceeded the limits imposed by law;
or
(ii) matter containing a general outline of
the structure of a program adopted by an agency for dealing with a contravention
or possible contravention of the law; or
(iii) a report on the degree of success achieved
in a program adopted by an agency for dealing with a contravention or possible
contravention of the law; or
(iv) a report prepared in the course of a routine
law enforcement inspection or investigation by an agency whose functions include
that of enforcing the law (other than the criminal law or the law relating to
misconduct under the Crime and Misconduct Act 2001); or
(v) a report on a law enforcement
investigation that has already been disclosed to the person or body the subject
of the investigation;
and
(b) its disclosure would, on balance, be in
the public interest.
... The Department’s submissions
38. The Department submits
that disclosure of the JEO application could reasonably be expected to prejudice
the statutory
scheme for the protection of persons set out in Chapter 2, part 3,
division 2 of the MHA 2000.
The applicant’s submissions
39. The applicant’s
submissions are summarised at paragraph 54 of this decision.
Application of section 42(1)(h) of the FOI Act to the Matter in Issue
40. The Information
Commissioner has previously discussed the operation of section 42(1)(h) of the
FOI Act and stated that
for the provision to apply, the following criteria
must be satisfied:[6]
a) there exists an identifiable
system or procedure
b) it is a system or procedure for
the protection of persons, property or environment
c) disclosure of the information in
issue could reasonably be expected to prejudice that system or procedure.
a) Does an identifiable system or procedure exist?
41. Having regard to
reference material available on the Department’s website, I note the
objective of a JEO is to allow
a person in the community to request a non-urgent
(and involuntary) mental health assessment for a person who they believe may be
experiencing mental health problems.[7]
42. The procedure is set out
under Chapter 2, Part 3, Division 2 of the MHA 2000 as
follows:
• a person may apply to a
Magistrate or Justice of the Peace for a JEO for another
person[8]
• the Magistrate or Justice of the
Peace may issue a JEO if he/she reasonably believes that the relevant person has
a
mental illness and should be examined[9]
• once a JEO has been issued
and sent to an authorised mental health service, a doctor or authorised mental
health practitioner
may conduct the examination[10]
• the doctor or authorised mental
health practitioner may make a recommendation for assessment requiring an
involuntary assessment of that person at an authorised mental health
service[11]
• if the doctor or authorised
mental health practitioner does not make a recommendation for assessment
they must explain their reasons for the Internal Review
Decision.[12]
43. Having regard to the
above, I am satisfied that the MHA 2000 establishes ‘a system or
procedure’ for the purpose of section 42(1)(h) of the FOI
Act.
b) Is the procedure for the protection of persons, property or environment?
44. Prior to the enactment of
the MHA 2000, the Information Commissioner considered in ROSK and
Brisbane North Regional Health Authority; Others (Third Parties)[13] whether provisions contained within
its predecessor, the Mental Health Act 1974 (Qld)
established a procedure or system for the protection of persons, property or
environment under section 42(1)(h) of the FOI
Act.
45. The relevant provisions
of the Mental Health Act 1974 (Qld) enabled a warrant to be issued for
the removal (by police and a medical officer) of a person (suspected as being
mentally ill
and a danger) to a place of safety.
46. In ROSK, the
Information Commissioner found that a system or procedure was
established:
• whereby members of the community
who held a genuine belief that a person was mentally ill, and a danger to
himself/herself
or to others, could initiate action to protect that person or
others from the apprehended danger
• which answered the description of
‘a system or procedure for the protection of persons’ within
the meaning of section 42(1)(h) of the FOI Act.
47. In TQN and Royal
Brisbane Hospital Health Service District, [14] it was
confirmed that the MHA 2000:
• replaces the Mental Health Act
1974 (Qld)
• establishes a procedure (enabling
application for and issuance of a JEO) which is similar to the system set up by
the
Mental Health Act 1974 (Qld) for the protection of persons.
48. In relation to treatment
which may occur as a consequence of a JEO, the explanatory note to the Mental
Health Bill 2000 (Qld) states:[15]
The scheme for involuntary treatment is necessary to protect the health
and safety of persons with a mental illness and to ensure
the safety of the
community. A significant feature of some mental illnesses is the person’s
inability to recognise the presence
of illness and the need for treatment.
Without treatment, the person is likely to remain unwell for an extended period
to the detriment
of their own quality of life, health and safety and in a small
number of cases, the safety of others.
49. In view of the discussion
above, I am satisfied that the procedures set out in Chapter 2, Part 3, Division
2 of the MHA 2000 establish ‘a system or procedure for the
protection of persons’ described in section 42(1)(h) of the FOI
Act.
c) Could disclosure of the JEO Application be reasonably expected to prejudice
that system or procedure?
50. Requirement (c) asks
whether disclosing the document/s in issue could reasonably be expected to
prejudice the system or
procedure.
51. In Attorney-General v
Cockcroft,[16] which dealt with
the interpretation of the phrase ‘could reasonably be expected to
prejudice the future supply of information’
in the context of the section
43(1)(c)(ii) (business affairs) exemption contained in the Commonwealth FOI Act,
Bowen CJ and Beaumont
J said:[17]
In our opinion, in the present context, the words "could reasonably be
expected to prejudice the future supply of information" were
intended to receive
their ordinary meaning. That is to say, they require a judgment to be made by
the decision-maker as to whether
it is reasonable, as distinct from something
that is irrational, absurd or ridiculous, to expect that those who would
otherwise supply
information of the prescribed kind to the Commonwealth or any
agency would decline to do so if the document in question were disclosed
under
the Act ... To construe s.43(1)(c)(ii) as depending in its application upon the
occurrence of certain events in terms of any
specific degree of likelihood or
probability is, in our view, to place an unwarranted gloss upon the relatively
plain words of the
Act. It is preferable to confine the inquiry to whether the
expectation claimed was reasonably based ...
52. The Justices
interpretation of the phrase ‘could reasonably be expected to’ and
the proposed line of inquiry,
while made in the context of the business affairs
exemption contained in Commonwealth legislation is relevant in the context of
the
exemption contained in section 42(1)(h) of the FOI Act.
53. Accordingly, to determine
whether the JEO application is exempt from disclosure under section 42(1)(h) of
the FOI Act,
I must examine whether it is reasonable as distinct from something
that is irrational, absurd or ridiculous to expect that disclosing
the JEO
application will ‘prejudice the system or procedure’
established by Chapter 2, Part 3, Division 2 of the MHA
2000.
The applicant’s submissions
54.
During the course of the review, the applicant made a number of oral and written
submissions to the Office. Those submissions
are summarised as
follows:
• she is concerned that her
examination under the MHA 2000 was conducted without there being a proper
basis for the allegations about her. She considers that she has been
unjustly made the
subject of a JEO, evidenced by the fact that the mental health
examination under that process did not lead to any further action.
• she considers that the person/s
who initiated the JEO was/were acting adversely to her interests and perhaps
intended
to benefit themselves. She believes those person/s may be
responsible for acts of vandalism at her home, and/or are seeking to cause
her
to leave her home.
• unless she knows the content of
the JEO application, she is unable to address any of the issues raised in it,
and remains
vulnerable to further attempts to have her involuntarily subjected
to assessments under the MHA 2000.
• the experience of being subject
to the JEO has caused her great distress, both during the process of being
involuntarily
detained, and subsequently, as she attempted to discover the basis
of the application.
• although she believes her actions
at one time may have been regarded as a sign of mental unwellness (and may be
one
ground for the JEO application), she considers that her behaviour at that
time did not affect other persons and her symptoms resolved
within a short
time.
• she believes she knows the
identity of the JEO applicant/s and considers that a number of people may be
involved.
• she considers the JEO process is
flawed because it is based on lies.
55. The applicant’s
submissions are in the nature of ‘public interest’ submissions, in
that they identify
reasons why it is in the public interest that she be given
access to the relevant documents. However, there is no public interest
test incorporated into section 42(1)(h) of the FOI Act unless one of the
exceptions referred to in section 42(2) applies.
56. Having examined the JEO
application, I am satisfied that there is nothing in the circumstances of this
case, nor any other
material before me, that would indicate that section 42(2)
of the FOI Act applies. Section 42(2) of the FOI Act is set out at
paragraph
37 of this decision.
57. Accordingly, although the
applicant raises issues which are clearly of genuine concern to her, they are
not matters which
I can take into account in reaching a decision in this
matter. Similarly, although the applicant has suspicions as to the
identity
of the JEO applicant/s, this Office is unable to confirm or deny
suspicions regarding the content of the Matter in Issue in the review.[18]
58. In making my decision in
this matter I can only consider whether the exemption provisions claimed by the
Department under
the FOI Act have been correctly applied to the specific
information to which access has been denied. To that extent I have
carefully
considered all the information provided to this Office by each of the
parties in this review.
59. In relation to the
applicant’s concerns that the system/procedure being used for an improper
purpose and leading
to unwarranted involuntary assessment, I note that in
passing the MHA 2000 the Parliament took care to include a number of
provisions aimed at protecting people against the inappropriate application of
the
involuntary processes. Those safeguards
include:[19]
• The person making a request
for an assessment (e.g. a community member) must have observed the person within
the last 3 days before
making a request for involuntary assessment so the
information is accurate and timely.
• Before the person can be
detained involuntarily for assessment, a recommendation for assessment must also
be made by a doctor or other
specially appointed experienced mental health
professional (an “authorised mental health practitioner”), who must
be
satisfied that the person meets strict criteria.
• Strict penalties are provided
for in the [MHA 2000] against a person making documents based on information
that the person knows to
be untrue. The [MHA 2000] also makes it easier to
commence a prosecution under this provision.
• There is now a two-step
authorisation process before involuntary treatment is authorised. Before a
person can be detained for treatment,
specific criteria must be met to authorise
an assessment of the person. Once the assessment has occurred, different
criteria must
be met before involuntary treatment is authorised. The criteria
for involuntary assessment and treatment are consistent with the
UN Principles
and the national model mental health legislation.
• Stricter requirements for
seclusion and mechanical restraint are proposed in the [MHA 2000] to replace
administrative guidelines,
with penalties imposed for contravening the
requirements.
• The [MHA 2000] proposes that
involuntary treatment must, at an early stage, be authorised by a psychiatrist
and not simply any medical
practitioner. Orders made by an authorised doctor who
is not a psychiatrist must be confirmed by a psychiatrist within 3 days.
60. A further safeguard is
provided by section 522 of the MHA 2000 which makes it an offence to
knowingly provide ‘false or misleading’ information to the
Department. That section provides
as follows:
522 False or misleading documents
(1) A person
must not state anything in any document required or permitted to be made under
this Act the person knows is
false or misleading in a material
particular.
Maximum penalty—40 penalty units.
(2) It is
enough for a complaint against a person for an offence against subsection (1) to
state the statement made was,
without specifying which, ‘false or
misleading’.
61. The inclusion of the
above provisions means that Parliament recognised the risk that some people
would unnecessarily be
subject to the system. However, Parliament also
considered the benefit that the system would bring to the community together
with
the safeguards outweighed the detriment experienced by those people
unnecessarily subject to it.
62. Applying the principles
established in ROSK, Ferrier and Cockcroft, I consider that
disclosure of the JEO application could reasonably be expected to disclose
information provided by the JEO applicant/s.
I consider that disclosure of
information supplied by persons who provide information in support of an
application under the MHA 2000 could reasonably be expected to result in
other potential informants being less likely to provide relevant information,
thereby prejudicing
the system or procedure for the protection of persons which
is established by the provisions of the MHA 2000.
63. Accordingly, for the
reasons discussed above, I am satisfied that the JEO application qualifies for
exemption from disclosure
under section 42(1)(h) of the
FOI Act.
Section 42(1)(ca) of the FOI Act
64. The Department submits
that identifying information about the JP qualifies for exemption under section
42(1)(ca) of the
FOI Act. The JEO applicant and JP have also expressed
similar concerns regarding the disclosure of the JP’s
identity.
65. Paragraph (ca) of
subsection 42(1) of the FOI Act provides:[20]
42
Matter relating to law enforcement or public safety
(1) Matter is
exempt if its disclosure could reasonably be expected to—
...
(ca) result in a person being subjected to a serious act
of harassment or intimidation.
Legislative history of paragraph 42(1)(ca) of the FOI Act
66.
Paragraph 42(1)(ca) of the FOI Act is a relatively new exemption provision
inserted into the FOI Act by the Freedom of Information and Other Legislation
Amendment Act 2005 (Qld) with commencement on 31 May 2005. There is no
equivalent provision in other Australian jurisdictions, the United Kingdom or
Canada, interpretation of which might provide guidance regarding the
provision.
67. Paragraph 42(1)(ca) of
the FOI Act was enacted in response to Report No 32 of the Legal, Constitutional
and Administrative
Review Committee (LCARC Report).[21]
68. The LCARC Report referred
to paragraph 42(1)(c) of the FOI Act and noted that:[22]
In some circumstances the disclosure of matter could risk harm to an
individual which falls short of endangering their life or physical
safety. For
example, the disclosure of information could cause a person to apprehend
harassment or intimidation. Harassment does
not satisfy s42(1)(c) unless there
is evidence of a risk that disclosure of the matter in issue would endanger a
person’s life
or physical safety. (Re Murphy and Queensland Treasury
[1995] QICmr 23; (1995) 2 QAR 744 at paras 53, 90-91.) The QIC submitted that, for these reasons,
the provision should be extended to also exempt matter which could
reasonably be
expected to subject a person to acts of serious
harassment.
69. The LCARC Report also
stated:[23]
The committee agrees that potential harm to an individual, apart from the
risk of endangering a person’s life or physical safety,
justifies the
non-disclosure of material under the Act. In particular, people should not be
deterred from providing information to
investigative authorities, and
professionals responsible for preparing reports about individuals should not be
deterred from providing
full and frank reports. In this regard, s 42(1)(c)
should be extended to situations where disclosure of information could be
reasonably
expected to:
• subject a person
to serious acts of harassment; or
• substantially
prejudice the mental well-being of a person.
Each of these components is necessary. The first relates to likely
possible acts against the person, whereas the second is focussed
on any
reasonable apprehension of harm which a person may have. Care should be taken in
drafting the new provision to ensure that
it is no broader than is necessary to
protect the well-being of third parties who might be affected.
The definition of ‘detriment’ for the purposes of the Criminal
Code, chapter 33A (Unlawful stalking) appears to provide
an appropriate
precedent for an amended provision.
70. The LCARC Report
contained the following recommendation:[24]
In relation to the exemptions contained in s 42 (Matter relating to law
enforcement or public safety), s 42(1)(c) should be extended
to also exempt
matter if its disclosure could reasonably be expected to:
• subject a person
to serious acts of harassment; or
• substantially
prejudice the mental well-being of a person.
The definition of ‘detriment’ for the purposes of the Criminal
Code, chapter 33A (Unlawful stalking) appears to provide
an appropriate
precedent for an amended provision.
71.
In the explanatory notes to the Freedom of Information and Other Legislation
Amendment Bill, paragraph 42(1)(ca) of the
FOI Act was described as
follows:[25]
Clause 24 amends section 42 to create a new exemption to prevent
disclosure where it is reasonably expected that such disclosure could
subject a
person to serious acts of harassment or intimidation. Such harassment or
intimidation would be a consequence of, for example,
the applicant having
knowledge of the content of the information or of the provider of the
information. For example, potential disclosure
of information provided by a
victim about the offence, upon the application of an offender, could constitute
harassment or intimidation.
Harassment or intimidation includes, for example,
the threat of violence.
This implements LCARC finding 177.
Interpretation of paragraph 42(1)(ca) of the FOI Act
72. Section 4 of the FOI Act
relevantly provides:
4
Object of Act and its achievement
(1) The object
of this Act is to extend as far as possible the right of the community to have
access to information held
by Queensland government.
(2) Parliament
recognises that, in a free and democratic
society—
(a) the
public interest is served by promoting open discussion of public affairs and
enhancing government’s accountability;
and
(b) the
community should be kept informed of government’s operations, including,
in particular, the rules and practices
followed by government in its dealings
with members of the community; and
...
(3) Parliament
also recognises there are competing interests in that the disclosure of
particular information could be contrary
to the public interest because its
disclosure in some instances would have a prejudicial effect
on—
(a)
essential public interests; or
(b) the
private or business affairs of members of the community about whom information
is collected and held by government.
(4) This Act
is intended to strike a balance between those competing interests.
(5) The object
of this Act is achieved by—
(a)
giving members of the community a right of access to information held by
government to the greatest extent possible
with limited exceptions for the
purpose of preventing a prejudicial effect on the public interest of a kind
mentioned in subsection
(3); and
...
(6) It is
Parliament’s intention that this Act be interpreted to further the object
stated in subsection (1) in the
context of the matters stated in subsections (2)
to (5).
73. Consistent with
Parliament’s intention expressed in subsection 4(6) of the FOI Act,
paragraph 42(1)(ca) of the FOI
Act must be interpreted in a way that best
achieves the purpose of the FOI Act[26] as:
the primary objective of statutory construction is to construe the
relevant provision so that it is consistent with the language and
purpose of all
the provisions of the statute.[27]
74. Subsection 4(1) of the
FOI Act recognises that the community has a right to access information held by
the Queensland
government. However, subsections 4(2)-(5) of the FOI Act
provide that the right of access to documents under the FOI Act is subject
to a
balancing of competing public interests. Accordingly, paragraph 42(1)(ca)
should be interpreted in a way that extends as far
as possible the right of the
community to access information held by agencies whilst recognising that
paragraph 42(1)(ca) is one
of the limited exceptions that may apply because
disclosure ‘could be contrary to the public interest’ as it
‘would have a prejudicial effect’ on ‘essential
public interests’ or on ‘the private or business affairs of
members of the community about whom information is collected and held by
government.’
75. Accordingly, in
interpreting paragraph 42(1)(ca) of the FOI Act it is necessary to consider any
‘essential public interests’ and ‘private or
business interests’ that, absent the provision, may be prejudiced by
disclosure of documents through the right of access under section 21 of the
FOI
Act.
76. The LCARC Report
specifically addresses the public interest in ensuring that persons are not
deterred from providing information
to investigative authorities and similarly,
that professionals are not deterred from providing full and frank reports to
agencies
through concern that disclosure could lead to serious harassment or
intimidation.[28] The
Committee agreed that potential harm to an individual justifies
non-disclosure.
77. In addition to the public
interests identified by LCARC, paragraph 42(1)(ca) also works to protect the
public interest
in disclosure not having a prejudicial effect on the private or
business affairs or individuals.
78. Though the term
‘personal affairs’ appears throughout the FOI Act, the term
‘private affairs’ does not otherwise appear.
79. In ABC v Lenah Game
Meats Pty Ltd[29] Gleeson CJ noted
that:
There is no bright line which can be drawn between what is private and
what is not. Use of the term “public” is often
a convenient method
of contrast, but there is a large area in between what is necessarily public and
what is necessarily private.
An activity is not private simply because it is not
done in public. It does not suffice to make an act private that, because it
occurs
on private property, it has such measure of protection from the public
gaze as the characteristics of the property, the nature of
the activity, the
locality, and the disposition of the property owner combine to afford. Certain
kinds of information about a person,
such as information relating to health,
personal relationships, or finances, may be easy to identify as private; as may
certain kinds
of activity, which a reasonable person, applying contemporary
standards of morals and behaviour, would understand to be meant to
be
unobserved. The requirement that disclosure or observation of information or
conduct would be highly offensive to a reasonable
person of ordinary
sensibilities is in many circumstances a useful practical test of what is
private.
80. In accordance with
subsection 4(6) of the FOI Act, paragraph 42(1)(ca) of the FOI Act may be
interpreted as a limited
exception to the right of access which allows
non-disclosure of information or professional advice provided to an agency where
that
disclosure could reasonably be expected to result in serious harassment or
intimidation of person/s. Such disclosure would therefore
be contrary to
the public interest in the supply of this information as well as the public
interest in protecting such individuals
from conduct that would prejudice their
private affairs.
‘Could reasonably be expected to’
81. As set out above in
relation to section 42(1)(h), Cockcroft dealt with the interpretation of
the phrase ‘could reasonably be expected to prejudice the future supply of
information’
in the context of the paragraph 43(1)(c)(ii) (business
affairs) exemption contained in the Commonwealth FOI Act.
82. Applying the
Justices’ interpretation to the phrase ‘could reasonably be expected
to’ in this context
requires a consideration of whether the expectation
that disclosure of the Information in issue will result in a serious act of
harassment
or intimidation is reasonably based.
83. Shepherd J also noted in
Cockcroft that it is not necessary for a decision-maker ‘to be
satisfied upon a balance of probabilities’ that disclosing the document
will produce the anticipated prejudice.[30]
84. Depending on the
circumstances of the particular review, a range of factors may be relevant in
determining whether an
act could reasonably be expected to occur. These
factors may include, but are not limited to:
• past conduct or a pattern of
previous conduct
• stated intentions concerning
future conduct including threats
• the nature of the relevant
information in issue
• the nature of the relationship
between the parties
• relevant contextual and/or
cultural factors.
‘Harassment’
85. The plain meaning of the
word ‘harass’, as defined in the Macquarie Dictionary[31]
includes:
to trouble by repeated attacks, ... to disturb persistently; torment
‘Intimidation’
86. The plain meaning of the
word ‘intimidate’,[32]
includes:
to make timid, or inspire with fear; overawe; cow ... to force into or
deter from some action by inducing fear
‘A serious act of harassment or intimidation’
87. Paragraph 42(1)(ca)
requires that an anticipated act of harassment or intimidation be
serious.
88. The plain meaning of the
word ‘serious’,[33]
includes:
giving cause for apprehension; critical
89. and in the New Shorter
Oxford Dictionary (4th Edition) includes:
having (potentially) important, esp. undesired, consequences; giving cause
for concern.
How relevant information is considered
90. The question of whether
disclosure disclosing relevant parts of the JEO could reasonably be expected to
result in a serious
act of harassment or intimidation should be considered
objectively, in light of all relevant information, including information from
and/or about the claimed source of harassment or intimidation.[34]
91. Paragraph 42(1)(ca) of
the FOI Act does not require a causal link to be drawn between a specific person
and the conduct;
nor does it require the conduct to be that of the
applicant.
Information contained on Channel 7 programme
92. I obtained a copy of a
Channel 7 Today Tonight programme broadcast on Friday, 11 July 2008.
During the programme the
applicant was interviewed about the JEO subject of this
review. In the interview, the applicant made a number of statements
regarding
events that occurred, her distress, how she felt about her treatment
by various people involved, and her opinion regarding the need
to change the JEO
process and relevant legislation.
93. The applicant also made
statements regarding what she would do if she obtained the Matter in Issue
through this process
under the FOI Act:
...
Today Tonight reporter: What will you do when you
find out who did this to you?
Applicant: I will hunt them down. I don’t
care how long it takes. I don’t care how much it costs me.
...
94. Such statements are
relevant to my consideration, for the purposes of section 42(1)(ca) of the FOI
Act, of what could
reasonably be expected to result if the relevant parts of the
JEO were disclosed to the applicant. “Hunt” is a word
that
used by itself can mean ‘endeavour to find.’[35] Alternatively it has also been
defined to mean ‘to chase (game or other wild animals) for the purpose of
catching or killing.’[36]
There is no alternative meaning when the word is used in conjunction with the
word ‘down’ as in ‘hunt them down’.
“Hunt
down” means to ‘pursue with intent to kill or capture.’[37]
95. In communications with
the Office, the applicant has expressed concern that my reliance on the
definition of “hunt
down” suggests that she is capable of killing
another person.
96. The precise definition of
the above words is not determinative and should not be interpreted to mean that
the applicant
necessarily has an intention to kill the person/s responsible for
the JEO. The applicant states that during the television interview
when
she used the words “Hunt them down” she meant ‘endeavour
to find’. Even if this is her only intention,
I consider the use of
such words to comprise a threat which in an ordinary and reasonably person will
give rise to consternation
or fear of harassment. Furthermore, in
correspondence and telephone calls to this Office the applicant has further
advised that
she holds the Department, the JEO applicant/s and the JP[38] responsible for the
JEO.
97. On the basis of the
applicant’s public and explicit statement of her intentions, I am
satisfied that an expectation
that the disclosure of this information to the
applicant might result in a serious act of harassment or intimidation is a
reasonable
expectation.
98. The applicant has
expressed an intention to pursue and harass a person who is performing an
official and public role,
which carries a likely consequence of deterring that
person or other persons from performing this or similar roles.
Interference
with the private affairs of a public official by approaching them
as they carry out their private lives or deterring a public official
from
performing their role are precisely the essential public and private interests
the Parliament sought to protect in passing section
42(1)(ca) of the FOI
Act. Accordingly, the identity of or any information that might lead the
applicant to identify the person/s
involved is exempt matter under section
42(1)(ca) of the FOI Act. The use of such information obtained under FOI
to further the
applicant’s expressed intention would amount to an abuse of
her access rights under the FOI Act.
Information provided by the Department, JP and JEO applicant/s
99. While I consider the
applicant’s public statement about her intentions is alone sufficient to
make out the claim
for exemption under section 42(1)(ca) of the FOI Act, I have
also had regard to additional evidence provided to me during the course
of this
review to which I have not referred in this decision.
100. I have given careful consideration to affording
the applicant fairness[39] by
providing adequate detail of my reasoning in making my decision. However,
in the current circumstances I am constrained from
providing further information
about my reasoning because to do so would, in my view, risk bringing about the
consequences that section
42(1)(ca) is intended to protect against. The
evidence and reasons by their nature would tend to identify the people involved
and
therefore the information that is claimed to be exempt.
101. To the greatest extent possible, I have
summarised the information where to do so would not identify people whose
identities
are contained within the Matter in Issue in this review.
However, the majority of the submissions relate to matters specifically
about
the applicant and/or the people and is conveyed in such a manner that to
disclose the submission would reveal the identity
of the people whose identities
are in issue. I have therefore considered such parts of the submissions, and my
related specific conclusions,
are necessarily confidential.
102. To the extent that those submissions may be
summarised without revealing confidential information, I have included them
below.
103. A summary of the Department’s submissions
include:
• that in the circumstances of this
case, the Department ‘consider it reasonably likely that [the
applicant’s]
displeasure would be directed at the JP’
• the particular circumstances of
the people involved and concerns raised are important to the consideration of
this matter
• that while the applicant has
stated that she ‘will not rest until the persons involved in the issuance
of the
JEO are held to account for their actions’, the applicant appears
to have exhausted the avenues of pursuing lawful remedies
short of initiating
legal action.
• that the applicant’s
previous conduct towards specific people meets the necessary standard required
for section
42(1)(ca) of the FOI Act (i.e. repeated or persistent conduct
which has disturbed other people to a substantial degree) and that,
based on
this, her future conduct (should the information be disclosed to her) can
reasonably be expected to subject the JP to a
serious act of harassment and/or
intimidation in the specific context of section 42(1)(ca) of the FOI Act.
104. The Department also submits that it is not
necessary to establish that physical violence would result for the purposes of
section 42(1)(ca) of the FOI Act. I agree that such past or future action
is not required to establish that section 42(1)(ca) of
the FOI Act
applies.
105. The JEO applicant/s raised specific concerns for
the safety and welfare of the JP in the event that person’s identity
was
disclosed to the applicant. Such concerns were made with reference to
information that would reveal the identity of the JEO
applicant/s and/or the JP
and I therefore consider those submissions to be confidential.
106. The JP made specific submissions about their
personal concerns if their identity were to be disclosed to the applicant.
The JP noted that the applicant had made numerous letters to the editor of
newspapers about a range of matters including the JEO
and had received
significant media coverage. The JP submitted that given the
applicant’s displeasure regarding the JEO, he/she
considered that the
applicant would be likely to air her grievances about the people involved
publicly and that public statements
made by the applicant or others may
represent him/her poorly, even where he/she considers they have conducted
themselves appropriately
and lawfully. Similar submissions were made by
Department.
107. The JP also submitted that it was relevant to
his/her concerns about the applicant’s actions after any disclosure
that the JEO applicant/s had been so concerned about the applicant’s
behaviour that they had sought a JEO. I note in this
respect that the
applicant has previously advised me that, following the examination she was not
detained for treatment.
The applicant’s submissions
108. The applicant provided submissions and
information through correspondence and telephone conversations during the course
of
this review.
109. For the most part, the applicant’s
submissions are in support of her need to know the identities of the people
involved
in the issue of the JEO. I acknowledge the applicant has strong
concerns and issues she wishes to pursue in relation to the JEO,
and has
expressed concerns about being subject to harassment and intimidation. However,
as set out above in relation to the application
of section 42(1)(h) of the FOI
Act, the legislation does not allow public interest arguments regarding the
applicant’s need
to know to such information to be taken into
account.
Findings
110. I have carefully considered the submissions made
by all parties to this review and information I have obtained from Channel
7. On the information currently available to me, I am satisfied that:
• the JP is a person whom the
applicant considers is responsible for the JEO being made concerning her.
• the applicant appeared on a
national television programme in which she and others were interviewed about her
experience
regarding the JEO, and in response to a question ‘what will
you do when you find out who did this to you’ she stated ‘I
will hunt them down. I don’t care how long it takes. I don’t care
how much it costs me.’
• the Department, the JEO
applicant/s and the JP hold strong concerns, based on specific incidents or
instances of the
applicant’s and others conduct, about the likelihood of
(adverse behaviour) in the event the information regarding the identity
of the
JP was disclosed to the applicant.
111. I do not accept a particular confidential
submission by the Department and another party regarding events they say
occurred
and the significance of such events. To the extent that the
factual accounts differ, I prefer that of the other person directly
involved. I am not satisfied that the preferred facts establish a previous
instance of conduct that is persuasive for my consideration
of the application
of section 42(1)(ca) of the FOI Act. This means that I do not agree with
the specific argument put to me that
the applicant’s previous
conduct shows that she has been intimidating or harassing a specific person and
therefore that particular
submission is not adversely affecting the
applicant’s case.
Application of the law
112.
In determining whether this claim for exemption is made out, it is unnecessary
for me to make a finding with respect to each
and every past or future act of
alleged harassment and intimidation. It is necessary for me to consider
whether the expectation
of serious harassment and intimidation on the disclosure
of the identity of the JP is reasonably based.
Is the expectation of serious harassment and intimidation on the disclosure of
the identity of the JP reasonably based?
113. On the information currently available to me, I
am satisfied that disclosure of the identity of the JP in this review could
reasonably be expected to result in the applicant:
• pursuing the people involved in
the JEO process, particularly the JP who issued the JEO
• being very persistent in their
pursuit of that person
• confronting that person about
their concerns about the consequences of the JEO and opinions regarding the
process and
their conduct, in a manner that may be regarded as an
‘attack’ on that person
• publicising such concerns and
opinions about the person and their purported conduct
• repeatedly taking such
actions
• conducting themselves in a way
that attacks, disturbs or torments the JP and causes concern or apprehension or
has undesired
consequences.
114. In all the circumstances, I consider that
disclosure of the identity of the JP in this review could reasonably be expected
to result in the JP being subjected to a serious act of harassment or
intimidation.
115. I am therefore satisfied that:
• disclosure of the identity of the
JP could reasonably be expected to result in a person being subjected to a
serious
act of harassment or intimidation
• the identity of the JP as it
appears in the JEO and JEO application is exempt from disclosure under paragraph
42(1)(ca)
of the FOI Act.
DECISION
116. For the reasons stated above, I set aside the
decision under review by finding that:
• parts of the JEO and JEO
application that could identify the JP are exempt from disclosure under
paragraph 42(1)(ca)
of the FOI Act.
• the JEO application is exempt
from disclosure under section 42(1)(h) of the FOI Act
________________________
Julie Kinross
Acting Information Commissioner
Date: 20 February 2009
[1] With the approval of the JEO
applicant and JP.[2] Including the preliminary views dated 20 May 2008 and 10 June
2008.[3] I
confirmed that the applicant had previously advised a staff member of the Office
that she did not seek this information and therefore
this folio would no longer
be considered in the external review.[4] Folio 15.[5] Folios 16 and
17.[6]
Ferrier and Queensland Police Service [1996] QICmr 16; (1996) 3 QAR 350 at paragraphs
27-36.[7]
See the Department factsheet entitled ‘Information about Justice
Examination Orders’ available on the Department’s
website:
www.health.qld.gov.au/mha2000/documents/jeo_brochure.pdf.[8] Section 25 of the MHA
2000.[9]
Section 28 of the MHA 2000.[10] Sections 29 and 30 of the MHA
2000.[11] Section 30 of the MHA 2000.[12] Section 32 of the MHA
2000.[13] [1996] QICmr 19; (1996) 3 QAR 393
(ROSK).[14] (Unreported, Queensland Information Commissioner, 31 October
2002).[15]
Explanatory Note, Mental Health Bill 2000 (Qld) at page
14.[16]
[1986] FCA 35; (1986) 64 ALR 97(Cockcroft). [17] Cockcroft, at 106.
[18] See
section 87 of the FOI Act.[19] Explanatory Note, Mental
Health Bill 2000 (Qld) at page 6. See also ROSK at paragraph 24 where
the Information Commissioner stated that in respect of the Mental Health Act
1974 (Qld) ‘...elaborate safeguards, checks and balances have been
built into the statutory scheme.’[20] Subsection 42(1) of the FOI Act
is subject to subsection 42(2) which provides that matter is not exempt under
subsection (1) if it
consists of matter described in paragraph (a) of subsection
(2), unless its disclosure would, on balance, be in the public interest.
I
am satisfied that the relevant information is not of a type described in
paragraph (a) and therefore subsection (2) of section
42 does not apply in this
matter. [21] Legal, Constitutional and Administrative Review Committee,
Freedom of Information in Queensland, December 2001, Report No 32.
[22] At
page 203.[23] At page 204. [24] Committee finding 177 –
recommendation, at page 204. [25] At page 14.
[26]
Subsection 14A(1) of the AI Act. [27] Project Blue Sky v Australian
Broadcasting Authority (1998) 194 CLR 355 at 381.
[28]
Paragraph 42(1)(ca) of the FOI Act does not contain a public interest test,
however, the public interest considerations discussed
above are relevant to how
paragraph 42(1)(ca) of the FOI Act is interpreted.
[29]
(2001) 208 CLR 199 at 226.[30] Cockcroft, at
106.[31]
Macquarie Dictionary Online (Fourth Edition) www.macquariedictionary.com.au.[32] As above.
[33] As
above. [34] Price and Queensland Police Service (Unreported,
Queensland Information Commissioner, 29 June 2007) at paragraph 63; see also the
comments of the Information Commissioner
at paragraph 47 of Murphy and
Queensland Treasury [1995] QICmr 23; (1995) 2 QAR 744 regarding section 42(1)(c) of the FOI
Act.[35]
Macquarie Dictionary, Macquarie University, 2nd
edition, 1992[36] As above[37] As
above[38]
The applicant has raised concerns regarding the appropriateness of the behaviour
of the JP in relation to the JEO, as she believes
the JP did not hold
appropriate qualifications to exercise the discretion to issue the
JEO[39]
Section 83(3)(a) of the FOI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | R25 and Queensland Police Service [2020] QICmr 50 (15 September 2020) |
R25 and Queensland Police Service [2020] QICmr 50 (15 September 2020)
Last Updated: 26 October 2020
Decision and Reasons for Decision
Citation:
R25 and Queensland Police Service [2020] QICmr 50 (15 September
2020)
Application Number:
314850
Applicant:
R25
Respondent:
Queensland Police Service
Decision Date:
15 September 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION -
REFUSAL OF ACCESS - DOCUMENT NONEXISTENT OR UNLOCATABLE - applicant contends
additional
documents exist - whether the information sought is nonexistent or
unlocatable - section 67(1) of the Information Privacy Act 2009
(Qld) and sections 47(3)(e) and 52(1) of the Right to Information Act
2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - IRRELEVANT INFORMATION -
whether deleted information is irrelevant to the terms of the
access application
- section 88 of the Information Privacy Act
2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - EXEMPT
INFORMATION - LAW ENFORCEMENT OR PUBLIC SAFETY INFORMATION
- documents relating
to the applicant and her interactions with the agency - whether disclosure could
reasonably be expected to prejudice
a system or procedure for the protection of
persons, property or the environment - sections 47(3)(a), 48 and schedule 3,
section 10(1)(i) of the Right to
Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - EXEMPT
INFORMATION - LAW ENFORCEMENT OR PUBLIC SAFETY INFORMATION
- documents relating
to the applicant and her interactions with the agency - whether information was
obtained, used or prepared
for an investigation by a prescribed crime body or
another agency in performance of the prescribed functions of the prescribed
crime
body - sections 47(3)(a), 48 and schedule 3, section 10(4) of
the Right to Information Act
2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Queensland
Police Service (QPS) under the Information Privacy Act 2009 (Qld)
(IP Act) for access, for the period from 1 July 2011 to 1 July 2013, to
information as follows:
Part 1:
All emails
and documents about [the applicant] to/from QPS to the Minister of Police
Any documents
including emails to/from MinisterialLiaison.Officer@police.qld.gov.au
regarding [the applicant].
All documents
and emails about [the applicant] generated or received or sent by police
media officers
All emails
and documents organised for, searched for and related to [the
applicant’s] Blue Card application
Part 2:
All security
related warnings sent by QPS to staff of courts, judicial officers, Premier,
hospitals, Gold Coast City Council such
as workplace health and safety warnings,
risk, notices, or to alert that [the applicant is] a danger to
others
Part 3:
[The
applicant’s] ESC file - All documents and communications about [the
applicant and her] complaints made to Ethical Standards, including all emails
and other documents relating to [her] ESC complaints, investigations of
those complaints and related
QPS
located 30 pages and decided[2]
to:
in relation to
Part 1, refuse access to documents on the ground documents do not exist
in relation to
Part 2, refuse access to 1 page on the ground it is exempt from disclosure on
the basis disclosure could reasonably
be expected to prejudice a system or
procedure for the protection of persons, property or the environment
in relation to
Part 3:
delete
information from 3 pages on the ground it is irrelevant to the application;
and
refuse
access to parts of 26 pages on the ground the information is contrary to the
public interest to disclose.
The
applicant applied[3] to the Office of
the Information Commissioner (OIC) for external review of QPS’
decision refusing access and raised concerns about the sufficiency of
QPS’s searches for
documents responsive to Part 1 of the
application.
For
the reasons set out below, I find that:
access
may be refused to documents responsive to Part 1 of the application on the
ground that they are nonexistent
parts of 3 pages
are not relevant to the access application and may be deleted; and
access may be
refused to 2 pages and parts of 26 pages on the grounds they comprise exempt
information.
Preliminary issue – alleged bias
The
applicant has requested that I be removed from her
matters[4] and alleged that I have an
undisclosed bias against her.[5] I
have issued previous decisions involving the same applicant in which she raised
this issue. As I did on those
occasions,[6] I have carefully
considered these submissions, alongside the High Court’s
test for assessing apprehended bias for a decision
maker. The High Court’s test requires consideration of ‘if a
fair-minded lay observer might reasonably apprehend that the judge might not
bring an impartial and unprejudiced mind
to the resolution of the question the
judge is required to
decide’.[7] The High Court
has also noted that ‘[t]he question of whether a fair-minded lay
observer might reasonably apprehend a lack of impartiality with respect to the
decision to
be made is largely a factual one, albeit one which it is necessary
to consider in the legal, statutory and factual contexts in which
the decision
is
made’.[8]
OIC
is an independent statutory body that conducts merits review of government
decisions about access to, and amendment of, documents.
The procedure to be
followed on external review is, subject to the IP Act, within the discretion of
the Information Commissioner.[9] In
order to ensure procedural fairness (as required by both the IP
Act[10] and common law), it is the
practice of OIC to convey a preliminary view, based on an assessment of the
material before the Information
Commissioner or her delegate at that time, to an
adversely affected party. This appraises that party of the issues under
consideration
and affords them the opportunity to put forward any further
information they consider relevant to those issues.
During
this external review, I conveyed[11]
a preliminary view to the applicant that access to further documents can be
refused on the basis they are nonexistent or unlocatable,
some information could
be deleted from the copies of the documents released to her on the ground that
it is irrelevant and access
to other information can be refused on the grounds
that it comprises exempt information. My letter advised the applicant that the
purpose of my view was to give her the opportunity to put forward her views, and
if she provided additional information supporting
her case, this would be
considered and could alter the
outcome.[12]
For
this decision, I am the delegate of the Information
Commissioner.[13] I have not to my
knowledge dealt with the applicant in any capacity prior to her reviews and
cannot identify any conflict of interest
in my dealing with her application for
review of QPS’s decision. I do not consider the fact that the applicant
has asked for
me to be removed from her matters has altered my conduct of the
review or consideration of the issues before me in any way. In these
circumstances, paraphrasing the High Court’s test, I am unable to identify
any basis for finding that a fair-minded lay observer
might reasonably apprehend
that
I[14]
might not bring an impartial and unprejudiced mind to the resolution of this
matter. Accordingly, I have proceeded to make this
decision.
Background
Significant
procedural steps taken during the external review are set out in the Appendix to
this decision.
The
applicant has previously requested that all her matters be finalised by way of
written decision that can be appealed to the Queensland
Civil and Administrative
Tribunal.
Reviewable decision
The
decision under review is QPS’s decision dated 9 September 2019.
Evidence considered
The
applicant frequently emailed the OIC during the review, often making submissions
within the emails or attachments. I have considered
all this material and have
extracted those parts which I consider have relevance to the issues to be
determined in this external
review.
In
reaching my decision, I have had regard to the submissions, evidence,
legislation, and other material referred to throughout these
reasons (including
footnotes and Appendix).
14. Generally,
it is necessary that I have regard to the Human Rights Act 2019 (Qld)
(HR Act) given that section 11(1) of the HR Act provides that
‘[a]ll individuals in Queensland have human rights’
(my emphasis), In this matter however, the applicant currently resides in New
South Wales. Accordingly, I am not required
to have regard to the HR Act
vis a vis the applicant in this review. Nonetheless I have had regard to
the HR Act, particularly the right to seek and receive
information,[15] as if the applicant
was in Queensland. I consider a decision-maker will be ‘respecting and
acting compatibly with’ the right to seek and receive information, and
other rights prescribed in the HR Act, when applying the law prescribed in
the
IP Act and the Right to Information Act 2009 (Qld) (RTI
Act).[16] I have acted in this
way in making this decision, in accordance with section 58(1) of the HR
Act.[17] I also note the
observations made by Bell J on the interaction between equivalent pieces of
Victorian legislation:[18]
‘it is perfectly compatible with the scope of that positive right in
the Charter for it to be observed by reference to the scheme of,
and principles
in, the Freedom of Information
Act.[19]
Information in issue
The
information in issue in this review is contained within 2
pages[20]
and parts of 28
pages.[21]
Issues for determination
The
issues for determination in this review are:
Sufficiency
of search: whether access to documents responsive to Part 1 of the access
application may be refused on the ground that they are
nonexistent.
Irrelevant
information: whether certain information may be deleted on the ground it is
irrelevant to the scope of the access application.
Refusal of
access: whether access to information may be refused on the basis it is
exempt information variously on the basis that:
disclosure
could reasonably be expected to prejudice a system or procedure for the
protection of persons, property or the environment;
or
it was
obtained, used or prepared for an investigation by a prescribed crime
body or another agency, in the performance of the prescribed
functions of a prescribed crime body.
Sufficiency of search
Relevant law
Under
the IP Act, a person has a right to be given access to documents of an agency to
the extent they contain the individual’s
personal
information.[22] However, this
right is subject to other provisions of the IP Act and the RTI Act including the
grounds on which an agency or Minister
may refuse access to
documents.[23]
Access
to a document may be refused if the document is nonexistent or
unlocatable.[24] A document is
nonexistent[25] if there are
reasonable grounds to be satisfied that the document does not exist. A document
is unlocatable[26] if it has been or
should be in the agency’s possession and all reasonable steps have been
taken to find it, but it cannot be
found.
To
be satisfied that documents are nonexistent, a decision-maker must rely on their
particular knowledge and experience and have regard
to a number of key factors
including:[27]
the
administrative arrangements of government
the agency
structure
the
agency’s functions and responsibilities (particularly with respect to the
legislation for which it has administrative responsibility
and the other legal
obligations that fall to it)
the
agency’s practices and procedures (including but not exclusive to its
information management approach); and
other factors
reasonably inferred from information supplied by the applicant including:
the
nature and age of the requested document/s; and
the
nature of the government activity the request relates
to.[28]
When
proper consideration is given to relevant factors, it may be unnecessary for
searches to be conducted. However, if an agency
or Minister relies on searches
to justify a decision that the documents do not exist, all reasonable steps must
be taken to locate
the requested documents. The key factors identified above are
also relevant to a consideration of whether an agency or Minister has
taken all
reasonable steps before concluding that documents are
unlocatable.[29]
Findings
In
response to Part 1, QPS’s
decision[30]
states:
In this case I am satisfied that there are reasonable
grounds to believe that this document does not exist. In reaching this decision
I have taken account of the following:
Searches of
QPS databases show no records or incidents for the dates you mentioned in the
application
Searches and
enquiries have been conducted with:
The
Ministerial Liaison Officer (MLO), resulting in the advice that no such
documents exist. It is likely that if such documents existed,
the office of the
MLO would retain such documents.
Media
and Public Affairs Group, resulting in the advice that no such documents exist.
The Media and Public Affairs Group is an area
that might keep such documents if
they existed.
The
Ethical Standards Command resulting in the advice that no such documents exist.
State
Crime Command resulting in the advice that no such documents exist. The QPS does
not have any part in the process of applications
as it is entirely up to the
statutory regulatory authority, Blue Card Services.
Police
Information Centre resulting in the advice that no such documents exist. It is
likely that if such documents existed, the Police
Information Centre would
retain such documents.
Further, since no such document exists or is expected to exist in current
databases, I consider that no such document would be kept
in or be retrievable
from a backup system.
In
seeking an external review, the applicant
submitted[31] that the
‘records request was obstructed again by QPS ...’ and that
the ‘requested QPS records are needed to set out the particulars of a
law suit...’. I have taken this submission to mean that the applicant
seeks review of QPS’s decision to refuse access to information, including
QPS’s decision to refuse access to documents which respond to Part 1 on
the basis that they are nonexistent.
OIC
required QPS to provide records of the searches conducted. I have considered
these records and I am satisfied that they confirm
the nature and results of the
searches as described above by QPS. As it appeared that QPS had searched all
locations where any existing
documents would logically be found, I sought
further submissions from the applicant including any specific evidence she was
able
to present as to the existence of the documents sought.
The
applicant did not provide further submissions or specific evidence as to the
existence of the documents sought.
In
the absence of specific evidence pointing to the existence of further documents,
and in light of the enquiries made, the locations
identified and the searches
undertaken by QPS, and having regard to the factors set out in paragraph 19 above, I am satisfied that all
reasonable searches have been conducted for documents responding to Part 1, and
that they do not exist.
On this basis, access to documents which respond to Part
1 may be refused under sections 47(3)(e) and 52(1)(a) of the RTI Act.
Irrelevant information
Relevant law
Section
88 of the IP Act provides that an agency may give access to a document subject
to the deletion of information it considers
is not relevant to an application.
This provision does not set out a ground for refusal of access. Rather, it
provides a mechanism
to allow irrelevant information to be deleted from
documents which are identified for release to an applicant. In deciding whether
information is irrelevant, it is necessary to consider whether the information
has any bearing upon, or is pertinent to, the terms
of the
application.[32]
Findings
QPS
deleted small portions of information on 3
pages[33] on the basis that they
were irrelevant to the access application.
I
have reviewed the small portions of information that were deleted and I am
satisfied that they constitute information about other
individuals and/or
matters being dealt with by QPS which do not relate to the applicant or the
terms of her access application.
As
per the terms of her application, the applicant sought information about
herself. Given the small portions of information on the
3 pages in no way
relates to the applicant and clearly fall outside the terms of the application,
I find that they can be deleted
from the copies of the documents released to the
applicant.[34]
Refusal of access
Relevant law
Access
to a document may be refused to the extent it comprises exempt
information.[35]
Relevantly,
information will be exempt from disclosure if disclosure could reasonably be
expected to prejudice a system or procedure
for the protection of persons,
property or the environment (System or Procedure
Exemption).[36]
For
the System or Procedure Exemption to apply, the following three elements must be
satisfied:[37]
there
exists an identifiable system or procedure
it is
a system or procedure for the protection of persons, property or the
environment; and
disclosure
of the information could reasonably be expected to prejudice that system or
procedure.
An
exception to the System or Procedure Exemption applies where the information
consists of:[38]
matter revealing
that the scope of a law enforcement investigation has exceeded the limits
imposed by law
matter
containing a general outline of the structure of a program adopted by an agency
for dealing with a contravention or possible
contravention of the law
a report on the
degree of success achieved in a program adopted by an agency for dealing with a
contravention or possible contravention
of the law
a report
prepared in the course of a routine law enforcement inspection or investigation
by an agency whose functions include that
of enforcing the law (other than the
criminal law or the law relating to corruption under the Crime and
Corruption Act 2001 (Qld) (CC Act); or
a report on a
law enforcement investigation that has already been disclosed to the entity the
subject of the investigation.
Also
of relevance to this decision is Schedule 3, section 10(4) of the RTI Act. That
section provides that information will also
be exempt from disclosure if the
information was obtained, used or prepared for an investigation by
a prescribed crime body or another
agency,[39]
in the performance of the prescribed functions of a prescribed
crime body (Prescribed Crime Body Exemption). However, it will not apply
where:[40]
the information
consists of information about the applicant; and
the
investigation has been finalised.
Findings: System or Procedure Exemption
QPS
refused access to information contained within 1 page (Category A
information) on the basis the information was subject to the System or
Procedure
Exemption.[41]
While
I am limited by the operation of the IP Act in the extent to which I can
describe the exact content of the Category A
Information,[42] it is information
which responds to Part 2 of the application and can broadly be described as
flags recorded by QPS officers against
the applicant’s
QPRIME[43] record.
QPS
officers who become aware of relevant
information[44] in the performance
of their duties in relation to a person, business, vehicle or address are
required to enter that information into
the relevant QPRIME
record.[45] I am satisfied that the
process of recording flags by QPS officers against an individual’s QPRIME
record comprises an identifiable
system or procedure. I consider this system is
designed to ensure the safety and security of the subject individuals, the
broader
community and in some instances, publicly/privately-owned property. For
these reasons, I am satisfied that requirements (a) and (b)
at paragraph 32 above are met.
I
am also satisfied that revealing the specific flags recorded by QPS against an
individual’s QPRIME record could reasonably
be expected to allow
individuals to use that information to modify their behavior in such a way so as
to avoid detection by QPS.
I am satisfied that this would compromise the ongoing
effectiveness of the warning system. Additionally, Police may be discouraged
from entering appropriate warnings, which in turn may compromise public safety
and police safety. As a result, I find that disclosure
of such information could
reasonably be expected to prejudice QPS’s warnings system, and requirement
(c) at paragraph 32 above is also
met.
A
preliminary view setting out the above was conveyed to the applicant. In
response, the applicant
submitted[46] ‘Police
powers were not used for lawful investigations.’ I have taken this to
mean that the applicant is raising public interest arguments relating to
revealing or substantiating that an
agency or official has engaged in misconduct
or negligent, improper or unlawful conduct, and contributing to the
administration of
justice generally, including procedural fairness, or for the
applicant.[47]
In
view of the applicant’s submission above, I have considered whether any of
the relevant exceptions to the exemption may
apply.[48] Having considered the
Category A Information, I am satisfied that it does not consist of any of the
types of specific information
referred to in schedule 3, section 10(2) of the
RTI Act.
Based
on the above, I am satisfied that the Category A information comprises exempt
information as its disclosure could reasonably
be expected to prejudice a system
or procedure for the protection of persons, property or the environment, that no
exceptions to
the exemption apply in the circumstances, and that access to it
may therefore be
refused.[49]
Where
information is found to be exempt, there is no scope under the legislation to
consider public interest arguments because Parliament
has decided that it would
be contrary to the public interest to disclose exempt information. Accordingly,
I cannot take any of the
applicant’s submissions concerning the public
interest into account. In addition, the Information Commissioner does not have
the power to direct that access be given to information that is found to be
exempt.[50]
Findings: Prescribed Crime Body Exemption
QPS
refused access to information contained within 1
page[51] and parts of 26
pages[52] (Category B
Information) on the basis that the information was subject to the Prescribed
Crime Body Exemption.
I
have reviewed the documents located by QPS which contain the Category B
Information. These documents respond to Part 3 of the access
application and
reveal that the information contained within them relates to two complaints made
by the applicant:
The First
Complaint:
was
lodged with the QPS Ethical Standards Command on 12 January 2012
after
being notified of the First Complaint, the
CCC[53] referred it to QPS to deal
with; and
the
allegations were categorised as involving misconduct.
The Second
Complaint:
was
lodged with the CCC on 16 January 2012
was
referred to QPS to deal with; and
the
allegations were categorised as involving official or police
misconduct.
The
CCC is a prescribed crime body[54]
and its prescribed functions are broad in relation to suspected corrupt
conduct[55] or police
misconduct.[56] Where the CCC refers
a complaint back to an agency, such as QPS, to investigate, subject to the
CCC’s monitoring role,[57] all
information obtained used or prepared by the agency as part of that
investigation will also be exempt information under the Prescribed
Crime Body
Exemption.
In
the circumstances of this matter, I am satisfied that the Category B information
was obtained, used or prepared by QPS in the performance
of the CCC’s
prescribed functions. While the investigations regarding the First and Second
Complaints have been finalised,
I am also satisfied that the Category B
information is not ‘about’ the applicant but rather it is about the
individuals
the subject of the complaints, and therefore the exception to the
Prescribed Crime Body Exemption does not apply.
For
these reasons, I find that the Category B information is exempt information
under the Prescribed Crime Body Exemption and access
to that information may be
refused.[58]
As
with the Category A Information, where information is found to be exempt, there
is no scope under the legislation to consider public
interest arguments because
Parliament has decided that it would be contrary to the public interest to
disclose exempt information
and I reiterate that the Information Commissioner
does not have the power to direct that access be given to information that is
found to be
exempt.[59]DECISION
I
vary QPS’s decision by finding that:
access may be
refused to documents responsive to Part 1 of the application on the ground that
they are nonexistent under sections
47(3)(e) and 52(1)(a) of the RTI Act
parts of 3 pages
are not relevant to the access application and may be deleted under section 88
of the IP Act; and
access may be
refused to:
the
Category A Information on the ground that it is exempt under sections 47(3)(a)
and 48 and schedule 3, section 10(1)(i) of the
RTI Act; and
the
Category B Information on the ground that it is exempt under sections 47(3)(a)
and 48 and schedule 3, section 10(4) of the RTI
Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.Assistant
Information Commissioner CorbyDate: 15 September 2020
APPENDIX
Significant procedural steps
Date
Event
9 September 2019
OIC received the applicant’s application for external review.
12 September 2019
OIC received an emailed submission from the applicant.
17 September 2019
OIC received an emailed submission from the applicant.
23 September 2019
OIC received an emailed submission from the applicant.
25 September 2019
OIC notified QPS and the applicant that the application for external review
had been received and requested procedural documents.
OIC received two emailed submissions from the applicant.
OIC separately wrote to the applicant about this external review and other
external reviews sought by her.
26 September 2019
OIC received an emailed submission from the applicant.
OIC received the requested procedural documents from QPS.
14 October 2019
OIC notified the applicant and QPS that the external review application had
been accepted and requested the following from QPS:
any records of
the searches conducted
a copy of the
documents located clearly showing the information to which access was refused;
and
any
correspondence between the applicant and QPS about the terms of the
applicationOIC received an emailed submission from the
applicant.
17 October 2020
OIC received records of the searches conducted and details of
correspondence between the applicant and QPS about the terms of the
application
from QPS.
25 October 2020
OIC received email confirmation from QPS that all documentation requested
in OIC’s letter dated 14 October 2019 had been provided.
17 January 2020
OIC wrote to QPS advising that a copy of the documents located had not been
received by OIC.
21 January 2020
OIC received a copy of the documents located from QPS.
30 January 2020
OIC wrote to the applicant about this external review and other external
reviews sought by her.
27 February 2020
OIC received an emailed submission from the applicant.
5 March 2020
OIC received an emailed submission from the applicant.
11 March 2020
OIC wrote to the applicant about this external review and other external
reviews sought by her.
12 March 2020
OIC received an emailed submission from the applicant.
14 April 2020
OIC sought clarification from QPS about two discrepancies identified by OIC
between the reasons set out in QPS’s decision notice
and the mark-up on
the copy of the documents located provided to OIC.
21 April 2020
OIC received a submission from QPS addressing the two discrepancies
identified by OIC.
27 May 2020
OIC sought further clarification from QPS about the two discrepancies
identified by OIC.
1 June 2020
OIC wrote to the applicant about this external review and other external
reviews sought by her.
19 June 2020
OIC received a further submission from QPS addressing the two discrepancies
identified by OIC.
29 June 2020
OIC conveyed a preliminary view to the applicant.
30 June 2020
OIC received an emailed submission from the applicant.
6 July 2020
OIC received an emailed submission from the applicant.
OIC wrote to the applicant about this external review and other external
reviews sought by her.
9 July 2020
OIC received an emailed submission from the applicant.
20 July 2020
OIC received two emailed submissions from the applicant.
11 August 2020
OIC received an emailed submission from the applicant.
17 August 2020
OIC wrote to the applicant about this external review and other external
reviews sought by her.
3 September 2020
OIC wrote to the applicant about this external review and other external
reviews sought by her.
4 September 2020
OIC received an emailed submission from the applicant.
[1] Access application dated 8 May
2019.[2] Decision dated 9
September 2019. [3] External
review application dated 9 September
2019.[4] Emailed submission dated
27 February 2020.[5] Emailed
submission dated 12 March 2020.[6]
I have not listed these previous decisions to protect the applicant’s
privacy.[7] Ebner v Official
Trustee in Bankruptcy [2000] HCA 63; (2000) 205 CLR 337 at [6] per Gleeson CJ,
McHugh, Gummow and Hayne JJ. See also Michael Wilson & Partners Limited v
Nicholls [2011] HCA 48; (2011) 244 CLR 427 at [31] per Gummow ACJ, Hayne, Crennan and Bell
JJ.[8] Isbester v Knox City
Council [2015] HCA 20; (2015) 255 CLR 135 at [20] per Kiefel, Bell, Keane and Nettle JJ.
[9] Section 108 of the IP
Act.[10] Section 110 of the IP
Act.[11] Letter to applicant
dated 29 June 2020.[12] Footnote
1 of letter to applicant dated 29 June
2020.[13] Section 139 of the IP
Act.[14] As a delegate of the
Information Commissioner under section 139 of the IP
Act.[15] Section 21(2) of the HR
Act. [16] XYZ v Victoria
Police (General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; Horrocks v Department of Justice (General) [2012] VCAT 241 (2
March 2012) at [111]. [17]
Section 58(1) of the HR Act provides that it ‘is unlawful for a public
entity—
(a) to act or make a decision in a way that is not compatible with human
rights; or
(b) in making a decision, to fail to give proper consideration to a human
right relevant to the
decision.[18] Freedom of
Information Act 1982 (Vic) and the Charter of Human Rights and
Responsibilities Act 2006 (Vic).
[19] XYZ at
[573].[20] Comprising a single
page located in response to Part 2 of the application (this page was not
numbered in QPS’s decision) and page 29 of the documents located in
response to Part 3 of the
application.[21] Comprising
pages 1-24, 26-28 and 30 of the documents located in response to Part 3 of the
application.[22] Section 40 of
the IP Act.[23] Section 67(1) of
the IP Act provides that an agency may refuse access to a document in the same
way and to the same extent it could
refuse access to the document under section
47 of the RTI Act were the document to be the subject of an access application
under
the RTI Act.[24] Sections
47(3)(e) and 52(1) of the RTI
Act.[25] Section 52(1)(a) of the
RTI Act.[26] Section 52(1)(b) of
the RTI Act.[27] PDE and The
University of Queensland (Unreported, Queensland Information Commissioner, 9
February 2009) (PDE). PDE concerned the application of
section 28A of the now repealed Freedom of Information Act 1992
(Qld), the requirements of which are replicated in section 52 of the RTI Act.
[28] PDE at [37] -
[38].[29] Pryor and Logan
City Council (Unreported, Queensland Information Commissioner, 8 July 2010)
at [20] - [21].[30] At page 2 of
QPS’s decision.[31] Email
to OIC dated 9 September 2019 at 9:58
am.[32] O80PCE and Department
of Education and Training (Unreported, Queensland Information Commissioner,
15 February 2010) at [52].[33]
Identified within the decision as pages 27-29 of the documents located
responsive to Part 3 of the access application. However, on
external review, QPS
confirmed that the irrelevant information was contained within pages 27-28 and
30.[34] Under section 88 of the
IP Act.[35] Sections 47(3)(a)
and 48 of the RTI Act. Schedule 3 of the RTI Act specifies categories
of exempt information.[36]
Schedule 3, section 10(1)(i) of the RTI
Act.[37] As set out in
Ferrier and Queensland Police Service [1996] QICmr 16; (1996) 3 QAR 350 [27]-[36] under
the equivalent provision in the repealed Freedom of Information Act 1992
(Qld), and summarised in I3C1ST and Department of Community Safety
(Unreported, Queensland Information Commissioner, 30 August 2011) [12]
in the context of the RTI
Act.[38] Schedule 3, section
10(2) of the RTI Act.[39]
Although the Crime and Corruption Commission (the CCC) has primary
responsibility for dealing with corrupt conduct complaints, the CCC may refer
such a complaint to a public official
(which includes the chief executive
officer of a unit of public administration) to be dealt with by the public
official or in cooperation
with the CCC, subject to the CCC’s monitoring
role: sections 45 and 46(2) of the CC Act. Equivalent provisions with the same
numbering were contained in the Crime and Misconduct Act 2001 (Qld), in
operation at the time of relevant investigations.
[40] Schedule 3, section 10(6)
of the RTI Act.[41] Comprising
the single page located in response to Part 2 of the application set out at
footnote 20
above.[42] Section 121 of the IP
Act.[43] QPRIME (Queensland
Police Records and Information Management Exchange) is a data management system
used by QPS.[44] Relevant
information may include the full name and date of birth, including any aliases
of the person; current address; any general
tendency toward violent or suicidal
behaviour, including self-mutilation, violence towards police or other persons;
the use or possession
of weapons; and any incident of spitting or biting, either
directed at persons or otherwise whilst in police custody including in
watchhouse cells, police vehicles or
establishments.[45] See section
1.6.11 of the QPS Operational Procedures Manual Issue 77 Public Edition | 31
July 2020, accessed at https://www.police.qld.gov.au/queensland-police-service-corporate-documents/operational-policies/operational-procedures-manual
on
1 September 2020.[46]
Submission to OIC dated 30 June
2020.[47] Schedule 4, Part 2,
items 6, 16 and 17 of the RTI
Act.[48] In line with
Commissioner of the Police v Shelton & Anor [2020] QCA
96.[49] Under section 47(3)(a)
of the RTI Act.[50] Section
118(2) of the IP Act. [51]
Comprising page 29.[52]
Comprising pages 1-24, 26 and
30.[53] Formerly known as the
Crime and Misconduct
Commission.[54] The CCC’s
prescribed functions are defined in schedule 3, section 10(9) of the RTI
Act as its crime, intelligence and corruption
functions. These functions are
specified in Chapter 2 of the CC
Act.[55] As defined in section
15 of the CC Act. Section 22 of the CC Act provides that a reference to
corruption includes, in the context of a complaint or corruption investigation,
suspected corruption.[56] As
defined in schedule 2 of the CC
Act.[57] The CCC’s
corruption function involves dealing with complaints about corruption in an
appropriate way, having regard to principles
set out in section 34 of the CC Act
(see section 33 of the CC Act). These principles include the principle of
devolution—which specifies that action to deal with corruption in a
unit of public administration should generally happen within the unit
(see
section 34(c) of the CC Act). The principle of devolution is enabled by some of
the provisions that specify how the CCC may
perform this function—namely,
provisions enabling the CCC to refer a complaint to a relevant public official
or unit of public
administration to be dealt with by them, or dealt with by them
in cooperation with the CCC, subject to the CCC’s monitoring
role
(sections 35(1)(b),(d) and (e) and 46(2)(b) of the CC Act). The nature of the
CCC’s monitoring role is set out at section
48 of the CC Act.
Similarly, provisions addressing how a public official is to deal with a
complaint about corrupt conduct also
enable devolution, by providing that the
public official has a responsibility to deal with a complaint that is referred
to it by
the CCC (section of the CC Act) subject to the CCC’s monitoring
role (section 44(2) of the CC Act).
[58] Under section 47(3)(a) of
the RTI Act.[59] Section 118(2)
of the IP Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | W7SV7G and Department of Education [2018] QICmr 24 (22 May 2018) |
W7SV7G and Department of Education [2018] QICmr 24 (22 May 2018)
Last Updated: 12 June 2018
Decision and Reasons for Decision
Citation:
W7SV7G and Department of Education [2018] QICmr 24 (22 May
2018)
Application Number:
313410
Applicant:
W7SV7G
Respondent:
Department of Education
Decision Date:
22 May 2018
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST - information relating to the applicant’s
employment
with the agency - administration of justice and procedural fairness -
accountability and transparency in workplace processes
- privacy of other
individuals - prejudice to management function - whether disclosure would, on
balance, be contrary to the public
interest - whether access to information may
be refused under section 67(1) of the Information Privacy Act 2009 (Qld)
and sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Department of Education and Training
(Department) under the Information Privacy Act 2009 (Qld) (IP
Act) for access to correspondence sent by the Queensland Teachers’
Union (Union) raising matters in relation to him and a school at which he
had previously worked.[1]
The
Department located six pages and decided to refuse
access[2] to all of the information on
the basis that disclosure would, on balance, be contrary to the public
interest.[3] The applicant then
applied to the Office of the Information Commissioner (OIC) for external
review of the Department’s refusal of access
decision.[4]
On
external review, the applicant submitted that he had not been afforded
procedural fairness by the Department in terms of school
placements. He argued
that by having access to the information, it would give him an opportunity to
respond to any adverse allegations
that had been made about him in the context
of his employment. The Department was of the view that natural justice had been
afforded
to the applicant through an earlier investigation process, and also
relied on the public interest factor in protecting the privacy
of the other
individuals involved to favour nondisclosure.
The
public interest factors are finely balanced in this case, with several factors
applying to favour disclosure of information about
the applicant in the context
of his employment. However, I have found that the weight of the public interest
in protecting the privacy
of other individuals is significant and determinative.
Accordingly, for the reasons set out below, I affirm the Department’s
decision to refuse access to information on the basis that its disclosure would,
on balance, be contrary to the public
interest.[5]
Background
Significant
procedural steps taken by OIC in conducting the external review are set out in
the Appendix to these reasons.
During
the review, the Department provided OIC with background information about the
applicant’s employment situation. To summarise,
the Department advised
that the applicant had a ‘long history of issues’, had been
the subject of ‘numerous complaints’ some of which had led to
‘grievance investigation(s) in which the allegations were found to be
substantiated’.[6] The
applicant has recently retired from his employment with the
Department.[7]
Reviewable decision
The
decision under review is the Department’s decision dated 14 June 2017.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
is referred to in these reasons (including
footnotes and
Appendix).
Information in issue
As
set out above, the Department located six pages in response to the access
application and refused access to those pages in their
entirety. While the IP
Act limits the extent to which I can describe the particular content of those
pages,[8] they include an email sent
by the Union to the Department, and attached statements provided by individuals
in relation to the applicant
in the context of his employment (Information in
Issue).[9]
Issue for determination
The
issue for determination is whether access to the Information in Issue may be
refused under section 67(1) of the IP Act and section
47(3)(b) of the RTI Act,
on the basis that its disclosure would, on balance, be contrary to the public
interest.
Relevant law
Under
the IP Act, an individual has a right to be given access to documents of an
agency to the extent the documents contain the individual’s
personal
information.[10] While the IP Act
is to be administered with a pro-disclosure
bias,[11] the right of access is
subject to certain limitations, including the grounds for refusal of
access.[12] Relevantly, access may
be refused to information where its disclosure would, on balance, be contrary to
the public interest.[13] Various
public interest factors may be relevant to deciding where the balance of the
public interest lies[14] and a
decision-maker is required to take specific steps in reaching a
decision.[15]
Findings
No
irrelevant factors arise in the circumstances of this case and I have not taken
any into account in making my decision.
Factors favouring disclosure
The
applicant submits that he has a ‘prima facie right to access’
his personal information.[16] It
is uncontested that the applicant’s personal
information[17] appears throughout
the Information in Issue in the form of his name, descriptions of his actions,
references to his past conduct
and opinions expressed by other individuals about
him. The public interest favours disclosure of an applicant’s personal
information
and I am satisfied that this factor applies in this case to the
extent the Information in Issue contains the applicant’s personal
information.[18] In affording
weight to this factor, it is relevant to consider the context in which the
information appears.
Ordinarily,
there is a public interest in people being able to see what has been said about
them, and this is particularly strong
in the case of an individual’s
employment information. To the extent the Information in Issue refers to
exchanges or discussions
in which the applicant was involved, the applicant is
likely to already be aware of that information. I have also taken into account
the Department’s submission that the Information in Issue reiterates
matters that were previously put to the applicant during
an earlier workplace
investigation into his conduct.[19]
For these reasons, I find that the weight of this public interest factor is
slightly reduced and therefore, afford it moderate weight
in favour of
disclosure.
The
applicant has submitted that he believes the Information in Issue contains
information that is adverse to him. Specifically, he
is concerned that the
information had some bearing on him not being reappointed to a position at one
school and his placement at
a second school not
eventuating.[20] The applicant
submits that ‘the duty of natural justice requires a subject officer to
receive and consider a complaint made against
them’.[21] The applicant
states he was suspended from his employment and considers it remains unclear
whether the Information in Issue formed
part of the basis of that
suspension.[22]
The
applicant’s submissions in the preceding paragraph raise for consideration
the public interest disclosure factors concerning
administration of justice and
procedural fairness.[23] In
Willsford and Brisbane City
Council[24] the
Information Commissioner discussed the public interest in a person who has
suffered an actionable wrong to be granted access to
information in order to
pursue a remedy. The Information Commissioner found that this factor arises if
an applicant demonstrates
that:
they have
suffered loss or damage or some kind of wrong, in respect of which a remedy is,
or may be, available under the law
they have a
reasonable basis for seeking to pursue the remedy; and
disclosing the
information would assist the applicant to pursue the remedy, or to evaluate
whether a remedy is available or worth
pursuing.[25]
I
am satisfied that the Willsford elements are arguably established on the
facts of this case as the applicant appears to have suffered loss in terms of
terminated/unsuccessful
school placements, and may have avenues for
associated workplace/industrial proceedings available to him. The Department
however, refuted the applicant’s
submissions in this regard and submitted
that the Information in Issue does not include ‘new
complaints’ nor did it prompt ‘a new complaint management or
investigation process’. In this regard, the Department submitted that:
During 2016 the applicant had been subject of an investigation of
allegations made concerning the applicant’s conduct while
working at
[a school] As a result of this process and the hostile, aggressive
conduct that was the subject of the allegations his employment had been
suspended.
...
These were not new issues that then gave rise a natural justice
requirement, they did not kick off a new complaint management or investigation
process under which the applicant was required to be afforded procedural
fairness, the applicant did not suffer any kind of loss,
damage or some kind of
wrong as a direct result of these
documents.[26]
While
there is a recognisable public interest in ensuring an individual has an
opportunity to respond to adverse information about
them, the evidence available
to OIC in this review indicates that the applicant has already had such an
opportunity afforded to him
in the course of the earlier investigation. While
the applicant asserts that the Information in Issue has led to him suffering
adverse
consequences, I am unable to identify any evidence to establish a
sufficient nexus between the Information in Issue and any decisions
made by the
Department which have been adverse to the applicant’s employment
prospects. Having carefully examined the applicant’s
and
Department’s submissions, the Information in Issue and the background and
contextual information provided by the Department
about the applicant’s
employment history, I am satisfied that the weight of the public interest
factors concerning administration
of justice and procedural fairness can carry
only moderate weight in the particular circumstances of this
case.
The
applicant argues that he has a right to access (and
amend)[27] his personal information
to the extent it is inaccurate, out of date or
misleading.[28] The RTI Act
recognises that where disclosure could reasonably be expected to reveal that
information is incorrect, out of date,
misleading, gratuitous, unfairly
subjective or irrelevant, this will raise a public interest in favour of
disclosure.[29] The Information
Commissioner has previously considered the application of this factor, in a
comparable workplace context, as
follows:[30]
It is, by its very nature, the particular opinions and versions of events
expressed by the relevant individuals who provided statements
... It is shaped
by factors such as the individuals’ memories of relevant events and
subjective impressions. This inherent
subjectivity does not mean that the
[information] is necessarily incorrect or unfairly subjective.
I
am satisfied that the above reasoning applies in this review as the Information
in Issue comprises information provided by other
individuals which has been
shaped by their recollection of events. While an individual’s statement
will inevitably be subjective,
that does not equate to it comprising misleading,
unfairly subjective, or irrelevant information, as required by the public
interest
factor. Accordingly, I find that this factor does not apply, in the
circumstances of this case.
I
am satisfied that there are some further public interest factors which apply in
favour of disclosure of the Information in Issue
in terms of enhancing the
accountability and transparency of the Department regarding how it handles
workplace grievance matters.[31]
There are however, some mitigating circumstances which serve to reduce the
weight of these factors, discussed below.
The
Department has already advised the applicant that the Information in Issue was
not taken into account in relation to his most
recent suspension/disciplinary
matters at a third school.[32] I
have also taken into account the Department’s submission that the
Information in Issue did not prompt any new investigation
into the applicant,
nor instigate any new complaint process. In view of the background and
contextual information provided by the
Department about the applicant’s
employment history, I consider it is reasonable to accept that the Information
in Issue reiterates
concerns that have previously been put to the applicant in
the course of an earlier investigation. The applicant considers that the
Department should be required to provide further compelling evidence to
demonstrate this point.[33] In the
circumstances, I have no reason to suspect that the Department is providing
false or misleading information to OIC and find
it is appropriate to accept the
Department’s submissions without requiring further corroborating
evidence.[34]
I
also observe that the Information in Issue was created by the Union and other
individuals, not the Department itself. As such, it
does not set out any of the
procedures/steps followed by the Department in making any decisions about the
applicant’s employment,
nor does it demonstrate any of the
Department’s thinking processes or deliberations—had such
information been included
in terms of enhanced accountability, the public
interest may have carried more weight. While I acknowledge that the Information
in
Issue forms part of the background and contextual information that was
available to the Department in making decisions relating to
the
applicant’s employment, taking into account the Department’s
submissions at paragraphs 17 and 22 above,
[35]afford these factors35 only
moderate weight in[36]avour of
disclosure.36 Factors favouring
nondisclosure
The
RTI Act recognises that the public interest will favour nondisclosure of
information if it could reasonably be expected to prejudice
the protection of an
individual’s right to
privacy.[37] The concept of
‘privacy’ is not defined in either the IP Act or the RTI Act.
It can, however, essentially be viewed as the right of an individual to preserve
their ‘personal sphere’ free from interference from
others.[38]
While
the IP Act prevents me from particularising the content of the Information in
Issue, it can generally be described as information
of an inherently sensitive
and personal nature provided by other individuals. I am satisfied that it
comprises the ‘personal information’ of those
individuals.[39] I acknowledge that
the information appears in a workplace context, within the public sector,
however, having thoroughly reviewed
its content, I am satisfied that it falls
outside the routine day-to-day
category[40] and into the other
individuals’ personal sphere. Further, I consider that disclosure would
constitute a significant intrusion
into the private sphere of the individuals
who chose to provide information of a sensitive and personal nature to the
Department.
During
the review, the applicant expressed that he was not interested in finding out
the identities of other individuals, but sought
only the substance of what was
said about him.[41] The Department
submitted that it would not be possible to properly de-identify the Information
in Issue given the size of the relevant
school community, the applicant’s
involvement and the nature of the information in the
statements.[42] The Department
submitted that, for these reasons, the identities of the other individuals could
reasonably be ascertained, even if
their names and identifying information were
removed.
Having
closely examined the Information in Issue, I am satisfied that the other
individuals’ identities are inextricably intertwined
with the substance of
their statements are inextricably intertwined. Given the size of the relevant
school community and the applicant’s
previous work history at the school,
it would not be possible to de-identify the Information in Issue with sufficient
certainty.
In the particular factual matrix of this case, I am satisfied that
protection of the other individuals’ right to privacy can
only be achieved
through nondisclosure of the entirety of the Information in Issue and therefore,
I afford this factor[43] significant
weight in favour of nondisclosure.
I
have also considered whether disclosure of the Information in Issue could
reasonably be expected to prejudice the management function
of the
Department.[44] The Department has
an obligation to deal with workplace grievance matters promptly, fairly and with
a level of discretion. This
does not however, translate into receiving evidence
of allegations and complaints on an entirely confidential basis as this would
be
inconsistent with the principles of natural justice. However, the information
provided by complainants/witnesses can, in some
instances, go beyond the
substantive issues pertinent to a complaint. To that end, I consider there is a
public interest in the
Department only conveying issues salient to a complaint,
and not the more personal or private aspects that may be included in an
individual’s statement. In the circumstances of this case, I consider that
the nature of the Information in Issue is such that
disclosure could reasonably
be expected to prejudice the Department’s management function as
individuals may be reluctant to
comprehensively detail the personal impacts that
a workplace situation has had on them in the future. I am satisfied that this
factor
also carries significant weight in favour of
nondisclosure.
Balancing the relevant factors
I
have taken into account the pro-disclosure bias and the applicant’s right
to access his personal information. I have also
recognised that there is a
public interest in the applicant having access to information that may
contribute to the administration
of justice and procedural fairness for him, and
in enhancing the accountability and transparency of the Department in terms of
how
it handles workplace grievance processes. While there are some mitigating
circumstances which serve to reduce the weight of these
factors, as discussed
above, I consider they all carry moderate weight in favour of disclosure of the
Information in Issue.
However,
the Information in Issue is inherently sensitive and personal in nature and for
this reason, I have found that its disclosure
could reasonably be expected to
prejudice the protection of other individuals’ right to privacy, to a
significant extent. I
have also found that the Department’s management
function could suffer significant prejudice in the future if sensitive
information
of this kind was disclosed under the IP Act. On balance, I find that
the nondisclosure factors carry determinative weight and that
therefore,
disclosure of the Information in Issue would, on balance, be contrary to the
public interest and access to it may be refused
on that
basis.[45]
DECISION
I
affirm the Department’s decision to refuse access to the Information in
Issue under section 67(1) of the IP Act and section
47(3)(b) of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.K ShepherdAssistant
Information Commissioner Date: 22 May 2018
APPENDIX
Significant procedural steps
Date
Event
12 July 2017
OIC received the external review application and requested relevant
procedural documents from the Department.
17 July 2017
OIC received the requested procedural documents from the Department.
26 July 2017
OIC notified the applicant and the Department that the external review had
been accepted. OIC requested and received further information
from the
Department.
17 October 2017
OIC provided the applicant with a written update on the status of the
review.
3 November 2017
OIC conveyed a preliminary view to the Department that part of the
Information in Issue could be disclosed. OIC requested further
background
information about the applicant’s employment history.
17 November 2017
The Department responded to OIC’s request for further
information.
24 November 2017
OIC provided the applicant with an update on the status of the review and
received submissions, by telephone, from the applicant in
response.
1 December 2017
OIC received further submissions from the Department.
5 December 2017
OIC requested additional information from the Department.
18 December 2017
OIC received the requested information from the Department.
8 January 2018
OIC provided the applicant with an update on the status of the review and
requested further submissions in support of the applicant’s
case.
18 January 2018
The applicant’s legal representative notified OIC that it did not
consider there was any need to provide any more information.
6 February 2018
OIC conveyed a further preliminary view to the Department that part of the
Information in Issue could be disclosed and requested submissions
in
response.
7 March 2018
OIC received submissions from the Department contesting the preliminary
view, and proposing OIC conduct third party consultation.
12 March 2018
OIC received submissions from a third party objecting to disclosure of the
Information in Issue.
13 March 2018
OIC provided the Department with an update on the status of the
review.
27 March 2018
OIC sought the Department’s consent to convey parts of its
submissions to the applicant. The Department generally agreed with
OIC’s
approach.
28 March 2018
OIC conveyed a preliminary view to the applicant and requested submissions
in response.
29 March 2018
The applicant provided OIC with further submissions, by telephone.
27 April 2018
OIC received written submissions from the applicant contesting the
preliminary view.
[1] Access application dated 11
April 2017. Machinery of government changes in December 2017 transferred
relevant responsibility from
the Department. Accordingly, existing IP Act
applications and reviews made to the Department before the machinery of
government changes
now rest with the Department of Education including this
external review. For ease of reference, I refer to ‘the Department’
in these reasons. [2] Decision
dated 14 June 2017. [3] Under
section 67(1) of the IP Act and section 47(3)(b) of the Right to Information
Act 2009 (Qld) (RTI Act). Section 67 of the IP Act provides that
access to information may be refused on the same grounds as set out in section
47 of the
RTI Act. [4] External
review application received by OIC on 12 July 2017.
[5] Under sections 47(3)(b) of the
RTI Act and section 67(1) of the IP Act.
[6] Department’s submission
to OIC dated 7 March 2018. [7]
Ibid. [8] Section 121 of the IP
Act. [9] It appears that the
applicant became aware of the existence of the Information in Issue through his
dealings with the Department
in relation to a period of suspension from his
employment. [10] Section 40 of
the IP Act. Section 12 of the IP Act defines ‘personal
information’ as ‘information or an opinion including
information or an opinion forming part of a database, whether true or not, and,
whether recorded
in a material form or not, about an individual whose identity
is apparent, or can reasonably be ascertained, from the information
or
opinion.’[11] Section
64 of the IP Act. [12] Section
67 of the IP Act and section 47 of the RTI Act. See footnote 3 above.
[13] Section 47(3)(b) of the RTI
Act. [14] See schedule 4 of the
RTI Act. The term ‘public interest’ refers to considerations
affecting the good order and functioning
of the community and government affairs
for the well-being of citizens. This means that in general, a public interest
consideration
is one which is common to all members of, or a substantial segment
of, the community, as distinct from matters that concern purely
private or
personal interests. [15]
Section 49 of the RTI Act. The steps include: disregarding any irrelevant
factors, identifying relevant factors favouring disclosure
and nondisclosure,
and balancing the relevant factors.
[16] Submission to OIC dated 26
April 2018, page 3.[17] As
defined in section 12 of the IP Act. See footnote 10
above.[18] Schedule 4, part 2,
item 7 of the RTI Act.[19]
Department’s submission to OIC dated 7 April
2018.[20] External review
application, attachment marked
‘GC01’.[21]
Ibid.[22]
Ibid.[23] Schedule 4, part 2,
items 16 and 17 of the RTI Act.
[24] [1996] QICmr 17; (1996) 3 QAR 368
(Willsford). [25]
Willsford at paragraph 17. This approach was affirmed by OIC in 1OS3FK
and Department of Community Safety (Unreported, Queensland Information
Commissioner, 16 December 2011).
[26] Submissions to OIC received
on 7 March 2018.[27] I note
however, that applying for amendment of personal information is a separate
process under section 44 of the IP Act, and is
not a matter for determination in
this review. [28] Submission to
OIC dated 26 April 2018, page 3.
[29] Schedule 4, part 2, item 12
of the RTI Act. [30] F60XCX
and Department of Natural Resources and Mines [2017] QICmr 19 (9 June 2017)
at [52] citing Marshall and Department of Police (Unreported, Queensland
Information Commissioner, 25 February 2011) at [15]-[20]. See also Balzary
and Redland City Council; Tidbold (Third Party) [2017] QICmr 41 (1 September
2017) at [23].[31] Schedule 4,
part 2, items 1 and 11 of the RTI
Act.[32] Letter from the
Department to the applicant date stamped 20 October
2017.[33] Submission to OIC
dated 27 April 2018, page 3.
[34] Section 108(1)(c) of the IP
Act provides that the Information Commissioner ‘is not bound by the
rules of evidence and may inform herself on any matter in any way the
commissioner considers
appropriate’.[35]
Schedule 4, part 2, items 1 and 11 of the RTI
Act.[36] I have had regard to
all of the factors listed in schedule 4, part 2 of the RTI Act, and in the
circumstances of this review, I find
that no other public interest factors apply
to favour disclosure of the Information in Issue.
[37] Schedule 4, part 3, item 3
of the RTI Act.[38] Paraphrasing
the Australian Law Reform Commission’s definition of the concept in
‘For your information: Australian Privacy Law and Practice’
Australian Law Reform Commission Report No. 108 released 12 August 2008, at
paragraph 1.56.[39] Section 12
of the IP Act. Despite this, I have not considered the application of the harm
factor in schedule 4, part 4, item 6 of
the RTI Act, on the basis that there is
evidence to suggest that the substance of the Information in Issue has
previously been put
to the applicant in the course of a previous investigation.
To the extent that the applicant is already aware of the other
individuals’
personal information, I am not satisfied that releasing it
would constitute a ‘disclosure’ in order for the harm factor
to apply. [40] Generally, the
personal information of public servants in the routine day to day category
attracts very low weight in favour of nondisclosure.
For a discussion of routine
and non-routine personal work information of public sector employees, see
Kiepe and The University of Queensland (Information Commissioner of
Queensland, 1 August 2012) at [18] to
[21].[41] Telephone call with
OIC on 9 January 2018.[42]
Department’s submissions to OIC received on 7 March 2018.
[43] Schedule 4, part 3, item 3
of the RTI Act[44] Schedule 4,
part 3, item 19 of the RTI Act.
[45] Section 67(1) of the IP Act
and section 47(3)(b) of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | WJA Trading Pty Ltd and Office of Industrial Relations; R97 (Third Party) [2023] QICmr 12 (15 March 2023) |
WJA Trading Pty Ltd and Office of Industrial Relations; R97 (Third Party) [2023] QICmr 12 (15 March 2023)
Last Updated: 14 April 2023
Decision and Reasons for Decision
Citation:
WJA Trading Pty Ltd and Office of
Industrial Relations; R97 (Third Party) [2023] QICmr 12 (15 March
2023)
Application Number:
316519
Applicant:
WJA Trading Pty Ltd (ACN 640 053 827)
Respondent:
Office of Industrial Relations
Third Party:
R97
Decision Date:
15 March 2023
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - DISCLOSURE DECISION -
CONTRARY TO THE PUBLIC INTEREST - documents related to notices issued
to
applicant by agency - whether disclosure would prejudice business affairs -
whether disclosure would prejudice an individual’s
right to privacy -
whether disclosure would, on balance, be contrary to the public interest under
sections 47(3)(b) and 49 of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - DISCLOSURE DECISION - EXEMPT
INFORMATION - LAW ENFORCEMENT OR PUBLIC SAFETY INFORMATION
- documents related
to notices issued to applicant by agency - whether disclosure could reasonably
be expected to result in a person
being subjected to a serious act of harassment
or intimidation – whether disclosure could reasonably be expected to
prejudice
a person’s fair trial or the impartial adjudication of a case
– whether disclosure could reasonably be expected to prejudice
the
effectiveness of a lawful method or procedure for preventing, detecting,
investigating or dealing with a contravention or possible
contravention of the
law - whether exempt - sections 47(3)(a) and 48 and schedule 3, sections
10(1)(d), 10(1)(e) and 10(1)(f) of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
The
Access Applicant, being the Third Party to this decision, made an
Access Application under the Right to Information Act 2009 (Qld)
(RTI Act) to the Office of Industrial Relations (OIR)
seeking:
Notices issued by OIR staff regarding the incident [reference number]
relating to spray drift. Entities involved: WJA Trading Pty
Ltd and [name of
another entity] (WHS unit: Agriculture unit Maroochydore)’ dated October
2019 to 16 July 2021.[1]
OIR
located 19 pages in response to the Access Application.
While
processing the application, OIR consulted with WJA Trading Pty Ltd (ER
Applicant) as a relevant third party under section 37 of the RTI Act. The ER
Applicant objected to the disclosure of all information located
by OIR. After
considering these objections, Council decided to release 10 full pages and 9
part pages[2] to the Access
Applicant.[3]
The
ER Applicant applied for internal review of OIR’s
decision,[4] and OIR affirmed its
original decision upon internal
review.[5]
The
ER Applicant then applied[6] to the
Office of the Information Commissioner (OIC) for external review of
OIR’s internal review decision to disclose information contrary to the ER
Applicant’s objections.
For
the reasons set out below, I affirm OIR’s decision and find that there is
no basis under the RTI Act to refuse access to
the information remaining in
issue.
Background
The
ER Applicant operates a farming property. The Access Applicant’s property
is located in the same vicinity.
Significant
procedural steps in this external review are set out in the
Appendix.
Reviewable decision and evidence considered
The
decision under review is OIR’s internal review decision dated 8 December
2021.
The
evidence, submissions, legislation and other material I have considered in
reaching this decision are disclosed in these reasons
(including the footnotes
and the Appendix).
The
Human Rights Act 2019 (Qld) (HR Act) affords human rights to
individuals in Queensland. In this case, the ER Applicant is a corporation but
the Access Applicant (who
is a participant in this review) is an individual.
President Kingham in Waratah Coal Pty Ltd v Youth Verdict Ltd &
Ors[7] indicated that where
section 58(1) of the HR Act applies, there need be no mover to raise human
rights issues because that section
requires the relevant public entity to
properly consider engaged human rights and not to act or make a decision that is
not compatible
with human rights. As such, I have taken into account that the
Access Applicant is an individual with human rights. I also note Bell
J’s
observations in XYZ v Victoria Police
(General)[8] on the interaction
between the Victorian analogues of Queensland’s RTI Act and HR
Act[9] ‘it is perfectly
compatible with the scope of that positive right in the Charter for it to be
observed by reference to the scheme of,
and principles in, the Freedom of
Information Act.’ In observing and applying the
law prescribed in the RTI Act, as I have done in this case, I am
‘respecting and acting compatibly with’ applicable human
rights as stated in the HR
Act.[10]
Information in issue
During
the course of the review, OIC conveyed the preliminary
view[11] that six of the 19
pages[12] OIR had identified as
responsive to the Access Application were out of scope of the Access
Application. The Access Applicant and
OIR accepted this view and the Access
Applicant confirmed they continued to seek access to the remaining
information.
As
such, 6 full pages and 7 part
pages[13] remain in issue in this
external review. These comprise information appearing in improvement notices
issued by OIR to the ER Applicant
regarding spray drift (Improvement
Notices).
Onus
As
the decision under review is a disclosure
decision,[14] the ER Applicant bears
the onus of establishing that a decision not to disclose the Improvement Notices
is justified or that the
Information Commissioner should give a decision adverse
to the Access
Applicant.[15]
Issues for determination
Under
the RTI Act, a person has a right to be given access to documents of an
agency.[16] However, this right is
subject to provisions of the RTI Act, including the grounds on which an agency
may refuse access to documents.
Relevantly, an agency may refuse access to
exempt information[17] or to
information the disclosure of which would, on balance, be contrary to the public
interest.[18]
The
ER Applicant provided OIC with a number of submissions regarding grounds for
refusal of access to the Improvement Notices. In
summary, the ER Applicant
submits:
the Improvement
Notices comprise exempt information, on the basis that disclosure could
reasonably be expected to:
result
in a person being subjected to a serious act of harassment or
intimidation[19]
prejudice
a person’s fair trial or the impartial adjudication of a
case;[20] or
prejudice
the effectiveness of a lawful method or procedure for preventing, detecting,
investigating or dealing with a contravention
or possible contravention of the
law (including revenue law);[21]
or
disclosing the
Improvement Notices would, on balance, be contrary to the public
interest.
Accordingly,
the first issue for me to determine is whether access to the Improvement Notices
may be refused on the ground that they
are exempt information; and the second
issue for me to determine is whether access to the Improvement Notices may be
refused on the
ground that, on balance, their disclosure would be contrary to
the public interest.[22]
The
ER Applicant has also raised
concerns[23] about:
OIR’s
handling of personal information
the process
which led to the issue of improvement notices and the content of those notices;
and
the conduct of
individuals.
OIC
has informed the ER Applicant[24]
that OIC’s jurisdiction in this review does not extend to investigating or
addressing concerns of these types; rather, it is
limited to reviewing
OIR’s decision to disclose the Improvement Notices under the RTI Act.
[25] To the extent the ER
Applicant’s submissions in this respect are relevant to the issues for
determination, I have addressed
them below.
Exemptions raised by the ER Applicant
Serious act of harassment or intimidation
The
RTI Act provides that information is exempt information if its disclosure could
reasonably be expected to result in a person being
subjected to a serious act of
harassment or
intimidation.[26]
For
this exemption to apply, I must be satisfied that:
there is a
reasonable expectation[27] of
harassment and intimidation arising as a result of disclosure, rather than from
other circumstances; and
the expected
harassment or intimidation is serious in
nature.[28]
Factors
that might be relevant in considering whether harassment and intimidation could
reasonably be expected to occur include, but
are not limited
to:
past conduct or
a pattern of previous conduct
the nature of
the information in issue
the nature of
the relationship between the relevant parties; and
relevant
contextual and or cultural
factors.[29]
The
ER Applicant’s submissions outline the following examples of past conduct
by the Access Applicant and associate/s of the
Access Applicant which, in its
submission, give rise to a reasonable expectation of further harassment and
intimidation:[30]
harassment,
threats, verbal abuse and physical intimidation
‘constant
surveillance’ of certain individuals and their property
‘repeated
malicious and vexatious complaints’ to several government departments
and local governments from 2019 to
2022;[31] and
‘ongoing
repeated litigation actions as recent as 2022’.
The
ER Applicant’s submissions also state:
it has taken
certain steps regarding harassment, intimidation and threats
it has
‘spent every day over the last three years vigorously defending
[its] farming practices against malicious and vexatious complaints with
no relief and significant cost’
it believes that
the ‘[i]n excess of 216 photos and in excess of 319 video files’
held by OIR were taken from the Access Applicant’s
property[32]
individuals
involved with the ER Applicant fear for their safety
it is concerned
disclosure would lead to individuals ‘being subjected to continuous
acts of harassment and intimidation’, an ‘escalation of a
matter unnecessarily’, and ‘repeated litigation actions and
increased harassment and intimidation’; and
the Access
Applicant has informed the ER Applicant that the Access Applicant intends to
take legal action against the ER Applicant
and/or individuals involved with the
ER Applicant, and that the Access Applicant is seeking to obtain the Improvement
Notices to
‘build a case’.
Insofar
as the ER Applicant makes submissions about conduct described as harassment,
threats, verbal abuse, physical intimidation
and surveillance:
I note that it
appears there is a pre-existing acrimonious relationship between the ER
Applicant and certain other individuals regarding
the ER Applicant’s
farming practices. I further note that, on careful consideration of the
Improvements Notices themselves,
it is reasonable to conclude that the
information they contain is relatively benign and the enforcement actions they
refer to are
relatively low level.
Taking these
matters into account, even if I were to accept the entirety of the ER
Applicant’s submissions regarding past conduct,
I do not consider there
would be the required correlation or nexus between disclosing the Improvement
Notices and a reoccurrence
of harassment, threats, verbal abuse, physical
intimidation and surveillance which is required for the exemption to apply. I am
not
satisfied the evidence before me shows that any further conduct of this
nature would occur as a result of disclosure of the Improvement Notices,
rather than independently or from any other
circumstances.[33] I consider that
conduct of the type raised in the ER Applicant’s submissions may, in all
likelihood, occur or reoccur regardless
of whether or not the Improvement
Notices are disclosed.[34]
I also observe
that, while the ER Applicant’s submissions provide some information about
conduct that could, if accepted, properly
be characterised as harassment and
intimidation, it is somewhat difficult given the limited material before me to
conclude that such
conduct amounts to serious harassment or intimidation,
in the sense required for this exemption to
apply.[35] I acknowledge that the ER
Applicant’s submissions convey some distress and frustration, but I am not
satisfied the ER Applicant
has met its onus in this review of establishing that
such conduct is sufficiently weighty, critical or concerning to meet the legal
threshold to amount to serious harassment or intimidation for the purpose of the
exemption.
Insofar
as the ER Applicant submits that the Access Applicant seeks access to the
Improvement Notices to ‘build a case’ and has
communicated an intention to take legal action:
I accept that
legal action may occur and could be considered as, at least in part, arising
as a result of disclosing the Improvement Notices.
It is not my
role to evaluate the merits of potential legal proceedings that may arise out of
circumstances related to information
in issue on external review.
[36] The question for me is whether such
legal action (in whatever form this may take) could be properly categorised as
serious harassment
or intimidation. I am not satisfied that the ER Applicant has
fulfilled its onus of establishing that such legal action would constitute
harassment and intimidation, serious or otherwise.
The ER Applicant
has, in its submissions,[37]
identified a previous decision of the Information Commissioner in which repeated
litigation actions were found to amount to a serious
act of harassment or
intimidation in the sense required for schedule 3, section 10(1)(d) of the RTI
Act. In Toogood, the Information Commissioner found that the exemption
applied where the applicants in that case had engaged in a pattern of hostile
communications, complaints and voluminous threats of legal action. In relation
to this pattern of behaviour, the Information Commissioner
stated:[38]
Having considered the nature of the applicants’ complaints and threats
of legal action, I am satisfied that a great number of
these matters are
unsubstantiated, lack substance or are otherwise unreasonable. The allegations
concern a very large number of individuals
and entities, and a wide range of
matters such as corruption, breaches of the Competition and Consumer Act
2010 (Cth), breach of copyright, perjury and littering. When the nature of
these complaints and threats are considered, along with the volume
and breadth
of these matters, and the extent of correspondence and social media
communications generated by the applicants, I am
satisfied that applicants have
engaged in a pattern of unreasonable behaviour that ‘persistently
disturbs’ and ‘torments’
Council, certain Council officers and
third parties.
I do not
consider the complaints or threatened legal action to which the ER Applicant
refers can be considered ‘unsubstantiated’, ‘lacking
in substance’ or ‘otherwise unreasonable’ in the
sense described by the Information Commissioner in
Toogood.[39] I accept that
the ER Applicant has vigorously defended complaints made against it and
considers these complaints to be malicious
and vexatious. However, as mentioned
above, it is not my role to evaluate every complaint and legal proceeding
brought or threatened
against the ER
Applicant.[40] The information
before me does not indicate that the OIR determined that the complaints to which
the Improvement Notices relate were
unfounded, nor that any of the government
agencies receiving these complaints determined that they were malicious or
vexatious. Accordingly,
on the evidence before me, I do not consider the history
of complaints, or the fact of the Access Applicant having allegedly communicated
an intention to take legal action, gives rise to a reasonable expectation that
disclosure would result in a serious act of harassment
or
intimidation.
I
also do not consider that the fact OIR hold on record a number of photo and
video files relating to the incident to be a serious
act of harassment or
intimidation, or an indicator that serious acts of harassment or intimidation
could reasonably be expected to
occur. In this respect, I note the 22 April 2021
letter from OIR to which the ER Applicant refers indicates that these files were
not solely provided by third parties, but included photographs and videos taken
by ‘the inspector’ and individuals associated with the ER
Applicant. To the extent the referenced photos and videos include those provided
by third
parties, on the information before me, I do not consider that a party
providing documentary evidence supporting a complaint about
contraventions of
the Work Health and Safety Act 2011 (Qld) (WHS Act) on its face
constitutes a serious act of harassment or intimidation.
The
ER Applicant also cites a recent violent incident involving farming families
which was reported in the media in support of its
concerns for the safety of
individuals and the potential escalation of a
dispute.[41] I do not consider that
this incident, involving individuals unrelated to the ER Applicant and Access
Applicant, has any bearing on
the question in this review regarding whether
serious harassment or intimidation could reasonably be expected to result from
disclosure
of the Improvement Notices.
In
conclusion, having carefully considered all material before me, I cannot
conclude that disclosure of the Improvement Notices could
reasonably be expected
to result in a person being subjected to serious act of harassment or
intimidation. Accordingly, I am not
satisfied that these Notices are exempt
information under schedule 3, section 10(1)(d) of the RTI Act.
Other exemptions raised
The
ER Applicant has also referenced schedule 3, sections 10(1)(e) and 10(1)(f) of
the RTI Act in its submissions to OIC that access
to the Improvement Notices
should be refused.[42] These
sections provide that information is exempt information if its disclosure could
reasonably be expected to:
prejudice a
person’s fair trial or the impartial adjudication of a
case;[43] or
prejudice the
effectiveness of a lawful method or procedure for preventing, detecting,
investigating or dealing with a contravention
or possible contravention of the
law (including revenue
law).[44]
For
the exemption at schedule 3, section 10(1)(e) of the RTI Act to apply, there
must be a particular criminal proceeding or case
to be adjudicated which would
be impacted by disclosing the information in
issue.[45] I am unaware of, and the
ER Applicant has not identified,[46]
any such proceedings or case to which it submits prejudice would occur if the
Improvement Notices were disclosed. Even if there were
proceedings currently on
foot or a case to be adjudicated, I am unable to
identify[47] the nature and extent
of the anticipated prejudice to those processes that would result from
disclosure.[48]
For
information to be exempt under schedule 3, section 10(1)(f) of the RTI Act,
there must be ‘an identifiable method or procedure’ used by
the agency for preventing, detecting, investigating or dealing with a
contravention or possible contravention of the
law.[49] On the information before
me, I am unable to identify, and the ER Applicant has not
identified,[50] any method or
procedure which would be impacted by disclosure of the Improvement
Notices.
Accordingly,
I am not satisfied that the Improvement Notices are exempt information under
schedule 3, sections 10(1)(e) or 10(1)(f)
of the RTI Act.
Public interest balancing test
In
assessing whether disclosure of information would, on balance be contrary to the
public interest, a decision maker
must:[51]
identify factors
that are irrelevant to determining the public interest and disregard them
identify factors
favouring disclosure of the information
identify factors
favouring nondisclosure of the information; and
decide whether,
on balance, disclosure of the information would be contrary to the public
interest.
Schedule
4 of the RTI Act contains non-exhaustive lists of factors that may be relevant
to determining where the balance of public
interest lies in a particular case. I
have considered these factors, together with all relevant information, in
reaching my decision.[52] I have
also kept in mind the RTI Act’s pro-disclosure
bias.[53]
Irrelevant factors
The
ER Applicant has raised concerns that:
access to the
Improvement Notices is being sought by a party ‘not acting in the
“Public Interest” rather in a personal capacity to frustrate,
intimidate and harass...’ and as a ‘ruse method to try and
validate evidence of spray drift that does not
exist’;[54] and
the
‘release of “piecemeal notices” of a much broader
investigation across multiple agencies with multiple responses would
only lead
to mis-interpretation by the public and not serve in the public’s
interest...’.[55]
The
RTI Act does not require access applicants to supply reasons for making an
access request.[56] It is well
settled that an applicant’s motives for requesting information are
irrelevant to a consideration as to whether
access should be granted to
requested information.[57] The RTI
Act also states that the fact that disclosure could reasonably be expected to
result in the applicant misunderstanding or
misinterpreting the information is
irrelevant to determining the public
interest.[58]
I
have not taken into account the above matters, or any other irrelevant factors,
in making this decision.
Factors favouring disclosure
The
RTI Act sets out factors favouring disclosure in circumstances where disclosing
information could reasonably be expected to:
promote open
discussion of public affairs and enhance the government’s
accountability[59]
inform the
community of the government’s operations, including, in particular, the
policies, guidelines and codes of conduct
followed by the government in its
dealings with members of the
community[60]
reveal the
reason for a government decision and any background or contextual information
that informed the decision;[61]
and
reveal
environmental or health risks or measures relating to public health and
safety.[62]
The
ER Applicant submits that ‘release is unnecessary’ because
the investigation to which the Improvement Notices relate has been
closed[63] and the notices complied
with.[64] Even so, I consider that
release of the Improvement Notices would reveal the steps OIR has taken in
dealing with matters relating
to public health and
safety,[65] including in relation to
investigations conducted in response to reported breaches of the WHS Act. I also
consider disclosure would
enhance OIR’s accountability in relation to
investigations conducted into reported breaches of the WHS
Act[66] and promote transparency in
relation to the reasons for its decisions under that
Act.[67] I consider these factors
favouring disclosure deserve significant weight.
Factors favouring nondisclosure
I
have considered whether disclosure of the Improvement Notices could prejudice
the privacy of individuals or reveal their personal
information.[68] The ER Applicant
submits that improvement notices are ‘between myself and Work
WHS’ and that disclosure could reasonably be expected to prejudice the
protection of an individuals’ right to
privacy.[69] OIR
decided[70] to refuse the Access
Applicant’s access to names of third party individuals, and so this
information has been redacted in the
Improvement Notices. I consider this
substantially mitigates any prejudice to the privacy of individuals that may
otherwise result
from disclosure. To the extent the Improvement Notices include
company names, addresses and ABNs, I do not consider it was Parliament’s
intention, when drafting schedule 4, part 3, item 3 and part 4, section 6(1) of
the RTI Act, that these nondisclosure factors would
extend to protect
information identifying a
company.[71] While the ER Applicant
submits that individuals associated with the ER Applicant company can be easily
identified,[72] in my view any
prejudice to the privacy of these individuals resulting from disclosure of the
Improvement Notices would be
minimal.[73] Accordingly, I afford
these factors favouring nondisclosure low weight.
In
its original decision notice to the ER
Applicant,[74] OIR noted that
improvement notices issued under section 191 of the WHS Act are required to be
displayed at a prominent place at or
near the
workplace.[75] The ER Applicant
submits that the ‘workplace is within private boundaries’ and
that ‘the notices are private to the workplace specifically and have
not been displayed in the public
domain’.[76] I do not
consider that the fact of the relevant workplace being within private boundaries
nullifies the intention of the WHS Act
that improvement notices be displayed,
and not be treated as private, confidential or secret. I also note that the
purpose of the
RTI Act is to make available documents that are not otherwise
publicly available. I do not consider the fact of the relevant workplace
being
within private boundaries reduces the weight I have afforded to any of the
factors I have identified in this decision as favouring
disclosure of the
Improvement Notices.
I
have also considered whether disclosure of the Improvement Notices would
prejudice the private, business, professional, commercial
or financial affairs
of entities[77] or prejudice the
business affairs of a person. [78]
The ER Applicant submits that:
the Improvement
Notices are ‘misleading’, and that the ER Applicant applied
for internal review of a decision to issue one of the
notices;[79] and
disclosure would
cause ‘maximum frustration and embarrassment of my farming practices
with no public
defence’.[80]
It
is not my role in this review to determine whether content of, or decision to
issue, the Improvement Notices was correct. I acknowledge
the ER Applicant does
not accept or admit any fault in relation to the incidents the subject of the
notices and disagrees with the
decision to issue the Improvement Notices. Having
considered the Improvement Notices, I do not consider that they can be
classified
as ‘misleading’ in such a way that their release
would unfairly harm the ER Applicant’s business reputation. However, I do
consider
that release of the Improvement Notices would reveal information about
OIR’s investigations and actions taken to seek improvement
of the ER
Applicant’s practices, and that this may impact the ER Applicant’s
reputation. I also consider the Improvement
Notices generally relate to the ER
Applicant’s business affairs. Having considered the information before me,
including the
relatively low level nature of the action taken by OIR by issuing
improvement notices (as opposed to more robust enforcement action),
I consider
that any impact to the ER Applicant’s reputation and business affairs
would be minor. Accordingly, I afford low
weight to these factors favouring
nondisclosure.
The
ER Applicant also submits disclosure of the Improvement Notices would prejudice
the fair treatment of individuals, and the information
is about unsubstantiated
allegations of misconduct or unlawful, negligent or improper
conduct.[81] I accept that the ER
Applicant denies the circumstances leading to the issuing of the Improvement
Notices. However, I do not consider
that the allegations in the Improvement
Notices can be considered unsubstantiated in circumstances where the inspector
issuing the
notices was satisfied as to the circumstances described therein such
that they issued the notices.[82]
Accordingly, I consider this factor favouring nondisclosure does not
apply.
The
ER Applicant has also raised the following factors favouring nondisclosure in
this review:[83]
prejudice to
security, law enforcement or public
safety[84]
impeding the
administration of justice
generally,[85] or for a
person;[86] and
disclosure is
prohibited by an
Act.[87]
The
ER Applicant has provided no further explanation as to why, in its submission,
these factors arise to favour nondisclosure of
the Improvement
Notices.[88] I am unable to identify
how the administration of justice would be impeded by disclosure of the
Improvement Notices or the relevant
legislative provision pursuant to which the
ER Applicant submits disclosure is
prohibited.[89] Also, as set out
above,[90] I consider that
disclosure of the Improvement Notices would reveal the steps OIR has taken to
protect public safety and I am unable
to ascertain how disclosure could
prejudice security, law enforcement or public safety. Accordingly, I do not
consider that these
factors apply to favour nondisclosure of the Improvement
Notices.
Finally,
given that the public interest factors listed in the RTI Act are not exhaustive,
I have also considered whether the applicant’s
submissions about
harassment and intimidation[91]
raise a public interest factor favouring nondisclosure requiring consideration
in the context of the public interest test—that
is, whether disclosure
could reasonably be expected to result in a person being subjected to lower
level (ie. less than serious)
harassment and
intimidation.[92]
In
terms of whether the types of past conduct the ER Applicant considers comprise
harassment and intimidation could reasonably be
expected to reoccur as a result
of disclosing the Improvement Notices, I repeat and rely on my observations at
paragraphs [25] to [28] above. Accordingly, I am unable to
discern a correlation or nexus between disclosure of the Improvement Notices and
the reoccurrence
of the types of past conduct described by the ER Applicant as
harassment, threats, verbal abuse, physical intimidation and surveillance.
Further, while there may be a correlation between disclosure and possible legal
action or complaints by the Access Application, I
do not consider that the ER
Applicant has satisfied the onus on it in this review of establishing that any
such action they anticipate
will result from disclosure could be properly
classified as ‘harassment or intimidation’. While I accept that the
ER
Applicant may understandably wish to avoid any such action, or even the
prospect of it, I do not consider that disclosure of the
Improvement Notices
could reasonably be expected to result in harassment or intimidation.
Accordingly, I afford no weight to this
factor favouring
nondisclosure.
I
have carefully considered all other factors against disclosure, both in schedule
4, parts 3 and 4 of the RTI Act and more generally.
I am unable to identify
further factors which could be considered applicable in the circumstances of
this review.
Balancing the public interest
I
am satisfied that the significant weight of the pro-disclosure factors relating
to the accountability and transparency of OIR outweighs
the low weight I have
afforded to the nondisclosure factors related to privacy and personal
information of individuals, business
affairs of the ER Applicant and lower level
harassment or intimidation.
Based
on the information before me, and for the reasons set out above, I am not
satisfied that disclosing the Improvement Notices
would, on balance, be contrary
to the public interest.
Other matters raised
The
ER Applicant notes the fact that it ‘had no representation when the
notices were issued’ as one of the reasons that release of the
Improvement Notices is
unnecessary.[93] I do not consider
the engagement (or otherwise) of legal representation when the notices were
issued has any bearing on my assessment
of whether access should be refused to
the Improvement Notices under the RTI Act.
[94]
The
ER Applicant has referred to an access application it made previously to a
Queensland government agency in response to which it
received a notice refusing
its access to the requested information. The ER Applicant submits that this
indicates a ‘conflict between RTI officers on the release of
information that is confidential to protect the complainant’, or a
‘double
standard’.[95] While the
ER Applicant may have concerns about the outcomes of separate access
applications, I must determine each case on its own
merits.[96] I consider that the
outcome of the separate access application to which the ER Applicant refers has
no bearing on this review.
Conclusion
For
the reasons outlined above, I do not consider the ER Applicant has discharged
the onus imposed by section 87(2) of the RTI Act
in this review of establishing
that the Improvement Notices comprise exempt information, or that the release of
this information
would, on balance, be contrary to the public
interest.
Accordingly,
I am not satisfied that access to the Improvement Notices can be refused under
the RTI Act.DECISION
I
affirm OIR’s decision to disclose the Improvement Notices and find there
is no basis under the RTI Act to refuse access to
the Improvement Notices.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.A
RickardAssistant Information Commissioner Date: 15
March 2023
APPENDIX
Significant procedural steps
Date
Event
4 January 2022
OIC received the external review application.
5 January 2022
OIC requested preliminary documents from OIR.
6 January 2022
OIC received the requested preliminary documents from OIR.
7 January 2022
The Access Applicant confirmed that they continued to seek access.
25 January 2022
OIC advised OIR and the ER Applicant that the external review application
had been accepted.OIC conveyed a preliminary view to the ER Applicant, OIR
and the Access Applicant.
7 February 2022
OIR advised OIC it agreed with OIC’s preliminary view.
9 February 2022
The ER Applicant provided submissions in response to OIC’s
preliminary view.
10 February 2022
OIC re-sent its 25 January 2022 preliminary view to the Access
Applicant.The Access Applicant advised OIC they agreed with OIC’s
preliminary view.
16 June 2022
OIC conveyed a further preliminary view to the ER Applicant.
4 July 2022
The ER Applicant requested an extension of time to respond to OIC’s
preliminary view.OIC granted the extension of time.
4 August 2022
The ER Applicant provided submissions in response to OIC’s
preliminary view.
23 August 2022
OIC conveyed a third preliminary view to the ER Applicant.
24 August 2022
The Access Applicant applied to participate in the review.
25 August 2022
OIC provided OIR with an update.
6 September 2022
The ER Applicant provided submissions in response to OIC’s
preliminary view.
6 October 2022
OIC conveyed a final preliminary view to the ER Applicant and confirmed the
matter would proceed to final decision.
[1] The access application is dated
16 July 2021. The Access Applicant subsequently agreed to narrow the scope of
the access application
in correspondence with OIR dated 26 August
2021.[2] Access to some
information on pages 1, 4, 7, 8, 11, 12, 14, 15 and 17 of the 19 pages was
refused on the grounds that, on balance,
disclosure would be contrary to the
public interest under sections 47(3)(b) and 49 of the RTI
Act.[3] OIR’s decision dated
13 October 2021.[4] Internal
review application dated 10 November 2021 (IR
Application).[5] Internal
review decision dated 8 December 2021.
[6] External review application
dated 4 January 2022 (ER Application).
[7] [2020] QLC 33 at
[90].[8] [2010] VCAT 255 (16 March
2010) (XYZ) at
[573].[9] Freedom of
Information Act 1982 (Vic) and the Charter of Human Rights and
Responsibilities Act 2006 (Vic).
[10] XYZ at [573];
Horrocks v Department of Justice (General) [2012] VCAT 241 (2 March 2012)
at [111].[11] Dated 25 January
2022.[12] Pages 1-3 and 17-19 of
the 19 pages.[13] Pages 4-16 of
the 19 pages. As noted at footnote 2 above, access to some information on pages
4, 7, 8, 11, 12, 14 and 15 of the 19
pages was refused. These redactions are
consistent with the ER Applicant’s view that all information should be
refused. The
Access Applicant did not seek review of them.
[14] ‘Disclosure
decision’ is defined in section 87(3) of the RTI Act as ‘a
decision to disclose a document or information contrary to the views of a
relevant third party obtained under section 37’ of the RTI
Act.[15] Section 87(2) of the
RTI Act.[16] Section 23 of the
RTI Act.[17] Pursuant to
sections 47(3)(a) and 48 of the RTI
Act.[18] Pursuant to sections
47(3)(b) and 49 of the RTI
Act.[19] Schedule 3, section
10(1)(d) of the RTI Act.[20]
Schedule 3, section 10(1)(e) of the RTI
Act.[21] Schedule 3, section
10(1)(f) of the RTI Act.[22]
BL v Office of the Information Commissioner, Department of Communities
[2012] QCATA 149 at [15]- [16].
[23] IR Application, extracted
in ER Application; ER Applicant’s submissions dated 6 September
2022.[24] In the fourth
preliminary view to the ER Applicant dated 6 October
2022.[25] Fourth preliminary
view to the ER Applicant dated 6 October
2022.[26] Schedule 3, section
10(1)(d) of the RTI Act.[27] The
term ‘could reasonably be expected to’ requires that the
expectation is reasonably based and that it is neither irrational, absurd or
ridiculous, nor merely a possibility;
6ZJ3HG and Department of Environment
and Heritage Protection; OY76VY (Third Party) [2016] QICmr 8 (24
February 2016) (6ZJ3HG) at
[30].[28] 6ZJ3HG at [29],
citing Watson v Office of the Information Commissioner Queensland &
Ors [2015] QCATA 095 (Watson); Sheridan and South Burnett
Regional Council (and Others) (Unreported, Queensland Information
Commissioner, 9 April 2009) (Sheridan) at [191]; Murphy and
Treasury Department [1995] QICmr 23; (1995) 2 QAR 744 at [54]; Seven Network (Operations)
Limited and Redland City Council (Unreported, Queensland Information
Commissioner, 30 June 2011) at
[19].[29] 6ZJ3HG at [31],
citing Sheridan at [193] and Richards and Gold Coast City Council
(Unreported, Queensland Information Commissioner, 28 March 2012) at [19].
[30] ER Application; ER
Applicant’s submissions dated 9 February 2022, 4 August 2022 and 6
September 2022.[31] In its IR
Application, extracted in the ER Application, the ER Applicant refers to
‘approximately 20 contacts with WHS and other department [sic]
up to present date’. The ER Applicant also submits these complaints
are for the purpose of closing down its business; ER Applicant’s email to
OIR
dated 5 October 2021, extracted in the ER
Application.[32] In this regard,
the ER Applicant has provided a copy of correspondence from OIR dated 22 April
2022 in relation to a previous access
application seeking documents relating to
the same incident, in which OIR stated it had identified ‘[i]n excess
of 216 photos and in excess of 139 video files’ as responsive to that
access application.[33]
Watson at [19].[34]
6ZJ3HG at [37]-[38].[35]
The use of the word ‘serious’ in schedule 3, section 10(1)(d)
of the RTI Act indicates Parliament’s intention, when passing this
provision, that some degree
of low level harassment or intimidation would be
tolerated before the exemption could be invoked; Toogood and Cassowary
Coast Regional Council [2018] QICmr 13 (22 March 2018)
(Toogood) at
[18].[36] Toogood at
[22].[37] ER Applicant’s
submissions dated 9 February 2022 and 4 August
2022.[38] Toogood at
[23].[39]
Ibid.[40] Ibid at
[22].[41] ER Applicant’s
submissions dated 6 September
2022.[42] ER Applicant’s
submissions dated 4 August
2022.[43] Schedule 3, section
10(1)(e) of the RTI Act.[44]
Schedule 3, section 10(1)(f) of the RTI
Act.[45] Campbell and North
Burnett Regional Council; Melior Resources Incorporated (Third Party) [2016]
QICmr 4 (29 January 2016) (Campbell) at
[25]-[26].[46] OIC noted this in
the third preliminary view to the ER Applicant dated 23 August
2022.[47] The ER Applicant has
also not identified the nature of the claimed prejudice, or how it considers
disclosure would result in the
claimed prejudice. OIC noted this in the third
preliminary view to the ER Applicant dated 23 August
2022.[48] Campbell at
[27].[49] The Gold Coast
Bulletin and Department of Police (Unreported, Queensland Information
Commissioner, 23 December 2010) at [10] and
[15].[50] OIC noted this in the
third preliminary view to the ER Applicant dated 23 August
2022.[51] Section 49(3) of the
RTI Act.[52] I have considered
each of the public interest factors outlined in schedule 4 of the RTI Act, and
any relevant factors are discussed
below.[53] Section 44 of the RTI
Act.[54] ER Applicant’s
submissions dated 6 September 2022; see also ER Applicant’s email to OIR
dated 5 October 2021, extracted
in the ER
Application.[55] ER
Applicant’s submissions dated 6 September 2022; see also IR Application,
extracted in ER Application.[56]
I note also that the RTI Act operates with a pro-disclosure bias: see section 44
of the RTI Act.[57] Rylsey
Enterprises Pty Ltd and Cassowary Coast Regional Council [2015] QICmr 13 (12
May 2015) at [15] and Helping Hands Network Pty Ltd and Department of
Education, Training and Employment (Unreported, Queensland Information
Commissioner, 30 October 2012) at [66] (which cited State of Queensland v
Albietz [1995] 1 Qd R 215 at 219 where de Jersey J observed that
‘the Freedom of Information Act does not confer any discretion
on the Information Commissioner, or the Supreme Court, to stop disclosure of
information because of
any particular motivation in the applicant’).
Refer also to Victoria Police v Marke [2008] VSCA 218 at
[66].[58] Schedule 4, part 1,
item 2 of the RTI Act.[59]
Schedule 4, part 2, item 1 of the RTI
Act.[60] Schedule 4, part 2,
item 3 of the RTI Act.[61]
Schedule 4, part 2, item 11 of the RTI
Act.[62] Schedule 4, part 2,
item 14 of the RTI Act.[63] ER
Applicant’s submissions dated 6 September
2022.[64] ER
Application.[65] Schedule 4,
part 2, item 14 of the RTI
Act.[66] Schedule 4, part 2,
items 1 and 3 of the RTI Act.
[67] Schedule 4, part 2, item 11
of the RTI Act.[68] Schedule 4,
part 3, item 3 and part 4, section 6(1) of the RTI
Act.[69] ER Applicant’s
email to OIR dated 5 October 2021, extracted in the ER Application; raising the
factor favouring nondisclosure
at schedule 4, part 3, item 3 of the RTI
Act.[70] OIR’s decision
notice to the Access Applicant dated 13 October
2021.[71] Schedule 4, part 3,
item 3 of the RTI Act seeks to protect ‘an individual’s
right to privacy’ (emphasis added). Likewise, schedule 4, part
4, section 6(1) of the RTI Act seeks to protect disclosure of ‘personal
information of a person’; and ‘personal
information’ is defined under the RTI Act as ‘information or
an opinion, including information or an opinion forming part of a database,
whether true or not, and whether recorded
in a material form or not, about an
individual whose identity is apparent, or can reasonably be ascertained,
from the information or opinion’ (emphasis added); schedule 5 of the
RTI Act and section 12 of the Information Privacy Act 2009
(Qld).[72] Telephone call
between ER Applicant and OIC dated 4 July
2022.[73] I note, for example,
that information about the directors of Australian companies is publicly
accessible by searching the Australian
Securities and Investments
Commission’s website. [74]
Dated 13 October 2021.[75]
Section 210(1) of the WHS
Act.[76] IR Application,
extracted in ER Application.[77]
Schedule 4, part 3, item 2 of the RTI Act. This factor was raised in the ER
Applicant’s email to OIR dated 5 October 2021,
extracted in the ER
Application.[78] Schedule 4,
part 3, item 15 of the RTI
Act.[79] IR Application,
extracted in ER Application.[80]
ER Applicant’s submissions dated 6 September
2022.[81] ER Applicant’s
email to OIR dated 5 October 2021, extracted in the ER Application; raising the
factor favouring nondisclosure
at schedule 4, part 3, item 6 of the RTI
Act.[82] On the information
before me, I am also aware that OIR’s decision to issue one of the
Improvement Notices was confirmed on
internal review.
[83] ER Applicant’s email
to OIR dated 5 October 2021, extracted in the ER Application; ER
Applicant’s submissions dated 4
August
2022.[84] Schedule 4, part 3,
item 7 of the RTI Act.[85]
Schedule 4, part 3, item 8 of the RTI
Act.[86] Schedule 4, part 3,
item 9 of the RTI Act.[87]
Schedule 4, part 3, item 22 of the RTI
Act.[88] OIC noted this in the
first and third preliminary views to the ER Applicant dated 25 January and 23
August 2022. OIC has also informed
the ER Applicant of its onus in this review
to establish that a decision not to disclose the Improvement Notices is
justified: section
87(2) of the RTI
Act.[89] I also note that the
Improvement Notices were issued under the WHS Act and are required to be
displayed at a prominent place at or
near the workplace: section 210(1) of the
WHS Act. [90] At paragraph [40]
of this decision.[91] As noted
in paragraphs [20] to [29] above, I do not accept the ER Applicant’s
submission that disclosure of the Improvement
Notices could reasonably be
expected to result in a serious act of harassment or
intimidation.[92] 6ZJ3HG
at [69]-[71].[93] ER
Applicant’s submissions dated 6 September
2022.[94] OIC explained this in
the fourth preliminary view to the ER Applicant dated 6 October
2022.[95] IR Application,
extracted in the ER
Application.[96] OIC explained
this in the first preliminary view to the ER Applicant dated 25 January 2022.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Morse and Queensland Police Service [2017] QICmr 38 (31 August 2017) |
Morse and Queensland Police Service [2017] QICmr 38 (31 August 2017)
Last Updated: 1 December 2017
.Decision and Reasons for Decision
Citation:
Morse and Queensland Police Service [2017] QICmr 38
(31 August 2017)
Application Number:
312986
Applicant:
Morse
Respondent:
Queensland Police Service
Decision Date:
31 August 2017
Catchwords:
ADMINISTRATIVE LAW – INFORMATION PRIVACY ACT – REFUSAL TO
DEAL – application for access to information about searches
for
applicant’s personal information appearing in police database –
whether application is expressed to relate to all
information of a stated kind
– whether all of the documents to which the application relates would
comprise exempt information
– section 59 of the Information Privacy Act
2009 (Qld)
ADMINISTRATIVE LAW – RIGHT TO INFORMATION ACT – EXEMPT
INFORMATION – LAW ENFORCEMENT AND PUBLIC SAFETY INFORMATION
–
whether disclosure of information about searches for applicant’s personal
information in police database could reasonably
be expected to prejudice the
effectiveness of a lawful method or procedure for preventing, detecting,
investigating or dealing with
a contravention or possible contravention of the
law – applicant concerned that his personal information in police database
may have been unlawfully accessed – whether information in police database
reveals that the scope of a law enforcement investigation
has exceeded the
limits imposed by law – schedule 3, section 10(1)(f) of the Right to
Information Act 2009 (Qld) – exception in schedule 3, section 10(2)(a)
of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Queensland Police Service (QPS) under the
Right to Information Act 2009 (Qld) (RTI Act) for access to
information showing the names of the police officers who had accessed his
personal information on the QPRIME database
(QPRIME)[1] from 2006 until 10
June 2016, and the dates on which such access
occurred.[2]
Given
the applicant’s application concerned his personal information, QPS
decided to process it under the Information Privacy Act 2009 (Qld) (IP
Act) and neither confirmed nor denied the existence of the requested
information under section 69 of that
Act.[3]
The
applicant sought internal review of QPS’s
decision.[4] On internal review, QPS
affirmed its original
decision.[5]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of QPS’s internal review
decision.[6]
On
external review, QPS accepted OIC’s preliminary
view[7] that the neither confirm nor
deny provision could not be relied on in this
case[8] and made alternative
submissions.[9]
For
the reasons set out below, I vary QPS’s decision and find that all
documents to which the application relates comprise exempt
information under
schedule 3, section 10(1)(f) of the RTI Act, as their disclosure could
reasonably be expected to prejudice QPS’s
lawful methods and procedures
and, therefore, section 59 of the IP Act can be relied on to refuse to deal with
the application.
Background
Significant
procedural steps relating to the application and external review process are set
out in the Appendix.
Reviewable decision
The
decision under review is QPS’s internal review decision dated 13 September
2016 to neither confirm nor deny the existence
of documents requested by the
applicant in his access application dated 20 June 2016.
Evidence considered
The
evidence, submissions, legislation and other material considered in reaching
this decision are disclosed in these reasons (including
the footnotes and
Appendix).
Issues to be determined
As
noted at paragraph 5 above, QPS no longer contends that section 69 of the IP Act
can be relied on to neither confirm nor deny the
existence of the documents
requested in the access application. Therefore, that provision is not considered
in this decision.[10]
The
Information Commissioner[11] can
decide any matter in relation to an application that could, under the
IP Act, have been decided by the agency dealing with the
application.[12] Accordingly, I
will now consider whether the application may be the subject of a refusal to
deal decision under section 59 of the
IP
Act.[13] To determine this issue, I
must consider whether:
the application
is expressed to relate to all documents, or all documents of a stated class,
that contain information of a stated
kind or relate to a stated subject matter;
and
all of the
documents to which the application relates comprise exempt
information.
In
support of his position that the requested information should be released, the
applicant generally relies
on:[14]
his knowledge of
previous releases of QPRIME information to other individuals
his belief that
there is a culture within QPS of unlawfully accessing QPRIME; and
his concern
that, due to media reporting around this issue, his profile on QPRIME has been
accessed unlawfully.
Relevant law
If
an access application is made to an agency under the IP Act, the agency should
deal with the application unless this would not
be in the public
interest.[15] One of the few
circumstances where it is not in the public interest to deal with an access
application is set out section 59 of the
IP Act as follows:
59 Exempt Information
(1) This section applies if—
(a) an access application is expressed to relate to all documents, or to all
documents of a stated class, that contain information
of a stated kind or relate
to a stated subject matter; and
(b) it appears to the agency or Minister that all of the documents to which
the application relates are comprised of exempt
information.
(2) The agency or Minister may refuse to deal with the application
without having identified any or all of the documents.
Exempt
information is information, the disclosure of which Parliament has considered
would, on balance, be contrary to the public
interest.[16] Schedule 3 of the RTI
Act lists the various types of information that constitute exempt information,
including:
10 Law enforcement or public safety information
(1) Information is exempt information if its disclosure could reasonably
be expected to—
...
(f) prejudice the effectiveness of a lawful method or procedure for
preventing, detecting, investigating or dealing with a contravention
or possible
contravention of the law;
...
(2) However, information is not exempt under subsection (1) if it
consists of—
(a) matter revealing that the scope of a law enforcement investigation has
exceeded the limits imposed by law; ...
Findings
Class of documents
For
section 59 of the IP Act to be enlivened, I must firstly consider whether the
application is expressed to relate to all documents,
or to all documents of a
stated class, that contain information of a stated kind, or relate to a stated
subject matter. To determine
this, it is necessary to examine the terms of the
access application.
OIC
has recently considered the application of section 59 of the IP Act in relation
to applications for information substantially
the same as that requested by the
applicant in the application which is the subject of this
review.[17] The applicant’s
application seeks access to specific information (QPRIME access
information) over a ten year
period,[18] namely:
Names and Dates of Police officers that have accessed any of my
information on the QPRIME data base.
I
am satisfied that the application is framed as a request to access all
entries in QPRIME relating to the applicant during the specified period. I
am also satisfied that the application is expressed to
relate to all documents
that contain information of a stated kind, that is, information demonstrating
when the applicant’s
personal information on QPRIME was accessed and by
whom. Accordingly, I find that the first limb of section 59 of the IP Act is
satisfied.
Exempt information
I
must also be satisfied that the documents to which the application relates are
comprised of exempt information. Of relevance to
this review, information will
be exempt information if the following are established:
there exists a
lawful method or procedure for preventing, detecting, investigating or dealing
with a contravention or possible contravention
of the law; and
disclosure could
reasonably be expected to prejudice that method or
procedure.[19]
QPS
submitted[20] that the process of
QPS officers accessing information in QPRIME forms an integral part of the
methods and procedures used by QPS
for preventing, detecting or investigating
contraventions, or possible contraventions of the law, specifically regarding
intelligence
and surveillance operations.
Further,
QPS submitted that disclosing the QPRIME access information would
reveal:
the number of
occasions on which QPS officers have accessed QPRIME in relation to a particular
individual
the nature of
the access; and
the number
and/or identity of the inquiring officer.
QPS
submitted that disclosure of such information would enable an individual to
deduce whether particular QPS units were monitoring
the individual’s
behaviour or involvement in activities, and the level of QPS
surveillance/investigation they were
under.[21] On this basis, QPS
submitted that disclosure of the QPRIME access information could reasonably be
expected to prejudice the effectiveness
of its lawful methods or procedures for
preventing, detecting, investigating or dealing with a contravention or possible
contravention
of the law.
The
applicant submitted[22] that
disclosure of the use of QPRIME as a method or procedure for preventing,
detecting, investigating or dealing with a contravention or possible
contravention
of the law could not be said to prejudice the effectiveness
of QPRIME as a method or procedure. In support of this position, the
applicant submitted as follows:
‘to
disclose either that the police keep information in a computerised database or
that police officers access the information
held in that database reveals
nothing which is novel, covert or
clandestine’[23]
‘disclosure
of methods or procedures which are “obvious and well known to the
community” is not likely to prejudice
their
effectiveness’[24]
some, but not
all of, QPRIME access information might be exempt under other specific
provisions in schedule 3, section 10 of the RTI
Act[25] which would
‘otherwise have no work to
do’[26]
‘if
Parliament had intended that keeping documents in the QPRIME database be
regarded as an integral part of QPS methods and
procedures ... then it would
have been unnecessary for the Parliament to have enacted the[se] specific
provisions’[27]
the logical
result of finding that the QPRIME access information may be refused under
schedule 3, section 10(1)(f) of the RTI Act
is that QPS may circumvent the
disclosure regimes in the RTI and IP Acts by claiming that ‘information
held by it in computer databases which may be searched and accessed by police
officers form an integral part of its lawful
methods or procedures’,
and ‘that effectively would operate to exempt the QPS from the
disclosure regimes’[28];
and
‘the
characterisation of QPRIME as “an integral part of QPS’s lawful
methods and procedures, etc.” ... may
have the absurd result of
some information in QPRIME being deemed not to be exempt information by
virtue of schedule 3, [section] 10(6) because it had been used by a
specialist intelligence or security unit of the QPS, but other
information continuing to be exempt as it was used by ordinary members of the
QPS’[29].
Having
considered the submissions provided by QPS on
review,[30] I am satisfied that,
when dealing with contraventions, or possible contraventions, of the law, QPS
officers record information about
certain individuals on QPRIME, and such
information may relate to intelligence or surveillance operations, or other
investigations.
Further, I am satisfied that QPS officers also access
information recorded in QPRIME both during and after such activities—for
example, to obtain background information and inform their decisions. Given this
position, I accept that accessing information in
QPRIME forms an integral part
of the methods and procedures used by QPS when dealing with contraventions, or
possible contraventions,
of the law.
The
existence of QPRIME as a database used by QPS, and the manner in which QPS
officers use QPRIME—namely, recording information
obtained by them and
accessing previously recorded information—are commonly known.
Consequently, I accept the applicant’s
submission that ‘to
disclose either that the police keep information in a computerised database or
that police officers access the information
held in that database reveals
nothing which is novel, covert or clandestine’.
The
applicant further submits that ‘disclosure of methods or procedures
which are “obvious and well known to the community” is not likely to
prejudice
their effectiveness’. In my view, this submission conflates
information confirming the existence of QPRIME with the QPRIME access
information. It suggests
that, because QPS’s use of QPRIME is
obvious or known to the community, it follows that disclosure of particular
information from that database—that
is, the QPRIME access
information—is not likely to prejudice the effectiveness of
QPS’s use of QPRIME.
However,
the prejudice does not, in my view, arise insofar as the QPRIME access
information reveals the existence of QPRIME, how it
works or its use by QPS
officers. Rather, the prejudice arises in terms of the QPRIME access
information revealing information (or
an absence of information) which enables
or assists an individual to deduce the level of surveillance they may (or may
not) be under.
This, in my opinion, reduces the effectiveness of QPRIME as a
system for recording and exchanging information within QPS as part
of conducting
intelligence or surveillance operations, or otherwise dealing with
contraventions, or possible contraventions, of the
law. I am satisfied that
disclosure of QPRIME access information, for any individual, whether that
individual is subject to intelligence
or surveillance operations or not, could
reasonably be expected to prejudice these lawful methods and procedures as a
whole.
In
reaching this conclusion, I have considered whether specific types of QPRIME
access information may, if released with surrounding
information redacted, not
qualify as exempt information. In this regard, I have noted that the applicant
does not seek access to
information which would identify particular QPS units or
the reasons for searches in QPRIME. However, I am of the view that releasing
names or other information specific to particular QPS officers may still enable
their identity and relevant unit, and therefore the
nature of surveillance or
intelligence (if any), to be ascertained. I have also considered the
possibility of releasing information
which indicates the frequency of access to
information on QPRIME about a particular individual by QPS officers generally,
or specific
QPS officers. However, doing so would, in my view, risk revealing
the level of QPS surveillance or investigation (if any) that an
individual is
under.
As
to the question of whether the expectation of prejudice is
reasonable,[31] I am satisfied that
QPS has demonstrated that there are particular
circumstances[32] in which
disclosing QPRIME access information could reasonably be expected to prejudice
the lawful methods and procedures used by
QPS, of which QPRIME is an integral
part, even though the information may otherwise appear innocuous on its face or
when read in
isolation.[33]
The
applicant submits that disclosure of QPRIME access information might be exempt
under other provisions in schedule 3, section
10,[34] that these provisions would
‘otherwise have no work to do’, and that it would have been
unnecessary for Parliament to enact them ‘if Parliament had intended
that keeping documents in the QPRIME database be regarded as an integral part of
QPS methods and
procedures’. It is my understanding that, in making
these submissions, the applicant’s position is that I cannot find that the
QPRIME
access information may be refused under schedule 3, section 10(1)(f) of
the RTI Act, as to do so would render the other provisions
raised by him
redundant. In respect of these submissions, I note that the provisions raised
by the applicant[35] require that an
investigation be on foot,[36] and
that the information in issue be given in the course of the investigation, or
obtained, used or prepared for
it.[37] However, the nature of the
information that would be subject to these provisions can be distinguished from
the information in issue
in this review. Here, the applicant is seeking
information about who accessed his records within QPRIME and when (whether or
not
such access related to any investigation). He is not seeking his records
viewed during any such access, nor is he seeking any documents
received or
generated during any investigation. Depending on the particular information and
circumstances, I consider it feasible
that the other exemption provisions in
schedule 3, section 10 of the RTI Act raised by the applicant—or indeed
schedule 3,
section 10(1)(f)—may possibly apply to information of this
nature. Accordingly, I cannot accept the applicant’s submissions
that, to
find that the QPRIME access information is exempt information under schedule 3,
section 10(1)(f) is to, in effect, find
that the other provisions raised by him
are superfluous.
I
also do not accept the applicant’s submission that the logical effect of
refusing access to the QPRIME access information
is that QPS may circumvent the
disclosure regimes in the RTI and IP Acts entirely by claiming that
‘information held by it in computer databases which may be searched and
accessed by police officers form an integral part of its lawful
methods or
procedures’. This decision relates only to the QPRIME access
information, not all information and documents stored on QPRIME. Each decision
on an access application must be considered on its own particular merits, on a
case by case basis.
Finally,
I do not accept the applicant’s submission that finding that the QPRIME
access information may be refused under schedule
3, section 10(1)(f) of the RTI
Act ‘may have the absurd result of some information in QPRIME
being deemed not to be exempt information by virtue of schedule 3,
[section] 10(6) because it had been used by a specialist intelligence or
security unit of the QPS, but other information continuing to be exempt
as it was used by ordinary members of the QPS’. In this regard, I
note that the relevance of one exemption provision does not necessarily preclude
the applicability of others.
If there were circumstances where the exemption
provisions in schedule 3, section 10(4) or (5) could apply, but for the
operation
of the exception raised by the applicant, the exemption provision in
schedule 3, section 10(1)(f) of the RTI Act may still apply,
depending on the
particular information and circumstances.
Given
these considerations, I am satisfied that the QPRIME access information
comprises exempt information under schedule 3, section
10(1)(f) of the RTI
Act.
Exception to the exemption
The
applicant also made an alternative
submission[38] that, if the QPRIME
access information does qualify as exempt information, it cannot be said on a
‘blanket basis’ that all documents must be exempt, because of
the exception to the exemption in schedule 3, section 10(2)(a) of the RTI Act.
This exception provides that information is not exempt information where it
reveals that the scope of a law enforcement investigation
has exceeded the
limits imposed by law.
In
his submissions,[39] the applicant
refers to previous cases of unauthorised QPRIME access and a ‘culture
within the QPS of officers accessing the QPRIME database unlawfully’.
In this regard, he refers to media articles discussing this
issue,[40] and expresses concern
that his personal information within QPRIME has been accessed
unlawfully.[41] However, for the
exception in schedule 3, section 10(2)(a) of the RTI Act to
apply,[42] the information itself,
that is, the QPRIME access information, must consist of material that
objectively reveals that the scope
of a law enforcement investigation has
exceeded the limits imposed by
law.[43]
In
the application that is the subject of this review, the applicant sought access
to QPRIME access information. As noted at paragraph
29 above, the applicant is
seeking to access information about who has accessed, viewed or otherwise
utilised his records within
QPRIME and when they did so, rather than seeking to
access records relating to an investigation. I am satisfied that the QPRIME
access information alone, cannot, of itself, reveal that any particular access
to QPRIME was unauthorised, or that the scope of any
law enforcement
investigation had exceeded the limits imposed by law. I also consider that this
is the case when considering the
QPRIME access information within the context of
all information before me in this review. Accordingly, I am satisfied that the
QPRIME
access information may, at best, amount to untested evidence concerning
an officer’s authority to access QPRIME in a particular
instance.
Given
this position, I cannot conclude that QPRIME access information reveals evidence
of an investigation having exceeded its limits.
Accordingly, I am satisfied
that on the available information in this review, the exception to the exemption
in schedule 3, section
10(2) of the RTI Act does not
apply.[44]
Other submissions
In
his submissions, the applicant also referred to other individuals who have
successfully obtained access to QPRIME access information
from QPS which
revealed, in one case, that an individual’s record had been accessed in
excess of 1,400 times.[45]
I acknowledge that QPS has, on some occasions in the past, disclosed QPRIME
access information.[46] However, in
processing a series of applications made to QPS by various individuals seeking
access to information substantially the
same as the QPRIME access information in
the past year, QPS identified several issues associated with disclosure of such
information,
which led to QPS making submissions to OIC regarding its
expectation of prejudice to its methods or procedures, as they relate to
QPRIME.[47]
The
position previously taken by QPS in relation to disclosure of QPRIME access
information does not have any impact on my finding
that this information meets
the requirements for exemption under schedule 3, section 10(1)(f) of the RTI
Act. There is nothing in
the IP Act which prevents an agency from reconsidering
its position on disclosure of particular information. Similarly, there is
no
requirement for me to follow the approach taken by an agency in response to a
previous access application. In conducting a merits
review, I am required to
determine each matter on its own facts and on the basis of the available
evidence at the time of making
my decision.
The
applicant also submitted that there is a significant public interest in
disclosure of the QPRIME access information. I acknowledge
that the IP Act is
to be administered with a pro-disclosure
bias[48] and that it is
Parliament’s intention that the grounds for refusing to deal with
applications be interpreted
narrowly.[49] However, the
exemptions in schedule 3 of the RTI Act set out the types of information which
Parliament has decided would, on balance,
be contrary to the public interest to
disclose. While an agency has discretion in these
circumstances,[50] the Information
Commissioner does not.[51] Once a
class of documents satisfies the requirements of an exemption, as I have found
in this case, I am precluded from considering
any public interest factors, no
matter how compelling.[52]
DECISION
I
vary the decision of QPS and find that section 59 of the IP Act can be relied on
to refuse to deal with the applicant’s access
application, on the basis
that the application is expressed to relate to all documents containing
information of a stated kind, and
all of the documents to which the application
relates comprise exempt information under schedule 3, section 10(1)(f) of the
RTI Act.
I
have made this decision under section 123 of the IP Act, as a delegate of the
Information Commissioner, under section 139 of the
IP
Act.A RickardAssistant Information
Commissioner Date: 31 August 2017
APPENDIX
Significant procedural steps
Date
Event
13 October 2016
OIC received the applicant’s external review application.
19 October 2016
OIC notified the applicant and QPS that the external review had been
accepted.
19 October 2016
OIC conveyed a preliminary view to QPS and invited QPS to provide
submissions in response.
24 October 2016
QPS accepted OIC’s preliminary view.
22 November 2016
OIC conveyed a preliminary view to the applicant and requested submissions
in response.
2 December 2016
The applicant requested, and was granted, an extension of time to provide
submissions.
8 December 2016
The applicant provided written submissions to
OIC.[53]
2 June 2017
OIC provided QPS with a copy of the applicant’s submissions on
external review and requested further submissions from QPS.
16 June 2017
QPS provided written submissions to
OIC.[54]
[1] QPRIME is the Queensland Police
Records and Information Management Exchange. This is the database used by QPS
to capture and maintain
records for all police incidents in
Queensland.[2] Access application
dated 20 June 2016.[3] Decision
dated 29 July 2016.[4] In a letter
to QPS dated 25 August 2016.[5]
Internal review decision dated 13 September
2016.[6] External review
application dated 30 September
2016.[7] Letter to QPS
dated 19 October 2016.[8] Given it
is commonly known that QPS maintains a computer database to capture and maintain
records about police incidents.[9]
Submission dated 24 October
2016.[10] Accordingly, the
applicant’s submissions in respect of QPS’s decision to neither
confirm nor deny the existence of documents
requested in the access application
have also not been addressed in these reasons for decision.
[11] Or delegate.
[12] Section 118(1)(b) of the IP
Act.[13] QPS does not contest
the application of section 59 of the IP Act.
[14] While I have carefully
considered all of the submissions received, the applicant’s submissions
are only addressed below to
the extent they are relevant to the issues for
determination.[15] Section 58(1)
of the IP Act. [16] See sections
47(3)(a) and 48 and schedule 3 of the RTI Act.
[17] See Isles and Queensland
Police Service [2017] QICmr 1 (12 January 2017) (Isles),
Flori and Queensland Police Service [2017] QICmr 5 (16 February 2017)
(Flori), Shelton and Queensland Police Service [2017] QICmr
18 (29 May 2017) (Shelton), Eaves and Queensland Police Service
[2017] QICmr 23 (30 June 2017) (Eaves), Kyriakou and
Queensland Police Service [2017] QICmr 29 (9 August 2017) (Kyriakou
(1)), Kyriakou and Queensland Police Service [2017] QICmr 30 (9
August 2017) (Kyriakou (2)), Kyriakou and Queensland Police
Service [2017] QICmr 31 (9 August 2017) (Kyriakou (3)).
[18] The period 2006 to 10 June
2016. [19] Schedule 3, section
10(1)(f) of the RTI Act. [20]
Submission dated 16 June
2017.[21] In its submission, QPS
provided generic examples of how disclosure of QPRIME access information,
showing the frequency of access
and identifying who accessed the information,
may prejudice policing activities. The following are a sample of QPS’s
examples:
• Persons who have engaged in criminal activities could identify,
through the existence or absence of records, whether they
have been identified
as a suspect or person of interest. For example, a person who has committed an
offence could identify whether
they are a suspect simply by applying for access
records for any enquiries undertaken after the date of the offence
• Persons who may have previously been considered a suspect/person of
interest may be able to identify whether they remain so,
through the existence
or absence of records. For example, a suspect in a cold case murder could
identify whether they remain a suspect,
and if not, could feel safe to take
action to dispose of items used or obtained in the commission of the offence;
and
• Persons proposing to engage in criminal activities could identify,
through the existence or absence of records, whether they
are the subject of
attention/surveillance by police. For example, persons proposing to engage in
terrorism related activities could
identify whether they are, or have been
subject to police attention and, if so, alter their activities to avoid
detection; or, if
not, feel empowered to continue with the activity.These
examples, being generic, should not be construed as relating to the
circumstances of this external
review.[22] External review
application and submission dated 8 December
2016.[23] Paragraph 16 of
submission dated 8 December
2016.[24] Paragraph 17 of
submission dated 8 December 2016, citing T and Queensland Health [1994] QICmr 4; (1994) 1
QAR 386 at [32]. [25] That is,
schedule 3, section 10(1)(a), 10(3), 10(4), 10(5)(a), 10(5)(b) and 10(5)(c) of
the RTI Act.[26] Paragraph 18 of
submission dated 8 December 2016.
[27] Paragraph 19 of submission
dated 8 December 2016. [28]
Paragraph 20 of submission dated 8 December 2016.
[29] Paragraph 21 of submission
dated 8 December 2016. [30]
Submission dated 16 June 2017.
[31] The requirements of the
phrase ‘could reasonably be expected to’ in the particular
context of this exemption were discussed by the Right to Information
Commissioner in Gold Coast Bulletin and Queensland Police Service
(Unreported, Queensland Information Commissioner, 23 December 2010) at
[20]-[21]. [32] Including those
noted in the generic examples at footnote 21
above.[33] Under section 121(3)
of the IP Act, I must not disclose information claimed to be exempt or contrary
to the public interest in reasons
for decision. I am therefore constrained in
the extent to which I can explain the particular circumstances put forward by
QPS in
support of the application of this
exemption.[34] That is, schedule
3, section 10(1)(a), 10(3), 10(4), 10(5)(a), 10(5)(b) and 10(5)(c) of the RTI
Act. [35] Except schedule 3,
section 105(c) of the RTI Act which relates to information received by Crime
Stoppers Queensland Ltd.[36]
Schedule 3, section 10(1)(a) of the RTI Act.
[37] By the relevant law
enforcement body for the purposes of schedule 3, sections 10(3), 10(4) and
10(5)(a) and (b) of the RTI
Act.[38] Paragraphs 25-29 of
submission dated 8 December
2016.[39] External review
application and submission dated 8 December
2016.[40] The media articles
referred to in the applicant’s submission include, among others:
• AAP, ‘Qld cop stood down over ‘database breach’ (17
May 2016) http://www.news.com.au/national/breaking-news/qld-cop-stood-down-over-database-breach/news-story/a62186679a17dd70ca4eea4c589c83e2;
and
• CCC Media Release, ‘Police officer charged for unauthorised
access and disclosure of confidential information’
(22 June 2016) http://www.ccc.qld.gov.au/news-and-media/ccc-media-releases/police-officer-charged-for-unauthorised-access-and-disclosure-of-confidential-information-22-june-2016.[41]
I note that such concerns are able to be considered by other bodies such as the
Crime and Corruption Commission, who are able to
obtain access to relevant
records.[42] As noted in
Isles at [21], Flori at [25], Shelton at [28], Eaves
at [24], and Kyriakou (1), Kyriakou (2) and Kyriakou (3) at
[29]. [43] Previous decisions of
the Information Commissioner have not considered, in any detail, the nature or
extent of evidence required
for this exception to
apply.[44] There is no evidence
available to OIC to indicate that any other exceptions in schedule 3, section
10(2) of the RTI Act apply.[45]
External review application.[46]
For example, see information released pursuant to informal resolution processes
referred to at [12] of Wolfe and Queensland Police Service [2016] QICmr
27 (30 June 2016).[47] See
paragraphs 19 to 21 above.[48]
Section 58(4) of the IP Act.[49]
Section 67(2) of the IP Act.[50]
Section 58(4) of the IP Act.[51]
Sections 58(4) and 118(2) of the IP Act.
[52] Section 118(2) of the IP
Act provides that the Information Commissioner does not have the power to direct
that access to an exempt
document be granted.
[53] The applicant’s
solicitor made the same submissions in this external review and another external
review which has also been
finalised by decision—see Cutts and
Queensland Police Service [2017] QICmr 39 (31 August 2017)
(Cutts).[54] QPS
made the same submissions in this external review and the external review
finalised in Cutts.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Stewart, Ronald and Department of Transport (No. 3) [1995] QICmr 12; (1995) 2 QAR 567 (16 May 1995) |
Stewart, Ronald and Department of Transport (No. 3) [1995] QICmr 12; (1995) 2 QAR 567 (16 May 1995)
Last Updated: 23 February 2001
OFFICE OF THE INFORMATION ) S 69 of
1994COMMISSIONER
(QLD) ) (Decision No. 95012) Participants: RONALD
KEITH STEWART Applicant - and -
DEPARTMENT OF TRANSPORT Respondent DECISION AND
REASONS FOR DECISIONFREEDOM OF INFORMATION - applicant
challenging sufficiency of search by respondent for documents falling within the
terms of his FOI
access application - whether reasonable grounds for believing
the respondent has possession or control of documents falling within
the terms
of the applicant's FOI access application.Freedom of Information
Act 1992 Qld Ronald Keith Stewart and Department of
Transport, Re (Information Commissioner Qld, Decision No. 95007, 12 May
1995, unreported)Ronald Keith Stewart and Department of Transport, Re
(Information Commissioner Qld, Decision No. 95011, 15 May 1995,
unreported) DECISIONThe decision under review
(being the internal review decision of Mr W J Rodiger, on behalf of the
Respondent, dated 14 February 1994)
is affirmed.Date
of Decision: 16 May
1995...........................................................F
N ALBIETZINFORMATION COMMISSIONEROFFICE OF THE
INFORMATION ) S 69 of 1994COMMISSIONER (QLD) ) (Decision
No. 95012) Participants: RONALD KEITH
STEWART Applicant - and -
DEPARTMENT OF TRANSPORT Respondent REASONS FOR
DECISIONBackground1. The
applicant complains that the respondent has failed to locate and deal with all
documents falling within the terms of his initial
application for access to
documents under the Freedom of Information Act 1992 Qld (the FOI Act).
2. By letter dated 24 November
1993, Mr Stewart applied to the Department of Transport (the Department) for
access to documents, in
the following terms: I request all personal
documents under Freedom of Information Act concerning myself as stated on
document received from this Department: [Here the applicant listed
seven points which had been noted in handwriting on two pages held by the
Department. Copies of the pages
had been supplied to the applicant in the
course of an earlier FOI access application to the Department. It appears that
the applicant
considered that the points listed in the handwritten notes were
allegations made against him by some person.] Also an application
form from the Harristown State School in which I applied for a Crossing
Supervisors position but appears to be
missing from the files of Harristown
State School (1984).3. The
initial decision on behalf of the Department was made by Mr B J Butterworth and
communicated to the applicant by letter dated
13 January 1994. As to the first
part of the application (dealing with the seven points raised in the handwritten
notes), Mr Butterworth
formed a view that the notes appeared to be a record of a
telephone conversation, but he indicated that he had been unable to establish
the identity of the author of the document. Mr Butterworth, I think correctly,
interpreted the application to be one for documents
which supported or related
to any of the seven points referred to in the handwritten notes. Mr Butterworth
indicated that, apart
from the handwritten notes in question, he could find no
reference to six of the points in any documents of the Department. In relation
to the other point he noted that some documents already supplied to Mr Stewart
in the course of another FOI access application had
referred to that subject,
but that after a further search he had been unable to find any additional
documents which related to that
matter. Mr Butterworth made no reference to the
second part of Mr Stewart's FOI access application (dealing with the job
application).4. Mr Stewart
applied for internal review of that decision by a letter dated 31 January 1994.
The internal review was conducted by
Mr W J Rodiger of the Department who, by
letter dated 14 February 1994, affirmed Mr Butterworth's decision, saying:
"I find there are no documents, in terms of section 21 [of the FOI
Act] which would satisfy your request". Mr Stewart subsequently applied
by letter dated 22 February 1994 for review, under Part 5 of the FOI Act, of Mr
Rodiger's decision.Matter relating to points raised in handwritten
notes5. I have obtained
and examined a copy of the handwritten notes which contain the seven points
referred to by Mr Stewart in his FOI
access application. I consider that it was
reasonable for Mr Butterworth to surmise that they are notes of a conversation
(most
likely between an officer of the Department and some other person)
although whether they were made during a telephone conversation
or at some other
time is not certain. The notes are very brief and the intended meaning of the
notes is probably known only to the
author. The author is not identified on the
notes in question, and could not be identified by the Department's subsequent
inquiries.
It is by no means clear to me that all of the seven points which Mr
Stewart regards as being allegations against him can properly
be categorised as
allegations, or even that they all refer to Mr
Stewart.6. Mr Stewart has been
a participant in a number of external review applications before me. On 22
November 1993, two days before
making the FOI access application which led to
this review, he wrote to me in relation to an earlier application for review,
number
S 103/93. In his letter he made what is in essence the same request for
access to documents relating to the seven points made in
the handwritten notes.
The scope of application for review number S 103/93 is much wider than the
present application. Any documents
which are relevant to the points raised in
the handwritten notes would form a subset of the documents falling within the
terms of
application for review number
S 103/93.7. I considered
the corresponding part of Mr Stewart's letter of 22 November 1993 in paragraph
33 of my decision in respect of application
for review number S 103/93, Re
Ronald Keith Stewart and Department of Transport (Information Commissioner
Qld, Decision No 95007, 12 May 1995, unreported; hereinafter referred to as
Re Ronald Stewart) the relevant part of which I repeat
below: 33. In addition to his general claim that there were other
documents relating to his personal affairs, Mr Stewart, in a letter dated
22
November 1993, suggested that certain passages in a document already released to
him indicated that there were other documents
in existence which the Department
had not disclosed to him. I have examined those passages carefully, and I can
find no support
for Mr Stewart's assertions. It appears to me that most of the
points raised by Mr Stewart amount to assertions that no one should
have made
the notes or statements made in those documents without having documentary proof
to back them up. In essence, I see this
more as a criticism by Mr Stewart of
the way he perceives the Department to work (i.e. making statements about a
person without having
sufficient documented proof to support the statements)
than as evidence that there are reasonable grounds to believe that further
documents exist which are responsive to Mr Stewart's FOI access application. In
so saying, I make no comment on the operations of
the Department; I merely
reflect Mr Stewart's underlying
complaint.8. At paragraphs
20-30 of my decision in Re Ronald Stewart, I described the searches
carried out in relation to a number of applications by members of the Stewart
family. For the same reasons
given in Re Ronald Stewart, based on the
searches and inquiries there described, I find that there are no reasonable
grounds for believing that the documents
requested in the first part of the
applicant's FOI access application dated 24 November 1993, exist as documents in
the possession
or control of the respondent.Job application
form9. Mr Stewart's FOI
access application (see paragraph 2 above) also refers to a job application form
he completed in or around 1984
for a position of School Crossing Supervisor at
the Harristown State School. The document requested in this part of the
application
was also the subject of Mr Stewart's external review application
number S 214/93. I have published reasons for decision in relation
to that
application: see Re Ronald Keith Stewart and Department of Transport
(Information Commissioner Qld, Decision No 95011, 15 May 1995, unreported). For
the reasons set out in that decision, I find that
there are no reasonable
grounds to believe that the requested document is now or has ever been in the
possession or under the control
of the
Department.Conclusion10. I
therefore affirm Mr Rodiger's internal review decision of 14 February
1994.F N ALBIETZINFORMATION
COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Lotsearch Pty Ltd and Department of Environment and Heritage Protection [2016] QICmr 51 (16 December 2016) |
Lotsearch Pty Ltd and Department of Environment and Heritage Protection [2016] QICmr 51 (16 December 2016)
Last Updated: 6 February 2017
Decision and Reasons for Decision
Citation:
Lotsearch Pty Ltd and Department of Environment and Heritage
Protection [2016] QICmr 51 (16 December 2016)
Application Number:
312768
Applicant:
Lotsearch Pty Ltd
Respondent:
Department of Environment and Heritage Protection
Decision Date:
16 December 2016
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - OTHER
ACCESS AVAILABLE - request for complete list of sites on the
Contaminated Land
Register and Environmental Management Register - whether the applicant can
reasonably access the document under
another Act - whether the document is
commercially available - whether access may be refused under sections 47(3)(f)
and 53 of the
Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - CONTRARY TO PUBLIC INTEREST
INFORMATION - request for complete list of sites on the
Contaminated Land
Register and Environmental Management Register - enhancing transparency and
revealing environmental risks - prejudice
to business affairs of an agency -
specialised statutory scheme - whether disclosure of information would, on
balance, be contrary
to the public interest - whether access may be refused
under section 47(3)(b) of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
Lotsearch
Pty Ltd (Lotsearch) applied to the Department of Environment and Heritage
Protection (Department) under the Right to Information Act 2009
(Qld) (RTI Act) for access to a list of all sites appearing on the
Contaminated Land Register (CLR) and the Environmental Management
Register (EMR), including site names and addresses.
The
Department refused access to the requested information on the basis that other
access was available.[1]
Specifically, the Department decided that extracts from the CLR and EMR can be
obtained, on payment of a fee, in accordance with
the statutory scheme set up
under the Environmental Protection Act 1994 (Qld) (EP Act) and
therefore, such information was commercially available and reasonably open to
public access.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s decision. On external review, OIC
explored several informal resolution opportunities
with the parties, however, a
negotiated outcome could not be achieved.
For
the reasons set out below, I vary the Department’s decision and find that
access to the requested CLR and EMR information
may be refused under section
47(3)(b) of the RTI Act on the basis that its disclosure would, on balance, be
contrary to the public
interest under section 49 of the RTI Act.
Background
Significant
procedural steps taken by the Department in processing the application and by
OIC in conducting the external review are
set out in the Appendix to these
reasons. The paragraphs below are intended to provide some background and
contextual information
on the statutory scheme for accessing contaminated land
information in Queensland and the broader submissions made by the applicant
regarding public access to this type of information.
The
CLR and EMR are maintained under the EP Act. Land is listed on the EMR if
certain types of activities (known as notifiable activities)
have been, or are
being, carried out on the land, or if the land is contaminated land, i.e.,
affected by a hazardous
contaminant.[2] Contaminated land is
moved from the EMR to the CLR where it is necessary to take action to remediate
the land to prevent serious
environmental harm and protect human health or other
aspects of the environment.[3]
The
EP Act provides for various land information registers to be made available for
public inspection.[4] However, the
CLR and EMR are specifically excluded from the public inspection provisions in
the EP Act.[5] Instead, the EP
Act[6] provides that extracts from
those registers can be obtained by payment of the prescribed
fee.[7]
The
applicant, Lotsearch, uses geographic information systems (GIS) and
database technologies to produce environmental and planning reports for its
clients in New South Wales, Queensland and
Victoria.[8] In support of the
external review application, Lotsearch provided OIC with ‘equivalent
information which is freely available for
download’[9] from
New South Wales and Victorian Environmental Protection
Authorities.[10]
The
applicant initially submitted to OIC that the Department’s decision
‘contradicts the guiding principles’ outlined by the
Queensland Government as part of the Open Data
initiative[11] and consistently
argued on external review that the ‘full list of information belongs in
the public domain’.[12]
The applicant did however, concede during the review that ‘[p]erhaps a
request through the Open Data initiative would be more
appropriate’.[13]
Open
Data is data that is made available by governments, organisations, researchers
and individuals for anyone to access, use and
share.[14] Open Data is one of the
measures which the Queensland government has adopted to increase the flow of
government information to the
community. There are public consultation
processes connected with Open Data regarding the types of information which
citizens consider
should be available through Open Data. The nature and extent
of information which government chooses to make available in this
way is a
matter of government policy. Open Data operates independently from the
disclosure processes under the RTI Act. Accordingly,
I do not have jurisdiction
to comment on whether the CLR and EMR datasets should be made available through
Open Data— that
is a policy decision for the Queensland Government.
Therefore, to the extent the applicant’s submissions concern such matters,
I have not considered them in these reasons for decision.
Reviewable decision
The
decision under review is the Department’s decision made on 5 February
2016, refusing access to information under section
47(3)(f) of the RTI
Act.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and Appendix).
I
have carefully considered the applicant’s applications, written and oral
submissions made to OIC during this external review
and supporting documents, to
the extent they are relevant to the issue for determination, as set out below.
Information in Issue
The
applicant initially requested a copy of the CLR and EMR GIS datasets from the
Department, including previous contaminated/licensed
sites.[15] Following negotiations,
the applicant reframed the request to: ‘a list of the site names,
addresses and parcel reference numbers (if available) for all of the properties
appearing on either
the CLR and/or the EMR
registers’.[16]
In
its decision, the Department stated that it was:
‘... unable to provide an exact number of responsive documents as
the information is contained within the EMR and CLR ... and
the number of
documents will vary depending on the type of search undertaken of the
registers.’
On
external review, the applicant confirmed that it was seeking a list of all the
sites appearing on the CLR and EMR, including ‘names, addresses and
locations of each site appearing on the
registers’.[17] The
Department explained to OIC that report(s) listing all sites contained in the
CLR and EMR could be produced from the Department’s
data system, but as it
changes daily, it is only current/valid at the time it is generated, and cannot
be prepared for an earlier
point in
time.[18]
For
the purpose of this review, the report(s) listing the CLR and EMR sites, capable
of being produced by the Department from its
data system at a point in time, are
referred to as the Information in Issue in these reasons for
decision.[19]
Issue for determination
The
issue for determination is whether access to the Information in Issue can be
refused under the RTI Act. In this case, the relevant
grounds of refusal
are:
section
47(3)(f) of the RTI Act – because other access to the document is
available as mentioned in section 53(a) or (d) of
the RTI Act; and
section
47(3)(b) of the RTI Act – to the extent the document comprises information
the disclosure of which would, on balance,
be contrary to the public interest
under section 49 of the RTI
Act.[20]
A. Other access available
Relevant law
A
person has a right to be given access to documents of an agency under the RTI
Act.[21] However, this right is
subject to other provisions of the RTI Act, including the grounds on which
access may be refused set out
in section 47 of the RTI Act. Access to a
document may be refused if an applicant can reasonably access the document under
another
Act, or under arrangements made by an agency, whether or not the access
is subject to a fee or charge.[22]
Access may also be refused if the document is commercially
available.[23]
Findings
The
Department relied on section 47(3)(f) of the RTI Act to refuse access to the
Information in Issue on the basis that there is a
statutory scheme set up under
the EP Act, enabling members of the public to purchase extracts from the CLR and
EMR.[24]
Under
the EP Act, a member of the public can obtain an extract from the CLR and EMR
about a specific site, using the lot/plan details
applicable to the site. The
document that is generated in response to such a search reflects what is
recorded in the CLR or EMR
at the time, in relation to one particular site
only.[25]
Where an application is made under the RTI Act for access to an extract from the
CLR or EMR relating to a particular site, I accept
that it would be open for an
agency to refuse access to the document under sections 47(3)(b) and 53(a) of the
RTI Act. However,
for the reasons set out below, I consider that applying
section 53 of the RTI Act to the applicant’s request for a complete
listing of CLR and EMR sites, presents some difficulties.
Firstly,
in JM and Queensland Police Service
(JM),[26] the
Information Commissioner observed that the ‘very document’ to
which access is sought must be available to the applicant under the relevant
alternative access scheme before the ground for refusing
access may be invoked.
The Information Commissioner also found in JM that it is not sufficient
that ‘information of the kind recorded in the document in
issue’ is available to otherwise
access.[27] In this case, I am
satisfied that the very document that the applicant seeks is not the same as
what is available under the EP Act
scheme. As set out above, the applicant
seeks a complete list of all sites which appear on the CLR and EMR. However,
what the EP
Act makes available for purchase is an extract from the
registers, containing information relevant to a single property
only.[28]
Hypothetically
speaking, multiple applications could be made under the EP Act to obtain
extracts for every single parcel of land in
Queensland. By compiling the
purchased extracts into a single list, this would essentially produce the
Information in Issue. The
applicant submits that there are over three million
individual parcels of land in Queensland and that conducting searches for each
site would exceed $138 million.[29]
In JM, the Information Commissioner noted that the cost of access under a
specialised access scheme is a consideration that might be relevant
to a
determination of whether access is reasonably
available.[30] Given the enormity
of this task and considering that a large percentage of the results would relate
to properties that are not listed
on the CLR or EMR (ie. information which is
not sought by the applicant), I am satisfied that the Information in Issue is
not ‘reasonably’ available to otherwise access, as required
under section 53(a) of the RTI Act.
Secondly,
the Department has confirmed to OIC that a report listing all of the properties
in the CLR and EMR, ie. the Information
in Issue, is not a document that is
available for purchase from the Department. The Department advised OIC that the
report is ‘wholly for internal State Government and Local Government
Authorities (LGA) use and not for reproduction as a public
register’.[31] For this
reason, I am satisfied the Information in Issue is not ‘commercially
available’ under section 53(d) of the RTI Act.
On
the basis of the above, I find that access to the Information in Issue may not
be refused under section 47(3)(f) of the RTI Act
as other access is not
reasonably, nor commercially available, under section 53 of the RTI Act.
B. Contrary to the public interest
Relevant law
External
review by the Information
Commissioner[32] is general merits
review and the Information Commissioner must make a decision affirming or
varying the decision under review or
substitute a new
decision.[33] Despite my finding in
paragraph 25 above, in the
circumstances of this case, I have considered below whether access to the
Information in Issue may be refused under
section 47(3)(b) of the RTI Act, on
public intere[34] grounds.34
Access
to information may be refused where disclosure would, on balance, be contrary to
the public interest.[35] A
decision-maker must have regard to the pro-disclosure
bias.[36] The term ‘public
interest’ refers to considerations affecting the good order and
functioning of the community and government
affairs, for the well-being of
citizens generally. This means that ordinarily, a public interest consideration
is one which is common
to all members of, or a substantial segment of the
community, as distinct from matters that concern purely private or personal
interests.
The
RTI Act identifies many factors that may be relevant to deciding the balance of
the public interest and explains the steps that
a decision-maker must
take[37] in deciding the public
interest as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and
nondisclosure[38]
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to the public
interest.
Findings
Irrelevant factors
The
applicant is seeking the information for business purposes, that is, to
complement the reporting services it provides to its clients
who are undertaking
environmental assessments and due
diligence.[39] However, an
applicant’s reasons for seeking access to information under the RTI Act
are an irrelevant consideration.[40]
Therefore, in making my decision, I have not taken these submissions into
account.
Factors favouring disclosure
In
any event, the applicant submitted that the information should be made available
to the wider community,[41] for the
following reasons:
individuals
living and working in Queensland have a right to understand potential risks from
the surrounding areas
the current
mechanism/system in Queensland is unnecessarily restrictive and costly and does
not protect individuals as it denies them
the ability to be able to easily
search and understand their proximity to contaminated sites or potentially
contaminated activities;
and
failure to
disclose the full list of contaminated sites in Queensland poses a threat to
public health and safety.[42]
The
applicant also provided OIC with online listings for contaminated land
information that is made available in other Australian
States and
Territories[43] to lend support to
its argument that the full list of information belongs in the public domain.
I
accept that there is a public interest in ensuring that members of the public
are informed about issues pertaining to land contamination
and management of
associated environmental issues, so that individuals and communities can put in
place appropriate measures to safeguard
their health and wellbeing. Government
must also be accountable for ensuring that individuals are properly informed
about land contamination
issues and that such issues are actively managed to
minimise risks to public health and safety. With this in mind, I have
considered
whether disclosure could reasonably be expected to enhance government
accountability and transparency[44]
and/or reveal environmental or health risks or measures relating to public
health or safety.[45]
I
acknowledge that other Australian States and Territories publish contaminated
land information online and I accept that this provides
a level of transparency
in government-held information. However, for the reasons set out below, I am
satisfied that transparency
can also be achieved through a statutory access
scheme, such as that which currently operates in Queensland under the EP
Act.[46]
It
is not the case that contaminated land information is kept secret from the
public in Queensland. To the contrary, information
on the CLR and EMR is
publicly available, in site-specific extract form, upon payment of the
prescribed fee. Importantly, the information
that is provided by the statutory
scheme is unfettered. The applicant has emphasised in its submissions the
importance of individuals
being aware of the inclusion of surrounding properties
on the CLR and EMR. Under the EP Act scheme, if an individual is concerned
about nearby properties, they are not prevented from applying to the Department
for extracts relating to those particular
properties.[47] There is no
requirement that an individual must be the registered title holder to obtain a
CLR or EMR extract for the site. I am
therefore, unable to accept the
applicant’s submission that the statutory scheme denies members of the
public from understanding
their proximity to contaminated sites. For these
reasons, I do not consider that government accountability would be any further
enhanced by disclosing the Information in Issue under the RTI Act.
I
accept that disclosing the Information in Issue, i.e., the entire CLR and EMR
site listings, under the RTI Act would provide the
community with some further
transparency in this type of information. However, there is an issue with
currency of the information
which I consider serves to reduce the weight of this
factor. The report generated from the Department’s database is only
current
at the point in time it is generated; entries in the CLR and EMR can
change on a regular basis, even
daily.[48] Accordingly, while
disclosure of the entire list may provide an additional level of transparency
for a particular point in time,
I consider that the current mechanism for
accessing up to date information delivers a superior level of transparency. For
these
reasons, I afford this
factor[49] only minimal weight in
favour of disclosure.
To
the extent that the Information in Issue includes sites listed on the CLR and
EMR that are affected by hazardous contaminants,
or upon which remedial action
has been taken, I consider disclosure could reasonably be expected to reveal
environmental or health
risks. However, as the applicant only seeks site names,
addresses and parcel reference numbers, the weight of this factor is somewhat
lessened as the Information in Issue is in the form of a basic list of land
parcels, as opposed to the more comprehensive information
that appears in a site
extract about the types of contaminants, activities and site management plan
details.[50]
In
addition, for similar reasons to those outlined in paragraphs 34 and 35 above, I consider the weight to be
attributed to this factor is further reduced by virtue of the statutory access
scheme. As outlined
above, information on the CLR and EMR about contaminated
land and land subject to remedial action is readily available for members
of the
public to access, for a fee. Had there been a level of secrecy surrounding the
information, or in the absence of a public
access scheme, this factor may be
deserving of more weight. However, in the circumstances, I find this factor
carries only low weight
in favour of disclosure.
Factors favouring nondisclosure
The
RTI Act recognises that where disclosure of information could reasonably be
expected to prejudice the business affairs of an agency,
the public interest
will favour
nondisclosure.[51]
Searches
of the CLR and EMR are commonly conducted by prospective property buyers as part
of a due diligence process and also by people
who are considering developing or
changing the use of a parcel of land in Queensland. The fees paid for CLR and
EMR searches are
a source of income for the Department and contribute to the
overall State revenue balance.[52]
I am satisfied that, if reports comprising the complete listings of sites in the
registers were made available under the RTI Act,
this could reasonably be
expected to reduce the number of searches requested and paid for through the
statutory scheme. In turn,
this would reduce the associated income received by
the Department.[53] While the
applicant has submitted it is willing to pay ‘reasonable costs’
for this information,[54] I
consider it is still reasonable to expect there would be a significant reduction
in search requests made under the EP Act by the
broader population.
The
EP Act scheme is the mechanism by which Parliament has decided to provide access
to information about sites affected/potentially
affected by land contamination
in Queensland. As the Department is the agency with responsibility for
administering the EP Act,[55] I am
satisfied that managing access to CLR and EMR information through the statutory
scheme forms part of the Department’s
business affairs.
The
express exclusion of the CLR and EMR from the list of land registers open for
public inspection under the EP Act demonstrates
Queensland Parliament’s
clear intention to provide and manage access to information in these registers
exclusively through
the statutory scheme. Taking this into account, I am
satisfied that disclosing the Information in Issue under the RTI Act would
undermine the operation of the specialised statutory scheme and could thereby,
reasonably be expected to prejudice the Department’s
business affairs. I
acknowledge however, that the level of income generated from CLR and EMR
searches is unlikely to represent a
major component of the Department’s
total income, and this serves to slightly reduce the weight of this factor. In
the circumstances
of this case, I afford moderate weight to the factor
identified at paragraph 38 above in
favour of nondisclosure.
Balancing the public interest
In
addition to the pro-disclosure bias, I am satisfied that disclosing the
Information in Issue under the RTI Act would somewhat enhance
transparency in
government-held information regarding contaminated land and to an extent, reveal
environmental risks. However, given
the operation of the statutory access
scheme under the EP Act, I find that both factors carry only low weight in
favour of disclosure.
On the other hand, I am satisfied that the prejudice to
the Department’s business affairs by undermining a specialised fee-based
statutory scheme carries moderate and determinative weight against disclosure.
Therefore,
I find that disclosure of the Information in Issue would, on balance, be
contrary to the public interest under section
49 of the RTI Act. Accordingly, I
find that access to the Information in Issue may be refused under section
47(3)(b) of the RTI
Act. DECISION
I
vary the decision under review by finding that access to the Information in
Issue may be refused under section 47(3)(b) of the RTI
Act as disclosure would,
on balance, be contrary to the public interest under section 49 of the RTI Act.
I
have made this decision[56] as a
delegate of the Information Commissioner, under section 145 of the RTI
Act
Katie Shepherd
Assistant Information Commissioner Date: 16 December
2016
APPENDIX
Significant procedural steps
Date
Event
27 November 2015
The Department received the access application and the application
fee.
5 February 2016
The Department issued its decision to the applicant.
1 March 2016
OIC received the external review application.
OIC notified the Department that the external review application had been
received and requested that the Department provide a number
of procedural
documents by 8 March 2016.
8 March 2016
OIC received the requested documents from the Department.
15 March 2016
OIC notified the Department and the applicant that the external review
application had been accepted. OIC asked the Department to
provide additional
information, including an extract from the CLR/EMR by 31 March 2016.
30 March 2016
OIC received the information requested from the Department.
7 April 2016
OIC asked the Department to provide further information about the data
system used to record the CLR and EMR, by 22 April 2016.
22 April 2016
The Department sought an extension of time to respond to OIC’s
request. An extension of time was granted until 29 April 2016.
29 April 2016
The Department provided OIC with the requested information.
2 June 2016
OIC conveyed a preliminary view to the applicant that access to the
Information in Issue may be refused because disclosure would,
on balance, be
contrary to the public interest. OIC asked the applicant to provide submissions
supporting its case by 17 June 2016
if the preliminary view was not
accepted.
13 June 2016
OIC received submissions from the applicant.
21 June 2016
An OIC staff member spoke by telephone with two directors of the applicant
about the applicant’s submissions and discussed ways
that the review may
be informally resolved.
6 July 2016
OIC made further inquiries with the Department regarding informal
resolution options.
14 July 2016
OIC informed the applicant that it was unable to identify any opportunities
for informally resolving the review under section 90 of
the RTI Act and a formal
decision would be issued.
The applicant provided further submissions to OIC in support of its case.
23 August 2016
OIC conveyed to the Department that as the review had not been resolved
informally, a formal decision would be issued.
29 September 2016
OIC provided the applicant with an update on the status of the review.
The applicant provided further submissions to the external review.
24 November 2016
OIC asked the Department to provide a copy of the Information in
Issue.
14 December 2016
The Department provided OIC with an abridged list of properties on the CLR
and EMR taken from all LGA, a report for a specific LGA,
and submissions
regarding technical issues associated with generating such reports.
[1] Under sections 47(3)(f) and
53(a) and (d) of the RTI Act. [2]
https://www.qld.gov.au/environment/pollution/management/contaminated-land/about-registers/
(accessed 9 November 2016). [3]
Ibid.[4] Sections 541 and 542 of
the EP Act.[5] Section 542(1) of
the EP Act.[6] Section 542(3) of
the EP Act.[7] Under schedule 10,
part 3, section 14 of the Environmental Protection Regulation
2008.[8] http://www.lotsearch.com.au/ (accessed
on 17 November 2016). [9]
External review application dated 26 February
2016.[10] http://www.epa.nsw.gov.au/prclmapp/searchregister.aspx
(accessed on 9 November 2016); http://www.epa.vic.gov.au/your-environment/ land-and-groundwater/priority-sites-register
(accessed on 9 November
2016).[11] External review
application dated 26 February 2016.
[12] Submission to OIC dated 14
June 2016. This line of argument was also raised in the applicant’s
submissions to OIC dated 14
July and 29 September
2016.[13] Submission to OIC
dated 14 June 2016.[14] ODI
Queensland: http://queensland.theodi.org/ (accessed
on 9 November 2016). The Queensland Government makes certain data which it
collects, generates and stores for its use
available through an Open Data Portal
https://data.qld.gov.au/ (accessed on 9
November 2016). [15] Access
application dated 27 November 2015.
[16] Email to the Department
dated 5 January 2016; the applicant’s reframed request did not
specifically request any historical
data.[17] External review
application dated 26 February 2016. The applicant did not seek to raise the
issue of access to historical CLR and
EMR data on external review and therefore,
access to such information is not considered in these reasons for
decision.[18] Submissions to OIC
dated 29 April 2016 and 14 December 2016. The Department initially indicated
that a single report could be generated
but later clarified to OIC that, due to
the volume of entries in the registers and way the information is electronically
stored,
the requested information may need to be collated in multiple reports.
[19] The Department provided OIC
with an abridged list of properties on the CLR and EMR taken from all Local
Government Areas (LGA) and a report for a specific LGA.
[20] While section 47(3)(b) of
the RTI Act precedes section 47(3)(f) of the RTI Act in the legislation, I have
firstly assessed the application
of the latter provision in these reasons, as it
was the ground on which the Department relied to refuse access.
[21] Section 23 of the RTI Act.
[22] Sections 47(3)(f) and 53(a)
of the RTI Act. [23] Sections
47(3)(f) and 53(d) of the RTI Act.
[24] The EP Act provides for
various land registers to be maintained and made available for public
inspection. However, the CLR and EMR are specifically excluded from
public inspection and instead, section 542(3) of the EP Act provides that
extracts from those registers can be obtained by payment of the fee prescribed
under the Environmental Protection Regulation 2008, schedule 10, part 3,
section 14. [25] https://www.qld.gov.au/environment/pollution/management/contaminated-land/search-registers/
(accessed 9 November 2016). A search response will show: (i) if the land
searched is or is not listed on the EMR or the CLR, (ii)
what, if any,
contaminants are on the land and have been notified to the Department, (iii)
what, if any, notifiable activities have
been, or are being, conducted on the
land and have been notified to the Department, and (iv) if there is a site
management plan for
the land (if there is, a copy of the plan will also be
provided). [26] (Unreported,
Queensland Information Commissioner, 12 May 1995). While this decision
considered section 22 of the now repealed Freedom of Information Act 1992
(Qld), the principles remain relevant in applying sections 47(3)(f) and 53 of
the RTI Act as the provisions are largely equivalent
in wording and operation.
[27] At [43].
[28] The Department provided OIC
with sample site extracts from the EMR and CLR.
[29] External review application
dated 26 February 2016.[30]
JM at [39].[31]
Department’s submission dated 29 April
2016.[32] Or delegate.
[33] Section 110(1) of the RTI
Act. See also section 105(1)(b) of the RTI Act.
[34] Sections 47(3)(b) and 49 of
the RTI Act. During the external review I conveyed to the Department my
intention to decide the matter
on this basis.
[35] Section 47(3)(b) of the RTI
Act. [36] Sections 44 and 49 of
the RTI Act.[37] Section 49(3)
of the RTI Act.[38] Schedule 4
of the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest. However, this list of
factors is not exhaustive. In other words, factors that are not listed may also
be relevant.
[39] Access
application dated 27 November 2015, external review application dated 26
February 2016 and submissions to OIC dated 14 June
2016.
[40] See State of Queensland
v Albietz, Information Commissioner (Qld) and Anor [1996] 1 Qd R 215
at 219 where de Jersey J observed that ‘the Freedom of Information
Act does not confer any discretion on the Information Commissioner, or the
Supreme Court, to stop disclosure of information because of
any particular
motivation in the applicant’.
[41] Submission to OIC dated 14
June 2016.[42] Submissions to
OIC dated 14 June, 14 July and 29 September
2016.[43] https://www.accesscanberra.act.gov.au/app/services/contaminated_sites/#/
https://ntepa.nt.gov.au/waste-pollution/contam
inated-land; http://report.epa.sa.gov.au/data_and_publications/site_contamination_index;
https://secure.dec.wa.gov.au/idelve/
css/ (accessed on 9 November 2016). See also footnote 10
above.[44] Schedule 4, part 2,
item 1.[45] Schedule 4, part 2,
item 14.[46] I also note the
Department’s submission that the statutory regimes concerning contaminated
land in other States and Territories
are different to that which operates in
Queensland. Variations in environmental protection legislation across
Australian jurisdictions
are not however, relevant to the issue for
determination in this review and therefore, I have not examined them in these
reasons
for decision.[47] I
would not expect the number of surrounding properties of interest to an
individual to be at an onerous/unaffordable level such
as that referred to at
paragraph 23
above.[48] Department’s
submission dated 29 April
2016.[49] Schedule 4, part 2,
item 1 of the RTI Act.[50] See
footnote 25
above.[51] Schedule 4, part 3,
item 15 of the RTI Act.[52]
Currently, the cost of a search is $47.65 if completed electronically and
otherwise $55.95, per site: see schedule 10, section 14
of the Environmental
Protection Regulation 2008
(Qld).[53] In a telephone
conversation with OIC on 6 July 2016, the Department indicated that the
potential reduction in revenue formed part
of its objection to disclosing the
complete register listings. [54]
Submission to OIC dated 14 June
2016.[55] See the
Administrative Arrangements Order (No.2) 2016 at https://www.qld.gov.au/about/how-government-works/government-responsibilities/
at page 25 (accessed on 15 December
2016)[56] Under section 110(1)
of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Helping Hands Network Pty Ltd and Department of Education, Training and Employment [2012] QICmr 52 (30 October 2012) |
Helping Hands Network Pty Ltd and Department of Education, Training and Employment [2012] QICmr 52 (30 October 2012)
Last Updated: 25 June 2013
Decision and Reasons for Decision
Application Numbers: 310914 and 310957
Applicant: Helping Hands Network Pty Ltd
Respondent: Department of Education, Training and
Employment
Decision Date: 30 October 2012
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION – DECISION
GRANTING ACCESS – objection to disclosure of applicant’s
tender
documents – whether exempt from disclosure – sections 47(3)(a) and
48 of the Right to Information Act 2009 (Qld)
RIGHT TO INFORMATION – DECISION GRANTING ACCESS – objection to
disclosure of report into applicant’s operations
– whether
disclosure would, on balance, be contrary to the public interest –
sections 47(3)(b) and 49 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
Helping
Hands Network Pty Ltd (HH) is a provider of outside school hours care
services. HH successfully tendered to provide such services to Mansfield State
School
and Golden Beach State School, each of which is administered by the
Department.
Two
unsuccessful tenderers (Access
Applicants)[1]
applied separately to the Department of Education, Training and Employment
(Department) under the Right to Information Act 2009 (Qld) (RTI
Act) for access to HH’s tender submissions relevant to the school in
which tender process the particular Access Applicant had been
unsuccessful.[2]
The
Department consulted with HH under section 37 of the RTI Act, seeking its views
as to possible disclosure of the tender documents
to the Access Applicants. HH
objected to disclosure of the documents.
Despite
this objection, the Department nevertheless
decided[3] to release
parts of each tender submission to the relevant Access Applicant.
HH
applied to the Office of the Information Commissioner (OIC) for external
review of the Department’s decision to disclose parts of each tender
submission.
For
the reasons set out below, there are grounds on which to refuse access to parts
of each tender submission beyond that information
to which the Department
decided to refuse access. There are, however, no grounds on which to refuse
access to other parts. Access
to certain parts of the Golden Beach submission,
however, should be given by way of a reasonably opportunity to inspect.
Background
Significant
procedural steps relating to the application and external review are set out in
the Appendix to these reasons.
Reviewable decision
The
decisions under review are:
in review no.
310914, the Department’s decision deemed to have been made on
16 December 2011,[4]
affirming an initial decision dated 7 October 2011 to release parts of the
48-page Mansfield tender submission, and
in review no.
310957, the Department’s internal review decision dated
23 January 2012, to release parts of the 160-page Golden
Beach tender
submission.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision are as disclosed in these reasons
(including footnotes and appendix).
Information in issue
The
specific information to which the Department decided to grant the Access
Applicants access was as follows:
review no.
310914: all of pages 1, 3-6, 9, 11-13, 16-17, 19 and 21-35, and parts of pages
2, 7, 10, 14, 18 and 20 of the Mansfield
State School tender
submission,[5]
review no.
310957: all of pages 1, 3-7, 11, 13-16, 18-19, 21-22, 24, 26-38 and 51-160, and
parts of pages 2, 8-10, 12, 17, 20, 23
and 25 of the Golden Beach tender
submission.[6]
The
Department during the course of these external reviews
accepted[7] my
preliminary view[8] that
some of the information which it had decided to release comprised exempt
information or information the disclosure of which
would be contrary to the
public interest,[9] to
which access may be
refused.[10]
HH,
meanwhile, has withdrawn its objections to disclosure of various other segments
of information.[11]
None of this information or that referred to in the preceding paragraph remains
in issue in either review.
The
information in issue in these reviews is therefore all pages or parts of pages
described in paragraph 10, less those
segments identified in paragraphs 11
and 12.
OIC
has prepared a copy of each tender submission with information in issue
appropriately marked, to be forwarded to the participants
under cover of these
reasons.
Issues in reviews
HH
contends that the information in issue comprises exempt information under
section 48 of the RTI Act, to which access may be refused
under section 47(3)(a)
of the Act, as information the disclosure of which would found an action for a
breach of
confidence.[12]
HH
also contends that disclosure of the information would, on balance, be contrary
to the public interest in accordance with section
49 of the RTI Act, and that
access may therefore be refused to the information in issue under section
47(3)(b) of the RTI Act.
Relevant law
Onus
As
the decisions being reviewed are disclosure
decisions,[13] HH
bears the onus of establishing that a decision to not disclose the information
in issue is justified or that the Information Commissioner
should give a
decision adverse to the Access
Applicants.[14]
Right to access information
The
RTI Act confers on persons a right to be given access to documents of an agency.
This right is subject to other provisions of
the RTI Act, including grounds on
which access may be refused. Relevantly, access may be refused to exempt
information[15] and
information the disclosure of which would, on balance, be contrary to the public
interest.[16]
Requirements for breach of confidence exemption
Information
will be exempt if its disclosure would found an action for breach of
confidence.[17] The
words of the breach of confidence section refer to an action based in equity for
breach of an equitable obligation of
confidence.[18]
The
following must be established to give rise to an equitable obligation of
confidence:[19]
information
must be capable of being specifically identifiable as information that is
secret, rather than generally available;
information
must have the necessary quality of confidence, ie, the information must not be
trivial or useless information, and it
must have a degree of secrecy sufficient
for it to be the subject of an obligation of conscience;
circumstances
of the communication must create an equitable obligation of confidence;
and
disclosure
to the applicant for access must constitute an unauthorised use of the
confidential information
disclosure
would result in detriment to the plaintiff (that is, HH).
Analysis and Findings
Entire tender submissions
HH
initially claimed that the entirety of each tender submission was subject to an
equitable obligation of confidence, on the basis,
essentially, that disclosure
of same would reveal the ‘layout and presentation’ of the
submissions, which was ‘relative to [HH’s] competitive
advantage’.[20]
In
my preliminary view letter dated 6 June 2012, I advised HH that I did not accept
this contention. While HH did not accept this
preliminary
view,[21] it has as
noted subsequently withdrawn its objections to disclosure of parts of the tender
submissions,[22] a
position obviously inconsistent with a global claim of confidence. I think it
open to conclude, therefore, that HH has impliedly
abandoned this blanket
claim.
In
any event, for the sake of completeness, I record my finding that I am not
satisfied the entirety of each submission can be said
to possess the necessary
quality of confidence as demanded by criterion (b) of the cumulative
requirements set out above.
I
accept that in appropriate circumstances even information that is in the public
domain – as parts of each tender submission
clearly are – may be the
subject of an obligation of
confidence.[23] I do
not, however, consider that this is such a case.
The
core of each submission comprises a series of Departmentally-prescribed
‘forms’ into which the Department required
tenderers to compile
information. These ‘forms’ were obviously not produced as the
result of any innovative enterprise
or method on the part of HH, but were
completed by HH in accordance with mandatory Departmental requirements. There
can be no claim
the layout or presentation of information of this kind is novel
or unique to HH.
It
may be that, as HH
submits,[24] tenderers
retained some discretion as to additional information to be attached to tender
submissions, and the formatting of such
attachments. Establishing novelty or
innovation as regards these optional attachments, however, would not be
sufficient to sustain
a global claim of confidence over the entirety of the
submissions, for the reason the core body of the submissions simply follows,
as
explained in the preceding paragraphs, an obligatory layout and structure.
In
any event, I am not satisfied that HH has demonstrated the layout and formatting
of the attachments to each of the tender submissions
in issue is possessed of a
particular novelty or innovation of a sensitive or secret nature capable of
forming the subject of an
equitable obligation of confidence.
The
relevant parts of each submission in my view simply present information (much of
which, as I have discussed further below, is
in the public domain, required by
legislation to be made publicly available, or otherwise generic information) in
accordance with
relatively standard and/or
trivial[25] layout and
formatting methods – certain of which are readily observable on HH’s
own website.[26]
In
these circumstances, I am not satisfied the layout and/or formatting of the
entirety of the tender submissions can be said to be
possessed of sufficient
sensitivity or secrecy so as to form the subject of a binding obligation of
confidence.
Accordingly,
I do not consider the entirety of the tender submissions satisfy the
requirements for exemption as specified above.
I will now consider whether
specific segments of information as contained in those submissions might so
qualify.
Additional exempt information
There
are a number of segments in each tender submission the Department decided to
disclose, but which in my view satisfy the requirements
for exemption set out in
paragraph 20.
This
‘Additional Exempt Information’ is specifically
identifiable[27]
(comprising parts of the relevant tender submissions), is not trivial or useless
and is confidential as against the Access
Applicants.[28]
I
am also satisfied that this Additional Exempt Information was communicated in
circumstances so as to give rise to an equitable obligation
of confidence
binding the Department not to disclose the
information.[29]
Clause 24.1 of the ‘Conditions of Offer’ applying to the relevant
tender processes
states:[30]
The Customer [ie, the Department] will regard all
information submitted by any offeror (except the name of the successful offeror)
as confidential and will take all
reasonable steps to safeguard the
confidentiality of that information.
The
Department through this clause undertook to treat relevant information
confidentially. HH was entitled to rely on that undertaking,
and in my view
communicated the additional exempt information on the understanding extended by
the Department that it would be kept
confidential.
I
am satisfied therefore that the Refused Information was communicated to the
Department in circumstances which give rise to an equitable
obligation of
confidence.
I
am also satisfied that, as HH objects to disclosure of the Refused Information,
its release would constitute an unauthorised use
of the
information,[31] and
that such release would cause detriment to
HH.[32]
I
conveyed the above reasoning to the Department by way of my preliminary view
letter dated 6 June 2012. In
reply,[33] the
Department argued that
relevant[34] segments
of information did not comprise exempt information, as they did not, in general
terms, possess the necessary quality or
confidence and/or their disclosure would
not occasion HH detriment.
I
do not accept these submissions. There are various other segments of
information discussed further below that I agree are indeed
in the public
domain, or are otherwise so generic, innocuous or generally-known that they
cannot properly form the subject of an
equitable obligation of confidence.
The
specific segments I am considering here, however – which include the
identities of referees and the substance of their testimonials,
HH’s
approach to complaints
management,[35] and
its staff attributes and fee structure – are not so far as I can ascertain
publicly available or known to the Access
Applicants,[36] nor in
my view so trivial or obvious that they cannot be subject to
protection.[37]
I
am also satisfied that, as noted above, disclosure of this information would
cause HH detriment, the requirement of which is, as
canvassed in note 32, readily satisfied in the case of a
non-government participant such as HH.
I
am satisfied that the five requirements necessary to establish the breach of
confidence exemption have been met as regards the Additional
Exempt Information.
Access may therefore be refused to this information on the basis it comprises
exempt information.
Remaining Information
Having
dealt with the Additional Exempt Information, I must now consider the balance of
the tender submissions remaining in issue;
that is, those specific segments of
information in each submission to which the Department decided to grant access,
but to the disclosure
of which HH continues to object. I will refer to this
information as the ‘Remaining Information’.
I
am not satisfied there are any grounds on which access to this Remaining
Information may be refused.
Firstly,
I am not satisfied disclosure of any of this Remaining Information would found
an action for a breach of confidence so as
to render the information exempt.
This is because I do not consider any of it satisfies the second cumulative
requirement of secrecy
noted above.
While
I am constrained from setting out in detail information claimed to be
exempt,[38] I am
satisfied that a considerable proportion of this Remaining Information is openly
available either on HH’s website, or
in relevant school literature and
websites.[39]
Other
information – such as the fact HH is not a government owned
entity[40] – is
clearly not a matter of secrecy and is publicly deducible. Information of this
kind – which is essentially in the
public domain – cannot form the
subject of an equitable obligation of confidence.
Much
of balance of the Remaining Information merely consists of relatively obvious
and innocuous formatting
techniques,[41]
restatements of industry ‘common knowledge’ (such as statutory child
care fee subsidy rates), or broad ‘motherhood’
statements of general
principle and intent – for example, relatively generic assertions of
corporate philosophy and expressions
of commitment to the delivery of service of
the kind commonly found in corporate promotional literature. I am not satisfied
information
of this kind is possessed of sufficient utility or gravity for it to
be the subject of an equitable obligation of confidence.
In
general terms then, I am not satisfied the Remaining Information possesses the
required quality of confidence, as it is either
in the public domain, or
otherwise too obvious or trivial to attract the protection of an equitable
obligation of confidence.
There
is a portion of the Remaining Information – a section of the Golden Beach
submission (the submission in issue in review
no. 310957) – which requires
a slightly more considered analysis. The relevant section comprises an annexure
to this tender
submission consisting of HH’s ‘policies and
procedures’ manual
(Manual).[42]
On
an initial review, I formed the preliminary
view[43] the Manual
satisfied the requirements for the breach of confidence exemption. The
Department did not accept this preliminary
view,[44] and drew my
attention to regulation 171(2) of the Education and Care Services National
Regulations 2011
(NSW)[45]
(National Regulations), which provides:
171 Policies and procedures to be kept available
...
(2) The approved provider of an education and care service must ensure
that copies of the current policies and procedures required
under regulation 168
and, in the case of a family day care service, regulation 169 are available for
inspection at the education
and care service premises at all times that the
service is educating and caring for children or otherwise on request.
Penalty: $1000.
In
light of those submissions, I subsequently
advised[46] HH of a
further preliminary view that as regulation 171(2) appeared to require HH to
make the Manual[47]
available for inspection, the document could not be said to possess the
necessary quality of confidence required to establish the
breach of confidence
exemption.
HH
contested this preliminary view, relevantly
submitting[48] that
it
...strongly opposes provision and disclosure of any such
information to a competitor or to the public. Although the policies and
procedures are available for inspection, the policies and procedures are only
available for inspection to the authorised Departmental
staff and the registered
families. The policies and procedures are not available to the general
public.
In order to access documentation, registered families are required to ask
the co-ordinator of the service, who keep the policies and
procedures securely
in the office. The co-ordinator is not permitted and will not allow the
document to be removed from the office
or to be copied.
Regulation 171(2) of the [Regulations] does not authorise the
public to access the policies and procedures...
I
do not accept these submissions. It may well be the practice of HH to only
provide access in the limited fashion described in its
submissions. I do not,
however, consider such practice aligns with the obligation imposed by regulation
171(2). It is my view that,
properly construed, the regulation confers a
general right of inspection on any individual to inspect the Manual, and not a
right
limited to a particular class of persons or otherwise qualified in the
manner as argued by HH.
As
I advised HH by letter dated 10 September 2012, my view in this regard is
reinforced by:
advice obtained
from the relevant regulatory authority, the Australian Children’s
Education and Care Quality Authority (ACECQA), an officer of which
informed an OIC staff
member[49] that ACECQA
interprets the regulation as conferring a general right of inspection, and
ACECQA’s
‘Guide to the National Law and National Regulations’, which
expressly encourages child care operators to
publish policies and procedures
documents such as the Manual online: ‘I[i]t would be appropriate for
the service’s policies and procedures to be available online as well as at
the
premises’.[50]
Accordingly,
I am satisfied regulation 171(2) of the National Regulations confers a general
right of inspection, and not, as HH contends,
a right limited to a specific
class of persons.
As
a document required to be made available to the public, the Manual cannot
therefore be said to possess the necessary quality of
confidence fundamental to
establishing an equitable obligation of confidence. The Manual thus does not
comprise exempt information
to which access may be refused.
Contrary to public interest information
Nor
do I consider that disclosure of any of this Remaining Information would, on
balance, be contrary to the public interest.
Sections
47(3)(b) and 49 of the RTI Act provide that access may be refused to a document
where its disclosure would be contrary to
the public interest. Section 49 of
the RTI Act describes the procedure to be followed in identifying whether
information is contrary
to the public interest to release.
The
RTI Act lists factors which may be relevant to deciding the balance of the
public interest and sets out the following steps to
decide where the public
interest lies in relation to the disclosure of information:
identify any
irrelevant factors and disregard them,
identify
relevant public interest factors favouring disclosure and nondisclosure,
balance the
relevant factors favouring disclosure and nondisclosure, and
decide whether
disclosure would, on balance, be contrary to the public interest.
I
have not taken irrelevant factors into account.
Factors favouring disclosure
The
Department
identified[51] the
following public interest factors favouring disclosure:
promote open
discussion of public affairs and enhance Government
accountability,[52]
contribute to
positive and informed debate on important issues or matters of serious
interest,[53]
inform the
community of the Government’s
operations,[54]
allow or assist
inquiry into possible deficiencies in agency or official conduct or
administration,[55]
reveal reasons
for Government decisions and background or contextual information informing
same,[56] and
ensure effective
oversight of public
funds.[57]
As
I advised HH in my preliminary view letter dated 6 June 2012, I am satisfied
disclosure of the Remaining Information could reasonably
be expected to advance
these public interest factors.
Disclosure
of this information will reveal information on which the Department relied in
selecting HH to provide care services, allow
the Access Applicants and the
community generally to better assess the merits of aspects of HH’s
submissions as against the
conditions of offer and selection criteria, and
permit the public to better evaluate the Department’s decisions to award
publicly-funded
contracts to HH. In doing so, disclosure will assist to ensure
Departmental tender processes of this kind are conducted transparently,
and that
the Department is accountable for its contracting decisions.
These
are considerations bearing significant weight in this case, given the
Department’s policy governing School Age Care Services
contains an express
preference for selection of both P&C and not-for-profit care providers in
preference to commercial
operators.[58]
HH
in its application for external review disputed the application of the
‘prodisclosure’ factors set out in paragraph
61. It did not, however, specifically
press these claims following my 6 June 2012 preliminary view to the contrary,
instead submitting
that it was:...not satisfied with the
Commissioner’s reasoning relating to the public interest argument,
especially in the circumstances
where a competitor is requesting the tender
information. Our client is of the opinion that, if public interest served, then
scoring
sheets evidencing how the department grades the tenders, could be
released.[59]
As
I advised HH in my preliminary view
letter,[60] an access
applicant’s motives for seeking access to information are irrelevant to a
consideration as to whether access should
be granted to requested
information.[61]
Speculation as to the identity of a particular access
applicant,[62] the
access applicant’s reasons for lodging an application, and any intended
use of the information are not generally matters
to be taken into account in
assessing the balance of the public interest.
Nor,
in this regard, is the fact that the public interest may also or additionally be
served by release of other information such
as scoring sheets. The RTI Act
confers a legally enforceable right of access to government-held
information,[63]
subject only to limited exceptions. Unless, relevantly, a recognised ground for
refusal of access to requested information can be
established, access must be
granted. That an access applicant or the public interest generally may also be
satisfied by release
of alternative or additional information is not a
legitimate basis for refusing access.
I
am satisfied the factors noted above apply so as to favour disclosure of the
Remaining Information.Factors favouring nondisclosure
Conversely,
I am not satisfied that the nondisclosure or public interest harm factors raised
by HH[64] in support
of its objections to disclosure apply in the circumstances of this
case.[65]
HH’s
submissions in this regard are largely premised on assertions similar to those
canvassed at paragraphs 21: that the
‘formatting and layout of the documents is [HH’s]
confidential information which gives [HH] a competitive advantage over
other
competit[66]s’,66
and that the way in which the tender submissions are ‘organised and
presented’ comprises a ‘trade secret’ which would
be prejudiced by
[67]sclosure.67
As
noted above, HH has during the course of this review withdrawn its objection to
disclosure of parts of each tender submission,
which essentially compromises any
claim the tender submissions are commercially sensitive in entirety.
In
any event, for reasons similar to those discussed above, I do not accept
HH’s global claims as to the confidentiality or
commercial sensitivity of
the ‘formatting and layout’ of the tender submissions. I am not
satisfied that HH has demonstrated
any inherent commercial value or sensitivity
in the overall structure of the tender submissions, and, as noted above, can
identify
no particular innovation in the manner in which the formatting of each
tender submission – core aspects of which, as noted
above, generally
adhere to the requirements enunciated in the Department’s Conditions of
Offer and/or deploy formatting techniques
which are plainly observable on
HH’s website.
As
regards the specific information comprising the Remaining Information, I am
similarly unable to identify how disclosure of information
that is either
publicly available or consists of broad ‘motherhood’ statements
could reasonably be expected to cause
relevant prejudices. It is not in my view
reasonable to expect, for example, that disclosure of information identical to
that published
on HH’s
website[68] could
reasonably be expected to cause HH competitive
harm.[69]
Further,
it is not apparent how the Remaining Information could be said to possess an
intrinsic commercial
value[70] that would
be diminished by disclosure (and noting that the unquantified expense HH asserts
it incurred in having the tender submissions
produced does not of itself imbue
the Remaining Information with any commercial
value).[71] Nor can I
identify any genuine arms-length
buyer[72] who would be
prepared to pay for access to publicly available or otherwise generic
information.
HH
also contends that disclosure could reasonably be expected to prejudice future
supply of
information.[73] I do
not, however, consider it reasonable to expect that disclosure of the Remaining
Information would result in a substantial number
of child care providers
refraining from providing similar information in the
future.[74]
It
is not in my view reasonable to expect that child care providers seeking the
benefit of Departmental contracts – contracts
which would appear to
comprise a substantial source of the industry’s business – would
omit relevant information and
thus intentionally disadvantage themselves in the
competition for such contracts, simply because information akin to the Remaining
Information may become subject to public disclosure under the RTI Act.
In
these circumstances, I am not satisfied disclosure of the information in issue
could reasonably be expected to prejudice the future
supply of like information
nor the Department’s ability to obtain confidential information.
Balancing the public interest
Even
if any or all of the factors relied upon by HH could be said to apply to the
Remaining Information, it is my view that the public
interest in this case
would, on balance, favour disclosure. As noted above, disclosure of the
Remaining Information will enhance
the transparency of the Department’s
tender processes by revealing information taken into account in deciding to
select HH,
and the accountability of the Department for those decisions. As the
Information Commissioner has previously
stated:[75]
Tenderers are not accountable to the public for the contents of
their tenders... However, government agencies and local government
authorities
are accountable to the public regarding the decisions they make to award
contracts for the performance of services to
be undertaken for the benefit of
the public (or a particular segment of the public) and which are to be paid for
from funds raised
by imposts on the public. Private sector businesses
who wish to contract with government to perform services for the public have to
accept an appropriate level
of scrutiny of their dealings with government, and
of their performance in terms of service delivery to the public, as something
which goes with the territory.
(My emphasis.)
HH
enjoys the benefit of Departmental contracts funded with public monies. In
these circumstances, I consider it in the public interest
to allow the community
access to information on which HH relied to secure those contracts.
Accordingly,
I find that disclosure of the Remaining Information would not, on balance, be
contrary to the public interest.
Form of access and copyright
While
I have found that HH has not established any grounds on which access to the
Remaining Information may be refused, I do consider
that the relevant Access
Applicant’s[76]
access to part of this information – specifically, the Manual –
should not be given in the form requested by the relevant
Access Applicant, but
instead given by way of a reasonable opportunity to inspect. This is because in
my view providing the Access
Applicant access to the Manual in the form
requested[77] would
involve an infringement of HH’s copyright.
As
noted in paragraph 52, HH has stated
that it imposes strict controls over access to and reproduction of the Manual.
While I have found that the National
Regulations require HH to make this
document available to the public, I am also cognisant of the fact that the
particular right of
access contained in the National Regulations is a right of
inspection only.
In
these circumstances, I consider HH’s concerns can and should fairly be
read as giving rise to an assertion of copyright over
the Manual.
Section
68(4) of the RTI Act allows an agency to refuse access to a document if granting
same in the form requested by an applicant
would, relevantly, infringe the
copyright of a person other than the
State.[78]
The
uncontested
submissions[79] of HH
are that it developed the Manual for use in conducting its child care
operations. On the basis of both this and my review
of document itself, I am
prepared to find the Manual is an original work eligible for copyright
protection under section 32 of the Copyright Act 1968 (Cth), ownership of
which is held by
HH.[80]
Accordingly,
I am satisfied providing the relevant Access Applicant access by way of
provision of a copy of the Manual would infringe
HH’s
copyright.[81]
Access
to the Manual in the form requested by that Access Applicant should therefore be
refused under section 68(4) of the RTI Act,
and given instead by way of a
reasonable opportunity to inspect the
Manual[82] only.
I
should note that HH wrote to
me[83] late in the
review process advising that it would be amenable to access being granted to the
Manual by way of inspection (although
not withdrawing its objections to
disclosure, thus necessitating the findings detailed above). In that letter,
however, HH stipulated
a number of conditions it sought to have imposed on such
inspection.
The
fact that the RTI Act permits an agency to refuse access in a requested form and
instead grant it in a form that would not involve
an infringement of copyright
appears, in my view, to implicitly empower an agency to impose appropriate
conditions on such alternative
form of access – for example, by ensuring
any inspection is adequately supervised so as to prevent copying or reproduction
of a relevant document.
This
is, however, a practical matter in my view best left to the discretion of the
particular agency – albeit possibly in consultation
with a copyright
holder in the position of HH – and not an issue in relation to which I
consider it appropriate to make any
findings.[84]
Having
said that, I should note that as I have decided that there are no grounds under
the RTI Act on which access to the Manual may
be refused, the Access Applicant
is entitled to exercise the statutory right of access contained in the RTI Act
unfettered by any
conditions other than those strictly necessary to ensure that
such access would not infringe HH’s copyright.
Such
precautionary conditions would not include a condition that the relevant Access
Applicant sign, as HH has requested, a confidentiality
agreement prior to
inspection. A condition of this kind would not serve to protect the rights
inherent in HH’s copyright (secrecy
not being among the relevant
‘bundle of rights’ prescribed in the Copyright Act 1968
(Cth)). It would, however, run entirely contrary to the generally
unconditional right of access contained in section 23 of the RTI
Act, which
provides for no restrictions on the use to which information accessed under it
may be put. Accordingly there is no basis
on which a condition of this kind
might be imposed.
I
should also note that, in considering what conditions may be appropriate to
impose on an inspection so as to avoid infringement
of third party copyright, an
agency in the Department’s position must also be mindful that the
‘inspection’ form
of access prescribed in section 68(1)(a) requires
provision of a ‘reasonable opportunity’ to inspect. Agencies must
therefore ensure that any conditions are not so onerous or unreasonable so as to
preclude such ‘reasonable opportunity’.
DECISION
I
vary the decisions under review, by finding:
in each of
review nos. 310914 and 310957, the Additional Exempt Information comprises
exempt information to which access may be refused
under section 47(3)(a) of the
RTI Act,
in each of
review nos. 310914 and 310957, there are no grounds on which access to the
Remaining Information may be refused, and accordingly
each Access Applicant is
entitled to access this information as it pertains to their access application,
however
in review no.
310957, access to the Manual in the form requested by the relevant Access
Applicant should be refused, and given by
way of inspection under section
68(1)(a) of the RTI Act.
________________________
Jenny Mead
Acting Right to Information Commissioner
Date: 30 October 2012
APPENDIX
Significant procedural steps in external review 310914
Date
Event
8 August 2011
Access Applicant applied to the Department for access to tender documents
submitted by HH in response to the Department’s tender
for Outside School
Hours Care at Mansfield State School.
8 September 2011
The Department consulted with HH to seek its views on the proposed
disclosure of documents.
14 September 2011
The Department received a response from HH objecting to the disclosure of
their tender documents (Information in Issue).
7 October 2011
The Department issued its initial decision to the Access Applicant and HH,
deciding to disclose some of the information in issue contrary
to the views of
HH.
26 October 2011
HH sought internal review of the Department’s initial decision.
16 December 2011
The Department issued a notice of a deemed decision to HH affirming its
initial decision.
16 January 2012
HH applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s deemed decision.
31 January 2012
OIC informed HH that their application had been accepted for external
review.
6 June 2012
OIC issued a preliminary view to HH, Department and Access Applicant that
access to some segments of information in issue may be refused
on the basis they
comprise exempt information, however there was no ground for refusing access to
the remaining information.
7 June 2012
Access Applicant telephoned OIC to clarify preliminary view letter dated 6
June 2012; Access Applicant was advised to lodge written
submissions by due date
(20 June 2012) and invited to apply to participate in external review.
20 June 2012
OIC received submissions from the Department in response to the preliminary
view.
20 June 2012
OIC granted HH an extension of time until 22 June 2012 to provide
submissions in response to the preliminary view.
22 June 2012
OIC received submissions from HH in response to the preliminary view.
18 July 2012
OIC issued a further preliminary to HH that various segments of information
identified in the original preliminary view as comprising
exempt information did
not qualify for exemption and there was therefore no ground for refusing access
to this information.
1 August 2012
OIC granted HH an extension of time until 8 August 2012 to
provide submissions in response to the further preliminary view.
8 August 2012
OIC received submissions from HH in response to the further preliminary
view.
Significant procedural steps in external review 310957
Date
Event
29 September 2011
Access Applicant applied to the Department for access to tender documents
submitted by HH in response to the Department’s tender
for Outside School
Hours Care at Golden Beach State School.
25 October 2012
The Department consulted with HH to seek its views on the proposed
disclosure of documents.
4 November 2011
The Department received a response from HH objecting to the disclosure of
their tender documents (Information in Issue).
18 November 2011
The Department issued its initial decision to the Access Applicant and HH,
deciding to disclose some of the information in issue contrary
to the views of
HH.
21 December 2011
HH sought internal review of the Department’s initial decision.
23 January 2012
The Department issued it its internal review decision to HH.
20 February 2012
HH applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s internal review decision.
1 March 2012
OIC informed HH that their application had been accepted for external
review.
6 June 2012
OIC issued a preliminary to HH, Department and Access Applicant that access
to some segments of information in issue may be refused
on the basis they
comprise exempt information, however there were no grounds for refusing access
to the remaining information.
20 June 2012
OIC received submissions from the Department in response to the preliminary
view.
20 June 2012
OIC granted HH an extension of time until 22 June 2012 to provide
submissions in response to the preliminary view.
22 June 2012
OIC received submissions from HH in response to the preliminary view.
18 July 2012
OIC issued a further preliminary to HH that various segments of information
identified in the original preliminary view as comprising
exempt information did
not qualify for exemption and there were no grounds for refusing access to the
remaining information.
1 August 2012
OIC granted HH an extension of time until 8 August 2012 to
provide submissions in response to the further preliminary view.
8 August 2012
OIC received submissions from HH in response to the further preliminary
view.
10 September 2012
OIC wrote to Applicant, Department and Access Applicant setting out a
preliminary view access to part of information in issue in the
review should be
by way of inspection only.
21 September 2012
Applicant advised OIC it was prepared to accept access by way of inspection
to part of information in issue subject to certain specified
conditions.
[1] Neither of which
has lodged written submissions nor formally applied to participate in these
external reviews.[2]
That is, one Access Applicant had been unsuccessful in the Mansfield process,
and therefore sought access to HH’s Mansfield
tender submission; the
second had been unsuccessful in the Golden Beach process, and sought access to
that submission.[3]
By way of a deemed internal review decision dated 16 December 2011 on
the access application concerning the Mansfield tender process,
and an internal
review decision dated 23 January 2012 on the Golden Beach
process.[4] Under
section 83(2) of the RTI
Act.[5] The
Department refused access to all of pages 8, 15 and
36-48.[6] The
Department refused access to all of pages 39-50. Neither Access Applicant
applied for review of the Department’s decisions
to refuse access to
information. Accordingly, information to which access was refused is not the
subject of
review.[7] See
Departmental letter dated 20 June 2012 and enclosed copy of each tender
submission, on which relevant information was
marked.[8] Conveyed
via letter dated 6 June 2012. I also wrote to each of the Access Applicants on
this date setting out the preliminary view
summarised in this paragraph and
inviting submissions in the event either objected to my preliminary view. While
the Access Applicant
relevant to review no. 310914 did telephone an OIC officer
on 7 June 2012 to affirm, in general terms, continuing interest in obtaining
information and to raise concerns with the relevant tender process, neither
indicated objection to my preliminary view nor lodged
any written submissions.
In accordance with the terms of my letters to each, I have proceeded on the
basis each accepts that preliminary
view.
[9] As regards
personal information in the form of signatures appearing on pages 3, 30 and 31
of the Golden Beach submission the subject
of review no. 310957, under section
49 and section 47(3)(b) of the RTI
Act.[10] In review
no. 310914, segments of information on pages 9, 10, 18, 20, 22-24 and 31; in
review no. 310957, information on pages 3,
8, 12, 15, 23, 25, 27-31, 35 and 51.
As noted, neither Access Applicant sought to contest my preliminary view in this
regard. In
any event I am satisfied relevant information comprises exempt
information, for the reasons explained at paragraphs 31-41
below.[11]
Relevantly, information specified in its letter to OIC dated 8 August
2012.[12] Schedule
3, section 8 of the RTI
Act.[13]
‘Disclosure decision’ is defined in section 87(3) of the
RTI Act as a decision to disclose a document or information contrary to the
views of a
relevant third party obtained under section 37 of the
RTI Act. [14]
Section 87(2) of the
RTI Act.[15]
Sections 47(3)(a) and 48 of the RTI
Act.[16] Sections
47(3)(b) and 49 of the RTI Act.
[17] Schedule 3,
section 8 of the RTI
Act.[18] And not
an action for breach of a contractual obligation of confidence, a cause of
action which is properly characterised as an action
for a breach of contract,
not confidence: Callejo and Department of Immigration and Citizenship
[2010] AATA 244 (Callejo) at paragraphs 163-166 and
TSO08G and Department of Health (Unreported, Queensland Information
Commissioner, 13 December 2011) . HH in its external review application in
review no. 310957
took issue with Callejo insofar as it confined the
breach of confidence exemption to equitable, and not contractual, obligations of
confidence. OIC’s
acceptance of Callejo – and the narrower
interpretation of the breach of confidence exemption that flows from it –
was explained to HH in my
letter dated 6 June 2012; HH has not sought to further
agitate or contest this
issue.[19] See
B and Brisbane North Regional Health Authority [1994] QICmr 1; [1994] 1 QAR 279 (B
and BNRHA) at paragraphs 57-58; and Callejo, at paragraphs
163-171 and
176.[20] External
review applications dated 16 January 2012 and 20 February 2012.
[21] Submissions
dated 22 June
2012.[22]
Submissions dated 8 August
2012.[23] A
submission raised by HH in its submissions dated 22 June 2012, citing Saltman
Engineering Co Ltd v Campbell Engineering Co Ltd (1948) 65 RPC 203 at
215.[24]
Submissions dated 22 June
2012.[25] Such as
the use of certain devices and formatting techniques, the detail of which I am
constrained from describing in these reasons
but which are described in numbered
paragraphs 2 and 3 of HH’s submissions dated 22 June
2012.[26] http://helpinghandsnetwork.com.au/,
accessed 24 October
2012.[27]Therefore
satisfying requirement
(a).[28]Insomuch
as the Access Applicants are not aware of the information, or of the fact HH has
relied upon it in its tender submissions,
thus satisfying requirement
(b).[29]Requirement
(c).[30] As set
out in the Department’s
decisions.[31]Requirement
(d).[32]Requirement
(e).The requirement of detriment can be easily established by a non-government
plaintiff such as HH: B and BNRHA, at paragraph 111. The detriment
suffered by the plaintiff need not be of a financial nature and may include
embarrassment, loss
of privacy, or fear, or an indirect detriment, for example,
disclosure of the confidential information may injure some relation or
friend.[33] Dated
20 June 2012.[34]
The Department did accept that some information it had decided to disclose in
fact comprised exempt information; as canvassed in
paragraph 11, that information is no longer in issue
in this
review.[35] Which
HH advised in submissions dated 8 August 2012 comprises information going beyond
that it may be required to make generally
available under relevant statutory
obligations, a position the Department has not sought to contradict and I am
prepared to
accept.[36] The
Department contended that the identity of schools to which HH supplies care
services is information publicly available, including
information published to
HH’s own website. While I accept this is generally correct, the
identities of schools and principals
prepared to give HH references and
testimonials are not, so far as I can determine, public knowledge. The
Department also asserted
that HH’s use of tenderers and testimonials is
not itself a unique approach. That may well be correct; there is nothing before
me to suggest, however, that the identity of specific referees and substance of
their testimonials is not itself information that
is confidential or secret as
against the Access Applicants. I should also note that the Department submitted
some of this school
information would be known to one of the Access Applicants;
there is nothing before me to suggest that this is the case; as noted
in note 28, I am satisfied HH’s use of or
reliance on this information is confidential as against the Access
Applicants.[37]
Noting that information need only be ‘significant’ to attract the
protection of an equitable obligation of confidence
and not necessarily, say,
commercially valuable: Moorgate Tobacco Co Ltd v Philip Morris Ltd (No 2)
[1984] HCA 73; [1984] 156 CLR
414.[38] Section
108 of the RTI
Act.[39]
Including, for example, information as to HH’s personnel and fee
rates.[40]
Recorded in the declarations as to competitive neutrality forming part of each
tender
submission.[41]
Such as the use, for example, of tables of content and bolded
text.[42]
Specifically, Attachment 8 to the Golden Beach submission, numbered as pages
52-160. In the interests of efficiency, OIC has only
reproduced the first page
(page 52) of this Manual on the CD of information in issue accompanying these
reasons; the entire document
(ie, to page 160) is, however, in
issue.[43]
Conveyed to the Department by letter dated 6 June
2012.[44]
Departmental submissions dated 20 June
2012.[45] Enacted
under sections 301 and 302 of the Education and Care Services National Law
Act 2010 (Vic), all of which apply in Queensland: Education and Care
Services National Law (Queensland) Act 2011, section
4.[46] By letter
dated 18 July
2012.[47] Which,
as I advised HH in my 18 July 2012 letter, I understand comprises the
‘policies and procedures’ referred to in
regulation 171(2), ie, the
document it is required to produce and keep under the Regulations. HH has not
sought to contradict my
understanding in this
regard.[48]
Submissions dated 8 August 2012. HH also contended that it had ‘incurred
a considerable expense in developing the policies
and procedures’, which
is not a consideration relevant to determining whether or not HH is required by
law to make that information
publicly
available.[49] Via
telephone on 6 September
2012.[50] At p.
104. The relevant guidelines are available at http://acecqa.gov.au/storage/2%20-%20Guide%20to%20the%20Education%20and%20Care%20Services%20National%20Law%20and%20National%20Regulations%20(updated%209.11).pdf
(accessed 6 September 2012).
[51] In review no.
310914, the initial decision dated 7 October 2011 (affirmed by decision deemed
to have been made under section 82 of
the RTI Act). In review no. 310957, the
decision under
review.[52]
Schedule 4, part 2, item 1 of the RTI
Act.[53] Schedule
4, part 2, item
2.[54] Schedule 4,
part 2, item
3.[55] Schedule 4,
part 2, item 5. I should note there is no suggestion of
‘deficiencies’ or any impropriety whatsoever in
the conduct of
either tender process; the relevant factor however only requires that disclosure
of relevant information could reasonably
be expected to permit or aid inquiry
into ‘possible’ conduct of this kind, including, arguably, as, to
whether or not
same may have occurred. By revealing the primary information
upon which decisions to let publicly funded contracts were based, I
consider
disclosure could reasonably be expected to allow or assist any such inquiry. In
any event, I am satisfied the balance of
the factors cited by the Department
clearly apply, and as discussed in paragraph 78, are of sufficient weight to warrant
disclosure of the information in
issue.[56]
Schedule 4, part 2, item
11.[57] Schedule
4, part 2, item
4.[58]In
formulating my preliminary view I had regard to Policy SCM-PR-016,
‘Outside School Hours Care Services: Before and After
School and Vacation
Care’, clause 5. http://education.qld.gov.au/strategic/eppr/schools/scmpr016/
(accessed 21 May 2012). I understand this policy to be in substantially similar
form as it applied at the date of each tender process,
and HH has not sought to
suggest otherwise. The policy has since the date of my preliminary view
undergone further update, and the
relevant version may now be accessed at: http://ppr.det.qld.gov.au/education/management/Pages/Outside-School-Hours-Care-and-Vacation-Care.aspx
(accessed 22 October
2012).[59]
Submissions dated 22 June
2012.[60] That is,
my letter dated 6 June
2012.[61]See
State of Queensland v Albietz, Information Commissioner (Qld) and Anor
(1996) 1 Qd R 215, where De Jersey J observed that ‘the Freedom
of Information Act does not confer any discretion on the Information
Commissioner, or the Supreme Court, to stop disclosure of information because of
any particular motivation in the applicant’ (at 219). See also the
Victorian Supreme Court decision in Victoria Police v Marke [2008] VSCA
218, in which Weinberg JA noted (at para 66) ‘[the FOI Act] does not,
in the normal course, contemplate that the motives of the person seeking access
to a document should be scrutinised and
characterised as either worthy or
unworthy. These are value judgements, which are likely to be highly subjective,
and have no place
in a scheme that is designed to ensure the proper
accountability of government.’ I consider these observations apply
equally to the RTI Act.
[62] Only one the
identity of which appears to have been disclosed to Applicant by the
Department.[63]
Section 23 of the RTI
Act.[64]Relevantly,
schedule 4, part 3 items 2, 15 and 16 and schedule 4, part 4, items 7(1) (b),
(c) and 8 of the RTI Act.
[65]Insofar as
particular factors cited are relevant: there is some information appearing in
the Additional Exempt Information which HH
in its applications for external
review argued comprised personal information - the identities of referees and
certain other personnel
appearing on pages 9 and 31 of the Mansfield submission
and 11 and 35 of the Golden Beach submission. As discussed above, I am
satisfied
this information comprises exempt information to which access may be
refused. Thus the personal information/privacy harm/nondisclosure
factors
raised by HH do not therefore need to be
considered.[66]
Submissions dated 22 June
2012.[67] Review
no. 310914 external review application dated 16 January 2012, for
example.[68]
Noting again that I am constrained by section 108 of the RTI Act from disclosing
information claimed to be exempt or contrary to
public interest information
– it is sufficient for the purposes of these reasons to note
publicly-accessible information of
this kind concerns key
personnel.[69] The
adverse effect required by schedule 4, part 4, item 7(1)(c) of the RTI Act:
Cannon and Australian Quality Egg Farms Limited [1994] QICmr 9; (1994) 1 QAR 491
(Cannon), at paragraphs 82 – 84, and the related business
affairs nondisclosure factors raised by HH. The comments in Cannon were
made in the context of section 45(1)(c) of the FOI Act but are applicable to
this harm factor and the related business affairs
nondisclosure factors
contained in schedule 4, part 3 item 2 and 15 of the RTI Act: see also
Kalinga and BCC, at paragraph 89. I should note HH has not sought to
claim any specific Remaining Information comprises a ‘trade secret’,
and there appears to be nothing on the face of any of that information
comprising a ‘formula, pattern or device or compilation of
information’ ordinarily held to be characteristic of trade secrets:
Ansell Rubber Co Pty Ltd v Allied Rubber Industries Pty Ltd [1967] VicRp 7; [1967] VR 37,
Gowans J at 46 referring to the American Restatement of the Law of Torts (1939,
Volume 4 para
757).[70] Within
the meaning of that phrase as used in the RTI Act as explained in Cannon,
at paragraphs 51-60 – and noting that each tender submission relates to
tender processes concluded some time ago.
[71]Cannon,
at paragraph
52.[72] The second
possible interpretation of the phrase ‘commercial value’ as used in
this provision: Cannon, as
above.[73]A
requirement of the harm factor contained in schedule 4, part 4 item 8, and the
essence in this context of the nondisclosure factor
contained in schedule 4,
part 3, item 16. It should also be noted that both of these factors can only
apply to information that
is itself confidential, and not information in the
public domain (such as, for example, personnel information and fee rates
contained
in the tender submissions, each of which are available on HH’s
or relevant school
websites).[74]
See B and BNRHA, at paragraph 161, where the Information Commissioner
relevantly stated that ‘[w]here ... persons must disclose information
if they wish to obtain some benefit from the government (or they would otherwise
be disadvantaged
by withholding information) then ordinarily, disclosure could
not reasonably be expected to prejudice the future supply of such information.
In my opinion, the test is not to be applied by reference to whether the
particular [supplier] whose ... information is being considered for
disclosure, could reasonably be expected to refuse to supply such information in
the
future, but by reference to whether disclosure could reasonably be expected
to prejudice future supply of such information from a
substantial number of the
sources available or likely to be available to an agency. See also
Wanless Wastecorp Pty Ltd and Caboolture Shire Council (Wanless); JJ
Richards & Sons Pty Ltd (Third Party) (2003) 6 QAR 242 at paragraphs
92-98.[75]Wanless,
at paragraph
145.[76] The
Access Applicant whose access application is the ultimate basis of review no.
310957.[77] The
access application relevant to review no. 310957 and dated 29 September 2011
requests access by way of a
copy.[78]
Additionally, section 105(1)(b) of the RTI Act allows me to decide any matter in
relation to an access application that could have
been decided by the
Department.[79] By
letters dated 10 September 2012 I advised both the relevant Access Applicant and
the Department of my preliminary view on the
issue of form of access as
discussed in these paragraphs 81-87; neither entity contested that
preliminary
view.[80] Which is
manifestly an entity other than the
State.[81]
Relevantly, HH’s exclusive right to reproduce the manual in a material
form: section 31(1) of the Copyright Act 1968 (Cth).
Reproduction without HH’s authority or licence (such as for the purposes
of providing access under the RTI Act) comprises
an infringement of this right
of reproduction: section 36 of the Copyright Act 1968
(Cth).[82]
Under section 68(1)(a) of the RTI Act, a form of access which of itself I
consider would not involve infringement of relevant
copyright.[83] By
letter dated 21 September
2012.[84] If
indeed I even possess jurisdiction to do so.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | NKS and Queensland Corrective Services Commission [1995] QICmr 21; (1995) 2 QAR 662 (30 June 1995) |
NKS and Queensland Corrective Services Commission [1995] QICmr 21; (1995) 2 QAR 662 (30 June 1995)
Last Updated: 23 February 2001
OFFICE OF THE INFORMATION ) S 79 of
1993COMMISSIONER (QLD) )
(Decision No.
95021) Participants: NKS Applicant - and
- QUEENSLAND CORRECTIVE SERVICES
COMMISSION Respondent DECISION AND REASONS FOR
DECISIONFREEDOM OF INFORMATION - refusal of access to a
psychiatric clinical note concerning the applicant contained on the applicant's
medical
file held by the respondent - application of s.44(3) of the Freedom
of Information Act 1992 Qld - whether disclosure to the applicant
might be prejudicial to the physical or mental health or wellbeing of the
applicant.Freedom of Information Act 1992 Qld s.33(1)(b),
s.44(2), s.44(3), s.44(3)(a), s.44(4), s.52(6)"S" and The
Medical Board of Queensland, Re (Information Commissioner Qld,
Decision No. 94028, 12 October 1994,
unreported) DECISIONI set aside the decision under
review, and in substitution for it, I decide that:(a) the document in
issue contains information of a medical or psychiatric nature concerning the
applicant;(b) disclosure of the document in issue to the applicant might
be prejudicial to the mental health or wellbeing of the applicant (with
the
exception of those parts of the document to which the applicant has already been
given access as explained in paragraph 13 of
my reasons for decision);
and(c) access to the document in issue (with the exception of those
parts of it to which the applicant has previously been given access)
is not to
be given to the applicant but is to be given instead to a qualified medical
practitioner nominated by the applicant and
approved by the principal officer of
the respondent, in accordance with s.44(3) of the Freedom of Information Act
1992 Qld.Date of Decision: 30 June
1995...............................................................F
N ALBIETZINFORMATION COMMISSIONEROFFICE OF THE
INFORMATION ) S 79 of 1993COMMISSIONER (QLD) ) (Decision No.
95021) Participants: NKS Applicant -
and - QUEENSLAND CORRECTIVE SERVICES
COMMISSION Respondent REASONS FOR
DECISIONBackground1. The
applicant seeks review of the respondent's decision to refuse him access to a
clinical note dated 20 July 1990 made by a psychiatrist,
Dr P Edwards,
concerning the applicant.2. By letter dated 20
January 1993, the applicant applied to the Queensland Corrective Services
Commission (the QCSC) for access to
"my medical record book". The applicant
was, and still is, a prisoner detained by the QCSC. An initial decision was
made by the
QCSC's FOI Co-ordinator, Ms P Cabaniuk, and conveyed to the
applicant by letter dated 5 March 1993. Ms Cabaniuk decided to grant
the
applicant access to his medical file with the exception of one document, being
the clinical note in issue in this case. Ms Cabaniuk
determined that document
to be exempt under s.41(1), s.42(1)(c) and s.46(1)(b) of the Freedom of
Information Act 1992 Qld (the FOI
Act).3. By letter dated 8 April 1993, the
applicant applied for internal review of Ms Cabaniuk's decision, in accordance
with s.52 of the
FOI Act. The applicant subsequently forwarded to me an
application for external review dated 30 April 1993, claiming that an internal
review decision had not been made within the time limit specified in the FOI
Act, and that the QCSC was therefore deemed to have
made a decision affirming Ms
Cabaniuk's refusal of access to the clinical note (see s.52(6) of the FOI
Act).4. The QCSC has informed me that the
application for internal review, although dated 8 April 1993, was not received
by Ms Cabaniuk
until 16 April 1993, and that therefore an internal review
decision made on behalf of the QCSC by Ms K Mahoney on 29 April 1993,
and
received on 30 April 1993 by the correctional centre in which the applicant was
detained, was made within the 14 day time limit
prescribed by s.52(6) of the FOI
Act. It appears that the applicant purported to refuse acceptance of Ms
Mahoney's internal review
decision. It was returned with a hand-written
notation by an official at the correctional centre that the envelope containing
the
internal review decision was opened by the applicant who then indicated that
he would not accept the internal review decision, on
the basis that the decision
was outside the prescribed time for making that decision and that he had
commenced an application for
an external review in relation to the document in
issue. 5. I do not propose to examine this
dispute between the applicant and the respondent, since nothing really turns on
it for the purposes
of my review. Provided I have jurisdiction to undertake a
review under Part 5 of the FOI Act (which I do in this case whether the
decision
under review is a deemed affirmation of Ms Cabaniuk's decision to refuse access,
or a valid internal review decision by
Ms Mahoney), I am empowered to make a
fresh decision as to the correct application of the provisions of the FOI Act to
any documents
(or parts of documents) of the respondent agency or Minister,
which fall within the terms of the applicant's FOI access application
and to
which the applicant has been refused access under the FOI Act. In the course of
a review under Part 5, the respondent agency
or Minister may, in effect, abandon
reliance on the grounds previously given in support of the decision under
review, in whole or
in part, whether by making concessions to the applicant
(which mean that some matter is no longer in issue) or by arguing fresh grounds
to support a refusal of access to matter in issue.
6. I should observe, however, that there may be a
more fundamental objection to the validity of Ms Mahoney's internal review
decision
than the alleged failure to observe time limits. Ms Mahoney did not
affirm the claims for exemption made in Ms Cabaniuk's initial
decision, but
decided instead that access to the clinical note should be given in accordance
with s.44(3) of the FOI Act. Subsections
44(3) and (4) provide as
follows: 44. ... (3) If
- (a) an application is made to an agency or Minister for access
to a document of the agency or an official document of the Minister
that
contains information of a medical or psychiatric nature concerning the person
making the application; and (b) it appears to the principal
officer of the agency or the Minister that the disclosure of the information to
the person might
be prejudicial to the physical or mental health or wellbeing of
the person; the principal officer or Minister may direct that
access to the document is not to be given to the person but is to be given
instead
to a qualified medical practitioner nominated by the person and approved
by the principal officer or Minister. (4) An agency or
Minister may appoint a qualified medical practitioner to make a decision under
subsection (3) on behalf of the agency
or
Minister.7. On what I consider to be the
proper construction of these provisions, Ms Mahoney was not authorised to make a
decision under s.44(3)
of the FOI Act. Section 44(3) states that the principal
officer of an agency may direct that access to a document of the kind stipulated
in s.44(3)(a) is to be given in the manner provided for by s.44(3), after the
principal officer has formed the view that disclosure
to the applicant might be
prejudicial to the physical or mental health or wellbeing of the applicant.
Section 44(4) provides that
an agency may appoint a qualified medical
practitioner to make a decision under s.44(3) on behalf of the agency. Ms
Mahoney was
not the principal officer of the QCSC, nor a qualified medical
practitioner. 8. While s.33(1)(b) of the FOI
Act makes general provision for the principal officer of an agency to direct
another officer of the
agency to deal with an FOI access application on behalf
of the agency, I do not think s.44(3) is properly to be construed as though
its
specific references to the principal officer include another officer holding a
direction from the principal officer under s.33(1)(b).
Subsection 44(4)
reinforces my view, since it contemplates the making of a special appointment of
a person with particular qualifications
and expertise appropriate to the kinds
of decisions which may be made under s.44(3), as the alternative to the
principal officer
exercising the discretion conferred by s.44(3).
9. In my opinion, Ms Mahoney did not have
authority to make a decision under s.44(3), and her internal review decision
dated 24 April
1993 was of no legal effect. The decision under review is
therefore the deemed affirmation, in accordance with s.52(6) of the FOI
Act, of
Ms Cabaniuk's decision to refuse access to the document in issue. As
foreshadowed in paragraph 5 above, however, this has
made little practical
difference to the review. The QCSC has not argued that the document in issue is
exempt, and the only issue
in the case, as presented to me by both participants,
has been the application of s.44(3) to the clinical note.The
external review process10. The QCSC
has provided me with a copy of the clinical note in issue, which contains a
psychiatric diagnosis of the applicant, together
with observations recorded by
Dr Edwards concerning his impressions of the applicant upon
examination.11. During the course of this
external review, a statutory declaration from a psychiatrist concerning the
clinical note, was forwarded
to my office. The psychiatrist's identity, and the
precise detail of this evidence, must remain confidential for reasons which
relate
to another external review still in progress. In a letter to the
applicant dated 16 September 1993, the substance of the psychiatrist's
evidence
was paraphrased, so as to acquaint the applicant with the substance of evidence
in support of the respondent's case. The
relevant evidence of the psychiatrist
concerning the clinical note can be paraphrased as follows:? From the
standpoint of the applicant's psychiatric health and wellbeing, the psychiatric
clinical note dated 20 July 1990 should
not be released to the
applicant.? It would be appropriate if the clinical note was released to
a medical practitioner, and in this regard the visiting prison psychiatrist
was
recommended. If the visiting prison psychiatrist was unable to perform this
task, then it would be appropriate for the document
to be released to another
psychiatrist; however, release to a general medical practitioner would not be
appropriate because of the
slim prospects of obtaining a general medical
practitioner with an adequate knowledge of psychiatry.? The clinical
note contains a psychiatric diagnosis (together with other information) and
there is a danger that the applicant may
misunderstand the diagnosis that has
been made. (An example was given of technical terms used in the document in
issue which are
prone to being misunderstood by lay persons.) There is a
possibility that the applicant could come to some harm if the document
was
released to him, in the sense that he could experience depression once he
examined the document. A psychiatrist should explain
the diagnosis to the
applicant. 12. The applicant's submission in
response, dated 7 October 1993, rejected the evidence that disclosure of the
clinical note to him
would be prejudicial to his mental health or wellbeing.
The applicant submitted that he had been aware of the general tone and content
of the clinical note for approximately 6-8 months. The applicant enclosed a
copy of a handwritten document dated 26 July 1990 made
by a person described as
a Nursing Manager (employed by the QCSC), which document was stamped to indicate
that it had been released
by the QCSC under the FOI Act. The Nursing Manager's
note dated 26 July 1990 is not the same document as the clinical note, dated
20
July 1990, which is the document in issue. The Nursing Manager's note, however,
contains two sentences which refer to a psychiatric
assessment of the applicant,
attributed to Dr Edwards. It appears that, having read the clinical note now in
issue, the Nursing
Manager included a brief reference to it in a document
prepared for other administrative purposes. The applicant submitted that
no
harm would come to him from having access to the clinical note, because of the
access that he had already obtained to the Nursing
Manager's note. I should
make clear, however, that there is other information in the clinical note of a
medical or psychiatric nature
concerning the applicant, to which no reference is
made in the Nursing Manager's note.13. During
the course of this external review, I provided the QCSC with a copy of the
applicant's letter dated 7 October 1993 (together
with the copy of the Nursing
Manager's note) and asked the QCSC if it would be prepared to release part of
the clinical note, in
view of the contents of the Nursing Manager's note which
had already been disclosed to the applicant. The QCSC agreed to give the
applicant access to so much of the clinical note as contains the psychiatric
diagnosis attributed to Dr Edwards in the Nursing Manager's
note.14. In relation to the remainder of the
clinical note, however, the QCSC maintains its stance that s.44(3) of the FOI
Act should apply.
The psychiatrist who provided the evidence referred to in
paragraph 11 above contacted my office and, with knowledge of the information
that had been obtained by the applicant in the Nursing Manager's note,
nevertheless expressed the opinion that the remainder of the
clinical note could
be expected to cause some harm to the mental health or wellbeing of the
applicant, if released directly to him,
in the sense that the applicant could
suffer depression and/or some loss of self-esteem. The psychiatrist maintained
the view that
the remainder of the psychiatric note should be released to a
psychiatrist who would be able to work through the issues raised in
it with the
applicant. 15. The QCSC also lodged a written
submission dated 28 July 1994 in support of its case that the clinical note
should only be released
in accordance s.44(3) of the FOI Act. In response to
the applicant's submission, the QCSC submitted that the Nursing Manager's note
dated 26 July 1990 does not reflect the entire contents of the clinical note
dated 20 July 1990, which goes into more depth and detail
than the Nursing
Manager's note. The QCSC submitted that there is no evidence to suggest that
the applicant has ever seen the clinical
note itself. The QCSC relied upon the
opinion of the psychiatrist referred to in paragraph 14 above that the remainder
of the clinical
note should not be disclosed to the applicant because of the
risk of prejudice to the applicant's mental health or
wellbeing.16. A copy of the QCSC's submission
of 28 July 1994 (edited by deleting a small amount of matter claimed by the QCSC
to be confidential)
was provided to the applicant, and two opportunities were
given to him to lodge a final submission in support of his case in this
external
review, but no response has been received from the
applicant.Application of s.44(3) of the FOI
Act17. In my reasons for decision in
Re "S" and The Medical Board of Queensland (Information Commissioner Qld,
Decision No. 94028, 12 October 1994, unreported), I made the following remarks
(at paragraphs 12-13): 12. The terms of s.44(3) of the FOI Act are
almost identical to the terms in which s.41(3) of the Freedom of Information
Act 1982 Cth (the Commonwealth FOI Act) was framed, prior to its
amendment by the Freedom of Information Amendment Act 1991 Cth.
In its former terms, s.41(3) of the Commonwealth FOI Act was considered
by Deputy President Smart QC (now His Honour Mr Justice Smart
of the New South
Wales Supreme Court) in the decision of the Commonwealth Administrative Appeals
Tribunal in Re K and Director-General of Social Security (1984) 6
ALD 354. Deputy President Smart observed (at pp.356-7) that the provision
raised these matters for consideration: 1. Does the document in
issue contain information of a medical or psychiatric nature concerning the
applicant? 2. If the information were disclosed direct to the
applicant is there a real and tangible possibility as distinct from a fanciful,
remote or far-fetched possibility of prejudice to the physical or mental health
or wellbeing of the applicant? This is what the words
"might be prejudicial"
mean. Wellbeing has a wide import and a phrase "physical or mental health or
wellbeing" indicates that a
broad approach is to be taken. The general health,
welfare and good of the person is to be considered. 3. If there is a
real and tangible possibility of such prejudice the decision-maker is called
upon to exercise his discretion whether
to direct that access which would
otherwise be given to the applicant should be given to a medical practitioner
nominated by him.
In the exercise of such discretion the decision-maker should
consider the nature and extent of any real and tangible possible prejudice
and
the likelihood of it occurring. A number of situations could
arise: (a) The possible prejudice may be small and not such as to
justify giving a direction. (b) The possible prejudice may be
sufficient to be of concern, but not major concern. In such a case if the
likelihood of such
prejudice eventuating was small, the decision-maker may not
give a direction. (c) The possible prejudice, if it eventuated, may
be great but the likelihood of it occurring may be small. In such a case the
gravity of possible consequences might prove decisive in exercising the
discretion whether to give a direction. In the exercise of his
discretion the decision-maker has to carefully consider all the circumstances
and balance the relevant factors.
13. I consider that this passage
should be accepted and applied in Queensland as correctly stating the general
approach to be taken
by decision-makers when considering the application of
s.44(3) of the FOI Act.18. Those parts of
the clinical note which remain in issue contain professional observations made
by Dr Edwards after examining the
applicant. I am satisfied that this is
information of a medical or psychiatric nature concerning the applicant, so that
the requirements
of s.44(3)(a) of the FOI Act are
satisfied.19. The next question which I have
to determine is whether the release of the balance of the clinical note to the
applicant might
be prejudicial to his physical or mental health or wellbeing.
The applicant asserts that disclosure would not cause him any harm
as he has
already received a diagnosis attributed to Dr Edwards. However, the evidence
from the psychiatrist referred to in paragraphs
11 and 14 above, and my
examination of the clinical note, has persuaded me that there is a real and
tangible possibility (as distinct
from a fanciful, remote or far-fetched
possibility) of prejudice to the applicant's mental health or wellbeing if the
applicant were
to be given access to the balance of the clinical note remaining
in issue. With the assistance of the psychiatrist's evidence referred
to above,
my assessment of the nature of the possible prejudice and the likelihood of its
occurrence is such that I consider it preferable
that the discretion conferred
by s.44(3) of the FOI Act be exercised, and that access to those parts of the
clinical note remaining
in issue not be given to the applicant, but be given
instead to a qualified medical practitioner nominated by the applicant and
approved
by the principal officer of the QCSC (or by a qualified medical
practitioner appointed by the QCSC under s.44(4) of the FOI
Act).20. The psychiatrist's evidence is that
the qualified medical practitioner to whom access to the clinical note is to be
given should
be a psychiatrist, and I think that would be the preferable course.
A decision by a principal officer (or a s.44(4) appointee) to
withhold approval
of a medical practitioner nominated by the applicant in accordance with s.44(3),
should not be taken without good
cause. Unless an agency is prepared to be
generous, the expense of a consultation with the approved medical practitioner
to whom
access is given in accordance with s.44(3) must be borne by the
applicant for access. To force the applicant to bear the greater
expense (and,
depending on how far the applicant lives from a place where consultation with an
appropriate specialist can take place,
the greater inconvenience) of a
consultation with a specialist rather than a general practitioner can be a
significant burden to
an applicant. The guiding consideration must, however, be
the interests of the physical or mental health or wellbeing of the applicant
for
access. If the principal officer (or s.44(4) appointee) is satisfied that
considerations of that nature require that access
be given to a specialist in a
particular field of medicine, the principal officer (or s.44(4) appointee) is
entitled to withhold
approval until the applicant nominates a suitable
specialist in the relevant
field.Conclusion21. I
set aside the decision under review, and in substitution for it, I decide
that: (a) the document in issue contains information of a medical or
psychiatric nature concerning the applicant; (b) disclosure of the
document in issue to the applicant might be prejudicial to the mental health or
wellbeing of the applicant
(with the exception of those parts of the document
to which the applicant has already been given access, as explained in paragraph
13 of my reasons for decision); and (c) access to the document in issue
(with the exception of those parts of it to which the applicant has previously
been given access)
is not to be given to the applicant but is to be given
instead to a qualified medical practitioner nominated by the applicant and
approved by the principal officer of the respondent (or s.44(4) appointee), in
accordance with s.44(3) of the FOI Act.F N
ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | G83 and Queensland Police Service [2019] QICmr 47 (5 November 2019) |
G83 and Queensland Police Service [2019] QICmr 47 (5 November 2019)
Last Updated: 12 November 2019
Decision and Reasons for Decision
Citation:
G83 and Queensland Police Service [2019] QICmr 47 (5 November
2019)
Application Number:
314339
Applicant:
G83
Respondent:
Queensland Police Service
Decision Date:
5 November 2019
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - information about police
officer recruitment -
recruitment process not finalised - applicant’s personal information -
enhancing accountability and transparency
- inquiry into possible deficiencies -
fair treatment and procedural fairness - prejudice to testing and examination
methods and
procedures - prejudice to deliberative process and management
function - whether disclosure, would, on balance, be contrary to the
public
interest - section 67(1) of the Information Privacy Act 2009 (Qld) -
sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
The
applicant, a former police officer, applied to the Queensland Police Service
(QPS) under the Information Privacy Act 2009 (Qld) (IP Act)
for access to ‘All documents regarding my current application to join
the Queensland Police
Service’.[1]
QPS
located 221 pages in response to the application and released 10 of those pages
to the applicant. QPS decided[2] to
refuse access to the remaining 211 pages on the basis that disclosure of the
information would, on balance, be contrary to the
public interest, citing
prejudice to the testing and examination procedures involved in a QPS
recruitment
process.[3]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of QPS’ refusal of access
decision.[4] The applicant submitted
that he had been waiting over two years for a decision to be made on his current
recruitment application
and had concerns about the lack of transparency in the
application process.
During
the external review, QPS agreed to disclose some further information to the
applicant, including communications involving the
applicant, the
applicant’s medical records, and some internal QPS documents regarding the
recruitment process.[5] However, QPS
maintained the position that disclosure of certain internal QPS documents,
would, on balance, be contrary to the public
interest.
For
the reasons set out below, I affirm QPS’ decision to refuse access to the
information remaining in issue, under section
67(1) of the IP Act and section
47(3)(b) of the RTI Act, as its disclosure would, on balance, be contrary to the
public interest.
Background
The
applicant was medically discharged from QPS in 2008, having worked with QPS
since 1991. He unsuccessfully applied for readmission
to the police force in
2011 and in late 2016, he made a further application to re-join QPS. As at the
date of this decision, that
recruitment application remains undecided. The
applicant has expressed to OIC his frustration with the time it has taken QPS to
make
a decision on his recruitment application. In his view, the
‘RTI process is the only way that I will be able to view what
information is being used’ to make the recruitment
decision.[6]
The
decision under review is QPS’ refusal of access decision dated 12 December
2018.
Significant
procedural steps taken during the external review are set out in the Appendix.
Evidence,
submissions, legislation and other material I have considered in reaching this
decision are disclosed in these reasons (including
footnotes and
Appendix).
Information in issue
The
information which is the subject of this decision includes correspondence
sent/received by QPS in relation to the recruitment
application,
testing/assessment forms and responses, interview questions and panel member
notes, and QPS deliberations on the applicant’s
recruitment application
(Recruitment Documents).[7]
Issue for determination
The
issue for determination is whether access to the Recruitment Documents may be
refused on the basis that disclosure would, on balance,
be contrary to the
public interest.[8]
Relevant law
The
IP Act provides an individual with the right to access documents of an agency to
the extent they contain the individual’s
personal
information.[9] This right of access
is however, subject to certain limitations, including grounds for refusing
access. One such ground is where
disclosure would, on balance, be contrary to
the public interest.[10]
The
term ‘public interest’ refers to considerations affecting the good
order and functioning of the community and government
affairs for the well-being
of citizens.[11] This means that in
general, a public interest consideration is one which is common to all members
of, or a substantial segment of,
the community, as distinct from matters that
concern purely private or personal
interests.[12]
In
deciding where the balance of the public interest lies, various factors may be
relevant[13] and a decision-maker
must take specific steps in reaching a decision on
disclosure.[14]
The
factors listed in schedule 4 to the RTI Act generally require that the
particular outcome that the factor is intended to promote
or protect against
‘could reasonably be expected’ to result from disclosure. In
assessing whether an outcome ‘could reasonably be expected’,
the Information Commissioner has found that a decision maker must distinguish
‘between what is merely possible ... and expectations that are
reasonably based’ and for which ‘real and substantial grounds
exist’.[15] Other
jurisdictions have similarly interpreted the phrase ‘as distinct from
something that is irrational, absurd or
ridiculous’.[16]
Taking
the above into account, my assessment of, and findings in relation to, the
public interest factors relevant in this case, are
set out
below.
Findings
No
irrelevant factors arise in the circumstances of this case, and I have not taken
any, including those set out in schedule 4, part
1 of the RTI Act, into
account.
In
making this decision, I have adopted a pro-disclosure bias, as required by
section 64 of the IP Act.
Factors favouring disclosure
The
applicant’s personal information appears throughout the Recruitment
Documents, giving rise to a public interest factor favouring
disclosure.[17] This factor is
routinely afforded very high weight given the fundamental importance of
individuals being able to access their personal
information held by government
agencies.
The
applicant has been given access to some information through the IP Act
application process, including a significant number of
pages to which QPS
originally refused access and subsequently agreed to disclose following
negotiations with OIC. However, I accept,
as the applicant has argued, that much
of the released information was already known to him, eg. it comprises copies of
correspondence
involving him, and his medical
reports.[18] In the circumstances, I
do not consider the released information serves to reduce the weight of this
factor to any degree, and therefore,
I afford this factor significant weight in
favour of disclosure of the Recruitment Documents.
The
applicant submits that there has been a lack of transparency in the processing
of his recruitment application.[19]
I am satisfied that there is a public interest in QPS being accountable and
transparent in relation to the decisions it makes, and
processes undertaken in
relation to police officer
recruitment.[20] In the
circumstances of this case, I also consider the public interest in informing the
community of the government’s
operations[21] and revealing the
reason for a government decision and any background or contextual information
that informed the decision[22] are
relevant to consider.
As
I have noted above, the applicant has been granted access to some information
regarding his recruitment application through the
IP Act process. While I accept
that some of that information was already known to him, I consider that certain
released documents
do serve, to an extent, to discharge the public interest
factors identified in the preceding paragraph. For example, the document
titled
File Action Notes records the chronology of actions taken by QPS recruitment
officers in dealing with the applicant’s
recruitment
application,[23] subject only to the
deletion of information revealing particular deliberations/considerations. I
consider the disclosure of this
internal chronology has served to enhance QPS
accountability and transparency, to a moderate degree.
Also,
a number of emails released to the applicant demonstrate that inquiries were
made by QPS Recruiting Section to obtain information
from within QPS units, and
from external sources, to assist in QPS’ deliberations on the application.
Notably, those emails
demonstrate that the QPS recruitment officers asked the
various sources to provide a response outlining any objections or concerns
regarding the applicant’s recruitment application. I consider that the
disclosure of these documents has served to provide
a level of transparency in
terms of revealing some of the steps taken in the recruitment application
process, and that this serves
to reduce the weight of the relevant public
interest factors to moderate.
The
applicant is very concerned about the length of time it has taken QPS to decide
his recruitment application.[24] He
believes he has been treated unfairly and has been denied natural
justice.[25] He is also concerned
that information may have been ‘fabricated’ and wants an
opportunity to ‘check the factual accuracy’ of the
information provided and rectify any
inaccuracies.[26] The applicant is
understandably frustrated that he has been waiting approximately three years for
an outcome on his current application
(lodged in 2016) to be re-admitted to the
police force. On its face, this does seem like a long time for a recruitment
application
to remain undecided. Therefore, I consider that disclosure could
reasonably be expected to allow inquiry into possible deficiencies
in QPS
recruitment application handling
process.[27]
QPS
has explained that the applicant ‘has a unique and complex medical and
QPS history and as such his application has taken longer to process’
and this has been further complicated by the fact that during QPS’
consideration of the recruitment application, the applicant’s
treating
psychiatrist passed away, requiring QPS to ‘explore other options to
adequately assess [the applicant’s] suitability to be offered a
place as a recruit’.[28]
I am satisfied that the particular complexities of this case appear to have
legitimately extended the time taken to process the
recruitment application.
Also, the information available to me, both in the released documents (eg. the
File Action Notes) and Recruitment
Documents demonstrates that QPS recruitment
officers have been actively progressing the matter since its receipt. QPS also
submits
that the applicant is ‘fully aware of the status of his
application’.[29] In the
circumstances, I afford this factor moderate weight.
I
am also satisfied that disclosing the Recruitment Documents could reasonably be
expected to advance the applicant’s fair
treatment[30] and contribute to
procedural fairness for him.[31]
Disclosure would allow the applicant to view the entirety of the information
that QPS has before it in relation to the recruitment
application, and
critique/respond to any information of concern to him. I am also satisfied that
disclosure of the Recruitment Documents
would provide the applicant with a more
comprehensive understanding of why QPS has taken the length of time it has to
process the
recruitment application. However, in attributing weight to these
disclosure factors, I have also taken into account QPS
submission[32] that ‘When
each applicant enters into the recruitment process, they sign an acknowledgement
that specific feedback will not be provided
prior to the finalisation of the
application.’ I also note that the content of the released documents,
particularly the File Action Notes, do disclose a relatively detailed chronology
about the steps/actions taken on the recruitment application, which serves to
reduce the weight of these factors, to some extent.
In the circumstances, I
afford these factors low weight.
As
set out above, the applicant is concerned that there may be inaccuracies in the
Recruitment Documents.[33] The
applicant has not, however, advanced any evidence to demonstrate to me that this
expectation is reasonably based. I accept that
the applicant is at a
disadvantage in not being able to see the Recruitment Documents. However, for
the relevant public interest
factor to apply, I must be satisfied that
disclosure of the refused information could reasonably be expected to reveal
that the Recruitment
Documents contain incorrect, out of date, or misleading
information, as distinct from a mere possibility that such information may
appear within the documents. In the circumstances of this case, I am unable to
find that this factor applies.
Based
on the information available to me, I am satisfied that no further public
interest factors arise to favour disclosure of the
Recruitment
Documents.[34]
Factors favouring nondisclosure
QPS submissions
QPS
submitted that, while the applicant’s recruitment application remains
active, disclosure of the Recruitment Documents would
prejudice its
decision-making processes.[35]
Further, QPS argued that disclosure would place the applicant in a position
to ‘subvert the internal workings and deliberations’ of the
agency and that this would ‘thwart the Service’s ability to
manage the recruitment process’ and ‘give the applicant an
unfair advantage over other applicants, in a competitive
environment’.[36]
QPS
outlined that its recruitment process for police officers involves a number of
tests and examinations which are designed to ensure
that people selected to the
role will be able to provide the service that the community expects, and to
handle the rigorous demands
of
policing.[37] QPS submitted that
disclosure of the tests, results, questionnaires and examinations, which appear
throughout the Recruitment Documents,
would enable applicants to frame their
responses, giving them an unfair advantage over other
applicants.[38]
QPS
made specific submissions in relation to psychological testing that occurs
during a recruitment process. QPS argued that disclosure
would prejudice the
effectiveness of the methods and procedures that are used to determine an
applicant’s psychological suitability
to perform the duties of a police
officer.[39] Further, QPS submitted
that disclosure of the psychological assessment documents and feedback could
reasonably be expected to prejudice
the effectiveness of those tests, the
objects of which is to ensure appropriate candidates are selected to become
police officers.[40] QPS submitted
that the recruitment of suitable candidates is also a critical component of
QPS’ management function. In particular,
the selection of suitable
candidates for a role that can be very demanding both physically and mentally
forms part of QPS’
duty to ensure the welfare of
employees.[41]
QPS
also submitted that its management function would be detrimentally affected if
QPS Recruiting was required to respond to requests
from recruitment applicants
prior to the finalisation of the process, noting that QPS Recruiting receives
over 10,000 applications
each
year.[42] QPS considers that not
only would disclosure subvert the process by allowing applicants to tailor/frame
their responses (as outlined
above), it would also divert QPS Recruiting from
deciding the applications, thereby further prejudicing its management
function.[43]
Analysis
The
public interest will favour nondisclosure of information that could reasonably
be expected to prejudice (i) the management function
of an
agency,[44] (ii) a deliberative
process of government;[45] and/or
(iii) the effectiveness of testing
procedures.[46] The RTI Act also
recognises that disclosure could reasonably be expected to cause a public
interest harm if disclosure could:
prejudice the
effectiveness of a method or procedure for the conduct to tests or examinations
by an agency[47]
prejudice
achieving the objects of a test or examination conducted by an
agency;[48] and
reveal an
opinion, advice or recommendation that has been obtained, prepared or recorded,
or a consultation or deliberation that has
taken
place.[49]
As
noted in paragraph 10 above, the
Recruitment Documents include copies of the questions the applicant was asked at
a face to face interview, which formed
part of the recruitment process. The
interview panel members’ notes which record their observations and
assessments of the
applicant’s responses are also present. It is not
uncommon for job applicants to be asked to return interview questions at
the
conclusion of an interview—this serves to preserve their confidentiality
for the current process (as against competing
applicants who are yet to be
interviewed), and also in future recruitment processes (should they be re-used).
I am satisfied that
the effectiveness of testing/examination processes used in
QPS recruitment is likely to be compromised by disclosure of these (and
other
testing/evaluation) documents as it could reasonably be expected to allow future
applicants to tailor their responses to gain
a more beneficial outcome, thereby
undermining the recruitme[50]
process.50
Similarly,
I am satisfied that disclosure of the psychological testing questionnaire,
responses and associated evaluation information
could reasonably be expected to
prejudice the recruitment process. As set out above, QPS has emphasised that
selecting suitable candidates
for recruitment to the police force is a critical
component of its management function and psychological testing is one of the key
methods used in the selection process. I accept that disclosure of this
testing/evaluation information would reveal the particular
areas on which
applicants are assessed, and the methods that are used by QPS to evaluate an
applicant’s responses/performance.
I am satisfied that disclosure of such
information could reasonably be expected to subvert the purpose of those testing
methods as
it would enable future candidates to respond in a way that could give
them an unfair advantage in a highly competitive
environment.[51]
For
the reasons set out in paragraphs 34 and
35 above, I am satisfied that disclosure
of the Recruitment Documents would prejudice the effectiveness and objects of
testing/examination
methods used by QPS in its recruitment process. I also find
that this would have a corresponding prejudicial impact on
QPS̵[52] management function52
as it may lead to unsuitable candidates being selected due to the presence of
skewed/misleading testing results. In the circumstances,
I
affor[53]the relevant factors53
significant weight in favour of nondisclosure.
Observations
about, and assessment/evaluation of the applicant’s suitability to join
the police force appear throughout the
Recruitment Documents, particularly
within correspondence, and the refused portions of the File Action Notes. I am
satisfied that
the information reveals QPS’ deliberations on issues
associated with the applicant’s recruitment application, and constitute
QPS’ pre-decisional thinking, thereby raising a public interest factor in
favour of nondisclosure.[54]
Given
the unfinalised status of the recruitment process, I am satisfied that
disclosure of this information could reasonably be expected
to prejudice a
deliberative process of government, namely, the process QPS is undertaking to
decide whether or not to recruit the
applicant into the police
force.[55] I am also satisfied that
a public interest harm arises in respect of particular documents that constitute
opinions/advice/recommendations
that have been obtained/prepared in relation to
that deliberative process.[56] I am
satisfied that the recruitment of suitable candidates to QPS is a process that
involves input from various sources both internally
within QPS, and externally
(as relevant to a particular case). Given the potential ramifications of
selecting a candidate that is
not suitable for the demanding role of a police
officer, I am satisfied that those involved in the recruitment process should be
afforded a level of discretion to allow them to express their views openly and
honestly. Therefore, I accept QPS’s submission
that revealing internal
conversations about a particular recruitment candidate before a decision has
been made could reasonably be
expected to prejudice that process. I afford the
relevant factors[57] significant
weight in favour of nondisclosure.
Conclusion
As
demonstrated by the discussion above, there are multiple public interest factors
which favour of disclosure of the Recruitment
Documents. Primarily, the
applicant’s entitlement to access his own personal information weighs
heavily in favour of disclosure.
I have also afforded moderate weight to the
public interest in enhancing the accountability and transparency of the QPS
recruitment
process, and allowing inquiry into possible deficiencies in the
conduct of that process, particularly given the length of time the
applicant has
been waiting for a decision to be made. I have also afforded weight, while low,
to advancing the applicant’s
fair treatment and affording him procedural
fairness.
There
are also several relevant nondisclosure factors which must be balanced against
the disclosure factors. Of key significance in
this case is the reasonable
likelihood of prejudice to effectiveness, and purpose of, the testing and
examination procedures that
form part of the recruitment process, the fact that
the recruitment application remains the subject of deliberations and the
negative
impact on QPS’ management function. For the reasons set out
above, I am satisfied that the collective weight of those nondisclosure
factors
and the level of public interest harm that could reasonably be expect to arise
through disclosure of the Recruitment Documents,
tip the scales in favour of
nondisclosure.
On
balance, I find that disclosure of the Recruitment Documents would be contrary
to the public interest and therefore, access to
the information remaining in
issue may be refused.DECISION
On
the basis of the above, I affirm QPS’ decision to refuse access to the
Recruitment Documents under section 67(1) of the IP
Act and section 47(3)(b) of
the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.K
ShepherdAssistant Information Commissioner 5 November
2019APPENDIX
Significant procedural steps
Date
Event
12 December 2018
OIC received the application for external review.
21 December 2018
OIC notified the applicant and QPS that it had accepted the external review
application and asked QPS to provide relevant information.
8 January 2019
OIC received the requested information from QPS.
12 April 2019
OIC conveyed a preliminary view to QPS.
17 May 2019
QPS provided submissions in response to OIC’s preliminary view,
agreeing to release certain documents to the applicant.
11 June 2019
QPS released documents to applicant as part of the informal resolution
process.
13 June 2019
OIC conveyed a further preliminary view to QPS.
8 July 2019
OIC received written submissions from the applicant.
25 July 2019
QPS provided further submissions to OIC confirming its position that access
to certain documents should be refused on the basis that
their disclosure would,
on balance, be contrary to the public interest.
9 August 2019
OIC received telephone submissions from the applicant.
15 August 2019
OIC conveyed a further written preliminary view to QPS that there was no
basis on which to refuse access to certain information.
OIC also conveyed a written preliminary view to applicant and invited him
to provide submissions if he wished to contest the view.
27 August 2019
OIC received further written submissions from the applicant, disagreeing
with OIC’s preliminary view.
5 September 2019
QPS advised OIC that it had reconsidered its position and agreed to release
certain documents to the applicant.
9 September 2019
OIC wrote to the applicant to address his concerns about the review
process. The applicant provided OIC with additional written submissions.
OIC wrote to QPS to confirm its agreement to release certain documents to
the applicant, and to confirm OIC’s preliminary view
in relation to
nondisclosure of the remaining documents.
OIC also requested QPS to advise OIC, as a matter of urgency, if the status
of the applicant’s recruitment process changed.
10 September 2019
OIC wrote to the applicant to clarify certain procedural issues, and to
confirm that the next step in the review would be for OIC
to issue a formal
written decision.
12 September 2019
QPS advised OIC that the further documents had been released to the
applicant, in accordance with OIC’s preliminary view.
24 September 2019
QPS confirmed to OIC that a decision was yet to be made on the
applicant’s recruitment application.
23 October 2019
OIC wrote to the applicant to confirm the information remaining in
issue.
30 October 2019
The applicant telephoned OIC and confirmed that he was willing to exclude
the personal information of other individuals, and information
to which access
is otherwise available, from consideration in the review.
5 November 2019
QPS confirmed the ongoing status of the recruitment process.
[1] Access application dated 24
October 2018.[2] Decision dated 12
December 2018.[3] Section 67(1) of
the IP Act, section 47(3)(b) of the Right to Information Act 2009 (Qld)
(RTI Act) and schedule 4, part 4, section 3 of the RTI Act.
[4] External review application
dated 12 December 2018. [5] 96
full pages.[6] Submission to OIC
dated 8 July 2019.[7] 63 full
pages and parts of 2 pages. I note these figures are significantly lower than
the 211 pages to which access was originally
refused by QPS. This is the result
of QPS’ agreement to disclose certain information to the applicant during
the review (see
footnote 5), and the applicant’s election not to pursue
access to the personal information of third parties (eg. other recruitment
candidates) and documents to which other access is available, eg. his traffic
history, which appeared within the located documents.
The issue of access to
that information is therefore, not considered in these reasons.
[8] Under section 67(1) of the IP
Act and section 47(3)(b) of the RTI Act. Section 67(1) of the IP Act sets out
that an agency may refuse
access to information in the same way and to the same
extent that the agency could refuse access to the document under section 47
of
RTI Act.[9] Section 40 of the IP
Act.[10] Sections 47(3)(b) and
49 of the RTI Act.[11] Chris
Wheeler, ‘The Public Interest: We know it’s important, but do we
know what it means’ [2006] AIAdminLawF 2; (2006) 48 AIAL Forum 12,
14.[12] Some factors, are
however, expressed to apply for the benefit of a particular individual, eg.
Schedule 4, part 2, items 7 and 17
of the RTI Act.
[13] Including the
non-exhaustive list of factors in schedule 4 of the RTI
Act.[14] Section 49 of the RTI
Act. The steps include: disregarding any irrelevant factors, identifying
relevant factors favouring disclosure
and nondisclosure and balancing the
relevant factors.[15] B and
Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279 at
[154]- [160].[16] See
Smolenski v Commissioner of Police, NSW Police [2015] NSWCATAD 21 at
[34], citing Commissioner of Police, NSW Police Force v Camilleri
(GD) [2012] NSWADTAP 19 at [28], McKinnon v Secretary, Department of
Treasury [2006] HCA 45 at [61] and Attorney-General’s Department v
Cockcroft [1986] FCA 35; (1986) 10 FCR 180 at
190.[17] Schedule 4, part 2,
item 7 of the RTI Act.[18]
Applicant’s submission to OIC dated 27 August
2019.[19] Applicant’s
submissions to OIC dated 27 August and 9 September
2019.[20] Schedule 4, part 2,
item 1 of the RTI Act.[21]
Schedule 4, part 2, item 3 of the RTI
Act.[22] Schedule 3, part 2,
item 11 of the RTI Act. [23]
Since October 2016.[24]
Submissions to OIC dated 8 July and 9 September
2019.[25] Submission to OIC
dated 8 July 2019, telephone submissions provided 9 August
2019.[26] Submissions to OIC
dated 8 July and 27 August
2019.[27] Schedule 4, part 2,
item 5 of the RTI Act.[28]
Submission to OIC received 25 July 2019 (dated 25 May 2019 due to typographical
error). [29] Submission to OIC
received 25 July 2019. [30]
Schedule 4, part 2, item 10 of the RTI Act.
[31] Schedule 4, part 2, items
16 and 17 of the RTI Act.[32]
Submission to OIC received 25 July
2019.[33] Thereby, raising the
public interest factor in schedule 4, part 2, item 12 of the RTI Act.
[34] I have considered all of
the factors listed in schedule 2, part 2 of the RTI Act and find that no further
factors apply, other than
those discussed
above.[35] Submission to OIC
received 25 July 2019.[36]
Submission to OIC received 25 July 2019. QPS submitted that its Recruitment Unit
receives in excess of 10,000 applications to join
the police force each year.
[37] QPS decision dated 12
December 2018.[38] QPS
submissions dated 17 May 2019.
[39] QPS decision dated 12
December 2018.[40] QPS decision
dated 12 December 2018.[41] QPS
submissions dated 17 May 2019 and submissions received 25 July
2019.[42] QPS submissions
received 25 July 2019.[43] QPS
submissions received 25 July
2019.[44] Schedule 4, part 3,
item 19 of the RTI Act.[45]
Schedule 4, part 3, item 20 of the RTI
Act.[46] Schedule 4, part 3,
item 21 of the RTI Act. [47]
Schedule 4, part 4, section 3(a) of the RTI Act. See Lucas and The University
of Queensland [2017] QICmr 14 (7 April 2017) for a discussion of this
factor, and the related nondisclosure factor in schedule 4, part 3, item 21 of
the RTI Act.
[48] Schedule 4,
part 4, section 3(b) of the RTI
Act.[49] Schedule 4, part 4,
section 4 of the RTI Act.[50]
There can be no restriction on the use, dissemination or republication of
information once it is released under the IP Act.
[51] Once the recruitment
process is finalised, there may be an opportunity for QPS to consider granting
the applicant inspection access
to some of the testing/examination information,
psychological questionnaire/responses and interview panel member notes.
Inspection
access to test results routinely occurs in a university context when
students seek copies/feedback on their past examinations. However,
this would be
a matter for QPS to consider, based on the particular circumstances of the
case.[52] See W7SV7G and
Department of Education [2018] QICmr 24 (22 May 2018) at paragraph
[28].[53] Schedule 4, part 3,
items 19 and 21 and schedule 4, part 4, section 3(a) and (b) of the RTI
Act.[54] Schedule 4, part 3,
item 20 of the RTI Act. See Straker and Sunshine Coast Regional Council; NBN
Co Limited (Third Party) [2016] QICmr 44 (28 October 2016) at
paragraphs [148]-[155].
[55] Noting that, once the
recruitment process has been finalised, the relevance and weight of this
nondisclosure factor would need to
be reconsidered, subject to whether or not
the recruitment application is accepted.
[56] Schedule 4, part 4, section
4 of the RTI Act. I am unable to describe the exact nature of those documents,
due to the limitations
placed on me by section 120 and 121 of the IP Act.
However, they can broadly be described as suitability reports.
[57] Schedule 4, part 3, item 20
and part 4, section 4 of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Middleton and Brisbane City Council [2011] QICmr 34 (6 September 2011) |
Middleton and Brisbane City Council [2011] QICmr 34 (6 September 2011)
Last Updated: 21 October 2011
Decision and Reasons for Decision
Application Number: 310320
Applicant: Middleton
Respondent: Brisbane City Council
Decision Date: 6 September 2011
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
REFUSAL OF ACCESS – NONEXISTENT DOCUMENTS – applicant
sought access
to documents in relation to a residential sewage issue – agency located
and released documents to the applicant
– applicant contends that further
documents responding to her access application exist – whether there are
reasonable
grounds for agency to be satisfied documents do not exist –
whether agency has taken all reasonable steps to locate documents
–
whether access can be refused under sections 47(3)(e) and 52(1)(a) of the
Right to Information Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
The
applicant applied to Brisbane City Council (Council) under the Right
to Information Act 2009 (Qld) (RTI Act) for access to various
documents relating to sewage flooding issues on her property.
In
response to the access application, Council located and provided the applicant
with full access to 660 pages.
In
her external review application, the applicant questioned the sufficiency of
Council’s searches, contending that Council
holds more documents relevant
to her access application.
In
response[1] to the
Office of the Information Commissioner’s (OIC) preliminary
view[2] the categories
of documents which the applicant contends have not been located by Council were
narrowed to the following:
Category
Particulars
Category 1
Job Sheet or similar document for a sewage overflow incident reported on 16
February 2010 (Council reference CC28035553).
Category 2
Job Sheet or similar document for a dry weather sewage overflow incident
reported on 24 April 2010 (Council reference SCCC50 28396204).
Category 3
All documentation on file for her propery that has not already been
provided. This will include but is not limited to correspondence
to and from
third parties, including complaints from neighbours or local residents, State
departments, the Office of the Queensland
Ombudsman, Councillors, Queensland
Local Government Mutual Liability Pool, Queensland Building Services Authority,
Queensland Urban
Utilities etc.
Category 4
A copy of the Current and Historical Listing Form noting the sewage
overflow incidents reported by the applicant on 16 February 2010
and 24 April
2010.
Category 5
A copy of a written response that was provided to Councillor Sutton.
Category 6
Copies of all documents that Councillor Sutton has on file in relation to
her property, which includes but is not limited to correspondence
to and from
the Federal Member for Griffith since 20 March 2010.
During
the course of the external review, Council conducted further searches for
documents responding to Categories 1 to 6 and provided
submissions to the OIC in
relation to those searches.
For
the reasons set out below, I am satisfied that Council may refuse access to
Category 1 to 6 documents under section 47(3)(e) of
the RTI Act as there are
reasonable grounds to be satisfied that the documents sought do not
exist.[3]
Background
Significant
procedural steps relating to the application and external review are set out in
Appendix A.
Reviewable decision
The
decision under review is Council’s decision dated 22 July 2010.
Issues in this review
The
remaining issue to be addressed on external review is whether Council is
entitled to refuse
access[4] to the
documents sought at paragraph 4 above,
on the basis that they are
n[5]nexistent.5
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision is as disclosed in these reasons (including
footnotes and
appendices).
Relevant law
Under
the RTI Act, a person has a right to be given access to documents of an
agency,[6] though this
right is subject to other provisions of the RTI Act including the grounds on
which an agency may refuse access to
documents.[7] The RTI
Act provides that access to a document may be
refused[8] if the
document is nonexistent or
unlocatable.[9]
Nonexistent document
However,
if an agency relies on searches to justify a decision that the document sought
does not exist, all reasonable steps must
be taken to locate the requested
document.[10]
Findings
The
applicant contends that Council should hold, but has not located, all documents
described in Categories 1 to 6.
Are there reasonable grounds to be satisfied that the documents in issue do not
exist?
The
answer to this question is ‘yes’ in respect of each of the six
categories of documents sought, for the reasons that
follow.
A
document is nonexistent if there are reasonable grounds for the agency or
Minister dealing with the access application to be satisfied
that the document
does not exist.[11]
The
RTI Act is silent on how an agency or Minister can be satisfied that a document
does not exist. However, in PDE and the University of Queensland
(PDE)[12]
the Information Commissioner explained that to be satisfied that a document does
not exist, the agency must rely on its particular
knowledge and experience,
having regard to various key factors including:
administrative
arrangements of government
structure of the
agency
functions and
responsibilities of the agency (particularly with respect to the legislation for
which it has administrative responsibility
and the other legal obligations that
fall to it)
practices and
procedures of the agency (including but not limited to its information
management approach)
other factors
reasonably inferred from information supplied by the applicant
including:
○ the
nature and age of the requested document/s; and
○ the
nature of the government activity the request relates to.
When
these key factors are properly considered and a conclusion reached that the
document does not exist, it may be unnecessary for
searches to be conducted.
However,
if the agency relies on searches to justify a decision that the document sought
does not exist, all reasonable steps must
be taken to locate the requested
document.[13]
I
consider each category of document sought in turn below.
Category 1 and 2 Documents
The
applicant contends[14]
that further Category 1 and 2 documents exist as Council officers who attended
each sewage overflow incident at the applicant’s
address informed her that
a report of each visit to her property would be completed as a procedural
requirement.
The
applicant
states:[15]
Whilst I have received the Job Cards for the
above[16] and limited
CCTV inspection results, there were no reports completed by Queensland Urban
Utilities.
The
applicant later
states[17] that she
has not received Job Cards for sewage overflow incidents reported on 16 February
2010 and 24 April 2010 (2010 incidents).
Council
explained[18] that
following each visit to the applicant’s property, information was recorded
in Job Card Work Order
BW247810[19] (Job
Card) which is the ‘report’ Council officers referred to. In
any event, Council asked Queensland Urban
Utilities[20]
(QUU), to undertake another search for any additional documents relating
to the 2010 incidents that had not already been provided to the
applicant.
Council submits that no further documents were located.
With
specific reference to the Category 1 document, Council
submits[21] that:
the applicant
telephoned Council’s Call Centre on 16 February 2010 to report a sewage
overflow incident
during that
conversation Council informed the applicant of the appropriate Council fee for
Council staff to attend her property; and
the applicant
declined to have Council staff visit her property to inspect this overflow
incident.
Council
referred OIC to its usual practices and
procedures[22] and
submits that when a matter is resolved upon contact with Council’s Call
Centre and no follow up action is required, the
matter is closed in the Call
Centre system. In this instance, Council staff did not visit the
applicant’s property in response
to the overflow incident reported on 16
February 2010 and therefore no Job Card record was created.
On
that basis, Council submits that the only document in existence relating to the
overflow incident reported on 16 February 2010
is the Call Centre report. A
copy of the Call Centre report was released to the applicant with
Council’s decision and a further
copy was provided by Council to the
applicant on 9 June 2011.
In
relation to the Category 2 document, Council submits that a copy of the Job Card
completed by Council staff following their attendance
at the applicant’s
property to inspect a sewage overflow incident reported on 24 April 2010 was
released to the applicant with
its decision. A further copy of the Category 2
document was provided to the applicant by Council on 9 June 2011.
I
have carefully considered Council’s submissions and I am satisfied that
Council has taken all reasonable steps to locate the
documents sought in
Categories 1 and 2 and that there are reasonable grounds to be satisfied
that:
the Category 1
Job Card does not exist because it was never
created;[23] and
no further
Category 1 or 2 documents exist and therefore Council may refuse access to the
documents
sought.[24]
Category 3 Documents
The
applicant contends that Council has not provided her with a range of
documents;[25] however
the applicant has not provided any evidence to OIC to support the existence of
additional Category 3
documents.[26]
Specifically,
the applicant claims a covering letter to Council providing a Plumbing and
Drainage report (Report) dated 23 September 2009 should exist as well as
further Category 3 documents from Council to the Queensland Local Government
Mutual
Liability Pool.
Council
submits that it holds no further Category 3 documents relevant to the access
application. In support of its submission, Council
has conducted a range of
searches on a number of occasions including:
searches of the
TRIM records management system using a range of key words
searches of CMX
being Council’s correspondence management tracking system
an inspection of
file 185/420/522/43 which is a sewerage investigation file for the
applicant’s address; and
enquiries with
relevant QUU officers.
In
relation to a covering letter to the Report, the Manager Plumbing Services
Group, QUU informed Council that he was unaware of any
covering letter
accompanying the Report which was prepared by BT Plumbing Service and addressed
to the Queensland Building Services
Authority.[27]
As
to the applicant’s contention that Council has not located all documents
sent or received by Queensland Local Government
Mutual Liability Pool, Council
submits[28] that, in
accordance with its usual practices and
procedures,[29] once
insurance matters are referred to Council’s insurers or loss assessors,
the matters are dealt with by them, with minimal
documents being exchanged with
Council, except where circumstances necessitate contact with Council.
Council
submits that, following the extensive searches detailed at paragraph 31 above,
the documents sought by the applicant were
not located nor were any further
documents relevant to the access application.
Council
also submits that it has conducted numerous searches for documents relating to
sewage overflow incidents at the applicant’s
property across a number of
access applications under the now repealed Freedom of Information Act
1982 (Qld) and RTI Act and that no further documents exist to those already
provided to the applicant.
In
light of the repeated and detailed searches conducted by Council in this matter
and previous applications, I find that there are
reasonable grounds to be
satisfied that no further Category 3 documents exist.
Category 4 Documents
The
applicant is seeking evidence that the sewage overflow incidents she reported on
16 February 2010 and 24 April 2010 are listed
on Council’s Current and
Historical Listing Form.
Council
submits that a search for the ‘Current and Historical Listing’ of
the 2010 incidents reported by the applicant
could not be undertaken when
processing the access application or during conduct of the external review as
the ‘wet weather
event flag was not
activated’.[30]
Council
provided the applicant with a copy of the script which refers to Council’s
Contact Centre being notified by QUU that
‘the wet weather surcharge has
been activated’ in the Current and Historical Listing Form. This in turn
makes the Current
and Historical Listing Form available to Council staff to
search and/or enter reports of sewage overflow incidents.
Council
explained that the wet weather surcharge is only activated during a ‘heavy
rain event’. Then, if people to call
and inquire if their property has
been affected by heavy rain events in the past, the system can be searched and
relevant incidents
recorded.
Council
further explained that if someone makes the same inquiry during ‘dry
weather’, the Current and Historical Listing
system cannot be searched or
incidents recorded.
The
applicant’s access application refers to the sewage overflow incident on
24 April 2010 as a ‘dry weather event’
and Council has
confirmed[31] that the
wet weather flag was not activated on 16 February 2010.
Council
therefore submits that the Job Card and Call Centre record (category 1 and 2
documents) released to the applicant are Council’s
record of the 2010
incidents reported by the applicant.
On
the basis of the above, I am satisfied that the 2010 incidents were not recorded
in the Current and Historical Listing system as
the system was not accessible
for such records to be created.
Therefore,
I am satisfied that Council may refuse access to Category 4 documents under
sections 47(3)(e) and 52(1)(a) of the RTI Act
as there are reasonable grounds to
be satisfied that documents sought in Category 4 do not exist.
Category 5 Documents
The
applicant contends that the Category 5 document must exist, pointing to an
email[32] from
Councillor Sutton indicating QUU had advised her arrangements would be made to
investigate the sewage issues at the applicant’s
property and that she
(Councillor Sutton) would receive a ‘written response in due
course’.
The
applicant made an identical request for the Category 5 document in another
external review.[33]
OIC issued its decision on 13 May 2011 which detailed OIC’s finding that
there were reasonable grounds to be satisfied that
the Category
5[34] document does
not exist because it was not created.
The
applicant claims, in her external review
application,[35] that
‘my Federal Member has also written asking for same’. The
applicant’s reference to additional documents from her Federal Member is
outside the scope of her access application
as she has specifically requested a
copy of the written response that she believes was provided to Councillor Sutton
from QUU.
As
the request for the Category 5 document has been sufficiently addressed in an
earlier OIC decision, and the applicant has been
unable to provide any further
evidence to support her contention, I am satisfied that it is unnecessary to
address the applicant’s
request for the Category 5 document in any further
detail.
Category 6 Documents
The
applicant contends that further Category 6 documents must be within the
possession of Councillor Sutton’s Morningside Ward
Office (Morningside
Ward Office). On external review, the applicant specifically sought:
a
file note relating to the applicant’s telephone call to the Morningside
Ward Office on 6 February 2008; and
correspondence
from the Morningside Ward Office acknowledging the documents received from the
Federal Member for Griffith.
The
applicant further contends that OIC staff would need to visit the Morningside
Ward Office to be satisfied that all documents requested
have been located. I
do not accept the applicant’s contention.
OIC
staff contacted the Morningside Ward Office for information on its records
management
processes.[36] The
Morningside Ward Office Manager explained that:
the
offices’ central electronic records management system is
‘ACT’
staff record
contact with any person in ACT
staff scan all
correspondence and hardcopy records into ACT and attach it to the
individual’s file
ACT is searched
by an individual’s name
the applicant
has records dating back to 2004 stored in ACT
the office also
uses ‘Electrac’ which is an Australian Labor Party (ALP)
program which Councillors representing the ALP are entitled to load onto Council
computers and is predominantly used for mail-merge
projects
staff can also
attach notes to a record in Electrac
Electrac is also
searched by name and there is no history of the applicant in Electrac
staff had
physically inspected hard copy files; and
it is the usual
practice of the Morningside Ward Office not to acknowledge correspondence unless
a specific request for confirmation
of receipt is made.
In
relation to item a) above, I also refer to OIC’s decision in Middleton
and Brisbane City
Council,[37] where
the applicant requested a file note of a telephone call to the Morningside Ward
Office of 7 February 2008 rather than 6 February
2008.[38]
With
regard to item b) above, OIC has reviewed the documents provided to the
Morningside Ward Office by the Federal Member for
Griffith.[39] OIC has
considered the relevant documents and there is nothing in the Federal
Member’s correspondence to the Morningside Ward
Office to indicate that it
should respond to or acknowledge the documents received from the Federal Member
for Griffith. In accordance
with the usual practices of the Morningside Ward
Office,[40] I accept
its submission that no correspondence was created in response to documents
received from the Federal Member for Griffith.
The
Morningside Ward Office has repeatedly searched for the requested documents.
Both electronic and hard copy records as detailed
at paragraph 52 above, have
been interrogated on a number of occasions. In the circumstances I am satisfied
that Council has taken
all reasonable steps to locate Category 6 documents and
there are reasonable grounds to be satisfied that no further Category 6
documents
exist.[41]
Conclusion
For
the reasons set out above, I find that there are reasonable grounds to be
satisfied that no further Category 1 to 6 documents
exist in accordance with
section 52(1)(a) and access can therefore be refused under section 47(3)(e) of
the RTI Act.
DECISION
I
affirm Council’s decision to refuse access to the requested documents
under sections 47(3)(e) and 52(1)(a) of the RTI Act
on the basis that no further
Category 1 to 6 documents exist.
I
have made this decision as a delegate of the Information Commissioner under
section 145 of the RTI Act.
________________________
Jenny Mead
Right to Information Commissioner
Date: 6 September 2011
APPENDIX A
Significant procedural steps
Date[42]
Event
14 May 2010
The applicant applied to Council under the RTI Act for a range of documents
which broadly relate to sewerage overflow issues at her
residence.
22 July 2010
Council located and released 660 documents to the applicant.
27 July 2010
The applicant applied to OIC for external review of Council’s RTI
Decision of 22 July 2010 claiming that Council had not located
all documents
relevant to her access application.
12 August 2010
OIC informed Council and the applicant that the external review application
had been accepted for review.
14 August 2010
OIC received submissions from the applicant.
6 September 2010
OIC received further submissions from the applicant.
29 October 2010
Council provided OIC with submissions and further information on the
searches performed for documents relevant to the access application.
6 November 2010
The applicant provided further submissions to OIC.
19 January 2011
Council provided OIC with submissions and further information on the
searches performed for documents relevant to the access application.
14 February 2011
Council provided further submissions to OIC.
22 February 2011
OIC conveyed a written preliminary view to the applicant that Council had
taken all reasonable steps to locate the documents in issue
and that there were
reasonable grounds to be satisfied that no further documents exist in relation
to the application.
OIC invited the applicant to provide submissions in support of her case if
she did not accept the preliminary view.
25 February 2011
OIC received submissions from the applicant.
25 May 2011
OIC requested further information from Council.
22 June 2011
Council provided further submissions to OIC.
27 June 2011
OIC received further submissions from Council.
13 July 2011
OIC obtained submissions from the Morningside Ward Office on its usual
administrative procedures and searches performed.
APPENDIX B
Relevant provisions of the RTI Act
Section
47 of the RTI Act provides:
47 Grounds on which access may be refused
(1) This section sets out grounds on which access may be refused.
(2) It is the Parliament's intention that –
(a) the grounds are to be interpreted narrowly; and
(b) an agency or Minister may give access to a document even if a ground
on which access may be refused applies.
(3) On an application, an agency may refuse access to a document of the
agency and a Minister may refuse access to a document of
the Minister –
...
(e) because the document is nonexistent or unlocatable as mentioned in
section 52; or
...
Section 52 of the RTI Act provides:
52 Document nonexistent or unlocatable
(1) For section 47(3)(e), a document is nonexistent or unlocatable
if—
(a) the agency or Minister dealing with the application for access is
satisfied the document does not exist; or
Example—
a document that has not been created
....
[1] 25 February
2011.[2] 22 February
2011.[3] Under
section 52(1)(a) of the RTI Act.
[4] Under section
47(3)(e) of the RTI
Act.[5] Under
section 52(1)(a) of the RTI Act.
[6] Section 23 of
the RTI Act. [7] As
set out in section 47 of the RTI
Act.[8] Section
47(3)(e) of the RTI
Act.[9] Sections
47(3)(e) and 52 of the RTI Act at Appendix
B.[10] See PDE
and the University of Queensland (PDE)
(Unreported, Queensland Information Commissioner, 9 February
2009).[11] Section
52(1)(a) of the RTI Act.
[12] Although
PDE concerned section 28A of the now repealed Freedom of Information
Act 1992 (Qld), the requirements of that section are replicated in section
52(1) of the RTI Act and therefore, the reasoning in PDE can be applied
in the context of the RTI Act. See also Pryor and Logan City Council
(Unreported, Queensland Information Commissioner, 8 July 2010) made under the
RTI Act.[13] See
PDE.[14] In
her submissions to OIC dated 14 August 2010.
[15] In her
submissions to OIC dated 14 August
2010.[16]
Referring to sewage overflow incidents on 16 February 2010 and 24 April
2010.[17] In her
submissions to OIC dated 25 February
2011.[18] In its
submissions to OIC dated 19 January
2011.[19]
Contained in Council’s ‘Network Sewerage City Drains Resp Main;
Responsive Mtcc’
system.[20] As a
separate agency to Council since 1 July 2010 and formerly known as Brisbane
Water. [21] In its
submissions provided to OIC staff by telephone on 16 June
2011.[22] See
PDE. [23]
Section 47(3)(e) and section 52(1)(a) of the RTI Act.
[24] Section
47(3)(e) and sections 52(1)(a) of the RTI Act.
[25] Including
documents provided from the Department of Infrastructure and Planning,
Queensland Building Services Authority and the Office
of the Queensland
Ombudsman.[26] OIC
has viewed a copy of the 660 pages released to the applicant in this matter. It
is not apparent on the face of these documents
that further Category 3 documents
should exist. [27]
In Council’s submission 29 October
2010.[28] In its
submissions dated 14 February
2011.[29] See
PDE. [30]
Council’s submissions dated 22 June
2010.[31] In its
discussions with OIC staff on 27 June
2011.[32] Dated 17
February 2010.
[33] OIC reference
310347; see www.oic.qld.gov.au for a
copy of the decision of Middleton and Queensland Urban Utilities
(Unreported, Queensland Information Commissioner, 13 May 2011).
[34] The relevant
request was referred to as the Category B document in OIC’s decision of 13
May 2011 (OIC reference 310347).
[35] Dated 27 July
2010. [36] On 27
June 2011, OIC also received a signed Search Certification and Record of
Searches from the Morningside Ward Office.
[37] OIC reference
310175; see www.oic.qld.gov.au for a
copy of the decision of Middleton and Brisbane City Council, (Unreported,
Queensland Information Commissioner, 13 May 2011).
[38] In case
there was some confusion with the dates provided by the applicant, OIC noted
that the applicant had received a copy of her
letter of 7 November 2009 to
Councillor Sutton which includes a hand-written record of telephone calls
between the applicant and
Councillor Sutton’s office on 6 January 2010 and
7 January 2010. This information was provided to the applicant in a preliminary
view, however the applicant did not clarify the date of the file note she was
seeking. [39] The
applicant has sent correspondence to the Federal Member for Griffith, which it
responded to and then forwarded copies to the
Morningside Ward
Office.[40] See
PDE. [41]
Section 47(3)(e) and section 52(1)(a) of the RTI Act.
[42] Of
correspondence or relevant communication unless otherwise indicated.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | J84 and Office of the Health Ombudsman [2019] QICmr 42 (1 October 2019) |
J84 and Office of the Health Ombudsman [2019] QICmr 42 (1 October 2019)
Last Updated: 17 October 2019
Decision and Reasons for Decision
Citation:
J84 and Office of the Health Ombudsman [2019] QICmr 42
(1 October 2019)
Application Number:
314466
Applicant:
J84
Respondent:
Office of the Health Ombudsman
Decision Date:
1 October 2019
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO THE PUBLIC INTEREST - complaints about medical treatment
- accountability and
transparency in a complaints process - matter of serious interest to the
community - assist inquiry into conduct
of agency or official - personal
information of other individuals - prejudice future supply of confidential
information - whether
disclosure would, on balance, be contrary to the public
interest - whether access to information may be refused under section 67(1) of
the Information Privacy Act 2009 (Qld) and sections 47(3)(b) and 49 of
the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] under the
Information Privacy Act 2009 (Qld) (IP Act) to the Office of the
Health Ombudsman (OHO) for access to documents relating to her complaints
about health practitioners.
OHO
located 938 pages and decided to refuse access to three full pages and parts of
22 pages[2] on the basis that
disclosure of information would, on balance, be contrary to the public
interest.[3]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of OHO’s refusal of access decision. The
applicant’s submissions indicate that she holds significant
grievances
about her medical treatment and other dealings with government agencies.
I
affirm OHO’s decision to refuse access to information under section 67(1)
of the IP Act and section 47(3)(b) of the RTI Act,
on the basis that its
disclosure would, on balance, be contrary to the public interest.
Background
Significant
procedural steps taken by OIC in conducting the external review are set out in
the Appendix to these reasons.
The
decision under review is OHO’s refusal of access decision dated 20
February 2019.
Evidence,
submissions, legislation and other material considered in reaching this decision
is referred to in these reasons (including
footnotes and
Appendix).
Information in issue
The
information in issue appears in emails/correspondence, database entries,
internal OHO forms, a proposed referral to
AHPRA[4], an AHPRA assessment report,
and mental health progress notes (about the
applicant).[5]
The
majority of the Refused Information is about a medical practitioner who was the
subject of one of the applicant’s complaints
(Medical Practitioner
Information).[6]
The
Refused Information also contains incidental references to other
individuals[7] and contact details
such as email/residential addresses and telephone numbers (Third Party
Information).[8] Parts of the
applicant’s mental health progress notes
(Medical Records) are also in
issue.
Issue for determination
The
issue for determination in this review, is whether access to the Refused
Information may be refused under the IP Act on the bases
that disclosure would,
on balance, be contrary to the public interest.
Relevant law
The
IP Act provides individuals with a right to be given access to documents of a
Queensland government agency, to the extent they
contain the individual’s
personal information.[9] This right,
is however, subject to some limitations, including the grounds on which access
to information may be refused.[10]
Access
may be refused to information if its disclosure would, on balance, be contrary
to the public interest.[11] The term
‘public interest’ refers to considerations affecting the good order
and functioning of the community and government
affairs for the well-being of
citizens.[12] This means that in
general, a public interest consideration is one which is common to all members
of, or a substantial segment of,
the community, as distinct from matters that
concern purely private or personal interests.
Various
factors may be relevant to deciding where the balance of the public interest
lies[13] and a decision-maker is
required to take specific steps in reaching a decision on
disclosure.[14]
The
factors listed in schedule 4 to the RTI Act generally require that the
particular outcome that the factor is intended to promote
or protect against
‘could reasonably be expected’ to result from disclosure. In
assessing whether an event ‘could reasonably be expected’ to
occur, the Information Commissioner has
found:[15]
The words call for the decision-maker ... to
discriminate between unreasonable expectations and reasonable expectations,
between what
is merely possible (e.g. merely speculative/conjectural
“expectations”) and expectations which are reasonably based,
i.e.
expectations for the occurrence of which real and substantial grounds
exist.
Similarly,
the words ‘could reasonably be expected’ have been
interpreted in other jurisdictions as
follows:[16]
... “require a judgement to be made by the
decision-maker as to whether it is reasonable, as distinct from something that
is
irrational, absurd or ridiculous” to expect a disclosure of the
information in issue could have the prescribed consequences
relied
on.
Taking
the above into account, my assessment of, and findings in relation to, the
public interest factors relevant in this case, are
set out
below.
Findings
No
irrelevant factors arise in the circumstances of this case and I have not taken
any into account in making my decision.
I
have had regard to the pro-disclosure bias, as required by section 64 of the IP
Act.
Factors favouring disclosure
The
applicant’s submissions discuss a range of issues associated with her
negative experiences with healthcare providers and
other government agencies.
The applicant considers that she has been treated unfairly and refers to various
incidents that she argues
have caused her significant distress, and which she
says have impacted the financial, social and health aspects of her
life.[17]
The
public interest will favour disclosure of information that could reasonably be
expected to:
enhance the
Government’s
accountability[18] and inform the
community of the Government’s
operations[19]
contribute to
positive and informed debate on important issues or matters of serious
interest[20]; and
reveal the
reason for a government decision and background/contextual information to the
decision.[21]
I
accept that disclosure of some of the Refused Information, particularly the
Medical Practitioner Information, would provide the
applicant with a more
comprehensive understanding of the background/contextual information that was
available to OHO (and AHPRA)
in making decisions in connection with the
applicant’s complaints, and to a lesser extent, some further details about
the decision
making process. In considering the weight to be attributed to these
factors, it is relevant that OHO granted the applicant access
to over 900 pages
in response to the access application. Having reviewed the released information,
I consider it has served to significantly
discharge the above public interest
factors as the applicant has been well informed of the investigation and
decision making process.
In the circumstances, I am satisfied that these factors
carry moderate weight in favour of disclosure.
I
also consider that the issue of medical practitioner conduct, and the vigour of
investigations by regulatory agencies into complaints
about medical
practitioners, is a matter of serious interest to the general community. As
stated above, a significant volume of information
has already been disclosed to
the applicant about the handling of her complaints, including outcome
notifications. I consider this
has served to discharge this public interest
factor to some extent, and therefore, afford it moderate weight in favour of
disclosure
of the Medical Practitioner Information.
The
Medical Records comprise the applicant’s personal information. This raises
a factor favouring disclosure which is routinely
afforded significant weight due
to the fundamental importance of individuals having access to their personal
information held by
a government
agency.[22] In four pages of the
Medical Records[23], I am satisfied
that the applicant’s personal information is inextricably intertwined with
the personal information of others
such that it cannot be separated to allow
disclosure. I am satisfied that this reduces the weight in favour of its
disclosure to
moderate, and also raises factors in favour of nondisclosure (in
relation to safeguarding the personal information and right to privacy
of other
individuals, discussed below).
Given
the nature of the concerns raised by the applicant, including allegations of
unjust treatment and abuse, I have also considered
whether disclosure of the
Refused Information could reasonably be expected to contribute to administration
of justice, procedural
fairness and/or advance her fair
treatment.[24] The applicant has not
specifically argued that she requires the Refused Information to assess or
pursue a legal remedy or further
complaints
process.[25] Given the Refused
Information is mostly about a medical practitioner, I am unable to identify how
it could contribute to the administration
of justice for the applicant, or
advance her fair treatment and therefore, I find that these factors do not
apply.[26] I do however, afford low
weight to the public interest in procedural fairness as the Refused Information,
particularly the Medical
Practitioner Information, formed part of the body of
evidence considered by OHO (and AHPRA) in dealing with the applicant’s
complaint.
The
applicant raises a number of concerns about her treatment in the public health
system, including allegations that mental health
service providers are
influenced by funding models.[27]
Therefore, I have also considered whether disclosure could reasonably be
expected to allow or assist inquiry into possible deficiencies
in the conduct of
an agency or official.[28] In
determining the weight of this factor, I acknowledge that the Refused
Information concerns complaints about medical treatment
received by the
applicant in the public hospital system. I also note that OHO and AHPRA have
notified the applicant of the outcome
of the investigations and information
about the decision making/investigation process. However, I accept that
disclosure of the Refused
Information could reasonably be expected to allow or
assist the applicant’s inquiry, but only minimally, given the particular
nature of the Refused
Information.[29]
The
applicant submits that she has been subjected to fraudulent and criminal
acts,[30] therefore, I have also
considered whether disclosure of the Refused Information would contribute to the
enforcement of the criminal
law[31]
or could reasonably be expected to reveal the information was incorrect, out of
date, misleading, gratuitous, unfairly subjective
or
irrelevant.[32] While I have
considered these factors, there is insufficient evidence before me to establish
that either factor applies in this case.
For
the sake of completeness, I cannot see how disclosure of the Refused Information
could reasonably be expected to further any other
pro-disclosure factors
arguably arising from the applicant’s submissions, or any other
information available to me.
Factors favouring nondisclosure
As
noted above, the Refused Information is generally about other individuals,
including names, contact details and other personal
information.[33] The Medical
Practitioner Information is of a particularly sensitive nature. Taking this into
account, and given the complaint context
in which the Refused Information
appears, I find that the following factors favouring nondisclosure are relevant:
disclosure could
reasonably be expected to cause a public interest harm if disclosure would
disclose personal information of a
person[34]
disclosure could
reasonably be expected to prejudice the protection of an individual’s
right to privacy[35]; and
prejudice the
future supply of confidential
information.[36]
As
I have stated, the Medical Practitioner Information is of a sensitive nature, as
it relates to aspects of the practitioner’s
conduct in his profession, in
the context of an investigation of a complaint about the practitioner. While I
am limited in the extent
to which I can describe the exact
content,[37] I am satisfied that it
comprises his personal information, the disclosure of which could lead to a
significant public interest harm
and that it is not ‘routine’ in
nature.[38] I also consider that
disclosure would negatively impact the practitioner’s right to privacy.
While the concept of ‘privacy’ is not defined in
either the IP Act or the RTI Act. It can, however, essentially be
viewed as the right of an individual to preserve
their ‘personal
sphere’ free from interference from
others.[39] While information about
a person’s public service employment is not routinely considered to form
part of their private sphere,
the Medical Practitioner Information, is of such a
nature that I am satisfied it attracts a significant level of privacy in this
case.
I
am also satisfied that disclosure of certain Medical Practitioner
Information[40] could reasonably be
expected to prejudice the future supply of confidential information.
Complainants/notifiers generally participate
in complaint processes on the
understanding that information they provide will only be used for the purpose of
conducting the investigation,
and any subsequent disciplinary processes. There
is no information available to me to indicate that the information provided by
other individuals, in this Assessment Report, was done so on any other basis.
Given the sensitive nature of the information, I consider
it reasonable to
expect that it was provided with an expectation of confidentiality.
I
am satisfied that disclosing the information in the assessment report, under the
IP Act, which imposes no restrictions on further
dissemination, could reasonably
be expected to impact on the ability of
OHO[41] to obtain confidential
information in future investigations into health practitioner conduct. I
consider there is a reasonable likelihood
that complainants/notifiers would be
reluctant to fully cooperate in an investigation process. Accordingly, I am
satisfied disclosure
of the information could reasonably be expected to
prejudice the future supply of confidential information in relation to health
practitioner conduct investigations. In the circumstances, I afford this factor
significant weight.
The
Third Party Information comprises the names and contact details of other
individuals. On the spectrum of sensitivity, this information
is not at the
higher end, however, it still comprises the personal information of other
individuals. The RTI Act recognises that
disclosure of such information could
reasonably be expected to lead to a public interest harm. In assessing the level
of harm and
weight of this factor, it is relevant that the applicant is likely
to be aware of some of the information due to her role as complainant,
and the
subject matter being her medical treatment. Despite this, I am satisfied that
the public interest factors which seek to protect
other people’s personal
information and privacy still apply to the Third Party Information, particularly
given that the information
appears in the context of a medical treatment
complaint investigation. I afford these factors moderate weight in favour of
nondisclosure
of the Third Party Information.
As
noted at paragraph 10 above, information
on four pages of the Medical Records comprises the personal information of other
individuals, but appears within
the applicant’s mental health progress
notes. I am satisfied that information is ‘shared’ personal
information
which cannot be severed. I afford moderate weight in favour of
nondisclosure of this information.
Balancing of the relevant factors
As
I have canvassed in these reasons, the volume of information released to the
applicant by OHO was extensive and served to comprehensively
inform the
applicant of the relevant investigation and decision making processes relating
to her complaints about medical treatment.
In view of that, and given the
Refused Information is largely the personal information of other individuals, I
find that the weight
of the factors which seek to enhance the accountability and
transparency of government complaint handling processes, is moderate.
I also
afford moderate weight to the public interest in contributing to positive and
informed debate on a matter of serious interest,
ie. thorough investigations
into complaints about health practitioners.
I
am satisfied that there is a strong public interest in the applicant having
access to her own personal information and have taken
this into account in
relation to certain parts of her Medical Records which remain redacted. However,
as that information is intertwined
with the personal information of others, I am
satisfied it cannot be severed so as to allow disclosure and therefore, the
weight
in favour of disclosure is reduced to moderate. I have also found that
disclosure of the Refused Information could reasonably be
expected to contribute
to procedural fairness and assist inquiry into possible deficiencies in conduct.
However, the weight of those
factors is only minimal given the particular nature
of the Refused Information.
Conversely,
I am satisfied that the public interest factors which favour nondisclosure of
other people’s personal information
and are intended to safeguard other
individuals’ private spheres, carry significant weight, particularly in
relation to the
Medical Practitioner Information, which is highly sensitive in
nature. Those factors also carry moderate weight in protecting the
Third Party
Information, despite its reduced sensitivity. I am also satisfied that the
public interest in ensuring the confidentiality
of information provided by a
complainant/notifier in an investigation into health practitioner
conduct/medical treatment, and mitigating
prejudice to its future supply,
carries significant weight in favour of nondisclosure, in relation to
information in the AHPRA assessment
report.
In
view of the above, I find that that the factors favouring nondisclosure carry
more weight than the pro-disclosure factors. On balance,
I find that disclosure
of the Refused Information would be contrary to the public interest and
therefore, access to it may be refused
under the IP
Act.DECISION
For
the reasons set out above, I affirm OHO’s decision to refuse access to the
Refused Information under section 67(1) of the
IP Act and section 47(3)(b) of
the RTI Act as its disclosure would, on balance, be contrary to the public
interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.K
ShepherdAssistant Information CommissionerDate: 1
October 2019
Appendix
Significant procedural steps
Date
Event
20 February 2019
OIC received the external review application.
21 February 2019
OIC notified the applicant and OHO that it had received that application
for external review and requested relevant procedural documents.
OIC received
the requested documents from OHO.
6 March 2019
OIC notified the applicant and OHO that it had accepted the application for
external review.
15 April 2019
OIC conveyed a preliminary view to the applicant that access to the
information in issue may be refused. The applicant provided submissions
to OIC
in response, raising concerns about the preliminary view.
27 May 2019
OIC wrote to the applicant to confirm the preliminary view and gave her
another opportunity to provide submissions. The applicant
telephoned OIC to
reiterate her concerns about OIC’s preliminary view.
14 and 24 June and 1 July 2019
The applicant telephoned OIC to provide further submissions. In these
conversations, the applicant asked OIC to contact Legal Aid
Queensland
(LAQ) as LAQ had previously represented the applicant in other matters.
LAQ subsequently confirmed to OIC that it was unable to assist
the applicant in
the external review process and that it would correspond with the applicant
directly to confirm this.
2 July 2019
OIC received further written submissions from the applicant.
OIC provided OHO with an update on the status of the review.
3 July 2019
The applicant provided further oral submissions to OIC.
4 July 2019
OIC wrote to the applicant to confirm her submissions were being
considered, and that a formal written decision would be required
to finalise the
review.
17 September 2019
OIC provided OHO with an update on the status of the review, and conveyed a
view that some of the information in issue on pages 246
and 247 would not, on
balance, be contrary to the public interest to disclose. OHO agreed with
OIC’s view and agreed to disclose
the information to the applicant.
[1] Email dated 11 January
2019.[2] OHO granted access to 913
pages in full and the remaining parts of the 22 pages.
[3] Decision dated 20 February
2019, relying on section 67(1) of the IP Act and section 47(3)(b) of the
Right to Information Act 2009 (Qld) (RTI
Act).[4] OHO receives all
complaints about health practitioners in Queensland, but in dealing with a
complaint, OHO has the discretion to
refer certain complaints to the Australian
Health Practitioners Registration Agency (AHPRA) to manage.
[5] Parts of 21 pages and three
full pages (of the AHPRA assessment report). In these reasons, I have
collectively referred to the information
in issue as the Refused
Information. The number of part release pages which is the subject of this
decision (21) is one less than what was originally in issue, due to
the
agreement of OHO (at a late stage of the review) to release some additional
information to the applicant (as referred to in the
Appendix).
[6] Pages 170-171, 196, 247,
249-252. [7] Including basic
contact details of the medical practitioner referred to at paragraph 9.
[8] One page (page 356) also
contains information and personal details of a second medical practitioner who
was the subject of another
complaint made by the applicant (which OHO decided
not to investigate). As it is of a less sensitive character to the Medical
Practitioner
Information, I have therefore, categorised it with the Third Party
Information. [9] Section 40 of
the IP Act. [10] The grounds are
set out in section 47 of the RTI Act. Section 67(1) of the IP Act provides that
access may be refused to information
in the same way and to the same extent as
information may be refused under the RTI
Act[11] Section 47(3)(b) of the
RTI Act. [12] Chris Wheeler,
‘The Public Interest: We know it’s important, but do we know what it
means’ [2006] AIAdminLawF 2; (2006) 48 AIAL Forum 12, 14.
[13] Including the
non-exhaustive list of factors in schedule 4 of the RTI Act.
[14] Section 49 of the RTI Act.
The steps include: disregarding any irrelevant factors, identifying relevant
factors favouring disclosure
and nondisclosure and balancing the relevant
factors. [15] B and Brisbane
North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279 at
[154]- [160].[16] Smolenski v
Commissioner of Police, NSW Police [2015] NSWCATAD 21 at [34], citing
Commissioner of Police, NSW Police Force v Camilleri (GD) [2012]
NSWADTAP 19 at [28], McKinnon v Secretary, Department of Treasury [2006]
HCA 45 at [61] and Attorney-General’s Department v Cockcroft [1986] FCA 35; (1986)
10 FCR 180 at 190.[17]
Submissions to OIC dated 2 July
2019.[18] Schedule 4, part 2,
item 1 of the RTI Act.[19]
Schedule 4, part 2, item 3 of the RTI
Act.[20] Schedule 4, part 2,
item 2 of the RTI Act.[21]
Schedule 4, part 2, item 11 of the RTI
Act.[22] Schedule 4, part 2,
item 7 of the RTI Act.[23]
Mental Health Progress Notes at pages 774, 870, 872 (duplicated at 873). The
only other information redacted from other pages of
the progress notes consists
of contact telephone numbers of other individuals (eg. friends/family).
[24] Schedule 4, part 2, items
10, 16 and 17 of the RTI Act.
[25] Willsford and Brisbane
City Council [1996] QICmr 17; (1996) 3 QAR 368. The Information Commissioner found that
administration of justice considerations will arise for contemplation in
balancing the public
interest where disclosure of information would assist in
the pursuit of a legal remedy, or to evaluate whether a remedy is available
or
worth pursuing.[26] If I am
incorrect in this finding and these factors do apply, I would afford them
nominal weight, given the nature of the Refused
Information.[27] Submissions to
OIC dated 2 July 2019.[28]
Schedule 4, part 2, item 5 of the RTI
Act.[29] I have also turned my
mind to the public interest factor in schedule 4, part 2, item 6 of the RTI Act
which seeks to promote disclosure
of information that may reveal or substantiate
that an agency or official has engaged in misconduct or negligent, improper or
unlawful
conduct. However, on the face of the information available to OIC, I
have not been able to establish the requirements for this factor
to apply. Also,
having regard to the limitations in section 120 and 121 of the IP Act, this is
not an appropriate case for me to
make a hypothetical finding as to the
potential application of this factor.
[30] Submissions to OIC dated 2
July 2019.[31] Schedule 4, part
2, item 18 of the RTI Act. [32]
Schedule 4, part 2, item 12 of the RTI Act.
[33] Defined in section 12 of
the IP Act as ‘information or an opinion, including information or an
opinion forming part of a database, whether true or not, and whether
recorded in
a material form or not, about an individual whose identity is apparent, or can
reasonably be ascertained, from the information
or
opinion’.[34] Schedule
4, part 4, section 6 of the RTI
Act.[35] Schedule 4, part 3,
item 3 and the RTI Act.[36]
Schedule 4, part 4, section 8(1) of the RTI
Act.[37] Sections 120 and 121 of
the IP Act. [38] Information
relating to day-to-day work activities and responsibilities of a public service
employee may generally be disclosed despite
it falling within the definition of
personal information. However, agency documents can also contain personal
information of public
servants, which is not routine work information and to
which nondisclosure factors will apply: Underwood and Department of Housing
and Public Works (Unreported, Queensland Information Commissioner, 18 May
2012) at [60]. [39] Paraphrasing
the Australian Law Reform Commission’s definition of the concept
in ‘For your information: Australian Privacy Law and
Practice’ Australian Law Reform Commission Report No. 108
released 12 August 2008, at paragraph
1.56.[40] Page 251, comprising a
page of assessment report prepared by AHPRA in managing the complaint referred
to it by OHO. [41] Including
associated bodies, such as AHPRA and the various health practitioner
registration boards, which manage complaints referred
to them by OHO.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Mathews and Department of Transport and Main Roads [2013] QICmr 23 (28 August 2013) |
Mathews and Department of Transport and Main Roads [2013] QICmr 23 (28 August 2013)
Last Updated: 7 August 2014
Decision and Reasons for Decision
Application Number: 311110 and 311176
Applicant: Mathews
Respondent: Department of Transport and Main Roads
Decision Date: 28 August 2013
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
REFUSAL OF ACCESS – EXEMPT INFORMATION – LEGAL
PROFESSIONAL
PRIVILEGE – access refused to documents - whether information is
exempt on the basis of legal professional privilege under section 67(1) of the
Information Privacy Act 2009 (Qld) and sections 47(3)(a) and 48 and
schedule 3, section 7 of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW – RIGHT TO INFORMATION – REFUSAL OF ACCESS
– EXEMPT INFORMATION – SERIOUS ACT OF HARASSMENT
OR INTIMIDATION
– access refused to documents - whether information is exempt because
disclosure could reasonably be expected to result in a person
being subjected to
a serious act of harassment or intimidation – section 67(1) of the
Information Privacy Act 2009 (Qld) and sections 47(3)(a) and 48 and
schedule 3, section 10(1)(g) of the Right to Information Act 2009
(Qld)
ADMINISTRATIVE LAW – RIGHT TO INFORMATION – REFUSAL OF ACCESS
– access refused to documents – whether information concerns
applicant’s personal information – – whether
information is
outside scope of the access application – sections 40 and 47 of the
Information Privacy Act 2009 (Qld)
REASONS FOR DECISION
Summary
In
two access applications, the applicant applied to TransLink Transit Authority
(TransLink) under the Information Privacy Act 2009 (Qld) (IP
Act) for:
all information
about him on TransLink files up to 17 May 2012 (First
Application); and
all information
about him on TransLink files from 17 May to 21 July 2012,
including documents related to the processing of his First
Application
(Second Application).
In
response to the First Application, TransLink identified documents comprising
2,318 pages in total. It refused access to some pages
and parts thereof on the
basis that the information was subject to legal professional privilege or its
disclosure would, on balance,
be contrary to public interest. TransLink also
excluded other information from consideration on the basis that it was
irrelevant
to the access application.
In
response to the Second Application, the Department of Transport and Main Roads
(Department)[1]
identified documents comprising 672 pages and made a decision on the same basis.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the two decisions insofar as they refused access to
information. During the external reviews, a number of
issues were informally
resolved and the Department gave the applicant access to additional information.
Following this process, the
applicant has, in total, obtained access to:
737 entire pages
and parts of 171 pages responsive to his First Application; and
80 entire pages
and parts of 206 pages responsive to his Second Application.
With
respect to the remaining Information in Issue, for the reasons set out
below, the Department was entitled to:
refuse access to
the Category A information as it is subject to legal professional privilege
refuse access to
the Category B information as its disclosure could reasonably be expected to
result in a person being subjected to
a serious act of harassment or
intimidation; and
exclude the
Category C information from consideration as it is outside the scope of both
access applications.
Background
Significant
procedural steps relating to the applications and the external reviews are set
out in the appendix to this decision.
Reviewable decisions
The
decisions under review in external reviews 311110 and 311176 respectively
are:
TransLink’s
internal review decision dated 18 July 2012 (First Decision); and
the
Department’s internal review decision dated 17 September 2012
(Second Decision).
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are disclosed in these reasons (including
footnotes and appendix).
Issues resolved during external reviews
During
the external reviews, the Department accepted OIC’s view that some
information that the Department considered to irrelevant
to the access
applications was within scope and therefore subject to consideration in the
reviews.[2] Some of this
information was not released to the applicant on the basis that it comprises
either Category A
information[3] or
Category B
information,[4] for the
reasons set out below.
Additionally,
the Department accepted OIC’s view that a
document[5] correctly
identified by TransLink as being outside the scope of the First Application, was
within the scope of the Second
Application.[6] This
document contains Category B information, for the reasons set out below.
Issues for determination
The
specific issues for determination are whether:
the Category A
information comprises exempt information on the basis that it is subject to
legal professional
privilege[7]
the Category B
information comprises exempt information on the basis that it could reasonably
be expected to result in a person being
subjected to a serious act of harassment
or intimidation;[8]
and
the Category C
information is outside the scope of the First Application and the Second
Application.[9]
Is the Category A information subject to legal
professional privilege?
Yes,
for the reasons that follow.
The
Category A information comprises 1,380 entire pages and parts of 44 pages
responsive to the First Application and 314 entire pages
and parts of 7 pages
responsive to the Second
Application.[10]
Relevant law
Under
the IP Act, an individual has a right to be given access to documents of an
agency to the extent the documents contain the individual’s
personal
information. However, this right is subject to limitations, including grounds
for refusal of
access.[11] The
Right to Information Act 2009 (RTI Act) provides that access
may be refused to documents to the extent that they comprise exempt
information.[12]
Schedule 3 of the RTI Act sets out categories of information the disclosure of
which Parliament has deemed to be contrary to the
public interest, and therefore
exempt from
disclosure.[13]
Schedule
3, section 7 of the RTI Act provides that information will be exempt from
disclosure if it would be privileged from production
in a legal proceeding on
the ground of legal professional privilege. This exemption reflects the
requirements for establishing legal
professional privilege at common
law.[14]
Confidential
communications between a lawyer and client will be privileged where the
communications are for the dominant purpose of
seeking or giving legal advice
(advice privilege) or use in existing or anticipated legal proceedings
(litigation
privilege).[15] The
dominant purpose is ‘the ruling, prevailing, or most influential
purpose’[16]
and is to be determined objectively, having regard to the evidence, the nature
of the document and the parties’ submissions.
Legal
professional privilege will also protect further communication of the above
types of communication between parties, where each
party has a common or mutual
interest in obtaining legal advice or representation with respect to actual or
anticipated
litigation.[17]
Findings
The
Category A information comprises confidential communications:
between:
the
Department’s internal legal advisers and Departmental staff; or
the
Department’s external legal advisers and the Department’s internal
legal advisers or Departmental stafffor:
the
purpose of seeking and providing legal advice; or
use in,
or in relation to, existing or anticipated legal
proceedings[18] in the
Australian Human Rights Commission against the Department in 2010 and against
the Department’s contracted service provider
in 2012; or
between the
Department and its contracted service provider, for the purpose of sharing legal
advice, or obtaining evidence for use
in, or in relation to, the proceedings in
the Australian Human Rights Commission.
19. I am satisfied that the dominant purpose for the communications
involving its internal and/or external legal advisers was seeking
or providing
legal advice, or obtaining evidence for the Department’s use in, or in
relation to, legal proceedings.
In
this regard, I consider that proceedings before the Australian Human Rights
Commission are sufficiently analogous to court proceedings
to warrant
recognition of the
privilege.[19]
Further,
I am satisfied that the contracted service provider and the Department had a
common or mutual interest in the defence of
their respective legal proceedings
(which encompassed the same issues), and therefore a common or mutual interest
in relevant parts
of the Category A information (which comprised advice
regarding the issues, or material created for the use in, or in relation to,
those proceedings).
The
applicant submits[20]
that:
“phoney”
client privilege is being used to protect criminal preparations, in that
Translink is requiring him to comply
with registration requirements under the
Guide, Hearing and Assistance Dogs Act 2009 (Qld) (GHAD Act) but,
in his view, section 38 of that Act does not meet requirements of sections 9 and
54A of the Disability Discrimination Act 1992 (Cth) (DDA Act);
and
communications
between the Department’s internal legal advisers and Departmental staff
will only attract legal professional
privilege if details regarding
qualifications and dates of admission are provided.
Given
the applicant’s submissions, I have considered whether legal professional
privilege does not attach to the Category A
information because:
the improper
purpose exception[21]
applies; or
there is
insufficient evidence to conclude that the professional relationship and
independence
element[22] of legal
professional privilege is met.
Improper purpose
In
Secher and James Cook
University[23] the
Assistant Information Commissioner considered the improper purpose exception to
legal professional privilege and explained that:
Legal professional privilege will not apply to legal
communications made in the furtherance of a fraud or crime. This exception
operates
to displace legal professional privilege where evidence exists that the
relevant client has embarked on a deliberate course of action
knowing that the
proposed actions were contrary to law, and has made the relevant communications
in furtherance of that illegal or
improper purpose.
The person alleging that privilege has been displaced by reason of an
alleged illegal or improper purpose must show that it is made
out in the current
circumstances. In establishing improper purpose, the
standard of proof is high. The High Court has observed that it “is a
serious thing to override legal professional privilege where it would otherwise
be applicable” and as a result “vague or generalised
contentions of crimes or improper purposes will not suffice.”
I
have carefully considered the applicant’s submissions together with the
Category A information. My jurisdiction to consider
these submissions is
limited, given the issues and legislation they traverse. In any event, even if
section 38 of the GHAD Act does
not meet requirements of sections 9 and 54A of
the DDA Act (about which I make no finding, given the limits on my
jurisdiction),
there is no evidence on the face of the Category A information,
or otherwise before me, that the particular communications were made
in
furtherance of an illegal or improper purpose associated with registration
requirements for assistance animals, or any other illegal
or improper purpose.
In
these circumstances, I am satisfied that the improper purpose exception does not
preclude the application of legal professional
privilege to the Category A
information.
Department’s internal legal advisers
Legal
professional privilege may protect communications between a salaried employee
legal adviser of a government department or statutory
authority and his/her
employer as the client, including communications through other employees of the
same employer, provided there
is a professional relationship of legal adviser
and client, which secures to the advice an independent character,
notwithstanding
the
employment.[24]
In
response to OIC inquiries regarding the status of the various Departmental
officers identified in the Category A information as
‘Principal Legal
Officer’ or ‘Manager’ in the Department’s unit
responsible for providing legal services,
the Department confirmed that officers
holding such positions in that unit are appropriately qualified and engaged for
the entirety
of their positions in providing independent legal advice and
support to the Department.
Given
that information, I am satisfied that the Department’s internal legal
advisers acted in a professional, independent capacity,
and accordingly,
communications involving them may attract legal professional privilege.
In
conclusion, I find that the entirety of the Category A information satisfies the
common law requirements for establishing legal
professional privilege.
Could disclosure of the Category B information reasonably be expected to result
in a person being subjected to a serious act of harassment
or intimidation?
Yes,
for the reasons that follow.
The
Category B information comprises parts of 143 pages responsive to the First
Application and parts of 205 pages responsive to the
Second
Application.[25]
Relevant law
Schedule
3, section 10(1)(d) of the RTI Act provides that information is exempt if its
disclosure could reasonably be expected to
result in a person being subjected to
a serious act of harassment or intimidation.
The
RTI Act does not define ‘a serious act of harassment or
intimidation’ - therefore the terms should be given their ordinary
meanings. The Information Commissioner has previously accepted the following
dictionary
definitions:[26]
'harass'
includes 'to trouble by repeated attacks, ... to disturb persistently;
torment’; and
'intimidate'
includes ‘to make timid, or inspire with fear; overawe; cow ... to
force into or deter from some action by inducing
fear’.
Further,
the Information Commissioner has noted that some degree of harassment or
intimidation is permissible before this exemption
will
apply.[27] Therefore,
the expected harassment or intimidation must be serious in nature for schedule
3, section 10(1)(d) to apply. Relevant
dictionary definitions of
‘serious’ include ‘weighty or
important’,[28]
‘giving cause for apprehension;
critical’,[29]
and ‘having (potentially) important, esp. undesired, consequences;
giving cause for
concern’.[30]
In
Sheridan the Information Commissioner considered the phrase
‘could reasonably be expected to’ and found that, depending
on the circumstances of the particular review, a range of factors may be
relevant in determining whether
an expectation is reasonably based. These
factors may include, but are not limited
to:[31]
past conduct or
a pattern of previous conduct
the nature of
the relevant matter in issue
the nature of
the relationship between the parties and/or relevant third parties; and
relevant
contextual and/or cultural factors.
Findings
The
Category B information comprises information that identifies individuals,
including staff of the Australian Human Rights Commission,
the Department and
one of its service delivery providers, and their contact
details.[32]
Is the expected harassment and/or intimidation serious in
nature?
I
have carefully considered the information available to me, including the
Department’s submissions, information released to
the applicant by the
Department, information on the applicant’s website and the Category B
information.
Documents
that the Department released to the applicant under the First Decision,
containing information that identifies certain individuals,
have been posted on
the applicant’s website accompanied by offensive and abusive remarks
directed at those individuals. Further,
the applicant’s website
explicitly notes that it is his intention that potential future employers of
individuals included on
his website will, if they conduct internet searches of
the individuals’ names, be directed to comments on the applicant’s
website belittling and deriding them, in order to adversely affect their future
employment prospects.
After
taking into account all of the information available to me, I have formed the
view that this behaviour constitutes harassment,
as the applicant’s
actions are actions that attack, disturb or torment other persons. I also
consider the applicant’s
actions to be acts of intimidation, as his
behaviour has, as intended, induced fear among some individuals regarding their
current
employment and future career prospects.
While
the posting of commentary such as that appearing on the applicant’s
website alone may be insufficient to reach the threshold
of a
‘serious act of harassment or intimidation’, the relevant
commentary may be viewed in conjunction with its malicious intention of causing
professional detriment to those referred to (as stated on his website). In these
circumstances, I am satisfied that the applicant’s
conduct is sufficiently
concerning to constitute serious acts of harassment and intimidation of the
individuals concerned.
Is the expectation reasonably based and does it arise as a
result of disclosing the Category B
information?[33]
As
set out above, I consider that the applicant seriously harassed and intimidated
individuals identified in information released
to him by the First Decision. In
this regard, I consider the applicant’s conduct occurred as a result of
the disclosure of
information similar to the Category B information.
Further,
I am satisfied that the applicant’s conduct regarding this similar
information provides the necessary causal
link[34] to establish
a reasonable expectation that, if the Category B information is disclosed to the
applicant, he will subject the individuals
identified in it to similar serious
acts of harassment or intimidation. That is, I am satisfied that the
applicant’s website
posts and comments regarding persons mentioned in the
Category B information could reasonably be expected to commence, resume or
intensify as a result of disclosure of that information.
The
applicant submits, in the context of this issue, that he was recently the victim
of violence by three TransLink officers. He
states he was assaulted by the
TransLink officers on 5 March 2013 while on a bus with his assistance animals,
and sustained injuries
to his shoulder.
On
the information before me, I am unaware of any investigations undertaken in
respect of the applicant’s allegation. In any
event, I acknowledge the
serious nature of the allegation and the applicant’s related antipathy
towards the Department. However,
I also note that the applicant’s
submissions do not address his previous conduct towards individuals identified
in information
released to him by the First Decision, or the future likelihood
of such conduct by him if he was able to access the Category B information.
The
applicant’s submissions therefore provide no evidence to counter or put
into context the balance of information on this
issue before me.
Potentially,
the applicant’s expressed antipathy towards the Department prompted by the
alleged incident may increase the likelihood
that the applicant may engage in
serious acts of harassment and intimidation towards individuals identified in
the Category B information.
Whether or not this is the case, taking into account
the causal link mentioned above and the lack of any evidence to suggest
otherwise,
I am satisfied that the expectation for future acts of this nature is
reasonably based.
In
conclusion, I find that disclosure of the Category B Information could
reasonably be expected to result in individuals being subjected
to serious acts
of harassment or intimidation.
Is the Category C information outside the scope of each of the
two access applications?
Yes,
for the reasons that follow.
The
Category C information comprises 100 entire pages and parts of 2 pages (the
remainder of which comprise Category A information).
Relevant law
Under
the IP Act, a person has a right to be given access to documents of an agency,
to the extent the documents contain the individual’s
personal
information.[35] As
the access applications are made under the IP Act, access may be refused to
documents which do not contain the applicant’s
personal
information.[36] If
any of the documents located in response to an access application under the IP
Act do not contain the applicant’s personal
information, the documents
will not respond to the access
application.[37]
Additionally, access may be refused to documents which were not in existence
when the particular access application was
made.[38]
Findings
The
terms of the First Application are:
I now seek access to all information on any and every document
that contains any information that relates to me, is relevant to me
or is in any
way personal to me, that is contained in any Files in the possession of
TransLink.
The
terms of the Second Application are the same, except that it further
specifies:
AND that have come into existence or the possession or control
of Translink subsequent to the date or time of myu [sic] previous request
for such. This will include all documents produce [sic] in the process of
fulfilling my previous IP application.
I
have carefully examined the Category C information. I am satisfied that it:
post-dates both
applications; or
contains no
information relating to the applicant.
Information that post-dates the applications
Some
of the Category C information post-dates 21 July 2012, and therefore post-dates
both the date on which Department received the
First Application on 17 May 2012
and the date on which the Department received the Second Application on 21 July
2012.
Given
section 47(1) of the IP Act – which provides that an access application
only applies to documents in existence on the
day the application is received by
the agency – I am satisfied that the Category C information that
post-dates 21 July 2012
is outside the scope of both applications and cannot be
considered in either review.
Information other than the applicant’s personal
information
The
remaining Category C information that does not relate to the applicant either:
concerns
complaints by persons other than the applicant
relates to
another person’s access to Departmental information; or
relates to other
issues, such as the Department’s website or general policy issues, and
does not refer to the applicant.
The
applicant made submissions regarding information concerning complaints lodged by
persons other than him that:
Because Translink has acted unlawfully to me for as long as it
has existed, complaints by other persons are not of no concern to me.
However,
both the specific terms of the two access applications, and the fact that they
were made under the IP Act, constrain responsive
information to information that
is the applicant’s personal information. The applicant’s interest in
accessing information
about other persons who may have complaints about
TransLink does not render that information the applicant’s personal
information,
and consequently cannot have the effect of enlarging the scope of
his access applications. I am satisfied that information concerning
other
persons’ complaints falls outside the scope of both of the First
Application and the Second Application.
Similarly,
I am satisfied that the remaining information unrelated to the applicant
(regarding another person’s access application
and issues such as the
Department’s website or general policy issues) does not comprise the
applicant’s personal information,
and is therefore outside the scope of
both applications.
In
summary, I find that the Category C information falls outside the scope of both
the First Application and the Second Application
and therefore cannot be
considered in either review.
DECISION
For
the reasons set out above, I vary the First Decision and the Second Decision
under review and find that:
access to the
Category A information can be refused on the basis that it comprises exempt
information as it is subject to legal professional
privilege[39]
access to the
Category B information can be refused as its disclosure could reasonably be
expected to result in a person being subjected
to a serious act of harassment or
intimidation;[40] and
access to the
Category C information can be refused as it is outside the scope of the First
Application and the Second
Application.[41]
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the Information Privacy Act 2009 (Qld).
________________________
Anna Rickard
Acting Assistant Information Commissioner
Date: 28 August 2013
APPENDIX
Review 311110 - significant procedural steps
Date
Event
17 May 2012
TransLink received the access application under the RTI Act.
20 June 2012
TransLink issued its initial decision to the applicant.
22 June 2012
TransLink received the internal review application.
18 July 2012
TransLink issued its internal review decision to the applicant.
19 July 2012
OIC received the external review application. OIC asked TransLink to
provide a number of procedural documents by 24 July 2012.
20 July 2012
OIC received the requested documents from TransLink.
23 July 2012
OIC notified the applicant and TransLink that it had accepted the external
review application and asked TransLink to provide a copy
of the documents in
issue.
2 August 2012
OIC received the requested information from the Department.
Review 311176 - significant procedural steps
Date
Event
21 July 2012
TransLink received the access application under the RTI Act.
28 August 2012
The Department issued its initial decision to the applicant.
28 August 2012
The Department received the internal review application.
17 September 2012
The Department issued its internal review decision to the applicant.
17 September 2012
OIC received the external review application.
18 September 2012
OIC asked the Department to provide a number of procedural documents by 21
September 2012.
21 September 2012
OIC received the requested documents from the Department.
8 October 2012
OIC asked the Department to provide a list identifying documents in the
review and the Department provided OIC with the requested
list.
10 October 2012
OIC notified the applicant and the Department that it had accepted the
external review application.
Reviews 311110 and 311176 - significant procedural steps
Date
Event
31 January 2013
OIC provided the applicant and Department with an update on the status of
the external reviews.
11 March 2013
OIC requested that the Department provide information about documents
released to the applicant under its decisions and the Department
provided this
information.
19 March 2013
OIC requested that the Department provide additional information about
documents released to the applicant.
20 March 2013
OIC requested that the Department provide further information about
documents released to the applicant.
21 March 2013
The Department provided information to OIC about documents released to the
applicant.
22 March 2013
The Department provided further information to OIC about documents released
to the applicant.
3 May 2013
OIC conveyed a preliminary view to the Department regarding information in
issue in the reviews.
16 May 2013
The Department notified OIC that it accepted the preliminary view.
21 May 2013
OIC asked the Department to provide information that it no longer refused
to disclose to the applicant by 27 May 2013.
13 June 2013
The Department notified OIC that it had provided the applicant with the
relevant information.
18 June 2013
OIC conveyed a preliminary view to the applicant regarding information in
issue in the reviews.
18 June 2013
The applicant notified OIC that he did not accept the preliminary view and
provided submissions supporting his case in three emails.
15 July 2013
OIC requested that the Department provide information regarding its
internal legal advisers and the Department provided that information.
19 August 2013
OIC conveyed a preliminary view to the applicant regarding information
outside the scope of the two applications by two emails.
26 August 2013
OIC requested that the Department provide further information regarding
individuals’ concerns and fears following publication
of personal
information responsive to the First Application by the applicant, and the
Department provided that information.
[1] Following
machinery-of-Government changes implemented on 2 August 2012, TransLink became
part of the Department.
[2] In review
311110: File A, pages 173-289. In review 311176: pages 26-27, 54-63 and 615.
[3] In review
311110: File A, pages 173-289. In review 311176: page
615.[4] In review
311176: pages 26-27 and 54-63.
[5] In review
311110: File A, page
300.[6] As it
concerns the applicant and is dated prior to the date that the Second
Application was received by the Department – section
47 of the IP
Act.[7] Sections
47(3)(a), 48 and schedule 3 section 7 of the RTI Act.
[8] Sections
47(3)(b) and 49 of the RTI Act.
[9] Section 40 of
the IP Act.[10]
Note – some of the part pages also contain Category B
information.[11]
The grounds for refusal are set out in section 47(3) of the RTI Act.
[12] Section
47(3)(a) of the RTI Act.
[13] Section 48(2)
of the RTI Act.
[14] Ozcare and
Department of Justice and Attorney-General (Unreported, Queensland
Information Commissioner, 13 May 2011) at
[12].[15] The
general principles of legal professional privilege were summarised by the High
Court of Australia in Daniels Corporation International Pty Ltd v Australian
Competition and Consumer Commission [2002] HCA 49; (2002) 213 CLR 543 at [9] as follows:
‘It is now settled that legal professional privilege is a rule of
substantive law which may be availed of by a person to resist the
giving of
information or the production of documents which would reveal communications
between a client and his or her lawyer made
for the dominant purpose of giving
or obtaining legal advice or the provision of legal services, including
representation in legal
proceedings...’’[16]
Federal Commissioner of Taxation v Spotless Services Ltd [1996] HCA 34; (1996) 186 CLR
404 at
[416].[17]
Buttes Gas & Oil Co and Anor v. Hammer and Anor (No.3) [1981]
QB 223 at 243; Bulk Materials (Coal Handling) Services Pty Ltd v. Coal
and Allied Operations Pty Ltd (1988) 13 NSWLR 689 at 691,696; and
Southern Cross Airlines Holdings Ltd (in liq) v Arthur Anderson & Co
[1998] FCA 963; (1998) 84 FCR 472 at
480.[18]
Discrimination complaint proceedings concerning the provision of transport
services.[19]
Attorney-General (NT) v Maurice [1986] HCA 80; (1986) 69 ALR 31 at 41; and Farnaby
and Military Rehabilitation and Compensation Commission [2007] AATA 1792 at
[19]. [20]
Submissions dated 18 June
2013.[21] Where a
communication is made in furtherance of an illegal or improper purpose or, a
purpose that is contrary to the public
interest.[22]
Which requires that communications involving an agency’s internal legal
adviser occur in his/her capacity as a professional
legal
adviser.[23]
(Unreported, Queensland Information Commissioner, 6 June 2012) at [20] and [21].
[24] Waterford
v Commonwealth [1987] HCA 25; (1986) 163 CLR 54, 62 (Mason and Wilson JJ).
[25] Note –
some of the part pages also contain Category A
information.[26]
Ogawa and Queensland Police Service (Unreported, Queensland Office of the
Information Commissioner, 21 June 2012) applying Sheridan and South Burnett
Regional Council (and others) (Unreported, Queensland Information
Commissioner, 9 April 2009) (Sheridan) at paragraphs
194-197 referring to the Macquarie Dictionary Online (Fourth Edition).
The decision in Sheridan concerned section 42(1)(ca) of the now repealed
Freedom of Information Act 1992 (Qld). Schedule 3, section 10(1)(d) of
the RTI Act is drafted in substantially the same terms as the provision
considered in Sheridan. Therefore, the Information Commissioner’s
findings in that matter are relevant in interpreting schedule 3, section
10(1)(d)
of the RTI
Act.[27]
Sheridan at
[187].[28]
Macquarie Dictionary Online (Fifth
Edition).[29]
Macquarie Dictionary Online (Fifth
Edition).[30] New
Shorter Oxford Dictionary (Fourth Edition), as quoted by the Information
Commissioner in
Sheridan.[31]
Sheridan at
[193].[32] The
Category B information comprises: names, position, signatures, telephone numbers
(including mobile telephone numbers), fax numbers,
email addresses, photographs.
In the First Decision and the Second Decision, the Department refused access to
the Category B Information
on the basis that, on balance, disclosure would be
contrary to the public interest under section 47(3)(b) and section 49 of the RTI
Act. [33] Rather
than independently or from any other
circumstances.[34]
Richards and Gold Coast City Council (Unreported, Queensland Information
Commissioner, 28 March 2012) at [21] adopting the reasoning in Sheridan
at
[307]. [35]
Section 40 of the IP
Act.[36] Personal
information is defined in section 12 of the IP Act as: information or an
opinion, including information or an opinion forming part of a database, whether
true or not, and whether recorded
in a material form or not, about an individual
whose identity is apparent, or can reasonably be ascertained, from the
information
or
opinion.[37]
Mahoney and Ipswich City Council (Unreported, Queensland Information
Commissioner, 17 June 2011) at [17].
[38] Under section
47(1) of the IP Act, an access application is taken to apply only to documents
that are, or may be, in existence on
the day the application is made.
[39] Sections
47(3)(a) and 48 and schedule 3 section 7 of the RTI
Act.[40] Sections
47(3)(b) and 49 of the RTI Act.
[41] Section 40 of
the IP Act.
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queensland | court_judgement | Queensland Information Commissioner 1993- | Frecklington, MP and Deputy Premier, Treasurer and Minister for Aboriginal and Torres Strait Islander Partnerships [2018] QICmr 51 (13 December 2018) |
Frecklington, MP and Deputy Premier, Treasurer and Minister for Aboriginal and Torres Strait Islander Partnerships [2018] QICmr 51 (13 December 2018)
Last Updated: 20 December 2018
Decision and Reasons for Decision
Citation:
Frecklington, MP and Deputy Premier, Treasurer and Minister for
Aboriginal and Torres Strait Islander Partnerships [2018] QICmr 51 (13
December 2018)
Application Number:
314025
Applicant:
Mrs Deb Frecklington MP, Leader of the Opposition
Respondent:
Deputy Premier, Treasurer and Minister for Aboriginal and Torres Strait
Islander Partnerships
Decision Date:
13 December 2018
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS -
UNLOCATABLE AND NONEXISTENT DOCUMENTS - SMS messages on mobile devices
- whether
respondent has taken all reasonable steps to locate documents - sections
47(3)(e) and 52 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the respondent
under the Right to Information Act 2009 (Qld) (RTI Act) for access
to ‘[a]ll SMS messages sent and received between Curtis Pitt, Jackie
Trad and Philip Strachan about QR’ between 15 February 2017 and 25 May
2018.
The
applicant’s access application was, as I understand, informed at least in
part by an email from Mr Phillip Strachan to the
former Treasurer and the
current respondent, dated 16 February 2017, and published to Queensland
Treasury’s (QT) disclosure
log.[2] That email includes the
statement that Mr Strachan intended to ‘brief you [the former
Treasurer] and the Deputy Premier [the respondent] on progress
verbally or via text to your mobile phones’.
Searches
were conducted of relevant mobile
devices.[3] No responsive documents
were found. QT, directed to deal with RTI applications on behalf of the
respondent, therefore refused access
to requested SMS messages, on the grounds
they were nonexistent or
unlocatable.[4]
I
am satisfied QT’s decision was justified. I affirm that
decision.
Background
Significant
procedural steps taken in this external review are set out in the
Appendix.
Reviewable decision
The
decision under review is QT’s decision dated 29 June 2018, made under the
authority of the respondent.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are disclosed in these reasons (including
footnotes and
appendix).
Issue for determination
The
issue for determination is whether the respondent was justified in refusing
access to requested documents under section 47(3)(e)
of the RTI Act, on the
grounds those documents are nonexistent or unlocatable.
Under
the RTI Act, a document is nonexistent if there are reasonable grounds to be
satisfied the document does not
exist.[5] A document is unlocatable
if it has been or should be in a Minister’s possession and all reasonable
steps have been taken
to find the document but it cannot be
found.[6]
To
be satisfied that documents are nonexistent, a decision-maker must rely on their
particular knowledge and experience, having regard,
as circumstances may
require, to various factors, including considerations reasonably inferable from
information supplied by an
applicant.[7] Similar considerations
apply as regards a finding that documents are
unlocatable.[8]
Importantly,
if, as here, searches for documents are conducted, it must be shown that all
reasonable steps have been taken to locate
requested
documents.[9]
Accordingly,
the key issue to be resolved in this matter is whether all reasonable steps have
been taken to locate the documents requested
by the applicant.
Applicant’s submissions
The
applicant does not accept that all reasonable steps have been taken in this
case. The applicant firstly doubted that the respondent’s
devices would
contain requested messages:
...[S]earches performed were insufficient, as
the current devices are not likely to hold all messages sent and received.
It’s likely
that in the period from February 2017 to now, the devices may
have been swapped or upgraded.
...the more complete way to search would have been for the Treasury RTI
officer to have requested the Deputy Premier to produce her
Telco’s
network records of all messages sent and
received.[10]
The
respondent confirmed during the review that devices had not been changed in the
relevant period, which advice was conveyed to
the
applicant.[11] The applicant
maintained, however, that the respondent should be required to request
‘the old SMS messages’ from the respondent’s
telecommunications services
provider.[12]
Discussion and findings
Following
receipt of the applicant’s access application, the respondent’s
mobile devices were, as noted, searched. As
also noted, these searches located
no relevant documents, and on this basis the respondent refused access to
requested documents,
under section 47(3)(e) of the RTI Act.
There
is nothing before me to call into question the respondent’s account of its
search efforts – and the results of those
efforts – which I accept
as accurate. Given:
the nature of
the documents requested (SMS messages); and
the fact that
there is no conclusive evidence any such messages were ever
created,[13]
I consider that all reasonable steps to locate requested documents –
ie, searches of devices that would have sent or received
any such messages
– have been taken.
Access
to requested documents may therefore be refused, under section 47(3)(e) of the
RTI Act, on the basis those documents are nonexistent
or unlocatable within the
meaning of section 52(1) of the RTI Act.
In
reaching this finding, I have taken into account Mr Strachan’s suggestion
that he may contact the respondent by way of mobile
phone text message. Mr
Strachan’s advice in this regard was, however, equivocal; SMS message is
one of two communication methods
proposed in his email. Of itself, I do not
consider Mr Strachan’s statement calls into question the decision under
review.[14]
I
have also had regard to the applicant’s submissions, as canvassed at
paragraphs 13 and 14 above.
Regarding
‘swapping’ of devices, it is not clear to me that a mere change in
device would render inaccessible messages
sent or received through accounts or
services accessed via that device, and its replacements. In any event, this is
not a matter
on which I need to dwell: as noted above, the respondent has
confirmed that there was no change in device.
As
for the submission that the respondent should be required to request the
‘old SMS messages’ from its telecommunications services
provider: in view of considerations recorded above, I do not consider that
reasonable
search efforts require any such inquiry.
There
is, as noted, nothing conclusively establishing that there ever existed any
‘old SMS messages’ of the kind requested by the applicant.
In these circumstances, searches of the actual devices that may have sent or
received
such messages adequately discharge the obligation on the respondent to
take all reasonable steps to locate
documents.[15]
DECISION
I
affirm the decision under review.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI ActLouisa
LynchRight to Information CommissionerDate: 13
December 2018
APPENDIX
Significant procedural steps
Date
Event
5 July 2018
OIC received the external review application.
6 July 2018
OIC requested procedural documents from QT.
13 July 2018
OIC received the requested documents from QT.
19 July 2018
OIC notified the applicant and QT that it had accepted the external review
application.
19 September 2018
OIC requested and received search records from QT.
20 September 2018
OIC requested further information concerning status of devices.
5 October 2018
OIC received further information from QT.
18 October 2018
OIC requested further information from QT concerning status of
devices.
23 October 2018
OIC received requested information from QT. OIC wrote to the applicant,
conveying a preliminary view requested information was nonexistent/unlocatable.
25 October 2018
OIC received submissions from the applicant.
6 November 2018
OIC wrote to the applicant, reiterating OIC’s 23 October 2018
preliminary view.
12 November 2018
OIC received further submissions from the applicant.
[1] Application dated 25 May
2018.[2] https://s3.treasury.qld.gov.au/files/TCM827_Release-for-DL.pdf,
‘RTI Document No.
89’.[3] Search record dated
4 June 2018.[4] Section 47(3)(e)
and section 52 of the RTI Act.
[5] Section 52(1)(a) of the RTI
Act.[6] Section 52(1)(b) of the
RTI Act.[7] See, for example,
Lester and Department of Justice and Attorney-General [2017] QICmr 17
(Lester) (16 May 2017) and Gapsa and Public Service
Commission [2016] QICmr 6 (11 February 2016) (Gapsa) ,
adopting the Information Commissioner’s comments and enumeration of
relevant factors in PDE and the University of Queensland [2009] QICmr 7
(9 February 2009), [37].
[8] Lester, [15], citing
Pryor and Logan City Council (Unreported, Queensland Information
Commissioner, 8 July 2010) at
[21].[9] Having regard to the
factors stated in PDE, as they may arise: Gapsa, [14],
citing PDE, [49]-[53]. See also section 130(2) of the RTI
Act.[10] Applicant’s
external review application.[11]
Respondent’s email submission dated 23 October 2018 and OIC’s letter
to the applicant dated 23 October
2018.[12] Submission dated 25
October 2018.[13] It being the
case, as regards ‘received’ messages, that Mr Strachan only
suggested that he may communicate by way of
SMS message – a point
discussed further below.[14] And
do not consider that his email advice amounted to an
‘undertaking’ to communicate via SMS, as submitted by the
applicant in 12 November 2018
submissions.[15] Noting, too,
that there is a real question as to whether SMS messages that may be held by a
third party telecommunications provider
would comprise a ‘document of a
Minister’ within the meaning of section 13 of the RTI Act – an issue
on which I
am not required to make a finding, but in relation to which OIC has
previously found to the contrary: 1L2FOK and Department of Transport and Main
Roads [2018] QICmr 35 (14 August 2018), at [46]-[47] (considering the
substantially similar concept of ‘document of an agency’, stated in
section
12 of the RTI Act).
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queensland | court_judgement | Queensland Information Commissioner 1993- | Mewburn and Department of State Development [2015] QICmr 9 (21 April 2015) |
Mewburn and Department of State Development [2015] QICmr 9 (21 April 2015)
Last Updated: 23 November 2016
Decision and Reasons for Decision
Citation: Mewburn and Department of State Development [2015] QICmr
9 (21 April 2015)
Application Number: 312074
Applicant: Mewburn
Respondent: Department of State Development
Decision Date: 21 April 2015
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION -REFUSAL OF ACCESS -
DOCUMENTS NONEXISTENT OR UNLOCATABLE - documents relating
to planning matters
and complaints - applicant contends further documents exist - planning anomalies
on agricultural land and related
investigations - numerous and extensive
searches - whether the agency has taken all reasonable steps to locate the
documents but
the documents do not exist or are unlocatable - sections 47(3)(e)
and 52 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the then Department of State Development, Infrastructure
and Planning
(Department)[1]
under the Right to Information Act 2009 (Qld) (RTI Act) for access
to various documents covering a 19 year period from 1996 to 2014.
The
Department located 353 pages of information responsive to the application, and
decided to release most of
them.[2]
The
applicant sought internal review of the Department’s decision on the basis
that it had not located any documents responsive
to one aspect of her
application.
The
Department’s internal review decision affirmed the original
decision.[3]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s decision.
For
the reasons set out below, I vary the decision under review and find that access
to further information is refused under section
47(3)(e) of the RTI Act on the
basis that it is nonexistent or unlocatable.
Background
On
17 March 2006, the applicant wrote to the then Minister for Local Government and
Planning (Minister) about issues relating to the planning processes
associated with a specified lot of land. The applicant submitted that she made a
complaint ‘...about subdivision on agricultural land...’ and
expressed concern ‘... that it was apparent that further subdivision
was earmarked on addition[al] adjacent land owned by the same
owners...This land was also classed as [good quality agricultural
land]’.[4]
On
11 May 2006, the Minister responded to the applicant’s letter, stating
that officers of the Department of Local Government,
Planning, Sport and
Recreation
(DLGPSR)[5] had
advised her that the ‘...proposed development was inconsistent with the
publicly notified draft planning scheme...’, and the Minister had
forwarded a copy of the applicant’s letter to the Mayor of Kolan Shire
Council to ‘...urgently investigate the situation and advise me of the
outcome’.
On
external review, the applicant submitted that the Department should have, but
failed to, locate additional documents regarding
the provision of advice by
Departmental officers to the Minister referred to in the Minister’s
response to her complaint (Ministerial Advice Documents); and additional
documents relating to alleged ‘planning anomalies on adjacent Lot 185
BON1356, ie Rural to Community to Rural purpose again’ (Planning
Documents).
During
the course of the external review, the Department conducted a number of
additional specific searches. While a small number
of additional documents were
located, most of these had previously been disclosed to the applicant in
response to this or other access
applications.
Significant
procedural steps relating to the application and the external review process are
set out in the Appendix.
Reviewable decision
The
decision under review is the Department’s deemed internal review decision
dated 16 June 2014.
Evidence considered
The
evidence, submissions, legislation and other material I have considered in
reaching this decision are disclosed in these reasons
(including footnotes and
Appendix).
Issue for determination
The
issue for determination is whether access to the Planning Documents and the
Ministerial Advice Documents can be refused on the
basis that they are
nonexistent or unlocatable under sections 47(3)(e), 52(1)(a) and 52(1)(b) of the
RTI Act.
Relevant law
Under
the RTI Act, a person has a right to be given access to documents of an
agency.[6] However,
this right is subject to other provisions of the RTI Act, including grounds on
which an agency may refuse access to
documents.[7]
Relevantly,
for this review, access may be refused to documents which:
do not
exist[8] or
have been (or
should be) in an agency’s possession, but cannot be
located.[9]
A
document is nonexistent if there are reasonable grounds to be satisfied the
document does not
exist.[10] A document
is unlocatable if it has been or should be in the agency’s possession and
all reasonable steps have been taken
to find the document but it cannot be
found.[11]
The
RTI Act is silent on how an agency can be satisfied that a document does not
exist. In a previous decision of the Information
Commissioner, PDE and The
University of
Queensland,[12]
the Information Commissioner explained that, to be satisfied that a document
does not exist, an agency must rely on its particular
knowledge and experience,
having regard to various key factors including:
the
administrative arrangements of government
the agency
structure
the
agency’s functions and responsibilities (particularly with respect to the
legislation for which it has administrative responsibility
and the other legal
obligations that fall to it)
the
agency’s practices and procedures (including but not limited to
information management); and
other factors
reasonably inferred from information supplied by the applicant including:
○ the
nature and age of the requested documents; and
○ the
nature of the government activity to which the request
relates.
By
considering the factors above, an agency may ascertain that a particular
document was not created because, for example, its processes
do not involve
creating the specific document. In such instances, it is not necessary for the
agency to search for the document.
It is sufficient that the relevant
circumstances to account for the nonexistent document are explained.
In
assessing whether documents are nonexistent, an agency may also conduct
searches. Where searches are conducted, an agency must
demonstrate that it has
taken all reasonable steps to locate responsive documents, prior to deciding
that the documents are
nonexistent.[13] In
determining whether all reasonable steps have been taken, regard should be had
to the factors listed in PDE as set out
above.[14]
Findings
The
applicant contends that the Planning Documents and the Ministerial Advice
Documents should exist, and should have been located
by the Department.
The
Department stated that it conducted searches to locate relevant documents.
Therefore, the issue before me, in considering whether
the documents are
non-existent or unlocatable, is whether all reasonable steps have been taken to
locate them.
I
have reviewed the Department’s search certifications for the initial
processing of the access application. They show that
officers of the
Department’s Regional Services Group spent one hour and 30 minutes
searching files in the Department’s
current electronic document and record
management system (referred to within the Department as ‘The
Source’),[15]
and an officer in the Department’s Planning Group spent five hours
searching this system and hard copy
files.[16]
On
the information before me, it is evident that, as part of the Department’s
consideration of the applicant’s application
for internal review, the
Department conducted additional searches using broad search
terms[17] that
captured an additional 257 documents. However, the Department’s Internal
Review Decision states that the decision-maker
did not have time to retrieve and
inspect these documents, in order to identify relevant documents and make a
decision about them,
before it was deemed to have made a decision affirming its
initial decision.[18]
The
applicant submitted, in her application for external review, that the search
terms used by the Department during its consideration
of her internal review
application ‘...used a broad net, and created a false search which was
unwarranted being the search of St Kilda road, then Tirroan, then
10 lot
subdivision then Mewburn which were irrelevant and non-productive. The search
which created 260 documents is misleading and
should have been done under the
lot and plan provided (Lot 185 BON 1356) or the name of the owner [of the
property] being [owner’s name] which would have produced the
documents
immediately’.[19]
The
Department provided OIC with a
schedule[20] regarding
the searches it conducted during its consideration of the applicant’s
application for internal review which led to
the identification of the
additional 257 documents. Like the applicant, the Department submitted that many
of the additional documents
identified during these searches were unlikely to be
relevant to the access application given the broad search terms that it had
employed.
However,
the search terms employed by the Department at this stage did include ‘Lot
185 Bon 1356’, as evidenced by the
schedule. Given the applicant’s
submission that a search for ‘the lot and plan provided (Lot 185 BON
1356) ... would have produced the documents
immediately’,[21]
the schedule provided by the Department has some relevance in this external
review. The Department’s schedule confirms that
the Department used
‘Lot 185 Bon 1356’ (among other search terms) to search both its
current electronic document and
record management system (‘The
Source’) and superceded databases whose information had been migrated to
the current system
at the time of its inception (namely,
TRIMFlow,[22]
‘CTrac’[23]
and ‘Sustainable
Planning’[24]).
Notably, the searches of these databases using the search term ‘Lot 185
Bon 1356’ yielded no results.
Noting
the applicant’s submission that a search for ‘the name of the
owner [of the property] being [owner’s name] which would
have produced the documents
immediately’,[25]
OIC requested that the Department conduct a further search using the name of the
owner of the relevant parcel of land. In response,
the Department stated it had
located 17 pages; however, 15 of these pages comprised documents already
released to the applicant under
the Department’s initial decision, or in
response to an earlier access application made by
her.[26]
I have reviewed these documents and am satisfied that they are documents
previously released to the applicant. The Department submitted
that it had no
objection to the release of the remaining two pages and they were released to
the applicant.
During
the review the applicant submitted
that:[27]
I was advised at the time by a government officer that,
essentially, preferential zoning (community use) had been applied by council
to
lot 185 BON1356 also on agricultural land, however, this was removed at the
behest of the Minister following my 2006 complaint
of breaches of State Planning
Policy. ... The Ministers censures included above suggests that further
documents on the planning
anomalies on agricultural land and the investigations
around such do exist both for the 10 lot development and lot 185
BON1356.
Given
these submissions, OIC asked the Department to conduct further searches for the
Ministerial Advice Documents, using the ministerial
correspondence number
appearing on both the Minister’s letter to the applicant dated 11 May 2006
and a letter of the same date
from the Minister to the Mayor of the Kolan Shire
Council.[28] Further,
OIC asked the Department to search using the terms ‘Kolan Shire;
Ministerial’ and the street address for the
parcel of land
concerned.[29] The
Department submitted that as a result of its searches, it identified, recalled
and examined three archived hard copy files which
contained 15 relevant pages;
however, the 15 relevant pages comprised the documents already released to the
applicant noted at paragraph
28
above.
The
Department
submitted[30] that its
further searches for Ministerial Advice Documents did not locate any written
advice from DLGPSR officers to the Minister
and that such advice may be
unlocatable due to the:
time that has
elapsed since the advice was given
various
machinery of government changes that have occurred since this time; or
advice being
given to the Minister verbally.
The
Department further stated:
Whilst the letters referred by the applicant establish
reasonable grounds to believe in the existence of “the advice”
as
stated by the Minister on 11 May 2006 in the letter’s [sic] to both the
applicant and Kolan Shire Council, there is no indication
of specifically how,
when or by whom the referred advice was delivered to the Minister. However, the
responding letter from Cr Eddie
Stone, Mayor, Kolan Shire Council, dated 23 May
2006 appears to address the issues raised by the subject advice, as stated by
the
Minister.[31]
I
have carefully considered the information provided by the Department about the
searches it has undertaken. Specifically, I have
considered the current and
former departmental databases that have been searched, and the search terms
employed when doing so. In
the circumstances, I am satisfied that the Department
has conducted searches in appropriate locations, having regard to the nature
of
the documents requested by the applicant and the Department’s
recordkeeping practices and systems. Further, I consider that
the search terms
used were appropriate and relevant. In addition, I consider the
Department’s explanation as to why further
documents do not exist is
plausible.
Further,
I note that the Minister’s letter to the applicant dated 11 May 2006
informs the applicant that:
The State Government has not been involved in the development
assessment and decision making process undertaken by Council ... due
to the time
since Council approved the development application on 22 February 2005, under
the IPA the opportunity for me to exercise
my powers in relation to this
particular proposal has
lapsed.[32]
On
this basis, it appears that, if further documents relating to the Planning
Information and the Ministerial Advice exist, they may
be held by other
agencies.
Given
the Department completed searches using the applicant’s search terms (that
is, the title reference ‘Lot 185 Bon
1356’ and the name of the owner
of the parcel of land concerned), and search terms that could reasonably be
expected to locate
any documents associated with the letter from the Minister to
the applicant dated 11 May 2006, I am unable to identify any further
searches
that the Department could reasonably be asked to undertake.
In
these circumstances, I am satisfied that the Department has taken all reasonable
steps to locate additional documents relating
to the Planning Documents and the
Ministerial Advice Documents, and I consider that access to such documents may
be refused under
section 47(3)(e) of the RTI Act, on the basis that they are
nonexistent and/or
unlocatable.[33]
DECISION
I
vary the decision under review and find that access to the Ministerial Advice
Documents and Planning Information is refused under
section 47(3)(e) of the RTI
Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the Right to Information Act 2009 (Qld).
___________________
Assistant Information Commissioner Corby
Date: 21 April
2015APPENDIX
Significant procedural steps
Date
Event
20 January 2014
The Department received the access application.
8 April 2014
The Department issued its decision on the access application.
19 May 2014
The Department received the application for internal review.
16 June 2014
The Department is taken to have made its Internal Review Decision.
18 June 2014
The Department issued notice of its Internal Review Decision in accordance
with section 83(3) of the RTI Act.
22 June 2014
OIC received the application for external review.
23 June 2014
OIC notified the Department of the external review application and asked
the Department to provide procedural documents.
26 June 2014
The Department provided OIC with the relevant procedural documents.
10 July 2014
OIC informed the applicant and the Department that the application had been
accepted for external review.
OIC asked the Department to provide the documents it located in processing
the access application and on internal review, and information
about the
searches or enquiries undertaken while processing the access application.
22 July 2014
The Department provided OIC with the documents it located in processing the
access application, information about the searches or
enquiries undertaken while
processing the access application and a submission on disclosure of the
documents it identified on internal
review.
24 July 2014
The Department provided OIC with a schedule listing the documents it
located on internal review, and informed OIC that these documents
had not been
retrieved from archives.
4 August 2014
OIC asked the Department to conduct additional searches using the name of
the owner of the parcel of land concerned.
18 August 2014
The Department provided OIC with documents it located in its searches using
the name of the owner of the parcel of land concerned.
2 September 2014
OIC asked the Department to provide OIC with information and a submission
about its searches using the name of the owner of the parcel
of land concerned.
22 September 2014
The Department provided OIC with information and a submission about its
searches using the name of the owner of the parcel of land
concerned.
10 October 2014
OIC conveyed a written preliminary view to the applicant that access to
further information may be refused under section 47(3)(e)
of the RTI Act on the
basis that it is nonexistent.
24 October 2014
The applicant advised OIC that she contested the preliminary view, and
provided submissions in support of her case.
3 December 2014
OIC asked the Department to conduct additional searches for the Ministerial
Advice Documents using the street address of the subject
property as a search
term.
13 January 2015
The Department provided OIC with information and a submission about its
additional searches for the Ministerial Advice Documents.
18 February 2015
OIC conveyed a written preliminary view to the applicant that access to the
Ministerial Advice may be refused under section 47(3)(e)
of the RTI Act on the
basis that it is nonexistent or unlocatable and that the next step in this
review would be a written decision.
[1] Following a
machinery of government change on 16 February 2015, the legislation administered
by the former Department of State Development,
Infrastructure and Planning has
been divided between the Department of Infrastructure, Local Government and
Planning and the Department
of State Development. The Department of State
Development is the department responsible for this external
review.[2] Of the
353 pages located, the Department decided to release 344 pages in full and nine
pages in part. The Department refused to disclose
the balance of the nine pages
on the ground that disclosure would, on balance, be contrary to the public
interest under section 47(3)(b)
and 49 of the RTI Act.
[3] The Department
did not make an internal review decision within 20 business days after the
internal review application was made and,
under section 83 of the RTI Act, was
taken to have made an internal review decision affirming its initial decision.
The Department
confirmed this in a notice dated 18 June 2014. Referred to
hereafter as the Internal Review
Decision.[4]
Applicant’s submission to OIC dated 24 October
2014.[5] The
Department formerly responsible for such
matters.[6] Section
23 of the RTI
Act.[7] These
grounds are set out in section 47 of the RTI Act.
[8] Section 52(1)(a)
of the RTI Act.[9]
Section 52(1)(b) of the RTI
Act.[10] Section
52(1)(a) of the RTI
Act.[11] Section
52(1)(b) of the RTI
Act.[12]
(Unreported, Queensland Information Commissioner, 9 February 2009)
(PDE).[13]
As set out in PDE at [44]. See also section 130(2) of the RTI Act.
[14] PDE at
[49].[15] I
understand the Department uses Total Records Information Management (TRIM) and,
within the Department, refers to this system as
‘The
Source’.[16]
Search verifications dated 30 January and 6 February 2014 respectively.
[17] Regional
Services search: ‘St Kilda Road’; Planning Group search:
‘Tirroan’; and System Administrator search:
‘Mewburn’,
‘Planning anomalies’, ‘10 lot subdivision’, ‘Lot
185 Bon 1356’ and ‘Rural
to Commuity to Rural purpose’.
[18] See footnote
number [3].[19]
External review application dated 22 June
2014.[20]
Department’s email to OIC dated 24 July
2014.[21] External
review application dated 22 June
2014.[22] TRIMFlow
– the Department’s previous electronic Document and Records
Management
System.[23] CTrac
was the Correspondence Tracking system in use at the relevant time of the
applicant's complaints to the Minister and the Minister's
correspondence back to
the applicant in
2006.[24]
Sustainable Planning' was a database used by the Planning area of the Department
in use at the relevant time of the applicant's complaints
to the Minister and
the Minister's correspondence back to the applicant in
2006.[25] External
review application dated 22 June
2014.[26] Pages
numbered 1, 7-9, 11, 13, 14, 15, 20-21 and 22-23 were released in response to
the access application that is the subject of
this external review and pages
numbered 34-36 were released in response to an earlier access application made
to the Department by
the applicant (Department’s reference number
RTIP1314-078).[27]
Applicant’s submission to OIC dated 24 October
2014.[28] At page
22-23 released in response to the access application that is the subject of this
external
review[29] Given
that the street address of the subject property (rather than title reference)
was used as a reference in the Minister’s
letter to the applicant dated 11
May 2006.[30]
Department’s letter to OIC dated 13 January
2015.[31]
Department’s letter to OIC dated 13 January
2015.[32] Letter
from the Minister to the applicant dated 11 May
2006.[33] Section
52 of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Kinder and Barristers' Board of Queensland [2000] QICmr 8 (31 March 2000) |
Kinder and Barristers' Board of Queensland [2000] QICmr 8 (31 March 2000)
Kinder and Barristers' Board
(S 93/98, 31 March 2000, Information Commissioner)
(This decision has been edited to remove merely procedural information
and may have been edited to remove personal or otherwise sensitive
information.)
1.-4. These paragraphs deleted.
REASONS FOR DECISION
Background
By
letter dated 3 April 1998, the applicant applied to the Barristers' Board (the
Board) for access, under the FOI Act to documents
relating to his complaint to
the Board concerning the conduct of a barrister. (Mr A J H Morris QC had
investigated that complaint
on behalf of the Board and prepared a report
recommending that no further action be taken. A copy of Mr Morris' report had
been
provided to the applicant.)
By
letter dated 9 April 1998, Mr R C Kent, Consultant to the Board, informed the
applicant that the Board had received advice to the
effect that it was not a
"public entity" and was therefore not subject to the application of the
FOI Act. By letter dated 10 June 1998, the applicant applied to me for
review
of the Board's refusal to grant him access to the requested
documents.
Following
inquiries by my Office, the Board provided copies of correspondence between it
and the applicant, and contended that the
applicant had not made a valid FOI
access application. After considering that matter, I wrote to the Board
advising that, in accordance
with s.75 of the FOI Act, I had decided to make
inquiries for the purpose of determining whether I had jurisdiction to deal with
the applicant's application for external review. I invited the Board's
submission as to whether the Board was a "public authority" under
s.9 of the FOI Act, or caught by s.8(2) of the FOI Act.
By
letter dated 24 August 1998, the Board submitted that it is a part of the
Supreme Court of Queensland, and that, pursuant to s.11(1)
of the FOI Act, it is
not subject to the application of the FOI Act, since the Board's functions
relate to the judicial functions
of the Supreme Court, i.e., the making of
decisions to admit persons to practice as
barristers-at-law.
By
letter dated 25 September 1998, I referred the applicant to s.11(1)(e) and (f)
of the FOI Act and informed him of my preliminary
view that the Board is an
office of the Supreme Court and that the documents in issue were not subject to
the application of the
FOI Act. On that basis, I indicated to the applicant my
preliminary view that I had no jurisdiction to proceed further with this
review.
I invited the applicant, should he not accept my preliminary view, to lodge any
submission and/or evidence on which he cared
to rely in support of his
case.
By
letter dated 15 October 1998, the applicant lodged a submission directed
inter alia, to the interpretation of s.11(1)(e) and (f) of the FOI Act.
The Board was provided with a copy of the applicant's submission. The
Board
lodged a response dated 26 November 1998, which was in turn passed on to the
applicant for reply. The applicant also lodged
a number of further
submissions.
I
have taken into account the following material in making my decision in this
review:
the
applicant's FOI access application dated 3 April 1998;
the
Board's letter dated 9 April 1998;
the
applicant's external review application dated 10 June 1998;
the
applicant's letters and submissions dated 15 October 1998, 9 November 1998,
7
December 1998, 25 January 1999, 8 March 1999 and 27 April 1999; and
the
Board's letters and submissions dated 19 June 1998, 24 August 1998 and
26
November 1998.
In
its initial correspondence with the applicant, the Board suggested that it was
not a public entity for the purposes of the FOI
Act. Section 8(1) of the FOI
Act defines "agency" to mean a "department, local government, or public
authority". However, the Board
has not pursued an argument that it is not a
public authority, preferring to rely on the exclusionary provisions in
s.11(1)(e) and
(f) of the FOI Act. It appears clear to me that the Board is
either an agency itself, or part of an agency, under the definitions
in s.8 and
s.9 of the FOI Act. However, given my finding in relation to the application of
s.11(1)(f), it is not necessary for me
to make a final determination on this
point.
The
Board argued that the documents requested by the applicant were created or
received by it in the course of the Board carrying
out judicial functions, and
that the documents were therefore excluded from the application of the FOI Act
by s.11(1)(e). My examination
of the material before me on this issue causes me
to doubt that the Board was carrying out any judicial function in dealing with
the applicant's complaint. However, because of my finding in relation to the
application of s.11(1)(f) of the FOI Act, it is not
necessary for me to express
a concluded view on that issue. Application of
s.11(1)(f) of the FOI Act
Section
11(1)(f) and s.11(2) of the FOI Act provide:
11(1) This Act does not apply to—
...
(f) a registry or other office of a court, or the staff of a registry or
other office of a court in their official capacity, so far
as its or their
functions relate to the court's judicial functions;
...
(2) In subsection (1), a reference to documents in relation to
a particular function or activity is a reference to documents received
or
brought into existence in performing the function or carrying on the
activity.
In
Re Christie and QIDC [1993] QICmr 1; (1993) 1 QAR 1 at p.8 (paragraphs 19-22), I
explained that there is a drafting error in s.11(2) of the FOI Act, but that the
legislature's clear
intention can be given effect by reading s.11(2) as if it
were in these terms:
In subsection (1), a reference to a particular function or activity means
that this Act does not apply to documents received or brought
into existence in
performing the function or carrying on the activity.
The
Board was created, pursuant to the Supreme Court Act 1921, by a Rule of
Court promulgated by an Order in Council dated 4 December 1975 (the Barristers'
Admission Rules). The Board's primary
function is to oversee the rules relating
to the admission of barristers, and to issue its certificate upon a person
having satisfied
the prescribed conditions for admission. It is not the Board,
but the Supreme Court, which admits persons to the roll of Barristers-at-Law
(who are then permitted to appear in the Supreme Court by right). Whether or
not a person holds the certificate of the Board does
not bind the Supreme Court,
in its discretion, to admit a particular person to the roll of
Barristers-at-Law: see Re Julius [1941] St.R.Qd. 247. While in the
ordinary course of events, the certificate of the Board will be persuasive,
nevertheless, the decision to admit a person
as a Barrister-at-Law is a judicial
function of the Supreme Court.
The
applicant argued that the Board could not be regarded as an "office of a court",
stating that it performed no judicial functions
and merely happened to occupy
offices within the court complex. However, I consider that the Board is an
"office of a court", within
the terms of s.11(1)(f) of the FOI Act. I consider
that those words not only cover individual office holders, but also extend to
offices constituted by a number of persons, such as the Board. The Board was
established under the Barristers' Admission Rules in
order to assist the Supreme
Court in certain functions.
The
applicant contends that the Board does not carry out any judicial functions in
relation to the handling of complaints against
barristers. As I have indicated
above, this may well be true. However, under the wording of s.11(1)(f), there
is no requirement
that the Board itself have any judicial function. The
question which I must consider is whether the relevant functions of the Board
"relate to the court's judicial functions".
I
am satisfied that the Supreme Court has a function with respect to discipline of
barristers-at-law, and that that function is a
judicial function. In
Harrison's Law and Conduct of the Legal Profession in Queensland (2nd
edition, 1984), at page 33, Williams J refers to the old case of In Re
Antigua Justices (1 Knapp 267) [actually Knapp's Appeal Cases, 1829-1836 in 12
E.R.] as providing authority for the proposition that authority to impose
disciplinary sanctions, such as suspension from practice, must
be incidental to
the function of admitting barristers-at-law to practice. Williams J stated that
the effect of those authorities:
... appears to be that at common law the Court has an inherent power, as a
necessary adjunct to its function of administering justice,
to suspend a
barrister from practice, and that where barristers are admitted by the Court,
the Court also has the power to deprive
a barrister of his formal status as
such, i.e. to disbar him as distinct from suspending him from
practice.
The
Board has a specific function under the Barristers' Admission Rules to apply to
the Full Court to have the name of a barrister-at-law,
who has been convicted of
an indictable offence, removed from the roll (Rule 42A). However, the
Barristers' Admission Rules make
no reference to applications to the Court in
respect of the discipline of barristers in other
circumstances.
I
note that the Bar Association of Queensland (although having no statutory
function to do so) can consider complaints made against
its members in respect
of alleged professional misconduct or unprofessional conduct, and has standing
to bring an application before
the Supreme Court: see Re Clancy [1970]
QWN 8. However, while members of the Bar Association must undertake to
abide by the constitution and rules of the Bar Association, membership
is
entirely voluntary. Therefore, not all barristers are members of the Bar
Association. For example, many barristers employed by
government, or those
employed by corporations, are not members of the Bar Association. Similarly,
barristers in private practice
at the bar may elect not to join the Bar
Association.
In
In re Swanwick (1884) 2 QLR 1, which concerned a disbarred barrister's
application for re-admission, Lilley CJ inferred that the Board of Examiners
(effectively
the forerunner of the Barristers' Board) had a duty to assist the
Court in matters concerning the fitness of an applicant for admission
or
readmission. I also note the explanation by Mr Morris QC (at pages 7-15 of his
report) of his understanding of the basis for
the Board's authority to
investigate the applicant's complaint.
In
the absence of a statutory body expressly vested with authority to investigate
and take action, including initiating proceedings,
in respect of alleged
professional misconduct or unprofessional conduct by barristers, the Board has,
in the instant case, assumed
that role. While I am not aware of any specific
case where the Board has initiated court proceedings against a barrister, to my
mind, there is little doubt that the Board would have standing to apply to the
Supreme Court for an order that a barrister's name
be removed from the roll, or
for some lesser sanction to be imposed such as suspension or a
fine.
In
the instant case, the Board has taken on a role to assist the Supreme Court by
undertaking initial investigation and assessment
as to whether it would be
appropriate to bring alleged professional misconduct, or unprofessional conduct,
to the attention of the
Supreme Court. The applicant himself prompted the
action taken by the Board in the instant case, by making a complaint in respect
of which he obviously wished the Board to take action. I am satisfied that the
documents to which the applicant seeks access were
received or brought into
existence by the Board in the performance of functions which relate to the
judicial functions of the Supreme
Court. I find that those documents are
excluded from the application of the FOI Act by the operation of s.11(1)(f) of
the FOI Act.
DECISION
I
decide that the documents sought by the applicant in his access application to
the Board dated 3 April 1998 are not subject to the
application of the FOI Act,
by virtue of s.11(1)(f) of the FOI Act, and hence that -
(a) the Board was entitled to refuse to deal with the applicant's application
dated 3 April 1998 for access to documents under the
Freedom of Information
Act 1992 Qld; and
(b) I do not have jurisdiction to deal further with the applicant's
application for review dated 10 June 1998.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Banks and Queensland Corrective Services Commission [1995] QICmr 5; (1995) 2 QAR 461 (13 April 1995) |
Banks and Queensland Corrective Services Commission [1995] QICmr 5; (1995) 2 QAR 461 (13 April 1995)
Last Updated: 23 February 2001
OFFICE OF THE INFORMATION ) S 45 of
1993COMMISSIONER (QLD) ) (No.
95005) Participants: PETER JOHN
BANKS Applicant - and - QUEENSLAND
CORRECTIVE SERVICES COMMISSION Respondent DECISION AND
REASONS FOR DECISIONFREEDOM OF INFORMATION - application for
amendment of information pursuant to s.53 of the Freedom of Information Act
1992 Qld - report by custodial correctional officer on a prison incident
involving the applicant - whether the information in issue concerns
the personal
affairs of the applicant - whether the information in issue is inaccurate,
incomplete, out-of-date or misleading - observations
on the extent of the duty
imposed on agencies by s.59 of the Freedom of Information Act 1992 Qld
when an applicant exercises the right to require an agency to add a notation to
information which the agency has refused to amend. Freedom of
Information Act 1992 Qld s.53, s.57, s.59, s.79Doelle and
Legal Aid Office (Queensland), Re [1993] QICmr 5; (1993) 1 QAR 207Lapidos and Office
of Corrections (No. 2), Re (Victorian Administrative Appeals Tribunal,
Jones J (President), 19 February 1990, unreported)Stewart and Department
of Transport, Re [1993] QICmr 6; (1993) 1 QAR
227 DECISIONI affirm the respondent's (deemed)
decision refusing to amend or correct information about the applicant contained
in a report dated
30 August 1989 by Mr Robert Ian Williams (former custodial
correctional officer) to the General Manager, Woodford Correctional Centre,
on
the basis that I am satisfied that the information contained in that report is
not inaccurate, incomplete, out-of-date or
misleading.Date of Decision: 13 April
1995...........................................................F
N ALBIETZINFORMATION COMMISSIONEROFFICE OF THE
INFORMATION ) S 45 of 1993COMMISSIONER (QLD) ) (Decision
No. 95005) Participants: PETER JOHN
BANKS Applicant - and - QUEENSLAND
CORRECTIVE SERVICES COMMISSION Respondent REASONS FOR
DECISIONBackground1. This external review
arises out of an application by Mr Banks to amend information pursuant to s.53
of the Freedom of Information Act 1992 Qld (the FOI Act).2. The
applicant's application to amend information, dated 2 February 1993, sought
amendment of several pieces of information in several
documents. The applicant
had obtained access to those documents through an earlier application for access
under the FOI Act. My
staff pursued investigations into disputed questions of
fact, obtaining sworn evidence from a number of witnesses. Following lengthy
negotiations with the applicant and relevant officers of the QCSC, all but one
of the issues initially raised by Mr Banks' application
for review have been
resolved by a compromise between the participants on the form of amendments or
notations to relevant documents
held by the QCSC. The only issue which remains
for formal determination concerns certain information in a report dated 30
August
1989 by a former custodial correctional officer, Mr Robert Ian Williams
(which will be referred to in these reasons for decision
as "the
Report").3. In August 1989, Mr Williams was employed as a custodial
correctional officer at the Woodford Correctional Centre. Mr Williams
is no
longer employed by the QCSC, having left that employment when the Woodford
Correctional Centre closed. The document in issue
is a handwritten report dated
30 August 1989, slightly more than one page in length, which Mr Williams
submitted to the General Manager
of the Woodford Correctional Centre. The
Report describes an incident at the Woodford Correctional Centre involving the
applicant.
The Report attributes to the applicant the making of a statement to
the effect that the only way that the applicant was likely to
obtain a change in
his prison job or a change in the prison in which he was detained, was to "smash
or hit someone". The events
leading up to the making of the statement
attributed to the applicant, including an incident with another prisoner, are
also described.
The incidents occurred in the prison library, of which Mr
Williams was the officer in charge.4. In his initial application to
amend information (dated 2 February 1993) the applicant asserted
that: The incident within the report is a fabrication, whether by the
prisoner mentioned within the report or the originating officer I
do not know or
care. I request that if the report cannot be removed that the following note be
attached to this report: "This report is a fabrication and
as such should be treated with the contempt it deserves! P J B"
5. The FOI Co-ordinator of the QCSC, Ms P Cabaniuk, responded to Mr
Banks' application by letter dated 15 March 1993 which, so far
as relevant,
stated: Under the Freedom of Information Act 1992, amendments can
only be made by either altering the information or adding an appropriate
notation to the information. Documents
cannot be removed. You
have not provided supporting evidence only facts to the contrary to justify an
amendment. These facts must now be substantiated.
This matter has been
referred to the General Manager so that the matter may be looked into. Should
the information on the document
be incorrect, then your notations will be added
to the file. You will be advised of the result as soon as
practicable.6. Following receipt of that letter, the applicant
lodged an application for external review with my office, received on 31 March
1993. I accepted that I had jurisdiction to deal with the application for
external review, since the QCSC's letter of 15 March 1993
to Mr Banks did not
notify a decision in response to Mr Banks' application for amendment of
information. The 30 day time limit for
giving that notification having then
expired (see s.57 of the FOI Act), Mr Banks was entitled to apply to me for
review, in accordance
with s.79 of the FOI Act, on the basis of a deemed refusal
of his application for amendment of information. Notations under
s.59 of the FOI Act7. After receiving notification of the
commencement of my review, the QCSC's FOI Co-Ordinator informed me that the
applicant had made
a request (undated) that a number of documents (including the
Report) be notated pursuant to s.59 of the FOI Act, which
provides: 59.(1) In this section
- "agency" includes a Minister.
(2) If an agency has refused to amend information, the applicant
may, whether or not the applicant has applied to the Commissioner for
review of
the decision, by written notice, require the agency to add to the information a
notation - (a) specifying the respects in which the applicant
claims the information to be inaccurate, incomplete, out-of-date or misleading;
and (b) if the applicant claims the information to be incomplete
or out-of-date - setting out such information as the applicant claims
is
necessary to complete the information or to bring it
up-to-date. (3) An agency must comply with the
requirements of a notice under this section, and must cause written notice of
the nature of the notation
to be given to the applicant.
(4) If an agency discloses to a person (including another agency and a
Minister) any information contained in the part of its documents
to which a
notice under this section relates, the agency - (a) must ensure
that there is given to the person, when the information is disclosed a statement
- (i) stating that the person, or next of kin of the person, to
whom the information relates claims that the information is inaccurate,
incomplete, out-of-date or misleading; and (ii) setting out
particulars of the notation added under this section;
and (b) may include in the statement the reason for the agency's
refusal to amend the information as requested.
(5) This section is not intended to prevent or discourage agencies
from giving particulars of a notation added to its documents under
this section
to a person (including another agency and a Minister) to whom information
contained in the documents was given before
the commencement of this
section.8. In his application for notations to be made under s.59,
Mr Banks made the following remarks in respect of the Report now in
issue: It is much easier to fabricate an incident to effect the
removal of an unwanted inmate, than to wait for one. The alleged incident
revolved around my self being Shanghaied to Woodford and being put into a cushy
job to appease me in working with two other inmates.
There was not enough work
to keep two people busy let alone three, and one of the other prisoners (The
senior worker) resented someone
(Me) being put to work in his library without
him being consulted. I was not even shown how to do anything in the library
even when
I asked. I was later terminated without explanation and had only
become aware of the alleged incident when I read the material resulting
from an
FOI request. This, together with the comments I outlined in my
amendment request dated 2/2/93 should be attached. 9. I note that,
apart from repeating his earlier allegation that the Report involves some kind
of fabrication, the applicant has not
specified whether all, or part (and if so,
which part(s)) of the Report, is claimed to be a fabrication. Mr Banks sets out
his version
of conditions in the prison library, at the time his prison job was
to work in the prison library, in terms which indicate he was
disenchanted with
that job, and he was not well received by other prisoners working in the
library; but he does not acknowledge that
the "alleged incident"
occurred.10. In a letter dated 24 May 1993, the QCSC's FOI Co-Ordinator
informed me that the notations requested by Mr Banks had been made
and a copy of
the form in which the notations were made was provided to me. They were made
by way of a handwritten paragraph (dated
23 April 1993) being placed on the
Report which refers any reader of the Report to notations attached to the
Report, being notations
in the form requested by the applicant. The QCSC's FOI
Co-Ordinator also forwarded to me a copy of a letter she sent to the applicant,
dated 23 April 1993, which informed the applicant, as required by s.59(3) of the
FOI Act, that the notations had been made. 11. During the course of this
external review, Mr Banks raised, as an issue, the necessity for the QCSC to
notate each copy of the
Report which is in the possession or control of the
QCSC, in any location. A particular document may appear in a number of
different
files in the possession or control of an agency such as the QCSC,
because copies of the same document may be required for different
administrative
purposes in various locations. In my opinion, it clearly accords with the
objects of Part 4 of the FOI Act that,
when an applicant exercises the statutory
right under s.59 to require that certain information in a document be notated,
the agency
concerned has a corresponding duty to notate all copies of the
relevant document which are in its possession or control. The purpose
of s.59
would not be fulfilled if an agency's duty were to be regarded as any less
onerous than I have indicated. The external review
process12. The fact that the QCSC notated the document in issue in
accordance with the applicant's request under s.59 does not affect the
applicant's entitlement to seek external review of the QCSC's deemed refusal to
amend or correct the document in issue.13. Since the applicant
disputed the veracity of the Report, the issue for determination essentially
became one of establishing whether
the credibility of Mr Williams' account was
to be preferred to that of Mr Banks, or vice-versa. A member of my staff
interviewed
Mr Williams to obtain his account of relevant events. Mr Williams
was provided with a copy of the Report, and informed of the applicant's
allegations that the incident described in the Report was a fabrication. Mr
Williams subsequently completed a statutory declaration
dated 25 February 1994.
The relevant parts of Mr Williams' statutory declaration are as
follows: On 30 August 1989, I was the Custodial Corrections Officer
responsible for the library at the WCC (Woodford Correctional Centre).
On that day, I observed the events that I have recorded in the attached
report. I say that the contents of the report are true and
correct in every
respect. In particular, I recall Mr Banks saying to me that the only way he was
going to get out of the prison
is to "smash or hit someone". The words "smash
or hit someone" are the actual words that Mr Banks used. I was the only prison
officer
in the library at the time, and there are no other prison officers who
would have witnessed Mr Banks using those words. I was letting
Mr Banks out of
the library when he made the comment that the only way he was going to get out
of the prison was to "smash or hit
someone". In order for a prisoner to move
from the library to another part of the prison, it was necessary for me, as the
prison
officer in charge of the library to let a prisoner out by unlocking the
gates. When I was in the process of doing that and allowing
Mr Banks out of the
library area and he made the comment to me that the only way that he was going
to get out of the prison was to
"smash or hit someone", there was only himself
and myself in the area. The report attached to this statutory
declaration and marked "A" was made by me on the same day that the incident
occurred, namely
30 August 1989. It is necessary for me to make a report such
as this on the day that it occurs prior to my finishing duty for the
day.
... The purpose of my making the report attached to this
statutory declaration was to ensure that other prison officers in the prison
were aware of the incident and to make the other prison officers aware that Mr
Banks had made this comment, with a view to protecting
other prison officers
from any injury that might occur to them caused by Mr Banks. The report did not
result in any charges against
Mr Banks and that was not the purpose of the
report. The purpose of the report was to warn other prison officers that the
incident
had occurred. It was part of my duties as a Custodial Corrections
Officer to record incidents such as the incident described in
the
report.14. On 14 April 1994, the Deputy Information Commissioner
forwarded a copy of Mr Williams' statutory declaration to the applicant.
The
applicant was asked to indicate whether he contested the accuracy of the entire
Report, or whether he only wished to contest
the comment attributed to him
that: The only way that I'm going to get out of here is to "smash or
hit someone".15. In that letter, the applicant was given the
opportunity to lodge any evidence or submissions on which he wished to rely to
support
his case in this external review (which at that stage still involved
issues relating to the amendment of other information in other
documents). Mr
Banks subsequently forwarded a nine page submission which referred in detail to
the other matters which were then
in issue (and have since been resolved) but
which made no reference to Mr Williams' Report.16. The QCSC was also
provided with a copy of Mr Williams' statutory declaration and was given the
opportunity to lodge evidence and
a written submission concerning the Report, as
well as the other issues then remaining in this external review. The QCSC
provided
a short written submission to my office dated 27 October 1994,
indicating that the QCSC was not prepared to amend the Report for
the following
reasons: (a) Initial section 51 consultation with the author revealed
that the report was accurate and not misleading. (b) Statutory
Declaration by author supports above. (c) No other witnesses
present in library to support applicant's allegations of report being
false. (d) The report was written on same day of incident. The
incident would have been fresh in the Officers' mind. (e) The
applicant has not addressed or challenged the contents of this Statutory
Declaration, nor has he provided one to the Information
Commissioner.Principles applicable to an application to amend
information17. The provision of the FOI Act which entitles a
person to apply to have information amended is s.53:
53. If a person has had access to a document from an agency or
Minister (whether or not under this Act) containing information relating
to
- (a) the person's personal affairs; or (b) the
personal affairs of a deceased person to whom the person is next of
kin; the person is entitled to apply to the agency or Minister
for correction or amendment of any part of the information if it is inaccurate,
incomplete, out-of-date or misleading.18. I discussed the principles
applicable to an application to amend information pursuant to Part 4 of the FOI
Act in my decision
in Re Doelle and Legal Aid Office (Queensland)
[1993] QICmr 5; (1993) 1 QAR 207. (A copy of that decision was provided to the applicant under
cover of the Deputy Information Commissioner's letter of 14 April 1994,
in which
the opportunity was extended to the applicant to lodge evidence and submissions
in support of his case in this external
review.)19. In his application
to amend information, Mr Banks indicated that he wanted the information that he
considered to be inaccurate,
incomplete, out-of-date or misleading (including Mr
Williams' Report) to be destroyed. At paragraphs 61-63 of my decision in Re
Doelle, I held that the words "correction or amendment" in s.53 of the FOI
Act do not authorise the destruction of documents or removal
of documents from
files, even if information contained in the documents is established to be
inaccurate, incomplete, out-of-date
or misleading. On the facts of this case,
therefore, even if the applicant were to succeed in demonstrating that all or
part of
the Report is inaccurate, incomplete, out-of-date or misleading, s.53 of
the FOI Act would not permit the Report to be destroyed
or removed from the
relevant file(s) of the QCSC.20. At paragraph 16 of my decision in Re
Doelle, I said: Prior to considering the form which any
correction of, or amendment to, information in a document of an agency or
Minister may take,
the following elements of s.53 of the FOI Act must be
satisfied: (a) the applicant must have had access to a document
of an agency or Minister, whether under the provisions of the FOI Act or
otherwise; (b) the document must contain information relating to
the applicant's personal affairs, or the personal affairs of a deceased person
to whom the applicant is next of kin; and (c) the information or
some part of the information referred to in (b) must be inaccurate, incomplete,
out-of-date or misleading.Application of the relevant
principles to this case21. In this case, it is clear that the
applicant has had access to the Report in issue, under the FOI Act. I am also
satisfied that
the second element of s.53 is established in that the information
contained in the Report concerns Mr Banks' personal affairs. I
considered the
meaning of the term "personal affairs" in detail in my reasons for decision in
Re Stewart and Department of Transport [1993] QICmr 6; (1993) 1 QAR 227. At paragraph 80
of Re Stewart, I expressed agreement with the opinion of Jones J
(President) of the Victorian Administrative Appeals Tribunal in Re Lapidos
and Office of Corrections (No. 2) (19 February 1990, unreported) to the
effect that information concerning what happens to a prisoner while in prison is
ordinarily
to be characterised as information which concerns the prisoner's
personal affairs.22. The key issue in this case is whether the third
element of s.53 is satisfied. Pursuant to s.81 of the FOI Act, the QCSC has the
onus of establishing that its refusal to amend or correct the Report was
justified. To discharge its onus, the QCSC must establish,
on the balance of
probabilities, that the information in the report, which the applicant seeks to
amend or correct, is not inaccurate,
incomplete, out-of-date or misleading.
23. In his initial application to amend information (dated 2 February
1993), the applicant asserted that: The incident within the report is
a fabrication, whether by the prisoner mentioned within the report or the
originating officer I
do not know or care.24. This gives rise to
some confusion, since the Report describes an earlier incident which occurred
between the applicant and another
prisoner, as well as the later incident in
which the applicant is said by Mr Williams (at a time when only the applicant
and Mr Williams
were present) to have uttered words to the effect that the only
way that he (Banks) was "going to get out of here" was to "smash
or hit
someone". I do not see how it could be suggested that the other prisoner could
have fabricated the second incident, since
Mr Williams was reporting words which
he claimed to have himself heard. This suggests that the incident which Mr
Banks is alleging
to be a fabrication may be the earlier incident involving
another prisoner working in the prison library. At no stage has Mr Banks
clarified whether it is the first incident, the second incident, or both, which
he claims to be a fabrication. However, I consider
that the second incident
must be the one which is of concern to the applicant, since there is really
nothing in the first incident
which reflects adversely on the applicant. The
first incident (which in essence merely involved another prisoner, whose job it
was
to work in the library, expressing annoyance that the applicant had also
been instructed to work in the library, because there were
already too many
prisoners working in the library) is actually entirely consistent with the
remarks made by Mr Banks in his application
for notations to be made under s.59
of the FOI Act: see paragraphs 8-9 above. That incident, considered on its own,
was quite trivial.
I find it difficult to accept that anyone could have a
motive for fabricating a report of an incident of that nature. Moreover,
Mr
Banks' remarks set out in paragraph 8 above support the credibility of Mr
Williams' account of the first incident. I am satisfied
that the first three
paragraphs of the Report, which record the first incident, are not inaccurate,
incomplete, out-of-date or misleading.25. The second incident is
somewhat more serious in nature. The tenor of the Report is that Mr Williams
saw fit to record an observation
uttered by the applicant, for what it indicated
about the applicant's attitude to his circumstances, of which the prison
authorities
ought to be aware. No suggestion is made in the Report, however,
that the applicant made a specific threat against any individual,
or appeared
likely to take some action that involved smashing or hitting
someone.26. In respect of the second incident, I have had regard to the
fact that Mr Banks' application for amendment was prompted by his
receipt, early
in 1993, of a document of which he had previously been unaware, which attributed
to him the making of certain remarks
(which would undoubtedly have reflected on
him unfavourably in the eyes of prison officers and prison managers) in an
incident which
occurred some three and a half years earlier, and which was not
likely to have impressed his mind at that time as a particularly
significant
event. In my opinion, Mr Banks' recall of what occurred on the day in question
is likely to be less reliable than the
account given in Mr Williams' Report
which was recorded on the same day. The fact that a report is made
contemporaneously with
the events it describes does not necessarily mean that it
cannot be inaccurate, incomplete, out-of-date or misleading. However,
the
contemporaneity of Mr Williams' Report is a factor, with the others noted below,
which leads me to prefer Mr Williams' account
of relevant events. Mr Williams
has been interviewed by a member of my staff and has declared (under the
Oaths Act 1867 Qld) that the contents of the Report are true and correct.
Mr Williams no longer has any connection with the QCSC. He was found
to be a
credible and reliable witness concerning the contents of his statutory
declaration. On the balance of probabilities, I am
satisfied that the
information contained in the Report is not inaccurate, incomplete, out-of-date
or misleading. Conclusion27. By virtue of its
failure to make a decision within thirty days after receipt of the applicant's
application to amend information,
the QCSC is deemed to have made a decision
refusing to amend each of the documents which were the subject of the
applicant's amendment
application. Since the application for review related to
documents other than the Report, and those issues were resolved informally
during the course of this external review, it is not appropriate that I merely
affirm the deemed refusal to amend documents in accordance
with the applicant's
initial application for amendment under s.53. I will affirm only that part of
the decision under review which
relates to Mr Banks' application for amendment
or correction of Mr Williams' Report dated 30 August
1989.F N ALBIETZINFORMATION
COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Stewart, Carolyn and Department of Transport [1995] QICmr 10; (1995) 2 QAR 552 (15 May 1995) |
Stewart, Carolyn and Department of Transport [1995] QICmr 10; (1995) 2 QAR 552 (15 May 1995)
Last Updated: 23 February 2001
OFFICE OF THE INFORMATION ) S 166 of
1993COMMISSIONER (QLD) ) (Decision No.
95010) Participants: CAROLYN DAWN
STEWART Applicant - and -
DEPARTMENT OF TRANSPORT Respondent DECISION AND
REASONS FOR DECISIONFREEDOM OF INFORMATION - application for
access - interpretation of the terms of the applicant's FOI access application -
applicant
challenging sufficiency of search for documents falling within the
terms of her FOI access application - whether search efforts of
agency
reasonable in all the circumstances.Freedom of Information Act
1992 Qld s.29(2)Freedom of Information Regulation 1992 Qld
s.6Shepherd and Department of Housing, Local Government &
Planning, Re (Information Commissioner Qld, Decision No. 94007,
18 April 1994, unreported)Smith and Administrative Services
Department, Re [1993] QICmr 3; (1993) 1 QAR 22Stewart and Department of
Transport, Re [1993] QICmr 6; (1993) 1 QAR 227Ronald Keith Stewart and Department of
Transport, Re (Information Commissioner Qld, Decision No. 95007, 12 May
1995, unreported) DECISIONThe decision under
review (being the internal review decision of Mr W J Rodiger, on behalf of the
respondent, dated 3 August 1993)
is varied, in that I find that
-(a) following the disclosure to the applicant of additional documents
during the course of my review, I am satisfied that there are
no reasonable
grounds for believing that the respondent has possession or control of any
documents or parts of documents, falling
within the terms of the applicant's FOI
access application dated 8 June 1993, to which the applicant has not been given
access, except
for the letter dated 12 June 1992 from Mr Ronald Stewart to the
Minister for Transport referred to in (b) below; and(b) while there are
reasonable grounds for believing that the respondent has possession or control
of a letter dated 12 June 1992
from Mr Ronald Stewart to the Minister for
Transport, I am satisfied that the search efforts made by the respondent, and by
members
of my staff, to locate that document have been reasonable in all the
circumstances of the case, and that the document cannot now
be
located.Date of Decision: 15 May
1995...........................................................F
N ALBIETZINFORMATION COMMISSIONEROFFICE OF THE
INFORMATION ) S 166 of 1993COMMISSIONER (QLD) ) (Decision
No. 95010) Participants: CAROLYN DAWN
STEWART Applicant - and -
DEPARTMENT OF TRANSPORT Respondent REASONS FOR
DECISIONBackground1. The
applicant complains that the respondent has failed to locate and deal with all
documents falling within the terms of her initial
application for access to
documents under the Freedom of Information Act 1992 Qld (the FOI
Act).2. By letter dated 8 June 1993, Carolyn
Stewart applied to the Department of Transport (the Department) for access to
documents, in
the following terms: I request all documents from all
parties relating to "my personal affairs" arising out of the Queensland
Transport inquiries from
complaints I have made against [here a person, who
will be referred to as Mrs Z was identified and that person's part-time
occupation was stated] ...3. The initial
decision on behalf of the Department was made by Mr B J Butterworth and
communicated to the applicant by a letter dated
21 June 1993. In that letter Mr
Butterworth said: I have enclosed documents which fit the definition
of personal affairs documents in the Freedom of Information legislation. These
are the only documents which do not attract the application fee and production
costs. Documents relating to other persons e.g. [Mrs Z]
could be regarded as personal affairs documents and be supplied free of charge
but only to them. They could not be regarded as your personal
affairs. Similarly documents relating to an investigation of a
person other than yourself would not be regarded as your personal affairs.
Should you require documents such as these, you must, as indicated by the
Information Commissioner, pay the $30.00 application fee
and be prepared to pay
production costs of the order of 50 cents per
page.4. By a letter dated 17 July 1993,
Carolyn Stewart applied for internal review of Mr Butterworth's decision,
stating: I wish to lodge an appeal on the grounds that not one of the
documents I requested concerning "MY PERSONAL AFFAIRS AND RELATING TO
THE
DISPUTE ABOUT THE SCHOOL CROSSING AT THE HARRISTOWN STATE PRIMARY SCHOOL", have
been sent to me.5. The internal review was
conducted by Mr W J Rodiger of the Department, who, in a letter dated
3 August 1993, affirmed the earlier
decision of Mr Butterworth. By letter
dated 24 August 1993, Carolyn Stewart applied for review under Part 5 of the FOI
Act in respect
of Mr Rodiger's decision.Scope of the FOI access
application6. At paragraphs 6-10 of my
decision in Re Ronald Keith Stewart and Department of Transport
(Information Commissioner Qld, Decision No. 95007, 12 May 1995, unreported),
which I shall refer to in these reasons for decision
as Re Ronald
Stewart, I discussed the relevance of an earlier application by Carolyn
Stewart and Ronald Stewart for documents relating to what I described
in that
decision as the school crossing dispute. (My reasons for decision in that
earlier application are reported as Re Stewart and Department of
Transport [1993] QICmr 6; (1993) 1 QAR 227.) In Re Ronald Stewart, I determined that
Ronald Stewart's FOI access application should be interpreted as an application
for documents relating to his "personal
affairs" as that term is interpreted for
the purposes of the FOI Act.7. I consider that
the terms of Carolyn Stewart's FOI access application make it clear that she
sought access only to documents which
relate to her "personal affairs", thus
avoiding the requirement to pay an application fee that might otherwise be
imposed by s.29(2)
of the FOI Act and s.6 of the Freedom of Information
Regulation 1992. I must therefore consider the sufficiency of search
undertaken by the Department for documents which relate to Carolyn Stewart's
personal affairs, as that term is interpreted for the purposes of the FOI
Act.8. Carolyn Stewart has indicated that she
does not seek access to documents which may be held by the Department concerning
registration,
licensing or accidents relating to motor vehicles or vessels. She
has also indicated that she does not wish to pursue access to
documents, copies
of which have been provided to her husband, Ronald Stewart. I will therefore
not consider further, in my reasons
for decision, documents which fall into
either of those categories.Sufficiency of
search9. I have previously considered
my jurisdiction, and powers on review, in respect of sufficiency of search
issues in my decisions
in Re Smith and Administrative Services Department
[1993] QICmr 3; (1993) 1 QAR 22 and Re Shepherd and Department of Housing, Local Government
& Planning (Information Commissioner Qld, Decision No. 94007, 18 April
1994, unreported). As I said in Re Shepherd at paragraphs 18-19, there
are two questions which I must answer: (a) whether there are reasonable
grounds to believe that the requested documents exist and are documents of the
agency (as that term
is defined in s.7 of the FOI Act); and if
so, (b) whether the search efforts made by the agency to locate such
documents have been reasonable in all the circumstances of a particular
case.10. At paragraph 20 of my reasons for
decision in Re Ronald Stewart, I indicated that there were a number of
external review applications made by members of the Stewart family for documents
held by
the Department and by the Minister for Transport. I also noted that
searches had been conducted by my staff, and staff of the Department
and the
Minister, for documents which might fall within the terms of any of the various
FOI access applications lodged by members
of the Stewart family. I described
these searches at paragraphs 20-30 of my decision in Re Ronald Stewart.
From those searches, members of my staff have identified all documents which
concern, or which may reasonably be argued to concern,
the personal affairs of
Carolyn Stewart. In examining documents which might be relevant, my staff have
taken a liberal view of what
matter may concern Carolyn Stewart's personal
affairs and the Department has been co-operative in agreeing to grant her access
to
further matter, notwithstanding initial concerns relating to the
classification and exempt status of such matter in some instances.
The
Department has agreed to the release in full of all documents so
identified.11. In Re Ronald Stewart, I
referred to a letter dated 12 June 1992 (a copy of which was provided by Mr
Ronald Stewart for my information) from Mr Ronald
Stewart to the Minister of
Transport. That document also falls within the terms of Carolyn Stewart's FOI
access application. I
described the searches undertaken for that document at
paragraphs 21-24 of my decision in Re Ronald Stewart. For the reasons
set out at paragraph 32 of that decision I find that there are reasonable
grounds to believe that the requested
document exists and is a document of the
agency, but I find that the search efforts made by the agency to locate the
document have
been reasonable in all the circumstances, even though ultimately
unsuccessful.12. As to Carolyn Stewart's
general claim that there are other documents concerning her personal affairs
held by the Department, I
find that there are no reasonable grounds to believe
that the requested documents exist. Extensive searches carried out by the
Department
and my staff, and examination of a wide range of documents by my
staff, have not given rise to any indication that there are further
documents in
existence which fall within the terms of Carolyn Stewart's FOI access
application for documents relating to her personal
affairs. I cannot identify
any further searches which the Department might reasonably be called upon to
undertake in a quest for
such documents.13. I
noted in Re Ronald Stewart that one of the underlying causes of Mr
Stewart's refusal to accept my preliminary view in relation to sufficiency of
search was
his interpretation of the term "personal affairs" as it is used in
the FOI Act. It is clear that the interpretation of this term
urged on me
throughout this and other applications by members of the Stewart family is much
wider than the interpretation which I
adopted in my decision in Re Stewart
and Department of Transport [1993] QICmr 6; (1993) 1 QAR 227 and which I have reiterated in
numerous decisions since that time. For example, in a letter dated 25 August
1994, Carolyn Stewart
stated: I wish to advise you that I still feel
that a number of documents are deliberately being withheld as statements from
other people
involved are being withheld by the Transport Dept. and as my name
will be mentioned in these statements, I feel these documents must
be released
to me as part of my personal
affairs.14. Carolyn Stewart's insistence
on a wide interpretation of the term "personal affairs", in the face of my
decisions giving it a
more limited scope, is, I believe, the major factor
influencing her claims that further documents which fall within the terms of
her
FOI access application must exist.15. I
acknowledge that numerous documents exist which deal with what I have referred
to as the school crossing dispute, but only some
of these relate to Carolyn
Stewart's personal affairs. I am satisfied that Carolyn Stewart has been given
access to all documents
which fall within the terms of her FOI access
application dated 8 June
1993.Conclusion16. As
further documents were discovered in the course of my review, it is appropriate
that I vary the decision under review. I find
that -(a) following the
disclosure to the applicant of additional documents during the course of my
review, I am satisfied that there are
no reasonable grounds for believing that
the respondent has possession or control of any documents or parts of documents,
falling
within the terms of the applicant's FOI access application dated 8 June
1993, to which the applicant has not been given access, except
for the letter
dated 12 June 1992 from Mr Ronald Stewart to the Minister for Transport referred
to in (b) below; and(b) while there are reasonable grounds for believing
that the respondent has possession or control of a letter dated 12 June 1992
from Mr Ronald Stewart to the Minister for Transport, I am satisfied that the
search efforts made by the respondent, and by members
of my staff, to locate
that document have been reasonable in all the circumstances of the case, and
that the document cannot now
be located.F N
ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | J6Q8CH and Department of Justice and Attorney-General (No. 2) [2018] QICmr 50 (12 December 2018) |
J6Q8CH and Department of Justice and Attorney-General (No. 2) [2018] QICmr 50 (12 December 2018)
Last Updated: 20 December 2018
Decision and Reasons for Decision
Citation:
J6Q8CH and Department of Justice and Attorney-General (No. 2)
[2018] QICmr 50 (12 December 2018)
Application Number:
313722
Applicant:
J6Q8CH
Respondent:
Department of Justice and Attorney-General
Decision Date:
12 December 2018
Catchwords:
ADMINISTRATIVE LAW - INFORMATION PRIVACY ACT - REFUSAL OF ACCESS -
applicant seeking access to information about herself in documents
relating to
the processing of a previous access application - whether documents contain the
applicant’s personal information
- whether the documents can be the
subject of an access application under the Information Privacy Act 2009
(Qld) - section 40(1)(a) of the Information Privacy Act 2009
(Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - EXEMPT INFORMATION -
documents relating to processing of a previous access application
- hostile
communications and threats by the applicant - whether disclosure of information
could reasonably be expected to result
in a serious act of harassment or
intimidation against certain individuals - whether access to information may be
refused under section 67 of the Information Privacy Act 2009 (Qld) and
sections 47(3)(a) and schedule 3, section 10(1)(d) of the Right to
Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Department
of Justice and Attorney-General (Department) under the Information
Privacy Act 2009 (Qld) (IP Act) to access information about the
procedural actions taken by the Department in processing a previous access
application she had made
under the IP Act (Prior
Application).[2]
The
Department located 202 pages of documents. Given the nature of the
information requested by the applicant, the majority of the
located documents
comprised emails and correspondence the Department sent to or received from the
applicant about the Prior Application
and documents recording the searches and
enquiries conducted by the Department to locate documents responsive to the
Prior Application.
The
Department decided[3] to refuse access
to some of the located information[4]
and also delete certain pages[5] on
the basis those pages fell outside the scope of the application.
The
applicant applied[6] to the Office of
the Information Commissioner (OIC) for external review of the
Department’s decision and raised concerns about the Department’s
processing of the Prior
Application.
For
the reasons set out below, I vary the Department’s decision and find that
the majority of the information being considered
in this review may be refused
on the ground that it is exempt information and one page may be deleted as it is
outside the scope
of the access application.
Background
Significant
procedural steps taken in this external review are set out in Appendix 1.
Reviewable decision
The
decision under review is the Department’s decision dated
23 January 2018.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching this
decision are disclosed in these reasons (including
footnotes and appendices).
The
applicant has provided a number of submissions to
OIC.[7] Generally, the applicant
submitted[8] that she wanted to
determine if the Prior Application was ‘processed fairly following a
standard procedure’. However, a large proportion of the
applicant’s submissions contend that information relevant to the Prior
Application
should be fully disclosed to her and, in this regard, I note that
submissions of this nature have been addressed in the previous
decision of this
Office in J6Q8CH No. 1. The applicant’s submissions also outline
her belief that she has been ‘repeatedly wrongfully
convicted’[9] and that
various government agencies have engaged in a smear campaign against
her.[10] Additionally, the
applicant provided information about further complaints and applications that
she has lodged with other agencies,
Ministers and various entities.
In
these reasons for decision, I have only considered and addressed submissions
made by the applicant to the extent they raise issues
relevant to the
issues for determination in this review, as set out below.
Information in issue
The
Information in Issue is identified in Appendix 2 and consists of
58 pages[11] and parts of
106 pages.
I
am unable to disclose the content of the Information in
Issue,[12] however, I generally
categorise it as follows:
Category
Description
Deleted Information
One page deleted on the basis it falls outside the scope of the access
application.
Category A Information
Names, contact details and signatures of various Department officers.
Category B Information
Information about the applicant’s interactions with various
individuals.
The
Category A Information appears on the 106 partly disclosed pages. As a
result of the information that has been disclosed to the
applicant, the
applicant is aware of the substance of the documented communications in these
106 pages and the work titles of the
public sector officers who were
parties to them. I also note that some of the Category A Information appears in
email chains between
Department officers and the applicant and in letters
addressed to the applicant—as a result, it is reasonable to assume that
the applicant may be aware of, or already possess copies of, some of the
Category A Information.[13]
During
the external review, the applicant
sought[14] confirmation about
whether 30 pages of the Category B
Information[15] contained specified
information about her.[16] OIC
informed the applicant[17] that the
30 pages did not contain information of the type she specified but instead
comprised information about the applicant’s
‘interactions with
various individuals (including details of historical charges against
[her])’.
Issues for determination
Some
issues were informally resolved on external
review.[18] The remaining issues to
be determined are whether the Information in Issue may be deleted or refused on
the grounds that it falls
outside the scope of, or is irrelevant to, the terms
of the access application or it is exempt information.
Preliminary issues
Before
considering the issues for determination, it is necessary to deal with
preliminary issues arising from concerns expressed by
the applicant in her
submissions.
The
applicant alleged[19] that
OIC’s decision not to engage in further telephone communications with her
was made in
‘retaliation’.[20]
External
review by the Information
Commissioner[21] is merits
review.[22] The procedure to be
followed on external review is, subject to the IP Act, within the discretion of
the Information Commissioner.[23]
As noted in J6Q8CH No. 1, the decision to cease telephone communications
with the applicant was not made lightly but as a result of the way the applicant
had conducted herself in conversations with OIC staff, including the language
used towards OIC staff. In this matter, I consider
that despite ceasing
telephone communication with the applicant, she was nonetheless afforded
procedural fairness, for example, by
conveying a preliminary view to the
applicant in writing and inviting her to provide further submissions supporting
her case.[24]
The
applicant also asserted[25] that OIC
had not sent her any evidence of her ‘hostile communications’
towards anyone and was therefore biased. Further, the applicant contended that
the letter conveying OIC’s preliminary
view was
‘disgusting’ and a ‘victim blaming DAVRO strategy
letter’[26] and that it
showed an ‘unusual level of vitriol and
subjectivity’.[27]
As
noted in paragraph 12 above, given constraints imposed by the IP
Act,[28] I have necessarily adopted
a level of generality in describing the Information in Issue in this decision.
The Information Commissioner
also has no discretion under the IP Act to disclose
any of the Information in Issue to the
applicant.[29] In these
circumstances, the nondisclosure of the Information in Issue to the applicant is
not evidence of bias. I also note that
the material before me in this review
includes the applicant’s submissions which
reference[30] a prior conviction she
received for sending an offensive email.
The
preliminary view letter was sent to the applicant to appraise her of the facts
and the law applicable in the
matter[31] and to ensure the
applicant was given an opportunity to provide an informed submission to this
office. The letter was written with
great care and in a neutral tone. While it
summarised factual information about the applicant’s conduct towards
various individuals
in order to explain how the preliminary view had been
formed, I consider the letter did not ‘attack’ or ‘victim
blame’ the applicant. Additionally, I reject the applicant’s
assertion that the letter, or more generally the external
review process, was
subjective.
Finally,
the applicant asserted[32] that OIC
decided to give little weight to her right to ‘fair and just access to
her own information’ and thereby acted with bias, vindictiveness,
discrimination, retribution and a failure to comply with the intent of the IP
Act. While the IP Act is to be administered with a pro-disclosure
bias,[33] an individual’s
right to access government held information under the IP Act is subject to a
number of exclusions and limitations,
including grounds for refusal of access.
In considering whether access may be given to the Information in Issue, I have
considered
the requirements of the IP Act as they apply to the Information in
Issue. My reasons and considerations are set out in this decision.
In
these circumstances and taking into consideration the material before me, I am
satisfied that none of the matters raised by the
applicant evidence a lack of
objectivity, or bias, discrimination or vindictiveness by OIC staff or in the
external review process.
The
applicant also made further allegations of bias and retaliation stemming from
separate matters she has with OIC, which involve
other functions of the
OIC[34]—as those separate
matters are not relevant to the issues for determination in this review, they
are not addressed in these
reasons for decision, however, I consider that none
of these further allegations evidence bias or a conflict of interest on the part
of OIC or its staff regarding this external review.
Finally,
as noted in paragraph 4 above, the applicant raised concerns about the conduct
of Department officers during the processing
of her application. I note that
information released to the applicant confirms that the Department referred the
applicant’s
complaint about such officer conduct to the Crime and
Corruption Commission. In these circumstances, it is not appropriate for me
to
address those conduct concerns in these reasons for decision.
I
will now turn to consideration of the substantive issues to be determined in
this review.
Relevant law
An
individual has a right to be given access to documents of an agency to the
extent they contain the individual’s personal
information.[35] If a document
does not contain any personal information of the individual, it is
outside the scope of an access application made under the IP Act and the
individual
does not have a right to access that document under the IP Act.
‘Personal
information’ is defined in section 12 of the IP Act as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether
recorded in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or opinion’.
As
noted in paragraph 22 above, the right of access under the IP Act is
subject to a number of exclusions and limitations, including
grounds for refusal
of access. Section 67(1) of the IP Act provides that access to a
document may be refused on the same grounds
upon which access to a document
could be refused under section 47 of the Right to Information Act 2009
(Qld) (RTI Act). Section 47(3)(a) of the RTI Act relevantly
permits an agency to refuse access to documents to the extent they comprise
exempt
information.
Findings – Deleted Information
I
have carefully reviewed the Deleted Information and I am satisfied that it does
not contain any of the applicant’s personal information—it
does not identify the applicant and is not about the applicant.
I
note the applicant has made no submissions contesting the reasoning or
conclusions in paragraph 30
above.[36]
I
find that the Deleted Information is outside the scope of the access
application, which was made under the IP Act, and cannot be
considered as
part of the application.
Findings – Category A Information and Category B
Information
Schedule
3 of the RTI Act specifies the types of information the disclosure of which
Parliament has determined is exempt because its
release would be contrary to the
public interest. Relevantly, information is exempt if its disclosure could
reasonably be expected
to result in a person being subjected to a serious act of
harassment or intimidation (Harassment or Intimidation
Exemption).[37]
As
the RTI Act does not define ‘a serious act of harassment or
intimidation’, those terms are given their ordinary
meanings.[38] As noted in J6Q8CH
No. 1,[39] the
Information Commissioner has previously accepted the following
definitions:[40]
‘harass’
includes ‘to trouble by repeated attacks, ... to disturb persistently;
torment’; and
‘intimidate’
includes ‘to make timid, or inspire with fear; overawe; cow ... to
force into or deter from some action by inducing fear’.
For
the Harassment and Intimidation Exemption to apply:
the expected
harassment or intimidation must be ‘serious’ in
nature[41]—conduct which is
competitive, disparaging, unpleasant or ‘irksome and
annoying’ is not sufficient to establish the
exemption[42]
there must also
be a reasonable expectation of serious harassment or intimidation—this
requires that the expectation be reasonably
based on an objective examination of
the relevant evidence[43] and must
not be irrational, absurd or
ridiculous,[44] nor a mere
possibility;[45] and
the expectation
of serious intimidation or harassment must arise as a result of
disclosure, rather than from other
circumstances[46]—that is, I
must be satisfied that the disclosure of the Category A and B Information,
rather than the nature of the pre-existing
relationship between the relevant
parties, could reasonably be expected to cause the serious act of harassment or
intimidation. (i) Is the expected harassment or
intimidation serious in nature?
Yes,
for the reasons set out below.
As
previously noted, the applicant
submitted[47] that OIC did not have
any evidence of her ‘hostile
communications’[48] and
any allegation about her being hostile or aggressive is ‘mere
retaliation’.[49] Again,
I am constrained as to the level of detail I can provide about the Category A
and B Information.[50] I have
carefully considered the information available to OIC—some of which is
sensitive in nature and cannot be set out in
these reasons—and I am
satisfied that there is a demonstrated history of the applicant’s enmity
towards various public
sector offices (and certain officers employed at a number
of those public sector offices). More specifically, the evidence available
to
me demonstrates that the applicant has:
(a) previously threatened to harm individuals, including certain Department
staff[51]
(b) previously been convicted of using a carriage service to menace, harass or
offend[52]
(c) engaged in hostile correspondence with the Department; and
(d) employed hostile and inflammatory language in her verbal communications with
Department officers.[53]
On
an objective assessment, I consider that the conduct identified in
paragraph 37 above has repeatedly and persistently troubled,
tormented and
disturbed certain officers of the Department, and other individuals, and caused
them to experience significant and
prolonged
distress,[54] even if this was not
the applicant’s intention. Accordingly, I find that the applicant has
engaged in a pattern of unreasonable
behaviour that constitutes harassment for
the purposes of the RTI Act.
The
applicant submitted that Department officers do not need protection as she is
not violent and has a history of only ‘petty
offences’.[55] Further,
the applicant submitted that, in any event, Department officers have police
protection available to them should they feel
harassed or
menaced.[56] However, I note that
it is not necessary to demonstrate a likelihood of criminal behaviour (such as
assault) for the Harassment
and Intimidation Exemption to
apply.[57]
In
this case, I consider the conduct referred to in paragraph 37 above is
beyond merely unpleasant or annoying, and is a cause for
serious concern by a
number of individuals, particularly given the hostile nature of the
applicant’s interactions with Department
officers and the threats the
applicant has made against various individuals. For this reason, I am satisfied
that this pattern of
behaviour constitutes ‘serious’
harassment. (ii)-(iii) Is the expectation of serious
harassment reasonably based and does it arise from disclosing the Category A and
B Information?
Yes,
for the reasons that follow.
The
applicant submitted that:
she considers it
is ‘highly suspicious and unethical that persons who are processing an
application and making a decision about me have such a conflict
of interest that
their processes need to be
concealed’[58]
if Department
officers were ‘merely doing their jobs there should be nothing there
that would provoke
harassment’[59]
given her
personal circumstances, there is ‘no real threat of this insulting
allegation that I am a risk to harass
anybody’;[60] and
it is
discriminatory to take her ‘unrecorded’ and
‘spent’ conviction for an incident that occurred some
years ago into consideration.[61]
In
this regard I note that the information disclosed to the applicant has, for the
most part, provided the applicant with an understanding
of the documented
actions taken by the Department in its processing of the Prior Application and
the work titles of the public sector
officers who were parties to communications
which occurred as part of processing that application. In this sense, I
consider the
Department’s procedures and actions taken in processing the
Prior Application have mostly been disclosed to, rather than concealed
from, the
applicant.
The
applicant also submitted that she considers a range of Department officers,
including judicial officers, are ‘running a smear campaign’
about her and have engaged in ‘highly illegal conduct’ and
that, as a result of these activities, she has been wrongfully
convicted.[62] The Category A
Information includes the names and contact details of various Department
officers. Given this and the nature of
the Category B Information, I consider
the applicant’s prior conviction for using a carriage service to menace,
harass or offend
is relevant evidence to be considered in determining whether an
expectation of serious harassment arising as a result of disclosing
the Category
A and B Information is reasonably based.
Having
carefully considered the content of the Category A and B Information, I am
satisfied that its disclosure would result in further harassment of
particular individuals—that is, on the evidence available to me, I am
satisfied that disclosure of the Category
A and B Information, rather than the
applicant’s pre-existing enmity towards the Department, could reasonably
be expected to
result in further conduct similar to the conduct identified in
items (a), (c) and (d) of paragraph 37 above. To the extent the Category
B
Information relates to individuals who are not Department officers, I am also
satisfied that disclosure of this information could
reasonably be expected to
result in further conduct similar to the conduct identified in items (a), (c)
and (d) of paragraph 37 above.
(iv) Do any of the
exceptions in schedule 3, section 10(2) of the RTI Act apply?
Having
carefully considered the Category A and B Information, I am satisfied that none
of the exceptions listed in schedule 3, section
10(2) of the RTI
Act[63] apply.
Conclusion
I
find that access to the Category A and B Information is refused on the ground
that it comprises exempt
information.[64]
I
note that the applicant raised a number of public interest arguments in support
of her view that the Information in Issue should
be disclosed to her, including
that she requires the Information in Issue to appeal her wrongful convictions.
As noted in J6Q8CH No. 1, there is no requirement for me to
consider the applicant’s public interest submissions in respect of the
Category A and B
Information because I have found that it is exempt information
and Parliament has determined that disclosure of exempt information
would, on
balance, be contrary to the public interest in all
instances.[65]
DECISION
I
vary the Department’s decision and find that access to all but one page of
the Information in Issue may be refused on the
grounds that it is exempt
information. The remaining page may be deleted on the basis that it is outside
the scope of the access
application.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act. Assistant
Information Commissioner Corby Date:
12 December 2018
APPENDIX 1
Significant procedural steps
Date
Event
25 January 2018
OIC received the external review application.
15 February 2018
OIC received the applicant’s submissions.
7 and 12 March 2018
OIC received the applicant’s emails addressed to other agencies
(which were copied to OIC).
14 March 2018
OIC received the applicant’s further submissions by telephone.
6 April 2018
OIC received the applicant’s email concerning access applications to
agencies other than the Department.
10 April 2018
The applicant raised concerns relating to searches performed by the
Department and provided oral submissions.
OIC received the applicant’s further written submissions.
11 April 2018
OIC asked the applicant to confirm her sufficiency of search concerns.
27 April 2018
OIC notified the applicant that OIC staff would not engage in further
telephone communication with the applicant and any submissions
the applicant
wished to make were required in writing.
5 June 2018
OIC conveyed its preliminary view to the Department.
6 June 2018
The Department confirmed that it accepted OIC’s preliminary view.
21 June 2018
OIC conveyed its preliminary view to the applicant.
OIC received the applicant’s further submissions.
22 June 2018
OIC received the applicant’s further submissions.
11 July 2018
OIC received the applicant’s further submissions.
21 July 2018
OIC received the applicant’s further submissions, which included a
request for a description of 30 pages to which, in OIC’s
view, access may
be refused.
2 August 2018
The Department confirmed it did not object to a nominated description of
the 30 pages being provided to the applicant.
6 August 2018
OIC conveyed a description of the 30 pages to the applicant.
OIC received the applicant’s further submissions.
25 and 28 August 2018
OIC received the applicant’s further submissions.
Appendix 2Information in issue
Page
Part or full refusals/deletion
Category of refused/deleted information
1-3
part
Category A Information
5-6
part
Category A Information
8-9
part
Category A Information
15-16
part
Category A Information
17
full
Category B Information
18
part
Category A Information
19-21
full
Category B Information
23
part
Category A Information
25
part
Category A Information
27
part
Category A Information
28-29
part
Category A Information
30
full
Deleted Information
31
part
Category A Information
32-61
full
Category B Information
62-69
part
Category A Information
71-79
part
Category A Information
81
part
Category A Information
83-88
part
Category A Information
90
part
Category A Information
91-95
full
Category B Information
96
part
Category A Information
98
part
Category A Information
100-106
part
Category A Information
108-109
part
Category A Information
111-112
part
Category A Information
114-120
part
Category A Information
122
part
Category A Information
125-133
part
Category A Information
135-141
part
Category A Information
142-143
full
Category B Information
144-145
part
Category A Information
146-147
full
Category B Information
148-155
part
Category A Information
156
full
Category B Information
157-160
part
Category A Information
161-164
full
Category B Information
165-166
part
Category A Information
167-176
full
Category B Information
177-179
part
Category A Information
181
part
Category A Information
183
part
Category A Information
185
part
Category A Information
187-189
part
Category A Information
192
part
Category A Information
194
part
Category A Information
[1] On 19 December 2017.
[2] Being an access application
dated 12 October 2017, numbered IP180525 by the Department. The Prior
Application requested access to
a range of communications. The Department
refused access to some of the information located in response to the Prior
Application
and the applicant sought external review of the Department’s
decision. That external review (313709) was finalised by the
Information
Commissioner’s decision dated 10 December 2018 in J6Q8CH and
Department of Justice and Attorney-General [2018] QICmr 49 (J6Q8CH No.
1). [3] On
23 January 2018.[4]
Being 27 full pages and parts of 106 pages.
[5] Being 38 full pages.
[6] On 25 January 2018.
[7] As set out in Appendix 1.
[8] External review application.
[9] Submissions dated
21 June 2018. [10]
External review application.
[11] To clarify, these 58 pages
include some of the pages which the Department deleted on the basis they fell
outside the scope of the
application.
[12] Section 121 of the IP Act.
[13] I also note that in some of
her submissions, the applicant appeared to indicate she did not wish to access
names within the Information
in issue (or some of them)—for example, in
submissions dated 6 August 2018, the applicant stated that she
‘accepted not needing to know names unless they are judicial or QCAT
officers or registrars’ and in submissions dated 28 August 2018, the
applicant stated she did not need names (but requested the person’s
position
which, as noted above, has in most cases been disclosed).
[14] Submissions dated
21 July 2018. [15]
Being pages 32-61. During the review, the Department accepted OIC’s
preliminary view that these 30 pages, which it had deleted
as irrelevant, fell
within the scope of the access application.
[16] Specifically, the applicant
sought confirmation as to whether those 30 pages contained ‘plans to
influence a judicial decision against [the applicant] – wrongful
conviction – photos or data about [the applicant’s] personal
life that show stalking, photos or gossip laughing about [the applicant]
being knocked unconscious outside [a courthouse], sexual references to
[the applicant], gender slurs, references to knowing [the applicant]
personally from somewhere’. In this regard, I also note the
applicant’s submissions dated 21 June 2018 stated: ‘If
those communications about [the applicant] did not involve any contact
with a judicial officer [the applicant] is not interested in knowing
about them. [The applicant fails] to see how they affect [the
applicant’s] life if they are from low level staff and not shown to
decision makers’. [17]
By letter dated 6 August 2018.
[18] The Department agreed to
disclose seven pages to the applicant, which had been deleted as falling outside
the scope of the access
application. This disclosed information does not form
part of the Information in Issue.
[19] Submissions dated
21 June 2018. [20]
More specifically, the applicant alleged because she had already begun legal
action against OIC ‘on the grounds of discrimination and whistleblower
retribution’, OIC was not ‘in an objective position to claim
that [she was] hostile and aggressive’.
[21] Or delegate.
[22] Merits review is an
administrative reconsideration of a case that can be described as
‘stepping into the shoes’ of the
decision-maker, to determine what
is the correct and preferable decision.
[23] Section 108 of the IP Act.
[24] In this regard, I note that
the applicant provided written submissions to OIC on six separate occasions
after OIC conveyed its preliminary
view to the applicant.
[25] Submissions dated
21 June 2018. More specifically, the applicant submitted she believed
that such evidence of her hostile communications
did not exist and she requested
that OIC send evidence to her if OIC considered such material was before OIC.
[26] I understand that
‘DAVRO’ is an acronym for ‘Deny, Attack, and Reverse Victim
and Offender’. [27]
Submissions dated 21 July 2018.
[28] Under section 121 of the IP
Act. [29] Section 120 of the IP
Act. [30] Submissions dated
21 June 2018. [31] In
this regard, I note that the letter identified relevant background; a
preliminary view about the issues in the review; relevant
law; and the
information to be released to the applicant in accordance with the preliminary
view. [32] Submissions dated
21 June 2018. [33]
Section 64(1) of the IP Act.
[34] I am unable in these
reasons for decision to provide any further details of these matters.
[35] Under section 40(1)(a) of
the IP Act. [36] Which were put
to the applicant on a preliminary view basis on 21 June 2018, for her
consideration and reply. [37]
Schedule 3, section 10(1)(d) of the RTI Act. This provision is subject to the
exceptions contained in schedule 3, section 10(2)
of the RTI Act.
[38] Sheridan and South
Burnett Regional Council (and Others) (Unreported, Queensland Information
Commissioner, 9 April 2009) (Sheridan) at [188]. The decision in
Sheridan concerned section 42(1)(ca) of the repealed Freedom of
Information Act 1992 (Qld). Schedule 3, section 10(1)(d) of the RTI Act is
drafted in substantially the same terms as this provision, and the reasoning
in
Sheridan has since been cited with approval in relation to the RTI Act,
in decisions including Mathews and Department of Transport and Main Roads
[2014] QICmr 37 (19 September 2014) and Bowmaker Realty and Department of
Justice and Attorney-General; Andrews [2015] QICmr 19 (17 August 2015)
(Bowmaker).[39] At
paragraph 24. [40] Richards
and Gold Coast City Council (Unreported, Queensland Information
Commissioner, 28 March 2012) at [13] and Ogawa and Queensland Police Service
(Unreported, Queensland Office of the Information Commissioner, 21 June
2012) at [13], applying the Macquarie Dictionary Online (Fourth
Edition)
definitions referred to in Sheridan at [194]-[200].
[41]
‘Serious’ relevantly means ‘weighty or
important’, ‘giving cause for apprehension;
critical’: Macquarie Dictionary Online (as at
12 December 2018).
[42] Bowmaker at [31].
[43] Murphy and Treasury
Department [1995] QICmr 23; (1995) 2 QAR 744 (Murphy) at [45]-[47].
[44] Attorney-General v
Cockcroft [1986] FCA 35; (1986) 64 ALR 97 (Cockcroft).
[45] Murphy at [44]. In
reaching a finding, it is not necessary for a decision-maker ‘to be
satisfied upon a balance of probabilities’ that disclosing the
document will produce the anticipated prejudice, or, in this case, serious
harassment or intimidation:
see Sheridan at [192-193] citing
Cockcroft. In Sheridan, the Information Commissioner identified
factors that might be relevant in considering whether an event could reasonably
be expected
to occur as including past conduct or a pattern of previous conduct,
the nature of the information in issue, the nature of the relationship
between
the parties and/or third parties and relevant contextual and/or cultural
factors.[46] Watson v Office
of Information Commissioner Qld & Ors [2015] QCATA 95 per Thomas J at
[19].[47] Submissions dated
21 June 2018. [48] As
noted in footnote 25 above, the applicant requested, if OIC believed it had
such evidence, that it be provided to her.
[49] Submissions dated
21 June 2018. [50]
Section 121 of the IP Act. [51]
An email partially released to the applicant (at page 31 in IP 180853 File 12)
records that the applicant ‘threatened to harm a QCAT case officer ...
and police were involved’. Further, as noted in J6Q8CH No.
1, a threat by the applicant was also characterised as ‘a death
threat’ in information released to the applicant.
[52] To avoid identifying the
applicant, I am unable to provide further details about this conviction in these
reasons, however, I note
that the applicant’s submissions dated
21 June 2018 reference the action she took which is the subject of
this conviction.
[53] A File
Note partially released to the applicant (at page 159 in IP 180853 File 12)
refers to an ‘abusive’ phone call the Department received
from the applicant in which the applicant used ‘foul
language’. [54] Refer
to Toogood and Cassowary Coast Regional Council [2018] QICmr 13.
[55] Submissions dated
11 July 2018. [56]
Submissions dated 21 June 2018.
[57] Conde and Queensland
Police Service (Unreported, Queensland Information Commissioner, 18 October
2012) at [23]. [58] External
review application. [59]
Submissions dated 21 June 2018.
[60] Submissions dated
21 June 2018. [61]
Submissions dated 11 July 2018. The applicant further submitted that
it is against the law to ‘withhold [her] government information
based on an [unrecorded] and historic conviction’.
[62] Submissions dated
21 June 2018. [63] The
exceptions specified in schedule 3, section 10(2) of the RTI Act arise when
information consists of: (a) matter revealing the
scope of a law enforcement
investigation has exceeded the limits imposed by law; (b) matters containing a
general outline of the
structure of a program adopted by an agency for dealing
with a contravention or possible contravention of the law; (c) a report on
the
degree of success achieved in a program, adopted by an agency for dealing with a
contravention or possible contravention of the
law; (d) a report prepared in the
course of a routine law enforcement inspection or investigation by an agency
whose functions include
that of enforcing the law (other than the criminal law
or the law relating to corruption under the Crime and Corruption Act
2001); and (e) a report on a law enforcement investigation that has already
been disclosed to the entity the subject of the investigation.
[64] Under section 67(1) of the
IP Act and section 47(3)(a) and schedule 3, section 10(1)(d) of the RTI Act.
[65] Section 48(2) of the RTI
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Suskova and Council of the City of Gold Coast [2015] QICmr 31 (27 November 2015) |
Suskova and Council of the City of Gold Coast [2015] QICmr 31 (27 November 2015)
Last Updated: 19 January 2017
Decision and Reasons for Decision
Citation: Suskova and Council of the City of Gold Coast [2015]
QICmr 31 (27 November 2015)
Application Number: 312288
Applicant: Suskova
Respondent: Council of the City of Gold Coast
Decision Date: 27 November 2015
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
REFUSAL OF ACCESS – CONTRARY TO PUBLIC INTEREST INFORMATION
–
information identifying a complainant and the substance of the complaint –
internal floor plans – residential
address of another individual –
whether disclosure would, on balance, be contrary to the public interest –
sections 47(3)(b)
and 49 of the Right to Information Act 2009
(Qld)
ADMINISTRATIVE LAW – RIGHT TO INFORMATION – FORMS OF ACCESS
– COPYRIGHT – building plan –whether giving
access to a copy
of the document would involve an infringement of the copyright of a person other
than the State – access granted
by way of inspection only – section
68(4)(c) of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW – RIGHT TO INFORMATION – REFUSAL OF ACCESS
– UNLOCATABLE AND NONEXISTENT DOCUMENTS – applicant
contends
additional documents exist – whether agency has taken all reasonable steps
to locate the documents but the documents
cannot be found or do not exist
– sections 47(3)(e) and 52 of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Council of the City of Gold Coast
(Council) under the Right to Information Act 2009 (Qld)
(RTI Act) for access to a broad range of documents generally relating to
a number of her dealings with Council.
Council
located 109 pages and refused access to one page and parts of 13 pages on the
basis that the information comprised exempt
information under the RTI Act.
Council also refused access to parts of two pages as disclosing the information
would, on balance,
be contrary to the public interest under the RTI Act.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of Council’s decision to refuse access to this information
and also raised extensive sufficiency of search
issues.
For
the reasons set out below, the decision under review is varied and access to:
the information
in issue can be refused under section 47(3)(b) of the RTI Act as its disclosure
would, on balance, be contrary to
the public interest
the exterior
elevations plan can be granted by way of inspection only under section 68(4)(c)
of the RTI Act as providing the applicant
with a copy of this document would
infringe copyright; and
any additional
information can be refused under section 47(3)(e) of the RTI Act as it is
nonexistent or unlocatable.
Background
Significant
procedural steps relating to the external review are set out in the
appendix.
Reviewable decision
The
decision under review is Council’s deemed affirmation of the original
decision.[1]
Evidence considered
The
applicant made submissions and provided voluminous supporting material to OIC
supporting her case.[2]
I have considered all of this information and, to the extent that it is relevant
to the issues for determination, I address it below.
Evidence,
submissions, legislation and other material I have considered in reaching my
decision are disclosed in these reasons (including
footnotes and appendix).
Issues for determination
A
number of issues were informally resolved on external
review.[3] As a result,
the remaining issues for determination are whether:
access to the
information in issue can be refused on the basis that its disclosure would, on
balance, be contrary to the public
interest[4]
providing the
applicant with a copy of the exterior elevations plan would involve an
infringement of the copyright of a person other
than the
State;[5] and
access to the
documents identified in the applicant’s sufficiency of search submissions
can be refused on the basis that they
are nonexistent or
unlocatable.[6]
Refusal of access
The
information in issue comprises:
the name and
contact details of a complainant and information provided to Council’s
Development Compliance, Implementation and
Assessment Branch by the complainant
(Complaint
Information);[7] and
four building
plans of a neighbouring unit from 2005, comprising an exterior elevations plan
and three internal floor plans (Building
Plans).[8]
Relevant law
A
person has a right to be given access to documents of an agency under the RTI
Act.[9] However, this
right is subject to other provisions of the RTI Act, including the grounds on
which an agency may refuse access to
documents.[10] An
agency may refuse access to information where its disclosure would, on balance,
be contrary to the public
interest.[11]
The
RTI Act identifies many factors that may be relevant to deciding the balance of
the public
interest[12] and
explains the steps that a decision-maker must
take[13] in deciding
the public interest as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosing the information would, on balance, be contrary to the public
interest.
Findings
Complaint Information
No
irrelevant factors arise in the circumstances of this case. I will now
consider the relevant factors favouring disclosure and
nondisclosure of the
Complaint Information.
Accountability and transparency of Council
I
have considered whether disclosing the Complaint Information could reasonably be
expected to[14]
enhance Council’s accountability for its handling of the
complaint[15] or
reveal the reasons for Council’s decision or any background or contextual
information informing the decision in relation
to the
complaint.[16]
Council
must be accountable for the conduct of its investigations. The applicant was the
subject of the complaint and I accept that
disclosing the Complaint Information
would reveal background or contextual information which may provide the
applicant with a more
comprehensive understanding of the information before
Council which informed its subsequent action.
Council
issued the applicant with a show cause notice as a result of the complaint. The
applicant submits that there was insufficient
information provided by Council in
issuing the show cause notice to enable her to fully understand the nature and
details of the
complaint made against her and that it was issued in unreasonable
circumstances.[17]
However, in this case, the information that Council has already released
to the applicant reveals:
the substance of
the complaint against the applicant
how Council
responded to the complaint; and
that the
complaint was investigated and the applicant issued with a show cause
notice.
I
consider the information which has already been provided to the applicant
advances these factors significantly and that releasing
the Complaint
Information would only marginally enhance Council’s accountability in
these circumstances.
The
applicant submits that disclosing the Complaint Information would significantly
enhance Council’s transparency and accountability
as she would have all
information available to her to properly examine Council’s conduct and to
ensure that all relevant laws,
policies and procedures were complied with during
her dealings with Council so that she could pursue further complaints or
remedies.[18] The fact
that the applicant is dissatisfied with Council’s handling of the
complaint does not oblige Council to provide the
applicant with access to its
entire file. Relevantly, the Complaint Information does not relate to
Council’s handling of the
complaint nor reveal any of the steps Council
took in its investigation – it is information provided to Council by the
complainant.
The
applicant also contends that Council failed to properly investigate a complaint
she made alleging misconduct by several Council
officers.[19] Again,
the Complaint Information does not relate to the applicant’s complaint and
would not provide her with any understanding
of how Council handled her
complaint.
I
afford low weight to both of these factors for the reasons addressed above.
Personal information and privacy
The
Complaint Information relates to building works on the applicant’s
property and information provided to Council supporting
the complaint. It
generally comprises the applicant’s personal
information[20] and
this gives rise to a factor favouring
disclosure.[21] I
acknowledge the importance of providing individuals with access to their
personal information held by public authorities and I
afford significant weight
to this factor.
However,
even though the subject matter of the Complaint Information generally relates to
the applicant, the Complaint Information
also comprises the complainant’s
personal information. This personal information includes both the
complainant’s identity
and the information provided to Council. It is not
possible for me to delete the complainant’s name from the Complaint
Information
and release the remaining information. The complainant would still
be identifiable from the remaining information given the subject
matter of the
complaint. I am satisfied that disclosing the Complaint Information could
reasonably be expected to:
prejudice the
protection of the complainant’s right to
privacy;[22] and
cause a public
interest harm by disclosing the complainant’s personal
information.[23]
The
applicant submits that she knows the complainant’s identity and contact
details and that the identity of the complainant
is obvious given the substance
of the complaint. She also contends that the complainant made a written
admission to the Body Corporate
taking responsibility for the complaint to
Council and that the document in which they make this admission is available to
the public
under the Body Corporate and Community Management (Standard
Module) Regulation 2008. As a result, the applicant believes the complainant
has no right to privacy in relation to the Complaint
Information.[24]
I
accept that the applicant is generally aware of the substance of the Complaint
Information as this information was conveyed to the
applicant in the show cause
notice. The applicant may also consider the identity of the complainant is
obvious to her given the substance
of the complaint.
As
some information has previously been disclosed to the applicant about the
complaint, this reduces, but does not completely negate,
the weight to be
afforded to these factors favouring nondisclosure. I am satisfied the Complaint
Information was provided to Council
for the specific and limited purpose of
Council conducting an investigation and that its disclosure outside of the
investigation
process could reasonably be expected to prejudice the
complainant’s privacy. The extent of the intrusion, and the anticipated
harm, may be reduced to some degree. However, I am not satisfied that the actual
Complaint Information has been provided to the applicant
nor that the privacy
interest attaching to the information has been negated in the way the applicant
contends. For these reasons,
I afford moderate weight to both of these
nondisclosure factors.
The
applicant also makes a number of submissions about there being a history of
conflict with the people she believes are the complainants
and the motivations
and conduct of these people and Council
officers.[25] These
submissions are not relevant to the issues for determination in this review and
I have not addressed them in these reasons.
Prejudice the flow of information to Council
If
disclosing information could reasonably be expected to prejudice the flow of
information to the police or another law enforcement
or regulatory agency, a
public interest factor favouring nondisclosure
arises.[26]
Council
relies on members of the public to provide information which enables it to
administer and enforce local
laws.[27] I am
satisfied that routinely disclosing the type of information in issue in this
review would tend to discourage individuals from
coming forward with information
and cooperating with Council as they may consider that their personal
information could be released
to other individuals, including to the person who
is the subject of the complaint. This in turn could reasonably be expected to
negatively
impact Council’s ability to obtain this information in future.
The
applicant considers that little or no weight should be afforded to this factor.
She contends that releasing the Complaint Information
would not result in a
decrease in the flow of information from the public relating to genuine
complaints but that there may be a
reduction in the flow of vexatious
complaints. The applicant submits that ‘vexatious complainants cannot
hide behind the RTI Act in order to use Council resources to investigate non
genuine complaints
designed to harass or discriminate other members of the
public’.[28]
I
am not required to determine in this review whether the complaint was vexatious
or unfounded. However I note that Council did issue
the applicant with a show
cause notice in response to the
complaint.[29] In
P6Y4SX and Department of
Police,[30] the
Assistant Information Commissioner considered the public policy considerations
in protecting the free flow of information and
relevantly explained that
‘...it is generally recognised that there is very strong public
interest in protecting the free flow of information to law enforcement
agencies,
even where this may result in an agency investigating false and/or
unsubstantiated
allegations’.[31]
I agree with these comments and I am not persuaded by the applicant’s
submissions on this issue.
For
these reasons, I afford significant weight to this nondisclosure factor.
Administration of justice and fair treatment
I
have considered whether disclosing the Complaint Information could reasonably be
expected to:
advance the
applicant’s fair treatment in accordance with the law in her dealings with
Council;[32] and
contribute to
the administration of justice and procedural fairness both generally and for the
applicant.[33]
The
applicant submits that Council did not afford her procedural fairness as she was
not informed of the substance of the complaint
and did not have the opportunity
to respond to the complaint before the show cause notice was issued. In her
view, Council should
have investigated the complaint before issuing the show
cause notice.[34]
She
also contends that Council should have followed relevant guidelines and issued a
letter of demand instead of a show cause notice.
In her view, if a letter of
demand had been issued, she would have been able to provide evidence supporting
her case and advise Council
that the complaint was vexatious. The applicant
submits that as a result of Council’s actions, she has been denied natural
justice.[35]
The
notice which Council issued to the applicant invited her to show cause under
section 590 of the Sustainable Planning Act 2009 (Qld) as to why an
enforcement notice should not be issued in regards to building work at her
property. The notice outlined the substance
of the complaint, reasons for
Council’s action and provided instructions on how to respond to the
notice. The notice was not
a decision. The purpose of issuing the notice was to
seek the applicant’s response to the allegations and I consider that she
was afforded procedural fairness in this regard.
The
applicant has provided detailed submissions on why the show cause notice should
not have been issued and makes assertions about
the motivations of Council
officers in issuing the notice and conduct of Council officers in investigating
the complaint.[36] I
am unable to comment on Council’s actions or whether the issuing of the
show cause notice was warranted in the circumstances.
These issues are not
relevant to the issues for determination. The fact that the applicant considers
Council should have taken a
different course of action in dealing with the
complaint is not, in my view, relevant to the application of these factors.
The
applicant also submits that she intends to pursue various remedies available to
her and that there is substantial public interest
in pursuing any actionable
wrongs by Council or a Council official in the
circumstances.[37]
The
Information Commissioner has previously recognised that, in an appropriate case,
there may be a public interest in a person who
has suffered, or may have
suffered, an actionable wrong, being permitted to obtain access to information
which would assist the person
to pursue any remedy which the law affords in
those circumstances. However, a mere assertion by an applicant that
information is
required to enable pursuit of a legal remedy is not sufficient,
in itself, to enliven this
consideration.[38]
The
applicant has provided a document to OIC which indicates that she has recently
made a complaint to the Anti-Discrimination Commission
Queensland about Council
and a Council
officer.[39] I am
unable to identify how disclosing the Complaint Information in this review would
enable the applicant to pursue a legal remedy
in that jurisdiction. Furthermore,
there is no evidence currently before me to indicate that disclosing the
Complaint Information
would enable the applicant to pursue any other legal
remedy.
As
noted above, the Complaint Information is the information which the complainant
provided to Council – it does not relate
to Council’s actions which
are the subject of the applicant’s concerns. The applicant is able to
address any concerns
about the complaint handling process and show cause notice
without having seen the Complaint Information. As previously noted, the
applicant is generally aware of the substance of the Complaint Information.
For
these reasons, I do not consider that these factors are relevant.
Reveal that the information was incorrect, out of date,
misleading, gratuitous, unfairly subjective or irrelevant
The
applicant submits that disclosing the Complaint Information could reasonably be
expected to reveal that the information was incorrect,
out of date, misleading,
gratuitous, unfairly subjective or
irrelevant.[40] The
applicant relies on this factor as she considers the complaint is vexatious.
In
Matthews, the Right to Information Commissioner considered this factor in
the context of a complaint and relevantly explained that:
[41]
... I am mindful that complaint information is by its very
nature, an individual’s particular version of events which is shaped
by
factors including the individual’s memory and subjective impressions.
In my view, this inherent subjectivity does not necessarily mean that the
resulting account or statement is incorrect, out of date,
misleading,
gratuitous, unfairly subjective or irrelevant. Rather, it means that complaint
information comprises a personal interpretation
of relevant events, which an
investigator must balance against other (often competing) statements and
evidence in reaching a conclusion
in a particular case.
I
agree with these comments. In this review, there is no evidence to suggest that
the Complaint Information is not an accurate reflection
of the views put forward
by the complainant. Council is aware that a complaint represents only one
version of events and that complaints
may lack substance or warrant no further
action. For these reasons, I do not consider that this factor is relevant.
Reveal information about the conduct of Council officers
The
applicant submits[42]
that disclosing the Complaint Information could reasonably be expected to:
allow or assist
inquiry into possible deficiencies in the conduct or administration of an agency
or official; [43]
and
reveal or
substantiate that an agency or official has engaged in misconduct or negligent,
improper or unlawful
conduct.[44]
The
applicant makes a range of allegations about the conduct of Council officers in
handling the complaint and attending her property
to investigate. She submits
that disclosing information about the conduct of a Council officer and other
Council staff in issuing
the show cause notice would assist her in determining
the events that caused the show cause notice to be issued in circumstances
which
she considers were unreasonable. She also submits that she intends to lodge a
complaint with Council concerning compliance
issues arising from the complaint
but is unable to do so until the Complaint Information is released to
her. [45]
As
I have previously explained, the Complaint Information is the information which
the complainant provided to Council – it
does not relate to
Council’s actions which are the subject of the applicant’s concerns.
As the Complaint Information
does not relate to the conduct of Council officers,
or reveal how Council handled the complaint, its disclosure would not further
these public interest factors and I am satisfied these factors are not relevant
in the circumstances.
Balancing the public interest factors
I
acknowledge the general public interest in promoting access to information under
the RTI Act and the pro-disclosure bias in deciding
access to
documents.[46]
I
have identified three factors which favour disclosure of the Complaint
Information. For the reasons addressed above, I afford low
weight to the two
factors relating to Council accountability and transparency and significant
weight to the factor relating to the
applicant’s personal information.
I
have identified three factors favouring nondisclosure of the Complaint
Information. For the reasons addressed above, I afford moderate
weight to the
two factors relating to the personal information and privacy of the complainant
and significant weight to the factor
relating to protecting the flow of
information to Council.
As
a result, I am satisfied that the factors favouring disclosure of the Complaint
Information are outweighed by the factors favouring
nondisclosure. Accordingly,
I find that Council was entitled to refuse access to the Complaint Information
under section 47(3)(b)
of the RTI Act as its disclosure would, on balance, be
contrary to the public interest.
Building Plans
Exterior elevations plan
This
is a plan of the exterior of a neighbouring property. I have decided to grant
the applicant access to this plan subject to the
deletion of the owner’s
residential
address.[47] I am
satisfied the owner’s residential address is their personal information
and its disclosure would, on balance, be contrary
to the public
interest.[48]
The
applicant seeks access to a copy of the plan. The RTI Act provides that if
giving access in the form requested by the applicant
would involve an
infringement of the copyright of a person other than the State, access in that
form may be refused and given in
another
form.[49]
Copyright
in architectural plans and drawings is regulated by the Copyright Act
1968 (Cth) (Copyright Act). Section 32 of the Copyright Act provides
that copyright subsists in an artistic work. Section 10 of the Copyright Act
relevantly defines ‘artistic work’ to include a drawing,
whether the work is of artistic quality or not, a model of a building, whether
the model is of artistic quality
or not, or a work of artistic craftsmanship.
Copyright in relation to an artistic work is an exclusive right to reproduce the
work
in a material form, publish the work and communicate the work to the
public.[50]
After
carefully considering the relevant provisions of the Copyright Act, I am
satisfied that the exterior elevations plan is subject to copyright and that
providing the applicant with a copy of this document
under the RTI Act would
constitute an infringement of copyright. Accordingly, I have decided to grant
the applicant access to this
plan by way of inspection only.
The
applicant submits that there is no copyright in this plan as any purported
rights to copyright were extinguished when the owner
submitted the plan for
permanent inclusion in the records of the Body Corporate. As a result, the
applicant contends that the plan
is now a public
document.[51] If the
plan was in fact still available from the Body Corporate records, then the
applicant, as Secretary of the Body Corporate,
would be able to access the plan
in that way, without the need for an application under the RTI Act. However, I
do not consider
that the fact the plan may have been included in the Body
Corporate records at some stage would waive copyright in the plan.
The
applicant also believes that, because the owner submitted the plan to Council
for approval, it can be viewed by the general public.
She also notes that
material concerning development applications is publically available on
Council’s website for development
applications lodged after
2006.[52] I am
satisfied that a copy of this plan is not available on Council’s website.
Council’s policy is to release floor plans
only with the consent of the
registered owner.[53]
The applicant does not appear to have the registered owner’s consent in
this case.
For
these reasons, I find that access to the plan can be granted by way of
inspection only and subject to the deletion of the owner’s
residential
address.
Internal floor plans
The
three remaining plans are internal floor plans which show the changes the owner
intended to make to their property.
I
accept that floor plans of houses are published regularly online and are made
public from time to time, particularly when a property
is listed for sale.
However, I consider that plans of particular existing houses are not generally
publicly available and that these
internal floor plans, showing intended
renovations, are not in the public domain. Until such time as these plans are
made publicly
available, I consider there is a degree of privacy which attaches
to this type of information. This gives rise to a factor favouring
nondisclosure
to which I afford moderate
weight.[54]
I
am unable to identify any factors which favour disclosure of these plans and
which carry sufficient weight to justify disclosure
in this instance. As noted
above, the applicant is able to obtain access to these drawings from Council
with the owner’s consent.
The
applicant has provided extensive submissions in relation to the Building Plans.
In summary, the applicant submits that disclosing
the Building Plans could
reasonably be expected to contribute to the administration of justice, including
procedural fairness,
as:[55]
a person who
wishes to purchase the property needs to be able to identify previous works
done; and
she is the
Secretary of the Body Corporate and wants to include the plans in the Body
Corporate records to ensure that the extensions
undertaken by the owner in 2005
are in accordance with approved Council plans.
As
noted above, a prospective purchaser may obtain a copy of these plans from
Council with the owner’s consent. The applicant
is not required to make
this information available to a prospective purchaser – this is a matter
for the owner and Council.
In
relation to the applicant’s submission that she wishes to ensure that the
extensions undertaken by the owner in 2005 are
in accordance with approved
Council plans, this is not an issue relating to the administration of justice.
If the applicant has
concerns about the works undertaken, she may raise them
with Council for further investigation. Council has provided the applicant
with
information showing that the Body Corporate had no objections to the proposed
development at the
time.[56] It has also
released a copy of Council’s letter to the owner approving the development
permit and setting out a number of
conditions.[57]
For
these reasons, I find that access to these plans can be refused under section
47(3)(b) of the RTI Act as their disclosure would,
on balance, be contrary to
the public
interest.[58]
Sufficiency of search
Relevant law
Access
to a document may be refused if the document is nonexistent or
unlocatable.[59] A
document is unlocatable if it has been or should be in the agency’s
possession and all reasonable steps have been taken to
find the document but it
cannot be found.[60]
A document is nonexistent if there are reasonable grounds to be satisfied the
document does not
exist.[61]
To
be satisfied that documents are nonexistent, a decision-maker must rely on their
particular knowledge and experience and have regard
to a number of key
factors.[62] When
proper consideration is given to relevant factors, it may not be necessary for
searches to be conducted. However, if searches
are relied on to justify a
decision that the documents do not exist, all reasonable steps must be taken to
locate the documents.
What
constitutes reasonable steps will vary from case to case as the search and
enquiry process an agency will be required to undertake
will depend on which of
the key factors are most relevant in the particular circumstances.
Findings
The
applicant sought access to 14 categories of documents which generally relate to
Council’s dealings with her and neighboring
properties from 2005. Council
performed electronic and hardcopy searches of its files relating to the
applicant’s property,
the other two properties in the complex and the Body
Corporate. It also had the relevant officers perform broad searches for diary
notes, emails and log book entries which may relate to the applicant, the
applicant’s address and lot number, the show cause
notice and internal
communications about these matters. Council located 109 pages in response to the
applicant’s request.
On
internal review, the applicant raised numerous concerns about documents which
Council had not located. Council performed further
searches but did not locate
any additional information.
The
applicant provided extensive submissions to OIC relating to documents which she
considers exist and are relevant to her application
but have not been located by
Council.
The
Information Commissioner’s external review functions include investigating
and reviewing whether agencies have taken reasonable
steps to identify and
locate documents applied for by
applicants.[63]
Generally, the agency that made the decision under review that has the onus of
establishing that the decision was justified or that
the Information
Commissioner should give a decision adverse to the
applicant.[64]
However, where an external review involves the issue of missing documents, the
applicant has a practical onus to establish reasonable
grounds to believe that
the agency has not discharged its obligation to locate all relevant
documents.[65]
A
large part of the applicant’s submissions are irrelevant to the issues for
determination and are not addressed in these reasons.
These submissions seek
explanations from Council about the creation of certain
documents,[66] request
information about actions taken by particular staff and explain why the
applicant needs particular information and what she
believes the documents will
show. In some cases, the applicant merely seeks confirmation from Council that
certain information doesn’t
exist. To the extent the applicant’s
submissions are relevant to the issues for determination, they are addressed
below.
Document 238530 and customer request 43856070
The
applicant submits that document 238530 and customer request 43856070 referred to
in the documents located by Council have not
been provided to
her.[67] Council
explained that:[68]
document 238530
is the original complaint form submitted by the complainant in relation to
building work allegedly undertaken by the
applicant
the original
complaint form was scanned into Council’s system and the image was
allocated the number 43856070 as a customer
request; and
the complaint
was then allocated the complaint number 238530.
I
have considered Council’s explanation and the documents located by
Council. I am satisfied Council’s explanation is
correct that that the
relevant documents have been located. Access to the complaint form was refused
for the reasons addressed above
as it comprises Complaint Information.
Document 44721802
The
applicant submits that document 44721802 lodged on Council’s computer
system by a Council Compliance Officer on 9 July 2014
has not been
provided. This document number appears again on Council’s system on 23
July 2014 as the show cause notice issued
to the
applicant.[69]
Council
confirmed that document 44721802 is the show cause notice that was served on the
applicant on 23 July
2014.[70] On external
review, Council further explained
that:[71]
the Compliance
Officer created the show cause notice on 9 July 2014
the show cause
notice was then provided to an Administrative Officer to type up and the officer
allocated the date of 23 July 2014
to the document; and
there are not
multiple versions of this document, document 44721802 is the show cause notice
that was issued to the applicant on 23
July 2014.
The
applicant submits
that:[72]
the Compliance
Officer intended to close the file as there was no evidence of building works
found during his investigation
the officer did
not record details of his inspection of the applicant’s premises
when the officer
became aware that a complaint had been made about his conduct, he colluded with
other people so that a further complaint
was made about the applicant which
would provide sufficient grounds to issue the show cause notice; and
document
44721802 was then removed from Council’s recording system.
I
accept Council’s explanation and note that there is no evidence to
indicate that this document was modified in the way the
applicant suggests. I am
satisfied that document 44721802 has been located and released to the applicant.
Internal documents about Council’s handling of the
investigation and issuing of the show cause notice
The
applicant submits that work diaries, internal memos or log books from certain
Council officers have not been located by
Council.[73] On
external review, OIC made further enquiries with Council about the existence of
these documents and Council explained that:
[74]
Council officers
make notes relating to investigations on a computerised application management
system
Council officers
update these entries as events occur on the relevant complaint or customer
request; and
there is no
requirement for an officer in the field to carry a written document.
I
have carefully reviewed the information located by Council and which has been
released to the applicant. I have also considered
the searches conducted by
Council specifically for this information. It is evident from the information
released to the applicant
that Council officers have made entries about actions
completed in relation to a complaint or customer request on the application
management system. The information released to the applicant shows that Council
officers made notes relating to, for example, the
service of show cause notices,
attending site inspections and sending and receiving correspondence.
The
applicant appears to be primarily concerned that the Council officer, who
attended her property prior to issuing the show cause
notice, did not record
details of the site attendance. She submits that it is not logical that a
Council officer would attend a private
property and not take notes or record the
matter
electronically.[75]
Council has located and released the customer request details which record the
relevant officer’s notes in relation to this
matter. I agree that these
documents do not record the attendance at the applicant’s property in the
same way as other officers
have recorded their attendances. Based on my review
of this information, I consider the officer did not record the attendance.
However,
I do not consider that this points to the existence of additional
information. If the attendance was recorded, it would appear in
the documents
which Council has located.
The
applicant also submits that Council would not conduct an investigation and issue
a show cause notice on a verbal basis without
any written reference or written
referral to a
supervisor.[76]
However, the applicant has not provided any evidence which points to the
existence of such information. A mere assertion or belief
that certain internal
documents should have been created does not mean that the documents were
in fact created and further searches with Council, based on this mere assertion,
are not warranted
in the circumstances.
Building, engineering, hydraulic or survey plans
The
applicant submits that Council has failed to locate building, engineering,
hydraulic and survey plans from 2005 that she considers
exist in relation to
building work undertaken by a neighbouring owner. The applicant states that the
documents must exist if there
was lawful building approval for this
property.[77]
As
noted above, Council has located the Building Plans which relate to this
property from 2005. Despite the applicant’s submission
that additional
building, engineering, hydraulic or survey plans exist, there is no evidence to
support this submission.
Remaining sufficiency of search submissions
Having
carefully considered the applicant’s remaining submissions, together with
the information set out above in relation to
the nature and extent of
Council’s searches, I am satisfied that Council was entitled to refuse
access to the requested documents
under section 47(3)(e) of the RTI Act on the
basis that they are nonexistent or unlocatable.
DECISION
As
set out above, I
vary[78] the decision
under review and find that access to:
the information
in issue identified above can be refused under section 47(3)(b) of the RTI Act
as its disclosure would, on balance,
be contrary to the public interest
the exterior
elevations plan can be granted by way of inspection only under section 68(4)(c)
of the RTI Act as providing the applicant
with a copy of this document would
infringe copyright; and
any additional
information can be refused under section 47(3)(e) of the RTI Act as it is
nonexistent or unlocatable.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.
________________________
Tara Mainwaring
A/Assistant Information Commissioner
Date: 27 November 2015
APPENDIX
Significant procedural steps
Date
Event
2 September 2014
Council received the access application.
3 October 2014
Council issued its decision to the applicant.
16 October 2014
Council received the internal review application.
30 October 2014
The applicant provided further submissions supporting the internal review
application.
28 November 2014
Council purported to issue the internal review decision to the applicant.
However, as Council did not issue its decision within the
prescribed timeframe,
it was taken to have affirmed the original decision.
2 December 2014
OIC received the external review application.
4 December 2014
OIC notified Council and the applicant that the external review application
had been received. OIC asked Council to provide relevant
procedural documents by
11 December 2014.
15 December 2014
OIC received the requested documents from Council.
21 January 2015
OIC notified the applicant and Council that the external review application
had been accepted. OIC asked Council to provide additional
procedural documents
and a copy of the documents located in response to the application by
4 February 2015.
OIC received submissions from the applicant confirming the basis for the
external review application.
10 February 2015
OIC received the requested documents from Council.
16 February 2015
OIC received additional documents from Council.
5 June 2015
OIC asked the applicant to provide submissions by 19 June 2015 clarifying
her sufficiency of search concerns.
18 June 2015
OIC received the applicant’s submissions.
26 August 2015
OIC requested further information from Council regarding their
searches.
27 August 2015
OIC received the requested information from Council.
8 September 2015
OIC conveyed a preliminary view to the applicant by phone. The applicant
did not accept the preliminary view. The applicant confirmed
she did not seek
access to the email address of another individual.
9 September 2015
OIC conveyed its preliminary view to Council on some of the information to
which access had been refused. Council accepted the preliminary
view.
OIC asked Council for further information in relation to some of the
sufficiency of search issues. Council provided the requested
information.
22 September 2015
OIC asked Council for further information in relation to a sufficiency of
search issue. Council advised OIC it had located four additional
pages (the
Building Plans).
28 September 2015
OIC received a copy of the additional documents from Council. Council
provided a submission in which it objected to release of these
documents.
7 October 2015
OIC conveyed its preliminary view to Council on the additional documents.
Council accepted the preliminary view.
8 October 2015
OIC conveyed its preliminary view to the applicant and invited her to
provide submissions supporting her case by 23 October 2015 if
she did not accept
the preliminary view.
23 October 2015
The applicant requested an extension of time until 30 October 2015 to
respond to the preliminary view. OIC granted the requested extension.
28 October 2015
The applicant requested a further extension of time until 4 November 2015
to respond to the preliminary view. The applicant also raised
a procedural
issue.
29 October 2015
OIC granted the requested extension of time and addressed the procedural
issue.
4 November 2015
The applicant notified OIC that she did not accept the preliminary view and
provided detailed submissions and other documents supporting
her case. The
applicant also raised various procedural issues.
11 November 2015
OIC addressed the procedural issues with the applicant and advised that the
preliminary view had not changed. The applicant requested
an opportunity to
provide further submissions supporting her case.
12 November 2015
OIC granted the applicant the requested extension of time to provide
further submissions.
13 November 2015
OIC received the applicant’s submissions. The applicant repeated a
number of procedural issues.
16 November 2015
OIC advised the applicant that the procedural issues had been addressed
previously by OIC.
[1] As
Council’s internal review decision was made outside the timeframe
prescribed by section 83(2) of the RTI Act, Council is
deemed to have affirmed
the original decision made on 3 October 2014. However Council purported to issue
a decision to the applicant
(after it was deemed to have affirmed the original
decision) and OIC treated the purported decision as Council’s submission
on external review.
[2] The
applicant’s submissions are set out in correspondence to Council dated 13
October 2014 and 30 October 2014 and to OIC dated
2 December 2014, 21 January
2015, 18 June 2015, 4 November 2015 and 13 November 2015. The
applicant’s supporting material
comprises more than 300 pages. The
applicant also raised various procedural issues on external review which I have
previously addressed.
As these issues are not relevant to the decision, I have
not addressed them in these reasons.
[3] The applicant
did not seek review of Council’s decision to refuse access to another
individual’s email address. Council
also accepted OIC’s preliminary
view that the information in issue did not comprise exempt information under
schedule 3, section
10(1)(b) of the RTI Act.
[4] Section 47(3)(b)
of the RTI Act. [5]
Section 68(4)(c) of the RTI Act.
[6] Section 47(3)(e)
of the RTI Act. [7]
This information comprises one page and 13 part
pages.[8] This
information comprises four pages. In submissions to OIC dated 18 June 2015, the
applicant requested access to four drawings
referred to in a letter from Council
to another individual on 15 June 2005. OIC made further enquiries with Council
about these documents.
Council located these drawings and provided them to OIC
for consideration.
[9] Section 23 of
the RTI Act.[10]
Section 47 of the RTI
Act.[11] Section
47(3)(b) and 49 of the RTI Act. The term ‘public interest’
refers to considerations affecting the good order and functioning of the
community and government affairs, for the wellbeing of citizens
generally.
This means that, ordinarily, a public interest consideration is one which is
common to all members of, or a substantial
segment of, the community as distinct
from matters that concern purely private or personal interests. However,
there are some recognised
public interest considerations that may apply for the
benefit of an
individual.[12]
Schedule 4 of the RTI Act sets out the factors for deciding whether disclosing
information would, on balance, be contrary to the
public interest. However,
this list of factors is not exhaustive. In other words, factors that are not
listed may also be relevant.
[13] Section 49(3)
of the RTI
Act.[14] The term
‘could reasonably be expected to’ requires that the
expectation be reasonably based, that it is neither irrational, absurd or
ridiculous, nor merely a possibility.
The expectation must arise as a result of
disclosure, rather than from other circumstances. Whether the expected
consequence is reasonable
requires an objective examination of the relevant
evidence. It is not necessary for a decision-maker to be satisfied upon a
balance
of probabilities that disclosing the document will produce the
anticipated prejudice. See Nine Network Australia Pty Ltd and Department of
Justice and Attorney-General (Unreported, Queensland Information
Commissioner, 14 February 2012) at paragraph
31.[15] Schedule
4, part 2, item 1 of the RTI Act.
[16] Schedule 4,
part 2, item 11 of the RTI
Act.[17]
Submissions to Council dated 30 October 2014 and to OIC dated 2 December 2014,
18 June 2015 and 4 November 2015.
[18] Submissions
to Council dated 30 October 2014 and to OIC dated 4 November 2015.
[19] Submissions
to Council dated 30 October 2014 and to OIC dated 4 November 2015.
[20] Section 12 of
the Information Privacy Act 2009 (Qld) defines ‘personal
information’ as ‘information or an opinion, including
information or an opinion forming part of a database, whether true or not, and
whether recorded
in a material form or not, about an individual whose identity
is apparent, or can reasonably be ascertained, from the information
or
opinion.’
[21] Schedule 4,
part 2, item 7 of the RTI
Act.[22] Schedule
4, part 3, item 3 of the RTI Act.
[23] Schedule 4,
part 4, section 6 of the RTI
Act.[24]
Submissions to Council dated 30 October 2014 and to OIC dated 2 December 2014
and 4 November 2015.
[25] Submissions
to Council dated 30 October 2014 and to OIC dated 4 November 2015.
[26] Schedule 4,
part 3, item 13 of the RTI Act.
[27] See, for
example, Matthews and Gold Coast City Council (Unreported, Queensland
Information Commissioner, 23 June 2011) (Matthews) at paragraphs
25-27.[28]
Submissions dated 4 November 2015.
[29] In
submissions dated 4 November 2015, the applicant submits that the show cause
notice was later withdrawn by Council.
[30] (Unreported,
Queensland Information Commissioner, 31 January 2012).
[31] At paragraph
40. [32] Schedule
4, part 2, item 10 of the RTI Act.
[33] Schedule 4,
part 2, items 16 and 17 of the RTI
Act.[34]
Submissions to Council dated 30 October 2014 and to OIC dated 4 November 2015.
[35] Submissions
dated 4 November
2015.[36]
Submissions dated 2 December 2014, 18 June 2015 and 4 November 2015.
[37] Submissions
to Council dated 30 October 2014 and to OIC dated 4 November 2015.
[38] Willsford
and Brisbane City Council [1996] QICmr 17; (1996) 3 QAR 368 at paragraphs 16 and
17.[39]
Submissions dated 4 November 2015.
[40] Schedule 4,
part 2, item 12 of the RTI Act. Submissions to Council dated 30 October
2014.[41] At
paragraphs 17 and
18.[42]
Submissions to Council dated 30 October 2014 and to OIC dated 4 November 2015.
[43] Schedule 4,
part 2, item 5 of the RTI
Act.[44] Schedule
4, part 2, item 6 of the RTI
Act.[45]
Submissions to Council dated 30 October 2014 and to OIC dated 4 November
2015.[46] Section
44 of the RTI Act.
[47] The
owner’s residential address is not the same as the address of the property
which appears in the plan.
[48] Section
47(3)(b) of the RTI Act.
[49] Section
68(4)(c) of the RTI Act.
[50] Section
31(1)(b) of the Copyright
Act.[51]
Submissions dated 4 November 2015.
[52] Submissions
dated 4 November 2015.
[53] See
Council’s application form for copies of building plans at http://www.goldcoast.qld.gov.au/planning-and-building/building-works-compliance-6336.html.
[54] That is,
disclosing this information could reasonably be expected to prejudice the
protection of an individual’s right to privacy
(schedule 4, part 3, item 3
of the RTI Act).
[55] Submissions
dated 4 November 2015. Schedule 4, part 2, items 16 and 17.
[56] Two page
handwritten letter to Council dated 19 April 2005.
[57] Five page
letter to the owner dated 15 June 2005.
[58] In any event,
even if access to the internal floor plans could be granted under the RTI Act,
they would be subject to copyright for
the reasons addressed above. Therefore,
access to the internal floor plans would be granted by way of inspection only.
[59] Sections
47(3)(e) and 52 of the RTI Act.
[60] Section
52(1)(b) of the RTI
Act.[61] Section
52(1)(a) of the RTI Act.
[62] Pryor and
Logan City Council (Unreported, Queensland Information Commissioner, 8 July
2010) at paragraph 19 which adopted the Information Commissioner’s
comments in PDE and the University of Queensland [2009] QICmr7 (9
February 2009). The key factors include: the administrative arrangements of
government; the agency structure; the
agency’s functions and
responsibilities (particularly with respect to the legislation for which it has
administrative responsibility
and the other legal obligations that fall to it);
the agency’s practices and procedures (including but not exclusive to its
information management approach) and other factors reasonably inferred from
information supplied by the applicant including the nature
and age of the
requested document/s and the nature of the government activity to which the
request
relates.[63]
Section 130(2) of the RTI
Act.[64] Section
87(1) of the RTI
Act.[65]
Mewburn and Department of Local Government, Community Recovery and Resilience
[2014] QICmr 43 (31 October 2014) at paragraph
13.[66] I have
previously explained to the applicant that, to the extent her submissions seek
answers to questions, instead of access to
information, I am unable to consider
them as part of this review and they are irrelevant to the issues for
determination. This is
because the RTI Act provides a right of access to
information – it does not provide a right to obtain answers to questions
from an agency. See Hearl and Mulgrave Shire Council [1994] QICmr 12; (1994) 1 QAR 557 at
paragraphs 30-31 and Pearce and Queensland Rural Adjustment Authority;
Various Landholders (Third Parties) (1999) 5 QAR
242.[67]
Submissions to Council dated 30 October 2014 and to OIC dated 18 June
2015.[68]
Council’s purported internal review decision.
[69] Submissions
to Council dated 30 October 2014 and to OIC dated 18 June 2015 and 4 November
2015. [70]
Council’s purported internal review
decision.[71] In a
conversation with OIC on 9 September 2015.
[72] Submissions
dated 4 November 2015.
[73] Submissions
to Council dated 30 October 2014 and to OIC dated 18 June 2015 and 4 November
2015. [74] In a
conversation with OIC on 9 September
2015.[75]
Submissions dated 4 November
2015.[76]
Submissions dated 18 June 2015.
[77] Submissions
dated 4 November 2015 and 13 November 2015.
[78] The decision
under review is a deemed affirmation of Council’s original decision. The
decision is varied as Council located
additional documents on external review
(i.e. the Building Plans) and OIC reached the view that Council was not entitled
to refuse
access to the Complaint Information on the basis that it comprised
exempt information under schedule 3, section 10(1)(b) of the RTI
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | D92 and Queensland Police Service [2021] QICmr 28 (9 June 2021) |
D92 and Queensland Police Service [2021] QICmr 28 (9 June 2021)
Last Updated: 19 August 2021
Decision and Reasons for Decision
Citation:
D92 and Queensland Police Service [2021] QICmr 28 (9 June
2021)
Application Number:
315644
Applicant:
D92
Respondent:
Queensland Police Service
Decision Date:
9 June 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - IRRELEVANT INFORMATION -
whether information may be deleted on the basis it is irrelevant
to the terms of
the access application - section 73 of the Right to Information Act 2009
(Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO THE PUBLIC INTEREST - personal information of other individuals
-
safeguarding personal information and the right to privacy of other individuals
- whether disclosure would, on balance, be contrary
to the public interest -
whether access may be refused under section 47(3)(b) of the Right to
Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
1. The applicant
applied[1] to the Queensland Police
Service (QPS) under the Right to Information Act 2009 (Qld)
(RTI Act) for access to various documents regarding QPS’s
management of the applicant as an employee.
2. QPS did not make a decision within the relevant processing
period[2] and was therefore deemed to
have made a decision refusing access to the information
sought.[3]
3. The applicant applied[4] to the
Office of the Information Commissioner (OIC) for external review of
QPS’s deemed decision refusing access.
4. OIC granted[5] QPS further time
to deal with the access
application.[6]
5. QPS did not make a decision within the further
time granted and was therefore taken to have made a decision affirming the
deemed
decision.[7]
6. The applicant applied[8] to OIC
for external review of QPS’s decision affirming the deemed
decision.
7. For the reasons set out below, I vary QPS’s deemed
decision[9] and find that:
some information
may be deleted on the ground it is irrelevant to the access
application;[10] and
access to the
remaining information in issue[11]
may be refused on the ground that disclosure would, on balance, be contrary to
the public interest.
Reviewable decision
8. The decision under review is the decision QPS is
deemed to have made refusing access to the information sought.
Evidence considered
9. Significant procedural steps taken during the
external review are set out in the Appendix.
10. In reaching my decision, I have had regard to the submissions, evidence,
legislation, and other material referred to throughout
these reasons (including
footnotes and Appendix).
11. I have also
had regard to the Human Rights Act 2019 (Qld) (HR
Act),[12] particularly the right
to seek and receive information.[13]
I consider a decision-maker will be ‘respecting and acting compatibly
with’ that right and others prescribed in the HR Act, when applying
the law prescribed in the RTI
Act.[14] I have acted in this way
in making this decision, in accordance with section 58(1) of the HR Act. I also
note the observations
made by Bell J on the interaction between equivalent
pieces of Victorian legislation[15]:
‘it is perfectly compatible with the scope of that positive right in
the Charter for it to be observed by reference to the scheme of,
and principles
in, the Freedom of Information
Act.’[16]
Information in issue
12. During the review:
QPS located 265
pages and agreed[17] to release 95
pages and parts of 136 pages to the
applicant;[18] and
the applicant no
longer sought access to certain
information.[19]
13. Therefore, the information remaining for consideration is the refused
information appearing within:
pages 64,
100-103, 107-109, 115-117 and 122-124 (Category A Information); and
pages 1-4, 42-52
and 70-77 (Category B Information).
Issues for determination
14. The issues for determination are whether:
Irrelevant
information: certain information can be deleted on the basis that it is
irrelevant to the terms of the access application.
Contrary to
the public interest information: access to other information can be refused
on the ground that its disclosure would, on balance, be contrary to the public
interest.
Irrelevant information – Category A
Relevant law
15. Section 73 of the RTI
Act allows an agency to delete or refuse information that is irrelevant to the
scope of an access application.
Findings
16. I have reviewed the Category A Information which
has been deleted by QPS on the basis that it was irrelevant to the access
application.
While this information is contained within documents which also
contain information which responds to the access application, the
deleted
Category A information itself does not respond to the terms of the access
application. Rather it relates to other management
actions of QPS
about:[20]
conduct of other
officers
recording
overtime for cost purposes relating to deployment for bushfires and the state of
emergency declared for bushfires in 2019
Road Policing
Command QLiTE excessive data usage in October 2019; and
a warning order
for a specific operation.
17. Accordingly, I find that the Category A Information can be deleted from
the copies of the documents released to the applicant
on the basis that it is
irrelevant to the terms of the applicant’s application for access.
Contrary to the public interest information – Category
B
Relevant law
18. Under
the RTI Act, access to information may be refused where its disclosure would, on
balance, be contrary to the public
interest.[21]
19. In assessing whether disclosure of information would, on balance, be
contrary to the public interest, a decision maker
must:[22]
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to the public
interest.
20. Schedule 4 of the RTI Act contains non-exhaustive lists of factors that
may be relevant in determining where the balance of public
interest lies in a
particular case. I have carefully considered these lists, together with all
other relevant information, in reaching
my decision. Additionally, I have kept
in mind the RTI Act’s pro-disclosure
bias[23] and Parliament’s
requirement that grounds for refusing access to information be interpreted
narrowly.[24]
Findings
Irrelevant factors
21. During the external
review, the applicant made a
submission[25] which raised two
irrelevant factors, being that:
disclosure of
the information may cause embarrassment or loss of confidence in
QPS;[26] and
the person who
created the document containing the information was or is of high
seniority.[27]
22. I have not taken these, or any other, irrelevant factors into account in
reaching my decision.
Factors favouring disclosure
23. The applicant also
submitted[28] that public interest
factors favouring disclosure ‘have not been significantly
discharged’ and that disclosure of the remaining information sought
could ‘enhance QPS's transparency and accountability by allowing
[the applicant] to verify Sgt [A]'s conduct was in accordance with
his supervisory responsibilities as outlined within ... 'The Queensland Police
Service Integrity
Framework'’.
24. I consider the following public interest factors favouring disclosure
arise in the circumstances of this matter:
Disclosure of
the information could reasonably be expected to promote open discussion of
public affairs and enhance the Government’s
accountability.[29]
Disclosure of
the information could reasonably be expected to inform the community of the
Government’s operations, including,
in particular, the policies,
guidelines and codes of conduct followed by the Government in its dealings with
members of the community.[30]
Disclosure of
the information could reasonably be expected to reveal the reason for a
government decision and any background or contextual
information that informed
the decision.[31]
25. These public interest factors favouring disclosure of information will
arise if disclosure could reasonably be expected to enhance
the accountability
and transparency of QPS regarding its management of staff, for example, by
revealing background or contextual
information for decisions. The Category B
Information comprises information provided to management by other individual/s
about the
applicant. I accept that disclosing this information would advance
these factors to some degree. However, having reviewed the information
disclosed
to the applicant and the information not disclosed, I consider that the
information which QPS has disclosed to the applicant
has furthered his
understanding of what information was available to QPS and provided background
information to management decisions
made about the applicant. Accordingly, I
afford these three public interest factors in favour of disclosure moderate
weight in relation
to the Category B Information.
26. The applicant
submitted:[32]
procedural
fairness requires that the substance of an allegation be put to a subject
officer and this has not occurred as there is
information which has been
released which has ‘not been put to [the applicant] for response
either by informal or formal processes’
the applicant
has been absent from the workplace since January 2020 because of a psychological
injury incurred due to unreasonable
management action
the applicant
has commenced a WorkCover claim and further disclosure is required to
‘establish whether a civil writ under common law may be taken against
the QPS due to sustaining an injury and suffering loss
of income’;
and
the applicant
considers that disclosure of the information will demonstrate that his
supervisor’s ‘conduct was not only unreasonable, but his
behaviour was continually repeated, victimizing, intimidating and or threatening
towards’ the applicant and disclosure would assist him in making a
complaint and in substantiating his claim.
27. These submissions give rise to a consideration of the following public
interest factors favouring disclosure:
Disclosure of
the information could reasonably be expected to reveal or substantiate that an
agency or official has engaged in misconduct
or negligent, improper or unlawful
conduct.[33]
Disclosure of
the information could reasonably be expected to contribute to the administration
of justice generally, including procedural
fairness.[34]
Disclosure of
the information could reasonably be expected to contribute to the administration
of justice for a person.[35]
28. In terms of the public interest in ensuring fair treatment and procedural
fairness, I note that, at common law, the fair hearing
aspect of procedural
fairness requires that, before a decision that will deprive a person of some
right, interest or legitimate expectation
is made, the person is entitled to
know the case against them and to be given the opportunity of replying to
it.[36] This does not mean that the
person is entitled to access copies of all relevant material. Rather, the person
must be provided with
adequate information about the material that is credible,
relevant and significant to the adverse finding to be made, so that the
person
can be given the opportunity to make effective representations to the
decision-maker.[37] In the present
circumstances, I have reviewed the information which has been disclosed to the
applicant and it details information
that was available to his supervisor, and
actions taken, when making decisions about the management of the
applicant’s work
performance. Given this, and noting the content of the
Category B Information, I do not consider that disclosure of the Category
B
Information could reasonably be expected to advance the applicant’s fair
treatment or afford him procedural fairness. Therefore,
I am satisfied that the
fair treatment and procedural fairness factors are not relevant to the public
interest test under the RTI
Act in the circumstances of this matter. And, even
if it could be accepted that they were relevant, they would warrant no more than
low weight, given the nature of the Category B Information.
29. In relation to the public interest in the administration of justice for a
person (that person being the applicant), having, as
noted previously, reviewed
the information which QPS has released to the applicant, I consider that it is
sufficient to assist him
to pursue a legal remedy, or evaluate whether a remedy
is available or worth pursuing.[38]
While the Category B Information would provide the applicant with some further
detail or source material, it would not, in my view,
advance or alter the
applicant’s understanding of the circumstances of which he is already
aware, and therefore would not assist
him in the pursuit of any actionable
wrong. Consequently, I am satisfied that the public interest factor favouring
disclosure, the
administration of justice for a person factor, is not relevant
to the public interest test under the RTI Act in the circumstances
of this
matter. And, even if it could be accepted that it was, it would only warrant low
weight, given the nature of the Category
B Information.
30. The applicant submitted
that:[39]
disclosure of
the information could assist investigators from external agencies, such as the
Human Rights Commission, Industrial Relations
Commission and Workplace Health
& Safety, and, if ‘corrupt conduct is observed to have taken
place’, the Crime and Corruption Commission
if misconduct is
identified within the information, he has an obligation to report it
he considers
that QPS and his supervisor’s management of him ‘indicates that
there was a clear bias against’ him and ‘the conduct amounted
to unreasonable management action taken in an unreasonable manner’;
and
in relation to
the statistical data, he is ‘conversant with the analytical layout of
operations of these systems and to be provided with numbers that could have been
fabricated
in a constructed table from a word document is completely misleading
the 'Office of the Information Commissioner'.’
31. It is not OIC’s role to determine whether there has been any
maladministration or wrongdoing on the part of QPS or its officers
in conducting
workplace investigations. Rather, OIC is limited to a merits review of
government agencies’ decisions regarding
access
to[40] information under the RTI
Act. However, the RTI Act recognises that the following public interest factors
favouring disclosure may
arise if:
disclosure could
reasonably be expected to allow or assist inquiry into possible deficiencies in
the conduct or administration of
an agency or
official;[41] and
disclosure of
the information could reasonably be expected to reveal that the information was
incorrect, out of date, misleading,
gratuitous, unfairly subjective or
irrelevant.[42]
32. Given the extent of the information which has been released to the
applicant by QPS, I am satisfied that he has been provided
with sufficient
information to allow or assist inquiry into possible deficiencies in the conduct
or administration of QPS or an official
in the conduct of management decisions
made about him. My careful review of the Category B Information leaves me
satisfied that disclosure
of that information could not reasonably be expected
to further these two public interest factors. Therefore, I afford them no weight
in the circumstances.
33. Finally, the applicant
submitted[43] that the information
should be disclosed as disclosure could reasonably be expected to contribute to
the enforcement of the criminal
law.[44] In support of this, the
applicant stated:[45]
In some of the disclosed correspondence, it is quite
clear that Sgt [A] has made several false accusations against me. It is
imperative that these matters are investigated, not only to prove my innocence,
but also to see if Sgt [A] can be held accountable for his actions
through prosecutions. Making intentionally false accusations against another
person that
leads to an investigation is a criminal offence and the accuser can
be subsequently charged & prosecuted.
34. It is clear from the applicant’s submission that he considers that
information already disclosed would contribute to the
enforcement of the
criminal law. What is unclear is how disclosure of the Category B Information
to the applicant might advance
this public interest factor. He is evidently of
the view that he is already in possession of information which enlivens the
criminal
law and therefore, I consider there is nothing further to be achieved
by disclosing the Category B Information. Beyond merely asserting
its relevance,
the applicant has not articulated a case for the application of this factor.
Further, having carefully considered
the Category B Information, I do not
consider that there is anything within the Category B Information itself to
suggest the type
of nefarious objective on the part of the complainant that the
applicant is suggesting. Based on all these considerations, I am satisfied
that
this factor favouring disclosure does not arise for assessment in this case.
Therefore, I afford this factor favouring disclosure
no weight in the
circumstances.
Factors favouring nondisclosure
35. I consider the following public interest factors favouring nondisclosure
arise in the circumstances of this matter:
Disclosure of
the information could reasonably be expected to prejudice the protection of an
individual’s right to
privacy.[46]
Disclosure of
the information could reasonably be expected to cause a public interest harm if
disclosure would disclose personal information
of a person, whether living or
dead.[47]
Disclosure of
the information could reasonably be expected to prejudice an agency’s
ability to obtain confidential
information.[48]
Disclosure of
the information could reasonably be expected to prejudice the management
function of an agency or the conduct of industrial
relations by an
agency.[49]
Disclosure of
the information could reasonably be expected to cause a public interest harm if
disclosure could:
have a
substantial adverse effect on the management or assessment by an agency of the
agency’s staff;[50] or
have a
substantial adverse effect on the conduct of industrial relations by an
agency.[51]
36. Factors favouring nondisclosure relating to privacy considerations and
the protection of the personal information of other individuals
are relevant to
the public interest test I am required to apply. The nature of the Category B
Information in this review is such
that its disclosure could reasonably be
expected to infringe on the personal sphere of individuals other than the
applicant thus
prejudicing their right to privacy. Additionally, disclosure of
the Category B Information would disclose personal information of
individuals
other than the applicant thus causing a public interest harm. I am satisfied
that these factors in favour of nondisclosure
apply in the circumstances of this
matter and should be afforded significant weight.
37. In terms of the other applicable factors favouring nondisclosure,
relating to QPS’s ability to obtain confidential information
in the future
and QPS’s management and conduct of industrial relations, I am satisfied
that these factors should also be afforded
significant weight. While it is
reasonable to expect staff, particularly managers, to monitor and provide
information to senior officers
about performance issues relating to other staff,
I consider it equally reasonable that disclosure of the Category B Information
may make staff reluctant to fully participate or to provide full and complete
information, particularly where those communications
convey concerns of a
sensitive nature. Further, I consider that such disclosure would impact
QPS’s management functions and
cause a public interest harm as disclosure
of this type of information in these circumstances could have a substantial
adverse effect
on QPS’s management of its staff.
Balancing the factors
38. I have considered the pro-disclosure bias in
deciding access to information.[52]
On balance, I consider the public interest factors in favour of nondisclosure
outweigh the public interest factors in favour of disclosure
in relation to the
Category B Information. Accordingly, I find that access to the Category B
Information may be refused on the basis
that its disclosure would, on balance,
be contrary to the public interest.DECISION
39. I vary QPS’s deemed decision and find that the Category A
Information may be deleted under section 73 of the RTI Act and
access to the
Category B Information may be refused under sections 47(3)(b) and 49 of the RTI
Act.
40. I have made this decision as a delegate of the Information Commissioner,
under section 145 of the RTI Act.Assistant Information
Commissioner CorbyDate: 9 June 2021
APPENDIX
Significant procedural steps
Date
Event
25 September 2020
OIC received the application for external review.
29 September 2020
OIC notified QPS and the applicant that the application for external review
had been accepted and requested from QPS a copy of:
a copy of the
access application
any
correspondence between QPS and the applicant in the processing of the
application
any
correspondence with consulted third parties; and
a copy of all
documents relevant to the access application marked-up, if necessary, to reflect
QPS’s position on disclosure;
and
a submission
detailing any grounds for refusing access.
30 September 2020
OIC received a copy of the access application and correspondence between
QPS and the applicant from QPS.
23 October 2020
OIC received a submission from QPS.
26 October 2020
OIC received a marked-up copy of all documents relevant to the access
application from QPS.
21 December 2020
OIC conveyed a preliminary view to the applicant and requested QPS release
information to the applicant as agreed.
12 February 2021
OIC received confirmation that QPS had released information to the
applicant as agreed.
26 February 2021
OIC received a submission from the applicant.
31 March 2021
OIC conveyed a further preliminary view to the applicant.
19 April 2021
OIC received a submission from the applicant.
[1] Access application dated 29 May
2020.[2] Set out in section 18 of
the RTI Act. [3] Under section
46(1)(a) of the RTI Act. QPS advised the applicant of the deemed decision by
letter dated 4 August 2020.[4]
External review application dated 4 August
2020.[5] On 20 August 2020.
[6] Under section 93(2) of the RTI
Act.[7] Under section 93(3) of the
RTI Act.[8] Application for
external review dated 25 September
2020.[9] Under section 46(1) of
the RTI Act.[10] Referred to as
the Category A Information in this
decision.[11] Referred to as the
Category B Information in this
decision.[12] The HR Act came
into force on 1 January
2020.[13] Section 21 of the HR
Act. [14] XYZ v Victoria
Police (General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; Horrocks v Department of Justice (General) [2012] VCAT
241 (2 March 2012) at [111].[15]
Freedom of Information Act 1982 (Vic) and the Charter of Human Rights
and Responsibilities Act 2006 (Vic).
[16] XYZ at
[573].[17] As set out in
QPS’s submission, and attached schedule, to OIC dated 23 October
2020.[18] QPS released this
information to the applicant by email dated 12 February
2021.[19] In his submissions to
OIC dated 1 March 2021, the applicant only continued to seek review of the
refused information contained within
pages 1-4, 42-52, 64, 70-77, 100-103,
107-109, 115-117 and 122-124. The applicant also sought review of the refused
information contained
in page 114, however, page 114 was released to the
applicant in full by QPS.[20]
OIC’s letter to the applicant dated 31 March 2021 provided the applicant
with additional information regarding the nature of
the other management actions
of QPS.[21] Section 47(3)(b) and
49 of the RTI Act. The term public interest refers to considerations
affecting the good order and functioning of the community and government affairs
for the well-being of citizens.
This means that in general, a public interest
consideration is one which is common to all members of, or a substantial segment
of,
the community, as distinct from matters that concern purely private or
personal interests. However, there are some recognised public
interest
considerations that may apply for the benefit of an individual. See Chris
Wheeler, ‘The Public Interest: We Know It's
Important, But Do We Know What
It Means’ [2006] AIAdminLawF 2; (2006) 48 AIAL Forum 12,
14-16.[22] Section 49(3) of the
RTI Act. [23] Section 44 of the
RTI Act.[24] Section 47(2) of
the RTI Act.[25] Submission
dated 26 February 2021.[26]
Schedule 4, part 1, item 1 of the RTI
Act.[27] Schedule 4, part 1,
item 4 of the RTI Act.[28]
Submission dated 26 February
2021.[29] Schedule 4, part 2,
item 1 of the RTI Act.[30]
Schedule 4, part 2, item 3 of the RTI
Act.[31] Schedule 4, part 2,
item 11 of the RTI Act.[32]
Submission dated 26 February
2021.[33] Schedule 4, part 2,
item 6 of the RTI Act.[34]
Schedule 4, part 2, item 16 of the RTI
Act.[35] Schedule 4, part 2,
item 17 of the RTI Act.[36]
Kioa v West [1985] HCA 81; (1985) 159 CLR 550 (Kioa) at 584 per Mason
J.[37] Kioa at 629 per
Brennan J.[38] Willsford and
Brisbane City Council [1996] QICmr 17; (1996) 3 QAR 368 at [17] and confirmed in 1OS3KF
and Department of Community Safety (Unreported, Queensland Information
Commissioner, 16 December
2011).[39] Submission dated 26
February 2021.[40] And, where
relevant, amendment of.[41]
Schedule 4, part 2, item 5 of the RTI
Act.[42] Schedule 4, part 2,
item 12 of the RTI Act.[43]
Submission dated 26 February
2021.[44] Schedule 4, part 2,
item 19 of the RTI Act.[45]
Submission to OIC dated 1 March
2021.[46] Schedule 4, part 3,
item 3 of the RTI Act.[47]
Schedule 4, part 4, section 6 of the RTI
Act.[48] Schedule 4, part 3,
item 16 of the RTI Act.[49]
Schedule 4, part 3 item 19 of the RTI
Act.[50] Schedule 4, section
3(c) of the RTI Act.[51]
Schedule 4, section 3(d) of the RTI
Act.[52] Section 44 of the RTI
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Q70 and Queensland Human Rights Commission [2020] QICmr 76 (21 December 2020) |
Q70 and Queensland Human Rights Commission [2020] QICmr 76 (21 December 2020)
Last Updated: 25 March 2021
Decision and Reasons for Decision
Citation:
Q70 and Queensland Human Rights Commission [2020] QICmr 76 (21
December 2020)
Application Number:
315439
Applicant:
Q70
Respondent:
Queensland Human Rights Commission
Decision Date:
21 December 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - EXEMPT
INFORMATION - LEGAL PROFESSIONAL PRIVILEGE - communications
between agency
officers and legal advisers - whether information would be privileged from
production in a legal proceeding - improper
purpose exception - whether access
may be refused to exempt information - section 67(1) of the Information
Privacy Act 2009 (Qld) and sections 47(3)(a) and 48 and schedule 3, section
7 of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - personal information of
other individuals -
whether disclosure would, on balance, be contrary to the public interest -
whether access may be refused under
section 67(1) of the Information Privacy
Act 2009 (Qld) and sections 47(3)(b) and 49 of the Right to
Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - SCOPE - IRRELEVANT
INFORMATION - request for information about the applicant - whether
information
may be excluded on the basis it is irrelevant to the scope of the application -
section 88 of the Information Privacy Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS -
NONEXISTENT OR UNLOCATABLE DOCUMENTS - whether agency has taken all
reasonable
steps to locate documents requested by the applicant - whether access to further
documents may be refused on the basis
that they do not exist or cannot be
located - section 67(1) of the Information Privacy Act 2009 (Qld) and
sections 47(3)(e) and 52(1) of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Queensland Human Rights Commission (QHRC) under
the Information Privacy Act 2009 (Qld) (IP Act) to access
information about her in documents created, sent or received by the QHRC Chief
Executive Officer (CEO).[1]
QHRC
located 135 documents[2] mainly
comprising emails and electronic records held by QHRC in relation to complaints,
applications and administration files. QHRC
granted access to most of the
documents subject to the deletion of parts it considered were irrelevant to the
scope of the application,
or contrary to the public interest to disclose. QHRC
also refused access to legally privileged communications on the basis they
were
exempt.
The
applicant applied to QHRC for internal review of the decision to refuse access
to information and raised concerns that QHRC had
not located all relevant
documents.[3] On internal review,
QHRC affirmed its original decision and provided the applicant with information
about the searches conducted
and its recordkeeping
systems.[4]
The
applicant then applied to the Office of the Information Commissioner
(OIC) for external review of QHRC’s internal review decision,
continuing to raise concerns about the refused information and existence
of
further documents.[5] In her
application, the applicant submitted that ‘QHRC operate in secrecy,
with a culture of discrimination, vindictiveness and corruption’ and
made allegations of ‘falsified records’.
For
the reasons set out below, I affirm QHRC’s decision and find
that:
access may be
refused to information on the ground that it is exempt information or because
its disclosure would, on balance, be contrary
to the public
interest[6]
certain
information may be deleted under section 88 of the IP Act on the basis it is
irrelevant to the scope of the application; and
access to any
further documents may be refused on the basis they do not
exist.[7]
Background
The
decision under review is QHRC’s internal review decision dated
2 June 2020.
The
Appendix sets out significant procedural steps relevant to the review. In
reaching this decision, I have taken into account evidence,
submissions,
legislation and other material as referred to in these reasons (including
footnotes and the Appendix).
Generally,
it is necessary for decision makers to have regard to the Human Rights Act
2019 (Qld) (HR Act). However, section 11(1) of the HR Act provides
that ‘[a]ll individuals in Queensland have human
rights’ (my emphasis). Given the applicant resides in a State other
than Queensland, I have not had direct regard to the HR Act. I have,
however,
observed and respected the law prescribed in the IP and RTI Acts in making this
decision. Where the HR Act applies, doing
so is construed as
‘respecting and acting compatibly with’ the rights prescribed
in the HR Act.[8] Accordingly, had it
been necessary for me to have regard to the HR Act, the requirements of section
58(1) of that Act would be satisfied
and the observations of Bell J in
XYZ about the interaction between the Victorian analogues of
Queensland’s legislation would
apply.[9]
Information in issue
The
information to which access has been refused appears mainly in QHRC internal and
external email communications (including attachments)
and internal QHRC
memoranda. Some of the pages contain correspondence exchanged between QHRC and
the applicant. While I am limited
in the extent I can describe the refused
information,[10] it can be
summarised as follows:
communications
between QHRC and its internal legal advisers (LPP
information)[11]
information
about other individuals appearing in an internal QHRC memorandum to the CEO and
a one-page email authored by the applicant
(Third Party
Information);[12] and
information
appearing on 56 pages[13] of emails
and attachments (Irrelevant Information).
Issues for determination
The
issues for determination fall into two categories. Firstly, I must consider
refusal of access to the LPP Information on the basis
it is exempt, and to the
Third Party Information on the basis that disclosure would, on balance, be
contrary to the public interest.[14]
Secondly,
the applicant has concerns about the scope of the application, deletion of the
Irrelevant Information and submits that QHRC
has not located all relevant
documents (Scope and Further
Documents).[15]
The
applicant has also raised concerns about the external review procedure followed
by OIC. She contends that she is unable to participate
in a written only
process which has been used to cause ‘disadvantage and
deception’,[16] and
submits that:[17]
I cannot receive my rights by your restrictive method
of contact with me.
You withhold critical information including your processes and contact with
other parties. You do not answer questions unless you
have waited several
months and then it is obscured as to what you are communicating about.
The
procedure to be followed on external review is, subject to the IP Act, within
the discretion of the Information
Commissioner.[18] To afford
procedural fairness,[19] OIC will
generally issue a written preliminary view to an adversely affected party, based
on an assessment of the material before
the Information Commissioner or delegate
at that time. This approach ensures that the party is presented with the
information constituting
the case against them and affords them the opportunity
to put forward information in reply, in support of their case.
During
this review, I conveyed two written preliminary views to the
applicant.[20] On each occasion, I
invited the applicant to respond, and provided a number of options as to the
form of her
submissions.[21]
The applicant elected to provide written submissions by email in response to the
first preliminary view[22] but did
not respond to the second. In these circumstances, I am satisfied that the
applicant has been afforded adequate opportunities
to put forward her views and
has not been disadvantaged by OIC’s processes. Therefore, I have not
dealt with the procedural
concerns any further in this review.
Exempt information
Relevant law
Under
the IP Act, an individual has a right to be given access to documents of a
Queensland government agency, to the extent they
contain the individual’s
personal information.[23] The right
of access is however subject to some limitations, including the grounds on which
access to information may be
refused.[24] One ground for
refusing access is where information comprises exempt
information.[25]
Information
will qualify as exempt if it would be privileged from production in a legal
proceeding on the ground of legal professional
privilege.[26] Legal professional
privilege attaches to confidential communications between a lawyer and client
made for the dominant purpose of
seeking or giving legal advice or professional
legal assistance, or preparing for, or for use in, or in relation to, existing
or
reasonably anticipated legal
proceedings.[27] The
privilege:
will extend to
copies of unprivileged documents made for the dominant purpose of obtaining
legal advice;[28] and
may protect
communications between salaried employee legal advisers of a government
department or statutory authority and his/her
employer as the client (including
communications through other employees of the same employer) provided there is a
professional relationship
of legal adviser and client, which secures to the
advice an independent character, notwithstanding the
employment.[29]
The
dominant purpose has been described as ‘the ruling, prevailing or most
influential purpose’,[30]
and it is to be determined objectively, having regard to the evidence, the
nature of the documents and the parties’
submissions.[31]
Qualifications
and exceptions to legal professional
privilege[32] may, in particular
circumstances, affect the question of whether information attracts or remains
subject to it, and therefore whether
it comprises exempt information under the
RTI Act.
Findings
Section
121 of the IP Act limits the detail I can give about the LPP Information.
However, I can describe it as communications involving
QHRC’s internal
legal advisors which comprise requests for legal advice on issues associated
with the applicant’s complaints
and applications to QHRC and the legal
advice provided (including attachments). On the information before me, there is
no evidence
that these communications were not confidential or that they have
been disclosed outside of the lawyer-client relationship. I am
also satisfied
that, based on the content of the communications, they were created for the
dominant purpose of QHRC seeking, or its
legal advisors providing, legal advice.
Therefore,
I find that the elements of legal professional privilege are established in
relation to the LPP Information.
Legal
professional privilege may be waived by the holder of the
privilege.[33] There is no evidence
available to me that QHRC, as the party entitled to the benefit of legal
professional privilege, has waived
that privilege. Therefore, I find that this
exception to legal professional privilege does not apply.
Legal
professional privilege will also not apply to legal communications made in the
furtherance of a fraud or crime.[34]
This exception operates to displace legal professional privilege where evidence
exists that the relevant client has embarked on a
deliberate course of action
knowing that the proposed actions were contrary to law, and has made the
relevant communications in furtherance
of ‘some illegal or improper
purpose’.[35] The High
Court of Australia in
Propend[36] determined that a
person alleging legal professional privilege is lost for illegality must do more
than make vague or generalised
contentions of crimes or improper purpose.
The
applicant submits that there is ‘no legal privilege for furthering
unlawful purpose’.[37]
However, the applicant has provided no further details, or evidence, supporting
her allegation that legal professional privilege
in the LPP Information has been
displaced due to the improper purpose exception.
Having
considered the material before me (including the LPP Information and the
applicant’s submissions), there is nothing before
me, other than the
applicant’s general assertion, to indicate that any communication within
the LPP Information was made in
furtherance of any illegal, improper or
dishonest purpose. On this basis, I find that legal professional privilege has
not been
displaced by the improper purpose exception.
For
the above reasons, I am satisfied that the LPP Information meets the
requirements of legal professional privilege and that the
exceptions do not
apply. Accordingly, I find access to the LPP Information may be refused as it
comprises exempt information.[38]
Third Party Information
Access
may be refused to information where disclosure would, on balance, be contrary to
the public interest.[39] The term
‘public interest’ refers to considerations affecting the good
order and functioning of the community and government affairs for the well-being
of citizens.
This means that, in general, a public interest consideration is
one which is common to all members of, or a substantial segment
of the
community, as distinct from matters that concern purely private or personal
interests.[40]
In
deciding where the balance of the public interest lies, the RTI Act requires a
decision maker to identify factors for and against
disclosure and decide, on
balance, whether disclosure would be contrary to the public
interest.[41] In balancing the
public interest, a decision maker is prohibited from taking into account
irrelevant factors.[42]
As
set out in paragraph 9 above, the Third
Party Information comprises the names and other personal
[43]formation43 of other individuals
in the following documents:
an email which
the applicant sent to two QHRC officers about one of her complaints
(Email); and
an internal
memorandum addressed to QHRC’s CEO
(Memo).[44]
In
making this decision, I have not taken into account any irrelevant
factors.
Factors favouring disclosure
The
applicant submits that she seeks information about QHRC’s decision to
‘ban all [her] rights to claim human rights
protections’.[45]
There
is a public interest in QHRC being transparent and accountable in relation to
its complaints handling
procedures.[46] The Memo takes the
form of a briefing note to the CEO and sets out the background to the
applicant’s complaints to the QHRC
with the purpose of the
Memo[47] stated to be:
To implement steps to protect the workplace health
and safety of staff of the ADCQ and to ensure the complaint handling procedures
of the Commission are
sustainable.[48]
QHRC’s
accountability and transparency has been substantially enhanced by the
information released to the applicant in the Memo,
and the other located
documents. I am satisfied that disclosure of the Third Party Information would
not further advance the accountability
and transparency of QHRC to any
significant degree, as it is limited to the personal information of third
parties and because the
Email was authored by the applicant. On this basis, I
afford minimal weight to these factors favouring disclosure.
A
factor favouring disclosure will also arise where disclosing information could
reasonably be expected to reveal that the information
is incorrect, out of date,
misleading, gratuitous, unfairly subjective or
irrelevant.[49] The applicant
asserts that QHRC’s documents are ‘falsified
records’,[50] however, she
provided no further details about, or evidence in support of, this allegation.
Taking into account the limited nature
of the Third Party Information, I do not
consider its disclosure would reveal it to be incorrect or misleading.
Accordingly, I afford
this factor no weight.
The
RTI Act also favours disclosure of an applicant’s personal
information.[51] I am satisfied
that the Email, which was authored by the applicant and includes her opinions,
comprises the applicant’s personal
information. Given the limited nature
of the Third Party Information within the Email, I afford this factor low weight
in favour
of disclosure. Also, the applicant’s personal information is
inextricably intertwined with the personal information of other
individuals
referred to in the Email, and therefore, its disclosure would also disclose the
personal information of others, which
raises a factor favouring nondisclosure
discussed below.
I
have taken into account the pro-disclosure bias and considered whether any other
public interest factors favouring disclosure apply,
including those listed in
schedule 4, part 2 of the
RTI Act.[52] I cannot identify
any other public interest consideration favouring disclosure of the Third Party
Information.[53]
Factors favouring nondisclosure
The
RTI Act recognises that there is a public interest
harm[54] in disclosing the personal
information of other individuals and that disclosing information that could
reasonably be expected to
prejudice the protection of an individual’s
right to privacy gives rise to a public interest factor favouring
nondisclosure.[55]
The
concept of ‘privacy’ is not defined in either the IP Act or
RTI Act. It can, however, essentially be viewed as the right of an individual
to preserve
their ‘personal sphere’ free from interference
from others.[56]
The
Memo concerns steps taken to protect the workplace health and safety of
QHRC’s staff and refers to some of the applicant’s
communications,
including the Email. The Third Party Information within both the Memo and the
Email includes some highly sensitive
personal information about individuals
other than the applicant.
The
Third Party Information appears in a highly sensitive context. I consider that
its disclosure would be a significant intrusion
into the privacy of the other
individuals. I also consider that the extent of the harm arising from
disclosing other individuals’
names and some highly sensitive personal
information about them, under the IP Act, would be significant. Accordingly, I
afford significant
weight to these factors favouring nondisclosure.
I
acknowledge that the applicant will be aware of the content of the Email that
she authored, and would likely be aware of some of
the Third Party Information
in the Memo given her interactions with QHRC staff. However, I do not consider
that reduces the weight
of the nondisclosure factors to any significant degree,
particularly as there can be no restriction on the use, dissemination or
republication of information disclosed under the IP Act.
Balancing the public interest
I
acknowledge the pro-disclosure bias in deciding access to documents under the
IP Act.[57] In addition, and
for the reasons addressed above, I have identified some factors favouring
disclosure of the Third Party Information
(including those relating to the
applicant’s personal information and QHRC’s transparency and
accountability).[58] However,
taking into account the limited nature of the Third Party Information, I afford
these factors low weight.
On
the other hand, I have identified that the public interest favours nondisclosure
of the Third Party Information due to the significant
weight afforded to
protecting the personal information and right to privacy of other individuals,
in a highly sensitive context.[59]
On
balance, I am satisfied that the public interest factors favouring nondisclosure
outweigh the factors favouring disclosure. Accordingly,
I find that disclosure
of the Third Party Information would, on balance, be contrary to the public
interest and access may be refused
on this
basis.[60]
Scope and Further Documents
Relevant law
Section
88 of the IP Act permits information that is not relevant to an access
application to be deleted from a document before giving
access to a copy of the
document. In deciding whether information is irrelevant, it is necessary to
consider whether the information
has any bearing upon, or is pertinent to, the
terms of the application.[61]
The
functions of the Information Commissioner include investigating and reviewing
whether an agency has taken reasonable steps to
identify and locate documents
applied for by applicants.[62]
However, access may be refused to a document if it is
nonexistent.[63]
To
be satisfied that documents are nonexistent, a decision-maker must rely
on their particular knowledge and experience and have regard to a number of key
factors.[64] If searches are relied
on to justify a decision that the documents do not exist, all reasonable steps
must be taken to locate the
documents. What constitutes reasonable steps will
vary from case to case, depending on which of the key factors are most relevant
in the circumstances.
It
is also well settled that the terms of an access application set the parameters
for an agency’s search
efforts.[65]
Findings
On
external review, the applicant submits that she is seeking ‘all
information held about my [sic] by
QHRC’[66] and submits that
QHRC has not located all relevant
documents.[67]
The
access application requested communications, records, emails, minutes, texts,
deleted or archived items, paper and electronic
records about the applicant
‘created by, sent to or from or including or heard by’ the
CEO of QHRC. The application did not identify any other QHRC officer by name,
nor did it indicate that the applicant was seeking
correspondence involving any
other staff member except for the CEO.
It
is not open for an access applicant to unilaterally expand the scope of an
access application on external
review.[68] I consider the terms of
the access application are clear; they were expressly stated to include
correspondence involving the CEO
and no other officer. I am satisfied that the
Irrelevant Information is, on its face, correspondence between other
individuals,
not involving the QHRC CEO. Therefore, I find that the
Irrelevant Information was validly
excluded.[69]
The
applicant articulated her concerns about missing documents as
follows:[70]
I am unable to see deliberations or discussions and
how they started for the QHRC act by [two individuals] to ban all my
rights to claim human rights protections unless I pay tens of thousands for a
lawyer. ...
There seems to be no records showing communication with respondents to my
allegations despite them being given all correspondence
from me and a privacy
notice that what they say is shared with the other parties.
I cannot see a discussion about [individual] working for [another
entity] but ordering my QHRC assessors which are her subordinates to reject
all claims from me including claims they already said they would
accept, or
discussing her conflict of interest in [another entity] being one of the
complaints she ordered by [sic] dismissed on arbitrary grounds that they
refuse to explain.
...
I cannot see my reviews of staff here, some of which were glowing
reviews.
QHRC
confirmed that, in processing the application, it searched its electronic files
relating to the applicant’s
complaints,[71] the CEO’s
email records[72] and QHRC’s
electronic archive (known as
Recfind).[73] In its decision, QHRC
also identified that the following electronic records were identified as
containing information about the
applicant:
complaint files
(24 folders)
information
privacy access applications (6 folders); and
confidential
administration files (2 folders).
The
above folders were searched using the first and surname of the CEO as search
terms and subsequently, each document was individually
reviewed for relevance.
OIC
requested information from QHRC about its recordkeeping practices and the
searches it conducted for information requested in the
application. QHRC
provided search records and certifications to OIC which confirm that searches
for information responsive to the
application were conducted of records held in
the following locations:
QHRC’s
electronic files held in the applicant’s name
records held in
QHRC’s information management, privacy and right to information
applications folder
the email
records of QHRC’s CEO; and
QHRC’s
electronic drive which contains sensitive files that are accessible to the
Executive Leadership Team.
QHRC
also submits that enquiries were made of its CEO to confirm there were no other
locations where relevant documents would be located.
Based
on the information before me, including the located documents, access
application, QHRC’s search certifications and information
in its decisions
and submissions to OIC regarding its searches and recordkeeping practices, I am
satisfied that QHRC has undertaken
comprehensive searches of locations where it
would be reasonable to expect that the types of information requested in the
access
application would be stored and has conducted appropriate enquiries about
the existence of such information. I also find that it
was reasonable for QHRC
to limit its searches to locations that would be expected to contain
communications involving the CEO and
I am unable to identify any further steps
or searches which would have been reasonable for QHRC to undertake given the
scope of the
application. With respect to the applicant’s submissions, I
do not consider they contain any evidence to give rise to a reasonable
expectation that further
documents[74] ‘created by,
sent to or from or including or heard by’ QHRC’s CEO,
exist.
On
the basis of the above, I am satisfied that QHRC has taken all reasonable steps
to locate information relevant to the access application
and access to any
further information may be refused on the basis that it does not
exist.[75]
DECISION
For
the reasons set out above, I
find[76] that:
access may be
refused to the LPP Information as it is exempt
information[77]
access may be
refused to the Third Party Information as disclosure would, on balance, be
contrary to the public interest[78]
the Irrelevant
Information may be deleted under section 88 of the IP Act; and
access to any
further documents may be refused on the basis they do not
exist.[79]
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.K
ShepherdAssistant Information Commissioner Date: 21
December 2020
APPENDIX
Significant procedural steps
Date
Event
2 June 2020
OIC received the external review application.
23 June 2020
OIC notified the applicant and QHRC that the external review application
had been accepted and requested information from QHRC.
1 July 2020
OIC received the requested information from QHRC.
31 July 2020
OIC received further information from QHRC.
24 August 2020
OIC conveyed a preliminary view to the applicant and invited the applicant
to provide submissions if she did not accept the preliminary
view.
OIC received the applicant’s submissions contesting the preliminary
view.
4 September 2020
OIC received an email from the applicant raising general concerns about
OIC’s external review processes.
22 September 2020
OIC conveyed a further preliminary view to the applicant and invited the
applicant to provide submissions if she did not accept the
preliminary view.
[1] Application dated
27 February 2020 and compliant on 18 March 2020. The date
range applicable to the application is 1 January 2017
to
18 March 2020. [2]
Comprising 1094 pages.[3] On
6 May 2020. [4] Decision
dated 2 June 2020. [5]
External review application dated 2 June 2020.
[6] Under section 67(1) of the IP
Act and sections 47(3)(a) and (b) of the Right to Information Act 2009
(Qld) (RTI Act). Section 67(1) of the IP Act sets out that an
agency may refuse access to information in the same way and to the same extent
that
the agency could refuse access to the document under section 47 of the RTI
Act were the document the subject of an access application
under the RTI Act.
[7] Sections 47(3)(e) and 52(1)(a)
of the RTI Act.[8] XYZ v
Victoria Police (General) [2010] VCAT 255 (16 March 2010)
(XYZ) at [573]; Horrocks v Department of Justice (General)
[2012] VCAT 241 (2 March 2012) at [111].
[9] See XYZ at [573] where
His Honour states ‘it is perfectly compatible with the scope of that
positive right in the Charter for it to be observed by reference to the scheme
of, and principles in, the Freedom of Information Act’.
[10] Section 121 of the IP
Act.[11] 177
pages.[12] Pages 1, 2, 4, 5, 6,
8 and 10 in the File titled ‘Xs90 Unredacted’ (the memorandum
is duplicated in these
pages).[13] Being pages 7 and
10-12 in the File titled ‘Admin-UNREDACTED’; pages 17, 20-21,
22 (which is a blank page) and 23-24 in File titled ‘BNE3413121 –
UNREDACTED’; pages 1, 22 and 23 in the File titled
‘BN3414860– UNREDACTED’’; pages 1, 4, 12, 15, 18,
21, 24, 27-28, 31, 34, 46-48, 51-58, 71 and 78-83 in the File titled
‘IP 2 – unredacted’; pages 12 and 19-24 in the File
titled ‘IP 4 – unredacted’; and pages 6, 9-11, 20-21
and 25 in the File titled ‘Second privacy –
unredacted’. [14] This
category requires me to examine the grounds for refusal of access in section
47(3)(a) and (b) of the RTI Act.
[15] This category requires me
to examine the scope of the application, section 88 of the IP Act and sections
47(3)(e) and 52(1) of the
RTI
Act.[16] The applicant raised
this concern on 4 September 2020, when responding to OIC’s email dated
3 September 2020, which provided
a status update to the applicant
concerning her then current external reviews.
[17] Applicant’s email
dated 24 August 2020.
[18] Section 108(1)(a) of the IP
Act. [19] As required by section
110(2) of the IP Act and common law.
[20] By emails dated
24 August 2020 and 22 September 2020.
[21] I invited the applicant to
respond by audio file or in writing and noted that this could either be emailed
to OIC or saved to a USB
or CD and posted.
[22] By email dated
24 August 2020. [23]
Section 40 of the IP Act. [24]
The grounds are set out in section 47 of the RTI Act.
[25] Schedule 3 of the RTI Act
identifies the types of exempt information.
[26] Schedule 3, section 7 of
the RTI Act. In Ozcare and Department of Justice and Attorney-General
(Unreported, Queensland Information Commissioner, 13 May 2011) at [12], the
Information Commissioner noted that this exemption reflects
the requirements for
establishing legal professional privilege at common law.
[27] Esso Australia Resources
Ltd v Commissioner of Taxation [1999] HCA 67; (1999) 201 CLR 49; Daniels
Corporation International Pty Ltd v Australian Competition and Consumer
Commission [2002] HCA 49; (2002) 213 CLR 543 at 552. These principles were recently
confirmed by the High Court in Glencore International AG v Commissioner of
Taxation [2019] HCA 26 at [23]- [25].
[28] As confirmed by the High
Court in Commissioner of Australian Federal Police v Propend Finance Pty Ltd
(1997) 188 CLR 501 (Propend).
[29] Waterford v
Commonwealth [1987] HCA 25; (1987) 163 CLR 54 at 95-96 per Mason and Wilson JJ and
Aquila Coal Pty Ltd v Bowen Central Coal Pty Ltd [2013] QSC 82 at
[8]- [11]. [30] Federal
Commissioner of Taxation v Spotless Services Ltd [1996] HCA 34; (1996) 186 CLR 404 at page
416.[31] In AWB Ltd v Cole
& Anor (No 5) [2006] FCA 1234; (2006) 155 FCR 30, Justice Young observed that dominant
purpose ‘is a question of fact that must be determined
objectively’. I also note that the High Court confirmed in Propend
that legal professional privilege will extend to copies of unprivileged
documents made for the dominant purpose of obtaining legal
advice.
[32] Such as waiver or improper
purpose. [33] Mann v
Carnell [1999] HCA 66; (1999) 201 CLR 1 at [28]. Waiver may be express or implied.
[34] Fletcher & Ors v
Fortress Credit Corporation (Australia) II Pty Limited & Ors [2014] QSC
303 at [51]. [35] Propend
at 514. See also Secher and James Cook University (Unreported,
Queensland Information Commissioner, 6 June 2012) at [20] and
Murphy and Treasury Department [1998] QICmr 9; (1998) 4 QAR 446 at [31]- [42].
[36] At page 591.
[37] Applicant’s email
dated 24 August 2020.
[38] Under section 67 of the IP
Act and sections 47(3)(a) and 48 and schedule 3, section 7 of the RTI Act.
[39] Section 67(1) of the IP Act
and sections 47(3)(b) and 49 of the RTI Act.
[40] However, there are some
recognised public interest considerations that may apply for the benefit of an
individual. See Chris Wheeler,
‘The Public Interest: We Know It's
Important, But Do We Know What It Means’ [2006] AIAdminLawF 2; (2006) 48 AIAL Forum 12, 14.
[41] Section 49(3) of the RTI
Act. [42] Including those at
schedule 4, part 1 of the RTI
Act.[43] ‘Personal
information’ is defined in section 12 of the IP Act as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or opinion’.
[44] The Third Party Information
appearing on pages 1, 2 and 4 is duplicated in the same document on pages 5, 6
and 8. [45] External review
application dated 2 June 2020.
[46] Schedule 4, part 2, items
1, 3 and 11 of the RTI Act.[47]
Released to the applicant. [48]
ADCQ refers to the Anti-Discrimination Commission Queensland, which was renamed
QHRC on 1 July 2019. [49]
Schedule 4, part 2, item 12 of the RTI Act.
[50] External review application
dated 2 June 2020.[51] Schedule
4, part 2, item 7 of the RTI Act.
[52] Taking into account the
limited personal nature of the Third Party Information, I am unable to identify
how disclosure could, for
example, reveal or substantiate, or allow or assist
inquiry into, possible agency conduct deficiencies (schedule 4, part 2, items
5
and 6 of the RTI Act); advance the fair treatment of individuals and other
entities in accordance with the law in their dealings
with agencies (schedule 4,
part 2, item 10 of the RTI Act); or contribute to the administration of
justice generally, including procedural
fairness, or for a person (schedule 4,
part 2, items 16 and 17 of the RTI Act).
[53] In the event that further
relevant factors apply in favour of disclosure, I am satisfied that there is no
evidence to indicate that
any would carry sufficient weight to outweigh the
significant weight that I have afforded to the public interest factors that
favour
nondisclosure, as discussed
below.[54] Schedule 4, part 4,
section 6 of the RTI Act.[55]
Schedule 4, part 3, item 3 of the RTI Act.
[56] Paraphrasing the Australian
Law Reform Commission’s definition of the concept in ‘For your
information: Australian Privacy Law and Practice’ Australian Law
Reform Commission Report No. 108 released 12 August 2008, at paragraph
1.56.[57] Section 64 of the IP
Act. [58] Schedule 4, part 2,
items 1, 3, 7 and 11 of the RTI Act.
[59] Schedule 4, part 4, section
6 and schedule 4, part 3, item 3 of the RTI
Act.[60] Section 67(1) of the IP
Act and sections 47(3)(b) and 49 of the RTI Act.
[61] O80PCE and Department of
Education and Training (Unreported, Queensland Information Commissioner, 15
February 2010) at [52]. [62]
Section 137(2) of the IP Act.
[63] Section 67(1) of the IP Act
and sections 47(3)(e) and 52(1) of the RTI Act.
[64] These factors are
identified in Pryor and Logan City Council (Unreported, Queensland
Information Commissioner, 8 July 2010) at [19] as including the administrative
arrangements of government;
the agency structure; the agency’s functions
and responsibilities (particularly with respect to the legislation for which it
has administrative responsibility and the other legal obligations that fall to
it); the agency’s practices and procedures (including
but not exclusive to
its information management approach); and other factors reasonably inferred from
information supplied by the
applicant including the nature and age of the
requested document/s and the nature of the government activity to which the
request
relates. These factors were more recently considered in Van
Veenendaal and Queensland Police Service [2017] QICmr 36 (28 August 2017).
[65] Fennelly and Redland
City Council (Unreported, Queensland Information Commissioner, 21 August
2012) at [15], citing Robbins and Brisbane North Regional Health Authority
[1994] QICmr 19; (1994) 2 QAR 30 and Cannon and Australian Quality Egg Farms Limited
[1994] QICmr 9; (1994) 1 QAR 491. See also 3EUS8A and Department of Communities,
Child Safety and Disability Services [2014] QICmr 29
(18 June 2014) at [33] and Usher and Department of Natural
Resources and Mines [2014] QICmr 51 (19 December 2014) at [15].
[66] Applicant’s email
dated 24 August 2020.
[67] External review application
dated 2 June 2020.
[68] Robbins and Brisbane
North Regional Health Authority [1994] QICmr 19; (1994) 2 QAR 30 at [17]. See also 8RS6ZB
and Metro North Hospital and Health Service [2015] QICmr 3 (13 February 2015) at
[14].
[69] Under section 88 of the IP
Act. [70] External review
application dated 2 June 2020.
[71] Using search terms
including the first and last names of QHRC’s CEO.
[72] Using the applicant’s
last name as the search term.
[73] Internal review decision
dated 2 June 2020.[74]
Including emailed reviews of staff, communications with respondents to her
allegations, and deliberations or discussions between
particular individuals.
There is no evidence to suggest any of those documents (if they exist) were sent
to, or involved, the CEO.
[75]
Section 67(1) of the IP Act and sections 47(3)(e) and 52(1)(a) of the RTI
Act.[76] I affirm QHRC’s
decision under review.[77] Under
section 67(1) of the IP Act and sections 47(3)(a) and 48 and schedule 3, section
7 of the RTI Act.[78] Under
section 67(1) of the IP Act and sections 47(3)(b) and 49 of the RTI
Act.[79] Sections 47(3)(e) and
52(1)(a) of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | I18 and Queensland Police Service [2021] QICmr 44 (19 August 2021) |
I18 and Queensland Police Service [2021] QICmr 44 (19 August 2021)
Last Updated: 12 January 2022
Decision and Reasons for Decision
Citation:
I18 and Queensland Police Service [2021]
QICmr 44 (19 August 2021)
Application Number:
316114
Applicant:
I18
Respondent:
Queensland Police Service
Decision Date:
19 August 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - DOCUMENT
NONEXISTENT OR UNLOCATABLE - request for a police report
made by
applicant’s former employer - whether agency has taken all reasonable
steps to locate the requested document - whether
access may be refused on the
basis the document sought does not exist - section 67(1) of
the Information Privacy Act 2009 (Qld) and sections 47(3)(e)
and 52(1) of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
1. The applicant
applied[1] to the Queensland Police
Service (QPS) under the Information Privacy Act 2009 (Qld) (IP
Act) for a copy of a report he believed had been made to police about him by
his former employer.
2. Searches conducted by QPS did not locate any documents fitting the
description provided by the applicant in his access
application.[2]
3. The applicant applied[3] for
external review of QPS’s decision, submitting that police officers
attending his home, and others, had told him the report
had been made or had
otherwise confirmed the existence of what he described as ‘the Police
Report against me’.
4. For the reasons set out below I affirm QPS’s decision that access to
the requested report can be refused on the basis that
it does not exist.
Reviewable decision and evidence considered
5. The decision under review is QPS’s decision
dated 4 June 2021.
6. Significant procedural steps relating to the external review are set out
in the Appendix, and the evidence, submissions, legislation
and other material I
have considered in reaching my decision are set out in these reasons (including
footnotes and the Appendix).
7. I have also had regard to the Human Rights Act 2019 (Qld) (HR
Act), particularly the right to seek and receive
information.[4] In making this
decision I have respected, and my actions and considerations have taken account
of, that right and others prescribed
in the
HR Act.[5]
Issue for determination
8. The issue for determination is whether access to
the requested report can be refused on the basis that it is nonexistent.
Relevant law
9. On external review, the functions of the
Information Commissioner include investigating and reviewing whether an agency
has taken
all reasonable steps to identify and locate documents applied for by
an applicant.[6] However, access to a
document may be refused if it is
nonexistent.[7] A document is
nonexistent[8] if there are reasonable
grounds to be satisfied that the document does not exist, for example, it is not
a document that was created
or received by the agency to which the application
was made.
10. To be satisfied that a requested document is nonexistent, a decision
maker must consider any relevant key
factors.[9] If searches are relied on
to justify a decision that a requested document does not exist, all reasonable
steps must be taken to
locate the document. What constitutes all reasonable
steps will vary from case to case as the search and enquiry process an agency
will be required to undertake will depend on which of the key factors are most
relevant in the particular circumstances.
Findings
11. The applicant’s access
application[10] stated:
On the 14/07/2017 I received a visit from the police and 2 mental health
representatives telling me that [the applicant’s former employer]
had made an official report to the Police... I was told that it is on official
Police records against me...
12. The QPS decision letter[11]
advised that searches of QPS databases were undertaken (using the information
provided by the applicant) for records of police attendance
and/or an incident
on the nominated date and no documents were located.
13. On external review, the applicant expressed ongoing concerns about his
former employer. He submitted[12]
that, further to the information provided at paragraph 11 above, his
complaints to the Ombudsman and the police about the requested
report resulted
in the report being withdrawn. The applicant also submitted that his Case
Manager from Forensic Mental Health told
him that he had seen the
Report.[13] The applicant’s
concerns about his former employer were conveyed in numerous emails sent to our
office between 8 June 2021
and 28 June 2021.
14. I acknowledge that the applicant considers the content of the emails
relevant to the issues in the review. While I consider most
of this email
content is not relevant to the issue for determination, I have addressed the
email content which I have identified
as relevant in this decision. In effect,
I understand the applicant contends that, consistent with his concerns relating
to his
former employer, a number of people have confirmed to him that his former
employer made a report to QPS, and therefore QPS must hold
such a report.
15. My considerations in this review are confined to considering whether QPS
has taken all reasonable steps to identify any QPS document
that fits the
applicant’s description of the requested report.
16. In response to OIC enquiries, QPS provided search certifications for the
searches undertaken and
submitted:[14]
Searches of QPRIME were conducted and there is no QPRIME entry (report)
for on or around 14/07/2017 regarding Police and Mental Health attending
the applicant’s residence regarding a complaint from [the
applicant’s former employer] or any other complaint in nature as
outlined in the application [my underlining].
17. QPS also provided copies of the results of searches from its Electronic
Log – QCAD which showed no results for police attendance
at the
applicant’s property on the stated date, 14 July 2017 and supported
QPS’s position that no report as described
by the applicant was received
by QPS.
18. In considering the question of whether QPS has taken all reasonable steps
in the search process, I note that the applicant has
requested a very specific
report and provides a date as an approximate guide as to when he believes such a
report would have been
received or created by QPS. QPS has, in response to the
request, conducted targeted searches of the locations where a report of
this
type would have been stored (QPRIME and QCAD). There is no question as to the
appropriate locations that should be searched
in this case.
19. I accept that the applicant holds a strong view that a report, as
described in his access application, must exist. However, I
am satisfied that
QPS has conducted appropriate and targeted searches of the locations where such
a document (or information evidencing
its existence) would reasonably be
expected to be held.
20. Notwithstanding the applicant’s submissions, there is no evidence
before me to suggest that any further searches or steps
can be taken by QPS to
locate a report of the nature described by the applicant.
21. On the basis of the above, I am satisfied that:
QPS has taken
all reasonable steps to locate the requested report; and
access may be
refused to the requested report on the basis it is
nonexistent.[15]
DECISION
22. As a delegate of the Information
Commissioner,[16] I affirm the QPS
decision and find that access to the requested report may be refused under
section 67(1) of the IP Act and sections
47(3)(e) and 52(1)(a) of the RTI
Act, on the basis that it does not exist. Suzette
JefferiesAssistant Information Commissioner Date: 19
August 2021
APPENDIX
Significant procedural steps
Date
Event
8 June 2021
OIC received the application for external review.
9 June 2021
OIC requested preliminary documents from QPS.
10 June 2021
QPS provided the preliminary documents to OIC.
23 June 2021
OIC notified the applicant and QPS that the application for external review
had been accepted.
OIC requested and received search information from QPS.
28 June 2021
OIC conveyed a preliminary view to the applicant that QPS’s decision
was correct.
The applicant responded, contesting the preliminary view.
[1] Access application dated 20
March 2021.[2] Decision dated 4
June 2021.[3] External review
application made on 8 June
2021.[4] Section 21 of the HR
Act.[5] In accordance with section
58(1) of the HR Act. See also XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; Horrocks v Department of Justice (General) [2012] VCAT
241 (2 March 2012) at [111]. I also note the observations made by Bell J on the
interaction between equivalent pieces of Victorian legislation
(Freedom of
Information Act 1982 (Vic) and the Charter of Human Rights and
Responsibilities Act 2006 (Vic): ‘it is perfectly compatible with
the scope of that positive right in the Charter for it to be observed by
reference to the scheme
of, and principles in, the Freedom of Information
Act’: XYZ at
[573].[6] Section 137(2) of the IP
Act. [7] Sections 47(3)(e) and
52(1) of the Right to Information Act 2009 (Qld) (RTI Act).
Section 67(1) of the IP Act provides that access may be refused to information
in the same way and to the same extent as information
may be refused under the
RTI Act.[8] Section 52(1)(a)
of the RTI Act.[9] See Lester
and Department of Justice and Attorney-General [2017] QICmr 17 (16 May 2017)
at [11] and Van Veendendaal and Queensland Police Service [2017] QICmr 36
(28 August 2017) at [23], which adopt the Information Commissioner’s
comments in PDE and University of Queensland (Unreported, Queensland
Information Commissioner, 9 February 2009) (PDE) at [37]-[38].
PDE concerned the application of section 28A of the now repealed
Freedom of Information Act 1992 (Qld). Section 52 of the RTI Act is
drafted in substantially the same terms as the provision considered in
PDE and, therefore, the Information Commissioner’s findings in
PDE are relevant. The key factors include: the administrative
arrangements of government; the agency structure; the agency’s functions
and responsibilities (particularly with respect to the legislation for which it
has administrative responsibility and the other legal
obligations that fall to
it); the agency’s practices and procedures (including but not exclusive to
its information management
approach) and other factors reasonably inferred from
information supplied by the applicant including the nature and age of the
requested
document/s and the nature of the government activity to which the
request relates. [10] Dated 20
March 2021.[11] Decision letter
dated 4 June 2021.[12] External
review application dated 8 June
2021.[13] Applicant’s
submissions dated 28 June
2021.[14] QPS submissions dated
23 June 2021.[15] For
completeness, I note that searches of the backup system, as contemplated by
section 52(2) of the RTI Act, are not required as
there is no evidence before me
to indicate QPS received or created the requested document, and therefore, no
basis to consider it
has been held on that system.
[16] Under section 139 of the IP
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | I45 and Queensland Police Service [2021] QICmr 65 (7 December 2021) |
I45 and Queensland Police Service [2021] QICmr 65 (7 December 2021)
Last Updated: 29 August 2022
Decision and Reasons for Decision
Citation:
I45 and Queensland Police Service [2021] QICmr 65
(7 December 2021)
Application Number:
315062
Applicant:
I45
Respondent:
Queensland Police Service
Decision Date:
7 December 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - RIGHT TO INFORMATION - SCOPE
OF APPLICATION - request for documents and communications
about the applicant -
whether certain information falls outside the scope of the application -
section 40 of the Information Privacy Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - EXEMPT INFORMATION - LAW
ENFORCEMENT AND PUBLIC SAFETY INFORMATION - request for documents
and
communications about the applicant - whether disclosure could reasonably be
expected to prejudice the effectiveness of a lawful
method or procedure for
preventing, detecting, investigating or dealing with a contravention or possible
contravention of the law
- whether access may be refused under section 67(1) of
the Information Privacy Act 2009 (Qld) and sections 47(3)(a) and 48 and
schedule 3, section 10(1)(f) of the Right to Information Act
2009
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS -
DOCUMENTS NONEXISTENT OR UNLOCATABLE - whether agency has taken all
reasonable
steps to locate requested documents - whether access to further documents can be
refused on the ground they are nonexistent
or unlocatable - section 67(1) of the
Information Privacy Act 2009 (Qld) and sections 47(3)(e) and 52(1) of the
Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Queensland
Police Service (QPS) under the Information Privacy Act 2009 (Qld)
(IP Act) to access information about himself, including all information
held in QPRIME[2].
QPS
did not make a decision within the required statutory timeframe and was
therefore taken to have made a deemed decision refusing
access to the requested
information.[3]
The
applicant then applied to the Office of the Information Commissioner
(OIC) for external review of QPS’ deemed
decision.[4]
QPS
located relevant documents and, as part of OIC’s informal resolution
process,[5] QPS disclosed some of
those documents to the applicant, subject to the redaction of certain
information. The applicant remains dissatisfied
with the level of information
released to him and has raised concerns about the adequacy of QPS’
searches.
For
the reasons set out below, I vary QPS’ deemed decision and find that:
one page does
not contain the applicant’s personal information and is therefore, outside
the scope of the IP Act application
access may be
refused to all the remaining located information as it comprises exempt
information;[6] and
access to any
further documents may be refused on the basis they do not exist or cannot be
located.[7]
Background
The
applicant requested[8] access to the
following:
(i) all the information on QPRIME that relates, or refers, to the applicant
(ii) all QPS emails that relate, or refer, to the
applicant[9]
(iii) a QPRIME audit report showing all inquiries on the applicant on the QPRIME
system[10]; and
(iv) all internal reports, intelligence reports, analyst reports, files, job
logs and investigation files that relate, or refer,
to the applicant within the
State Crime Command.
On
external review, the applicant raised concerns with OIC about QPS’
processing of the application and what he perceived as
delays in that process.
The IP Act does not give OIC jurisdiction to investigate complaints about
an agency’s conduct or processes,
or the way it has handled a particular
application. Therefore, I cannot consider the applicant’s concerns in
this regard.
The
applicant also raised concerns about QPS’ delays in providing information
and responses to OIC. Under the IP Act, the procedure
to be taken on external
review is, subject to the Act, at the discretion of the Information
Commissioner.[11] I accept that the
time taken to complete this review has not met the applicant’s
expectations. I must also acknowledge that
there were significant delays in OIC
receiving certain information requested from QPS and in QPS releasing the
information it had
agreed to disclose to the applicant. As some of those delays
can be attributed to internal resourcing issues at QPS, OIC was mindful
of these
circumstances when issuing requests to QPS and afforded QPS multiple extensions
of time to respond to OIC. However, as
demonstrated in the Appendix, there were
significant periods of time when OIC could not progress the review due to
outstanding responses
from QPS, which consequently impeded the expeditious
conduct of the review.
The
applicant also requested[12] that
QPS provide him with an itemised list of the located documents (describing each
document by its date, title, the part of the
application to which it related and
any claimed disclosure exemption). The IP Act does not require agencies to
provide an applicant
with a list of documents to which access has been
refused.[13] The applicant argued
that, in the absence of that requested list, he has not been afforded procedural
fairness and is unable to
‘properly respond’ to
OIC.[14] I accept that some of the
redactions in the partially disclosed documents do not identify the basis upon
which information has been
refused. However, following disclosure, OIC conveyed
preliminary views to the applicant to explain the basis for the refusal of
access in respect of all information which had not been disclosed and invited
the applicant to provide submissions contesting the
preliminary
view.[15] In response, the
applicant has provided a number of submissions to OIC contesting the refusal of
access. Accordingly, the applicant
has been appraised of the basis upon which
information has been refused and has been afforded a number of opportunities to
put forward
submissions supporting his position. In these circumstances, I am
satisfied that the applicant was able to properly respond to OIC
and has been
afforded due process in this review.
The
significant procedural steps taken during the external review are set out in the
Appendix to this decision.
Reviewable decision and evidence considered
The
decision under review is the decision QPS is deemed to have made under
section 66 of the IP Act.
The
evidence, submissions, legislation and other material I have considered in
reaching this decision are disclosed in these reasons
(including footnotes and
Appendix).
Generally,
it is necessary that decision makers have regard to the Human Rights Act 2019
(Qld) (HR Act), as section 11(1) of the HR Act provides that
‘[a]ll individuals in Queensland have human rights’
(my emphasis). The applicant contends that, although he resides in a State
other than Queensland, he is entitled to the benefit of
the HR Act because
‘at the relevant times’ he was present in
Queensland.[16] On the basis of
this nexus to Queensland, I have had regard to the HR Act, particularly the
right to seek and receive
information.[17] I consider a
decision-maker will be ‘respecting, and acting compatibly
with’ that right and others prescribed in the HR Act, when applying
the law prescribed in the IP
Act.[18] I have acted in this way
in making this decision, in accordance with section 58(1) of the HR
Act.[19]
Information in Issue
Information
on 117 pages of QPS documents remains undisclosed to the applicant and is
the subject of this decision (Information in
Issue).[20]
I
have examined the Information in Issue. The IP Act precludes me from describing
the content of the Information in Issue in these
reasons,[21] however, I can confirm
that it includes:
a one page
document marked as ‘outside scope – no applicant personal
information’ (Page
35);[22] and
the remaining
information located by QPS in response to the access application, including
QPRIME records, emails and partially redacted
Street Check
Summaries.
Issues for determination
The
applicant did not initially contest OIC’s preliminary view that Page 35
had been validly excluded on the basis it did not
contain any of his personal
information.[23] However, he
subsequently asserted that this document ‘must have
relevance’ to his
application.[24]
It
is QPS’ position that the remaining Information in Issue is exempt from
disclosure whereas the applicant contends that all
the located documents should
be disclosed to him in an unredacted form. The applicant has also raised a
general concern that QPS
has not located all relevant documents.
Accordingly,
the issues for determination are whether:
Page 35 can be
excluded from the scope of the application on the basis it does not contain the
applicant’s personal information
the remaining
Information in Issue comprises exempt information to which access may be
refused;[25] and
access to any
further information may be refused on the basis it is nonexistent or
unlocatable.[26]
The
applicant’s submissions raised the refusal to deal provision in
section 59 of the IP Act. However, that provision is not
an issue for
determination in this review. The applicant also seeks to raise concerns beyond
the jurisdiction of the Information
Commissioner and which fall outside the
scope of this review.[27] I have
considered the applicant’s submissions and have summarised them throughout
this decision to the extent they are relevant
to the issues for determination.
Relevant law
Under
section 40 of the IP Act, an individual has a right to be given access to
documents of an agency to the extent they contain
the individual’s
personal information.[28] However,
this right is subject to limitations, including grounds for refusal of
access.[29]
Access
may be refused to a document to the extent it comprises exempt
information[30] and information will
qualify as exempt information where its disclosure could reasonably be expected
to prejudice the effectiveness
of a lawful method or procedure for preventing,
detecting, investigating or dealing with a contravention or possible
contravention
of the law
(Exemption).[31] Schedule 3,
section 10(2) of the RTI Act sets out certain circumstances where the Exemption
will not apply.
Access
may also be refused to a document because it is nonexistent or
unlocatable.[32] To be satisfied
that documents are nonexistent, a decision-maker must rely on their particular
knowledge and experience and have
regard to a number of key
factors.[33] If searches are relied
on to justify a decision that the documents do not exist, all reasonable steps
must be taken to locate the
documents. What constitutes reasonable steps will
vary from case to case, depending on which of the key factors are most relevant
in the circumstances. For a document to be unlocatable, a decision-maker must
consider whether there are reasonable grounds for
the agency to be satisfied
that the requested document has been or should be in the agency’s
possession and whether the agency
has taken all reasonable steps to find the
document. In answering these questions, a decision-maker must consider the
circumstances
of the case and the key
factors.[34]
On
an external review, the agency or Minister who made the decision under review
has the onus of establishing that the decision was
justified or that the
Information Commissioner should give a decision adverse to the
applicant.[35] However, where the
issue of missing documents is raised, the applicant bears a practical onus of
demonstrating that the agency has
not discharged its obligation to locate all
relevant documents.[36]
Findings
Scope of IP Act application
Section
40 of the IP Act provides a right of access to an individual’s personal
information[37] in agency documents.
Accordingly, a document will be outside the scope of an access application made
under the IP Act if it does
not contain any personal information of the access
applicant.
I
have examined the contents of Page 35 and am satisfied it does not contain any
information about the applicant, or information from
which the applicant’s
identity could reasonably be ascertained. Therefore, I find this document is
outside the scope of the
IP Act application and can be excluded from further
determination on that basis.[38]
Exemption
As
noted above, QPS considers that all of the remaining Information in Issue
comprises exempt information.
I
have examined the remaining Information in Issue to assess whether the Exemption
applies. As noted above, in these reasons, I am
unable to describe this
information in any detail[39],
however, I can confirm that the document requested in part (iii) of the
application is known as a QPRIME activity report and a report
of this nature was
located by QPS.[40] I can also
confirm that remaining Information in Issue appears within documents located as
relevant to other parts of the application,
including information within:
QPRIME (the
database used to capture and maintain information obtained by QPS in its law
enforcement functions);[41] and
records held by
State Crime Command (a unit within QPS that targets serious and organised
crime).
I
am satisfied that use of the QPRIME database forms an integral part of
QPS’ lawful methods and procedures for preventing,
detecting,
investigating or dealing with contraventions, or possible contraventions, of the
law. I am also satisfied that the types
of records held by State Crime Command
inherently include information about methods and procedures for detecting or
investigating
serious and organised crime, or suspected criminal behaviour.
The
applicant submits that:
QPS has
previously disclosed QPRIME activity reports to other individuals and interstate
police release audit information from their
equivalent to
QPRIME;[42] and
disclosing this
remaining Information in Issue could not reasonably be expected to prejudice any
QPS method or procedure because a
significant amount of information pertaining
to police methods and procedures is available in the public
domain.[43]
When
assessing whether an outcome could reasonably be expected to arise, I must
distinguish ‘between what is merely possible ... and expectations that
are reasonably based’ and for which ‘real and substantial
grounds exist’.[44] As a
decision-maker conducting merits review, I am also required to determine each
matter on its own facts and on the basis of available
evidence at the time of
making my decision—there is no requirement for me to follow the approach
taken by an agency in a previous
external review nor to follow the disclosure
approach of interstate agencies.
I
accept that there is a range of information in the public domain about various
police methods and procedures, including what is
available in the public edition
of the OPM.[45] I also acknowledge
the applicant’s submission that he has never been arrested or charged by
the QPS.[46] However, after
examining the content of the Information in Issue, I am satisfied that its
disclosure could reasonably be expected
to prejudice particular methods and
procedures used by QPS in relation to surveillance, intelligence or
investigation. I am further
satisfied that disclosing this particular
information could reasonably be expected to reduce the effectiveness of the
relevant QPS’
methods and procedures which are referred to in the
Information in Issue, including operation of the QPRIME system.
The
applicant also argues that an exemption cannot be applied by the QPS to avoid
scrutiny or exposure of unlawful conduct ‘as indicated in schedule 3, s
10(2) of the RTI Act’.[47]
More specifically, the applicant contends that schedule 3, section 10(2)(a) of
the RTI Act[48] is enlivened and
raised concerns that QPS may have acted on unlawful information and he may have
been subject to unwarranted attention
and improper QPRIME
enquires.[49]
On
the other hand, QPS submits that the Information in Issue does not contain
matter that would reveal that the scope of a law enforcement
investigation has
exceeded the limits imposed by
law.[50]
Having
considered the Information in Issue and the submissions received from the
parties, I am satisfied that this information does
not consist of matter
revealing that a law enforcement investigation has exceeded imposed legal
limits.
For
these reasons, I find that access may be refused to the Information in Issue as
it is comprised of exempt
information.[51]
Nonexistent or unlocatable documents
The
functions of the Information Commissioner on external review include
investigating and reviewing whether an agency has taken reasonable
steps to
identify and locate documents applied for by
applicants.[52]
As
noted above, QPS located information relevant to the application during the
external review process. The applicant submits that
there is no evidence QPS
has searched for documents pertaining to parts (iii) and (iv) of the application
and there is ‘information that the QPS has not
supplied’.[53] I
acknowledge that the applicant is at a certain disadvantage as he has been
refused access to 89 full pages and parts of 28 pages.
As a result,
he is not aware of that redacted content, thereby giving rise to concerns about
whether QPS has located all relevant
information. However, as noted above, an
agency is not required to provide an applicant with a list describing the
documents to
which access has been refused. I also note that, given the way the
access application is framed, some of the located documents respond
to more than
one part of the application.
To
assess the reasonableness of QPS’ searches, OIC sought information from
QPS about the searches it conducted. QPS’ response
confirms that it
searched its electronic records (including QPRIME, email databases and records
held by State Crime Command) for
information relevant to all parts of the
application.[54]
Taking
into account the scope of the application, QPS’ searches and the nature of
the documents which were located, I consider
QPS undertook comprehensive
searches of locations where it would be reasonable to expect that the types of
information requested
in the access application would be found. I also consider
that enquiries were made of relevant staff. There is nothing before me,
other
than the applicant’s assertion, to support an expectation that further
relevant documents exist.
For
these reasons, I am satisfied that QPS has taken all reasonable steps to locate
relevant information and access to any further
information may be refused on the
basis that it does not exist or cannot be
located.[55]
DECISION
For
the reasons set out above, I
vary[56] QPS’ deemed decision
and find that:
Page 35 does not
contain the applicant’s personal information and is therefore, outside the
scope of the IP Act application
access can be
refused to the Information in Issue under section 67(1) of the IP Act and
section 47(3)(a) of the RTI Act as it comprises
exempt information; and
access to any
further information may be refused under section 67(1) of the IP Act and section
47(3)(e) of the RTI Act on the basis
it is nonexistent or unlocatable.
K ShepherdActing Right to Information
CommissionerDate: 7 December 2021
APPENDIX
Significant procedural steps
Date
Event
9 December 2019
OIC received the external review application.
17 January 2020
OIC notified the applicant and QPS that the external review had been
accepted and requested information from QPS.
3 April 2020
OIC received the requested information from QPS.
8 April 2020
OIC updated the applicant on the status of the review, and advised that OIC
had received a copy of the documents QPS had located in
response to his
application.
22 April 2020
OIC requested further information from QPS including about its disclosure
position on the located documents.
26 August 2020
QPS responded to OIC indicating that it would agree to disclose some
information from the located documents.
8 September 2020
OIC asked QPS to disclose a copy of the located documents, redacted in
accordance with QPS’ disclosure position, to the applicant,
as part of the
informal resolution process.
OIC updated the applicant on the status of the matter and asked him to
advise OIC whether he wished to pursue access to any redacted
information.
28 September 2020
The applicant advised OIC that he had not received any documents from QPS.
4 November 2020
QPS advised OIC it had sent a redacted copy of the documents, reflecting
its disclosure position, to the applicant.
5 November 2020
OIC updated the applicant and asked him to identify whether there was
particular information he sought to pursue.
5 and 16 November 2020
The applicant contacted OIC to identify matters he was seeking to have
addressed in the review.
8 December 2020
OIC conveyed a preliminary view to the applicant and invited the applicant
to provide submissions if he did not accept the preliminary
view.
25 January and 1 February 2021
OIC received the applicant’s submissions in response to the
preliminary view.
12 February 2021
OIC requested further information from QPS, including about its searches
for the requested documents.
OIC provided an update to the applicant.
18 June 2021
OIC received QPS’ submissions about its searches.
22 June 2021
OIC received a further submission from the applicant.
8 July 2021
OIC conveyed a further preliminary view to the applicant and invited him to
provide further submissions if he did not accept the preliminary
view.
22 July 2021
OIC received the applicant’s further submissions in response to the
preliminary view.
[1] Application dated
21 August 2019 and received by QPS on 27 August 2019.
[2] Queensland Police Records and
Information Management Exchange.
[3] Under section 66(1) of the IP
Act. QPS confirmed this to the applicant by letter dated
9 December 2019. [4] On
9 December 2019. External review by the Information Commissioner is a
merits review and, under section 118(1) of the IP Act,
the Information
Commissioner has the power to decide any matter in relation to an application
that could have been decided by the
agency, under the IP Act.
[5] Under section 103(1) of the IP
Act, the Information Commissioner is required to identify opportunities and
processes for early resolution
and to promote settlement of external reviews.
[6] Under section 67(1) of the IP
Act and sections 47(3)(a) and 48 of the Right to Information Act 2009
(Qld) (RTI Act). Section 67(1) of the IP Act sets out that an
agency may refuse access to information in the same way and to the same extent
that
the agency could refuse access to the document under section 47 of the RTI
Act were the document the subject of an access application
under the RTI Act.
[7] Under section 67(1) of the IP
Act and sections 47(3)(e) and 52 of the RTI Act.
[8] Letter to QPS dated 26
September 2019. QPS subsequently confirmed this scope to the applicant on
30 October 2019, however, QPS incorrectly
quoted the timeframe for
(ii) as commencing on 1 January 2017.
[9] For the period
1 July 2017 to 14 August 2019.
[10] For the period
1 July 2017 to 14 August 2019.
[11] Section 108(1)(a) of the
IP Act. [12] On
28 September 2020, the applicant requested a ‘full list of
documents discovered by QPS’. The applicant reiterated this request
for a list of located documents on 5 November 2020,
16 November 2020, 25 January 2021
and
22 July 2021. [13]
Section 121 of the IP Act also requires the Information Commissioner to take
necessary steps to avoid the disclosure of information
that is claimed to be
exempt to an access applicant. Mindful of this obligation, I consider that
disclosing the document description
requested by the applicant could reasonably
be expected to enable the applicant to identify some of the Information in
Issue. [14] Submissions dated
22 July 2021. The applicant refers to a schedule of documents set out
in a decision issued by the Victorian Civil
and Administrative Tribunal
(VCAT) as being ‘an example where certain information describing
the details about the document is provided to enable the right to information
applicant
to properly respond to an agency’s purported exemption
claim’. However, I note this referenced VCAT decision concerned
information and claimed disclosure exemptions that are significantly
different
to those being considered in his review and that the referenced list of
documents was produced for the purpose of the VCAT
appeal hearing.
[15] As set out in the Appendix.
It is the practice of OIC to convey a preliminary view, based on an assessment
of the material before
the Information Commissioner or her delegate at that
time, to an adversely affected participant. This is to explain the issues under
consideration to the participant and affords them the opportunity to put forward
any further information they consider relevant to
those issues. It also forms
part of the Information Commissioner’s processes for early resolution of
external reviews. [16]
Submissions dated 25 January 2021.
[17] Section 21 of the HR Act.
[18] XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010) (XYZ) at [573];
Horrocks v Department of Justice (General) [2012] VCAT 241 (2 March 2012)
at [111]. [19] I also note the
following observations made by Bell J in XYZ at [573], on the
interaction between equivalent pieces of Victorian legislation (namely, the
Freedom of Information Act 1982 (Vic) and the Charter of Human Rights
and Responsibilities Act 2006 (Vic)): ‘it is perfectly compatible
with the scope of that positive right in the Charter for it to be observed by
reference to the scheme of,
and principles in, the Freedom of Information
Act’. [20] 89 full
pages and portions of information redacted from 28 pages.
[21] Section 121(3) of the IP
Act, which prohibits the Information Commissioner from disclosing information
that is claimed to be exempt
information or contrary to the public interest
information in an external review decision.
[22] This document (with entire
contents redacted) was included in the pages released to the applicant.
[23] Accordingly, OIC’s
letter dated 8 July 2021 notified the applicant that he was taken to
have excluded that document from further
consideration.
[24] Submissions dated
22 July 2021. [25]
Section 67(1) of the IP Act and sections 47(3)(a) and 48 and schedule 3, section
10(1)(f) of the RTI Act. [26]
Section 67(1) of the IP Act and sections 47(3)(e) and 52 of the RTI Act.
[27] Including matters relating
to QPS’ processing of the application, as referenced in paragraph 7
above. [28] ‘Personal
information’ is defined in section 12 of the IP Act as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or opinion’.
[29] As noted above, access may
be refused to information under the IP Act in the same way and to the same
extent that access can be refused
to information under the RTI Act (refer to
section 67(1) of the IP Act).
[30] Sections 47(3)(a) and 48 of
the RTI Act. Schedule 3 to the RTI Act identifies the types of exempt
information. [31] Schedule 3,
section 10(1)(f) of the RTI Act.
[32] Sections 47(3)(e) and 52 of
the RTI Act. [33] These factors
are identified in Pryor and Logan City Council (Unreported, Queensland
Information Commissioner, 8 July 2010) (Pryor) at [19] as
including the administrative arrangements of government; the agency structure;
the agency’s functions and responsibilities
(particularly with respect to
the legislation for which it has administrative responsibility and the other
legal obligations that
fall to it); the agency’s practices and procedures
(including but not exclusive to its information management approach); and
other
factors reasonably inferred from information supplied by the applicant including
the nature and age of the requested document/s
and the nature of the government
activity to which the request relates. These factors were more recently
considered in Van Veendendaal and Queensland Police Service [2017] QICmr
36 (28 August 2017) at [23] and J27 and Queensland Police Service [2021]
QICmr 19 (6 May 2021) at [17].
[34] Pryor at [21].
[35] Section 100 of the IP
Act.[36] See Mewburn and
Department of Local Government, Community Recovery and Resilience [2014]
QICmr 43 (31 October 2014) at [13].
[37] See footnote 28 for
definition of ‘personal
information’.[38] Apart
from the general assertion referenced in paragraph 16, the applicant did not
make any submission on this issue.
[39] Under section 121(3) of the
IP Act, the Information Commissioner is prohibited from including information
that is claimed to be exempt
in a decision.
[40] As noted in previous
decisions of the Information Commissioner, QPRIME activity reports generally
reveal the amount of activity and
the number of occasions on which QPS officers
have accessed QPRIME in relation to an individual, the badge number of the
inquiring
officer, and includes a technical log of interactions within the
database. Refer, for example, to Kyriakou and Queensland Police Service
[2017] QICmr 30 (9 August 2017) at
[30].[41] The Court of Appeal
noted in Commissioner of the Police Service v Shelton & Anor [2020]
QCA 96 at [5], that the Queensland Civil and Administrative Tribunal has
previously described QPRIME as a database of information obtained by QPS
in its
law enforcement functions, which is a dynamic and constantly updated central
record for QPS. [42] Submissions
dated 15 January 2021.
[43] Submissions dated
25 January 2021 and 22 July 2021. For example, the
applicant refers to sections of the QPS Operational Procedures
Manual
(OPM) which relate to QPS methods and procedures.
[44] B and Brisbane North
Regional Health Authority [1994] QICmr 1 at [154]- [160] and Williams and
Queensland Police Service [2017] QICmr 28 (4 August 2017) at [22]. Other
jurisdictions have similarly interpreted the phrase ‘as distinct from
something that is irrational, absurd or ridiculous’: See Smolenski
v Commissioner of Police, NSW Police [2015] NSWCATAD 21 at [34], citing
Commissioner of Police, NSW Police Force v Camilleri (GD) [2012] NSWADTAP
19 at [28], McKinnon v Secretary, Department of Treasury [2006] HCA 45 at
[61] and Attorney-General’s Department v Cockcroft [1986] FCA 35; (1986) 10 FCR
180 at [190].[45] <https://www.police.qld.gov.au/qps-corporate-documents/operational-policies/operational-procedures-manual>.
[46] Submissions dated 15
January 2021. I also acknowledge the applicant’s submission that he is not
seeking this information in
order to ascertain whether he is the subject of an
active QPS investigation. [47]
Submissions dated 15 January 2021.
[48] Which provides that
information will not be exempt where it consists of matter revealing that the
scope of a law enforcement investigation
has exceeded the limits imposed by law.
Although schedule 3, section 10(2) of the RTI Act lists other exceptions to the
exemption
provisions in schedule 3, section 10(1), those other exceptions do not
arise in the circumstances of this matter and are not addressed
in this
decision. [49] Submissions dated
25 January 2021. [50]
Submissions dated 15 June 2021.
[51] Section 67(1) of the IP Act
and sections 47(3)(a) and 48 and schedule 3, section 10(1)(f) of the RTI Act.
[52] Section 137(2) of the IP
Act. [53] Submission dated 25
January 2021. [54] QPS
submission dated 15 June 2021, which also confirm that these searches
were conducted by officers from QPS’ State Crime
Command and the Ethical
Standards Command Systems Audit and Investigation Unit.
[55] Section 67(1) of the IP Act
and section 47(3)(e) of the RTI Act.
[56] As a delegate of the
Information Commissioner, under section 139 of the IP Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Claes and Queensland Rail [1998] QICmr 26 (4 September 1998) |
Claes and Queensland Rail [1998] QICmr 26 (4 September 1998)
Claes and Queensland Rail
(S 10/98, 4 September 1998, Information Commissioner)
(This decision has been edited to remove merely procedural information
and may have been edited to remove personal or otherwise sensitive
information.)
1.-4. These paragraphs deleted.
REASONS FOR DECISION
Background
The
applicant, Mr Claes, is employed by the Coal and Minerals Group of Queensland
Rail, at Pring Station. In late April 1997, following
an altercation which
occurred between the applicant and another officer of Queensland Rail at Pring
Station, there was an investigation
which resulted in the applicant's being
excluded from duty for several weeks. The other officer, ---- (whom I will
refer to as the
"third party") was not excluded from duty, but was required to
attend a disciplinary interview.
By
letter dated 28 October 1997, the applicant applied to Queensland Rail for
documents relating to the incident, including his personal
file, his
disciplinary file, and any other relevant documents about him held by the Coal
and Minerals Group of Queensland Rail at
Pring, Mackay or
Rockhampton.
By
letter dated 23 December 1997, Mr Peter Carden, FOI Co-ordinator, Queensland
Rail, informed the applicant that he had decided to
grant access to most of the
requested documents, subject to the deletion of certain matter which would
identify third parties who
had provided information and statements to the
investigating officers. Mr Carden also advised the applicant that there had
been
an objection to the release of certain documents by the third party, but
that he had decided that those documents were not exempt
from disclosure to the
applicant. In accordance with the provisions of s.51(2) of the FOI Act, Mr
Carden advised the applicant that
access could not be granted to those documents
until the expiration of the prescribed period (of 28 days) within which the
third
party could apply for an internal review of Mr Carden's
decision.
By
letter dated 2 January 1998, the third party applied for internal review of Mr
Carden's decision. Queensland Rail's Acting FOI
Internal Review Officer, Mr
John Gibson, informed the applicant, by letter dated 14 January 1998, that he
had decided to vary Mr
Carden's decision in respect of the documents to the
release of which the third party had objected, as Mr Gibson considered them
to
be exempt from disclosure under s.46(1)(b) of the FOI
Act.
By
an application dated 19 January 1998, the applicant applied to me for review,
under Part 5 of the FOI Act, of Mr Gibson's decision
to exempt those documents
which had been the subject of the third party's internal review
application. External review
process
I
obtained from Queensland Rail copies of the documents in issue. They are pages
165-171 of File RMO 4323, described by Queensland
Rail as an 'industrial
relations' file. The applicant has already been granted access to the majority
of documents on that file,
subject to the deletion of certain matter found to be
exempt (i.e., matter which would identify the sources of the information in
the
documents). The documents in issue may be described as:
Page
Description of document
166-167
Report by [the 3rd party], dated 29 April 1997, on the incident at Pring
Station on 28 April 1997
165
Information to be added to the report described above, dated 30 April
1997
171
Copy of p.165 with short handwritten notation
168-170
Record of interview between investigating officers and [the
3rd party], dated 2 May 1997
Following
examination of those documents, further information was sought in relation to
the policies adopted by Queensland Rail in
respect of (a) the investigation of
workplace incidents which could lead to disciplinary measures, and (b)
disclosure, to the parties
involved, of documents relating to investigations of
this type. Queensland Rail forwarded to my office copies of the following
documents:
Discipline
Guidelines (made under the Employee Relations Policy)
Statement
by Train Management Improvement Officer L A Gwynne, of Coal and Minerals
Operations at Jilalan (one of the two officers
assigned to investigate the
altercation between the applicant and the third party)
Queensland Rail has not made any formal submissions, but I have taken into
account the reasons for decision given by Mr Carden and
Mr Gibson.
The
third party, having become aware that the applicant had sought review, contacted
my office on 2 February 1998 to discuss his concerns
about disclosure of the
documents in issue to the applicant. He subsequently provided a letter, dated 7
February, in support of
his objections to the release of the documents in issue.
This letter reflected the arguments used by Mr Gibson in support of his
internal
review decision, as well as outlining previous workplace and other incidents
which caused the third party to be concerned
at the possible consequences of
disclosure of any matter to the applicant. The third party also stated that he
(and other employees
at Pring Station) only co-operated with the investigation
to which the documents in issue relate after being assured that any information
they gave to the investigating officers would be treated in confidence, and
would not be released to the applicant.
By
letter dated 29 May 1998, the Assistant Information Commissioner informed the
applicant of his preliminary view that the documents
in issue were exempt from
disclosure under s.40(c), and possibly also under s.46(1)(b), of the FOI Act.
The applicant was invited
to make a submission in support of his contention that
he should be granted access to the documents, and he responded by letter dated
1
June 1998. Application of s.40(c) of the FOI
Act
Section
40(c) of the FOI Act provides:
40. Matter is exempt matter if its disclosure could
reasonably be expected to -
...
(c) have a substantial adverse effect on the management or assessment by
an agency of the agency's personnel; ...
...
unless its disclosure would, on balance, be in the public
interest.
I
have considered the application of s.40(c) of the FOI Act in Re Pemberton and
The University of Queensland (1994) 2 QAR 293, Re Murphy and Queensland
Treasury & Ors [1995] QICmr 23; (1995) 2 QAR 744, Re Shaw and The University of
Queensland [1995] QICmr 32; (1995) 3 QAR 107, and Re McCann and Queensland Police
Service (Information Commissioner Qld, Decision No. 97010, 10 July 1997,
unreported). The focus of this exemption provision is on the management
or
assessment by an agency of the agency's personnel. The exemption will be made
out if it is established that disclosure of the
matter in issue could reasonably
be expected to have a substantial adverse effect on the management or assessment
by an agency of
its personnel, unless disclosure of the matter in issue would,
on balance, be in the public interest.
I
analysed the meaning of the phrase "could reasonably be expected to", by
reference to relevant Federal Court decisions interpreting the identical phrase
as used in exemption provisions of the Freedom of Information Act 1982
Cth, in Re "B" and Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR
279 at pp.339-341, paragraphs 154-160. In particular, I said in Re "B"
(at pp.340-341, paragraph 160):
The words call for the decision-maker ... to discriminate between
unreasonable expectations and reasonable expectations, between what
is merely
possible (e.g. merely speculative/conjectural "expectations") and expectations
which are reasonably based, i.e. expectations
for the occurrence of which real
and substantial grounds exist.
The
ordinary meaning of the word "expect" which is appropriate to its context in the
phrase "could reasonably be expected to" accords
with these dictionary meanings:
"to regard as probable or likely" (Collins English Dictionary, Third Aust. ed);
"regard as likely
to happen; anticipate the occurrence ... of" (Macquarie
Dictionary, 2nd ed); "Regard as ... likely to happen; ... Believe that it
will
prove to be the case that ..." (The New Shorter Oxford English Dictionary,
1993).
If
I am satisfied that any adverse effects could reasonably be expected to follow
from disclosure of the matter in issue, I must then
determine whether those
adverse effects, either individually or in aggregate, constitute a substantial
adverse effect on the management
or assessment by Queensland Rail of its
personnel. For reasons explained in Re Cairns Port Authority and Department
of Lands [1994] QICmr 17; (1994) 1 QAR 663 (at pp.724-725, paragraphs 148-150), I consider
that, where the Queensland Parliament has employed the phrase "substantial
adverse
effect" in s.40(c) of the FOI Act, it must have intended the adjective
"substantial" to be used in the sense of grave, weighty, significant
or
serious.
If
I find that disclosure of the whole or any part of the matter in issue could
reasonably be expected to have a substantial adverse
effect on the management or
assessment by Queensland Rail of its personnel, I must then consider whether
disclosure of that matter
would nevertheless, on balance, be in the public
interest. Substantial adverse effect?
It
is clear from the applicant's submission that there is considerable tension
within the workplace at Pring Station. On the evidence
before me, I consider
that disclosure of further matter relating to the altercation between the
applicant and the third party would
do nothing to lessen that tension and that
it could reasonably be expected to heighten the tension, with a consequent
deterioration
in workplace relations.
The
achievement and maintenance of satisfactory relations within the workplace is an
aspect of the personnel management functions
of Queensland Rail. Disclosure of
matter which would increase tension, would have an adverse effect on the
personnel management
functions of Queensland Rail. Given the height which
tensions have reached in this case, I consider that adverse effect could
reasonably
be expected to be a substantial one.
In
addition, Mr Gibson decided (in making his internal review decision that the
documents in issue are exempt because their release
would constitute a breach of
confidence), that release of the documents in issue could reasonably be expected
to have a substantial
adverse affect on the future conduct of disciplinary
investigations and, by extension, on the implementation of Queensland Rail's
Disciplinary Guidelines. I accept that staff disciplinary processes are an
aspect of the management or assessment by an agency of
its personnel, and the
investigation and disciplinary action which followed the incident at Pring
Station were a part of that process.
I
have examined Queensland Rail's Disciplinary Guidelines, which are made under
the agency's Employee Relations policy. The Guidelines
specify that
confidentiality should be maintained during the disciplinary process, and it is
clear that the officers who investigated
the altercation between the applicant
and the third party made every effort to do so. Queensland Rail has also
provided a memorandum
from one of the investigating officers, which states in
part:
At the commencement of the investigation it became apparent to the
investigating team that there existed a definite lack of co-operation
from Qld
Rail staff to freely express information regarding the altercation between
Drivers Claes and [the 3rd party].
...... At the commencement of most of the interviews, assurance was given
to the staff that information contained in their statements
would be treated in
strict confidence.
In the case of one Driver he was quite adamant he would not sign a
statement and only agreed to submit some information when assured
by the
investigating team this information would be kept
confidential.
The
third party has stated that the information he provided was given in confidence
to the investigating officers, and that he was
informed that any information
given during the course of the investigation would be treated as
confidential.
In
my view, it is not a wise practice for an investigator to give a blanket promise
of confidentiality to a witness or prospective
witness, since the common law
requirements of procedural fairness may dictate that the critical evidence to
support a disciplinary
charge (and, apart from exceptional circumstances, the
identity of its provider) be disclosed to a person who formally contests the
charge.
In
writing the letters and taking part in the interview, the third party ought to
have anticipated that the information he provided
might have resulted in
disciplinary proceedings against him and/or the applicant. Further, the third
party ought to have appreciated
that if, for example, action were to be taken to
dismiss the applicant, the information the third party had provided would have
to
be put to the applicant, in order to allow him to respond. In my view, any
assurance or understanding of confidentiality could not
have been
unconditional.
It
appears, however, that there was scope for a conditional understanding that the
information provided by the third party would not
be disclosed unless it was
necessary to disclose the documents to the applicant, in the course of
disciplinary proceedings against
him. I discussed conditional understandings of
confidentiality in Re McCann. At paragraph 48 of Re McCann, I
said that:
However, I consider that cases will occur, where...........the source's
identity and/or evidence are not required to be disclosed
(cf. Re
McEniery at p.364, paragraph 33). Factors of the kind referred to in
paragraph 38 above (and especially the vulnerability of a source to
intimidation, harassment, recrimination, or threats to a source's livelihood or
personal safety) may be evident, and may warrant
a finding that there existed an
implicit mutual understanding between a source of information and a law
enforcement agency to the
effect that the identity of the source, and/or the
information supplied by the source, would be treated in confidence so far as
practicable,
consistent with the use of that information for the purpose of the
agency's investigation and the prosecution of any charges stemming
from the
investigation.
In
the final outcome of the disciplinary proceedings, it appears that disclosure to
the applicant never became necessary, according
to the management practices
adopted by Queensland Rail. It is therefore reasonable for the third party to
expect that the information
he provided would not be disclosed to the applicant,
as disclosure did not become necessary for the purposes of action taken against
the applicant.
As
an employer, Queensland Rail could direct employees to answer questions relevant
to the conduct of its business. However, the
reporting and proper investigation
of incidents of physical altercations between staff raises particularly
difficult management issues
for most agencies, as the persons who were involved
in, or witnesses to, the altercation are frequently unwilling to provide
statements
for fear of further violence or reprisals, or becoming caught up in a
souring of relations in the workplace. Whether or not these
fears are
reasonably based in the particular case, they are a powerful deterrent to
co-operation with investigators or management.
In such cases, employees are
more likely to co-operate fully if they are assured that the statements or
evidence they provide will
be treated as confidential by the agency, unless
disclosure is necessary for the purposes of disciplinary proceedings. It is
evident
that this occurred in the investigation of the altercation involving the
applicant and the third party, with explicit guarantees
of confidentiality being
given by the investigating officers.
If
information given in confidence were subsequently disclosed, in circumstances
not required for the disciplinary processes of Queensland
Rail, and particularly
to a person from whom it was explicitly agreed it would be kept confidential, I
accept that it could reasonably
be expected to have a substantial adverse effect
on the management or assessment by Queensland Rail of its personnel, through the
apparent breach of trust involved, and by making it difficult to obtain full
co-operation in similar investigations in the future
(i.e., investigations in
circumstances where it is appropriate to promise confidentiality in order to
obtain co-operation).
Considering
the two adverse effects identified at paragraphs 29 and 30 above, I find that
disclosure of the documents in issue could
reasonably be expected to have a
substantial adverse effect on the management and assessment by Queensland Rail
of its staff. Public interest balancing
test
The
establishment of a substantial adverse effect raises a prima facie public
interest favouring non-disclosure of the documents in issue. It is clearly in
the public interest that good working relations
be maintained within Queensland
Rail. Further, Queensland Rail has a duty, both as an employer and as a
provider of services to
the public, "to ensure the good health and safety of
all persons at the workplace, including employees, customers and the general
public" (Discipline Guidelines "Attachment A", p.29). There is a public
interest in Queensland Rail successfully meeting its obligations
under this
policy, in addition to its obligations under both statute and the common law to
maintain a safe workplace environment.
I
acknowledge that there is a public interest in a person, who is the subject of
adverse information held by a government agency,
having the opportunity to
examine and respond to information given against him. I am, however, informed
by Queensland Rail that
the substance of the allegations against the applicant
was made known to him at the time of the investigation and disciplinary action,
although not in a form which would enable the applicant to identify individual
sources of information.
The
applicant has argued that he requires access to the documents in issue in order
to understand why Queensland Rail took action
against him (by excluding him from
duty) and not against the third party. The applicant has also claimed that
Queensland Rail failed
to act on his reports of harassment by the third party
and other employees at Pring Station; that Queensland Rail failed to take
prior
harassment into account when investigating the altercation between the applicant
and the third party at Pring Station on 28
April 1997; and that he was not
accorded fair treatment in relation to this incident.
As
an employer, Queensland Rail is under an obligation to deal fairly and equitably
with its employees, and to ensure the proper management
and application of
statute and common law requirements affecting the employer-employee
relationship. This responsibility includes
the proper application of
disciplinary processes, and the prevention of workplace harassment and
intimidation. There is a significant
public interest in the accountability of
Queensland Rail with respect to its employee management and disciplinary
processes, and
in the provision of information which will enable employees to
understand and, if necessary, to pursue available avenues for redress
of
grievances if they are concerned about unfair treatment.
I
am not persuaded, however, that the material in the documents in issue will
serve either of those purposes. Although the documents
in issue have not been
disclosed to the applicant, Queensland Rail has advised that the substance of
the information in them was
put to the applicant during the investigation, and
that he was aware of the allegations against him. He has also seen the
statements
of other persons who were present at the time, and who witnessed
parts of the incident in respect of which he was disciplined. The
documents in
issue do not contain information about any other incident involving the
applicant and the third party (except for a
brief reference to a previous
incident, made in the applicant's presence during the altercation). Neither do
they contain any information
about alleged previous workplace harassment by or
of the applicant (the applicant had complained that during the investigation he
was not permitted to explain his actions by reference to previous harassment by
the third party and other employees at Pring Station),
or about the treatment by
Queensland Rail of the applicant's concerns. I do not believe that they will
assist the applicant's understanding
of the disciplinary process, or of the
response by Queensland Rail to his claims of harassment by other employees,
including the
third party.
On
the material before me, I am not satisfied that the public interest
considerations which favour disclosure of the matter in issue
are sufficiently
strong to outweigh the public interest in avoiding a substantial adverse effect
of the kind contemplated in s.40(c).
I therefore find that the documents in
issue are exempt matter under s.40(c) of the FOI
Act. Section 46(1)(b) of the FOI
Act
In
his internal review decision, Mr Gibson determined that the documents in issue
were exempt from disclosure under s.46(1)(b) of
the FOI Act. Given my findings
in relation to s.40(c), I do not propose to give detailed consideration to the
application of s.46(1)(b),
although it is certainly arguable, in my view, that
all or parts of the documents in issue are exempt matter under s.46(1)(b) of
the
FOI Act.
DECISION
I
vary the decision under review (being the decision of Mr J Gibson, on behalf of
Queensland Rail, dated 14 January 1998). I find
that the matter in issue
(described at paragraph 10 above) is exempt matter under s.40(c) of the FOI
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | B36 and Brisbane City Council [2022] QICmr 42 (7 September 2022) |
B36 and Brisbane City Council [2022] QICmr 42 (7 September 2022)
Last Updated: 20 February 2023
Decision and Reasons for Decision
Citation:
B36 and Brisbane City Council [2022] QICmr 42 (7 September 2022)
Application Number:
316524
Applicant:
B36
Respondent:
Brisbane City Council
Decision Date:
7 September 2022
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL TO DEAL WITH ACCESS
APPLICATION - EFFECT ON AGENCY’S FUNCTIONS - request
for all documents
about applicant for specified time period - whether the work involved in dealing
with application would, if carried
out, substantially and unreasonably divert
resources of agency from their use by agency in performing its functions -
sections 60 and 61 of the Information Privacy Act
2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to Brisbane City
Council (Council) under the Information Privacy Act 2009 (Qld)
(IP Act) in the following terms:
Under the relevant Information Privacy Act (IP Act) and/or
Right to Information Act (RTI Act), I hereby formally request access to
any and all information, in any format, including, but
not limited to - written correspondence/ notes / documentation/
emails / letters, verbal/ recorded/taped communications, phone calls/notes,
photos,
manager's notes, files, investigations and/or reports, and meeting notes
on or about me, ... , regarding Administrative Access
Complaint and associated information, held within/by Brisbane City
Council (including the Office of the Disputes Commissioner). Date range
is 4
September 2020 to 17 September 2021 (inclusive).
[Applicant’s emphasis]
The
applicant identified five areas of Council that she considered would likely hold
responsive documents. However, she also stated
that she requested ‘a
general broad search of Council outside of just the above. Third parties may be
involved so please advise me if this is
the case’.
Council
purported to decide to refuse to deal with the application under section 60 of
the IP Act on the grounds that to process it
would substantially and
unreasonably divert Council’s resources in the performance of its
functions. However, Council was
outside the statutory timeframe in issuing the
required preliminary notice under section 61 of the IP
Act.[2] It was therefore deemed to
have given a decision refusing access to the requested
information.[3]
By
email dated 5 January 2022, the applicant applied to the Office of the
Information Commissioner (OIC) for external review of Council’s
deemed refusal of access.
For
the reasons set out below, I set aside Council’s deemed refusal of access
to the requested information. In substitution,
I find that Council was entitled
to refuse to deal with the access application under section 60 of the IP Act.
Background
The
applicant has made numerous access applications to Council arising out of her
interactions with Council occurring either on her
own behalf, or while acting as
an agent for another person in relation to multiple access applications made to
Council by that person.
Reviewable decision
The
decision under review is Council’s deemed refusal of access under section
66 of the IP Act.
Evidence considered
Significant
procedural steps relating to the external review are set out in the
Appendix.
The
evidence, submissions, legislation and other material I have considered in
reaching my decision are set out in these reasons (including
footnotes and the
Appendix). I have taken account of the applicant’s submissions to the
extent that they are relevant to the
issues for determination in this
review.[4]
10. I have also
had regard to the Human Rights Act 2019 (Qld) (HR Act),
particularly the right to seek and receive
information.[5] I consider a
decision-maker will be ‘respecting, and acting compatibly
with’ that right, and others prescribed in the HR Act, when applying
the law prescribed in the IP Act and the RTI
Act.[6] I have acted in this way in
making this decision, in accordance with section 58(1) of the HR Act. I also
note the observations
made by Bell J on the interaction between equivalent
pieces of Victorian legislation:[7]
‘it is perfectly compatible with the scope of that positive right in
the Charter for it to be observed by reference to the scheme of,
and principles
in, the Freedom of Information
Act.’[8]
Issue for determination
While
Council’s decision is deemed to have been a refusal of access decision, it
is clear from its purported initial and internal
review decisions that its
intention, had the relevant timeframes been met, was to refuse to deal with the
access application under
section 60 of the IP Act. Those purported decisions
have the force of submissions for the purposes of this external review.
When
conducting a merits review of an agency’s decision, the Information
Commissioner stands in the shoes of the agency and
makes the correct and
preferable decision. At the conclusion of the review, the Information
Commissioner must make a written decision
affirming or varying the decision, or
setting it aside and making a decision in
substitution.[9]
Accordingly,
the issue for determination is whether Council was entitled to refuse to deal
with the access application under section
60 of the IP Act.
Relevant law
An
individual has a right under the IP Act to be given access to documents of an
agency to the extent that the documents contain the
individual’s personal
information.[10] An agency is
required to deal with an access application unless doing so would, on balance,
be contrary to the public
interest.[11] The only
circumstances in which dealing with an access application will not be in the
public interest are set out in sections 59,
60 and 62 of the
IP Act.
Relevantly,
section 60(1)(a) of the IP Act permits an agency to refuse to deal with an
access application if the agency considers
that the work involved in dealing
with the application would, if carried out, substantially and unreasonably
divert the resources
of the agency from their use by the agency in the
performance of its functions.
The
phrase ‘substantially and unreasonably’ is not defined in the
IP Act, the Right to Information Act 2009 (Qld), or the Acts
Interpretation Act 1954 (Qld) (AIA). It is therefore appropriate to
consider the ordinary meaning of these
words.[12] The dictionary
definitions[13] of those terms
relevantly provide:
‘substantial’
means ‘of ample or considerable amount, quantity, size,
etc’
‘unreasonable’
means ‘exceeding the bounds of reason; immoderate;
exorbitant’.
In
deciding whether dealing with an application would substantially and
unreasonably divert an agency’s resources from the performance
of its
functions, the IP Act requires that a decision-maker:
must not have
regard to any reasons the applicant gives for applying for access, or the
agency’s belief about what are the applicant’s
reasons for applying
for access;[14] and
must have regard
to the resources involved in:
identifying,
locating and collating documents
deciding
whether to give, refuse or defer access to documents, including the resources
that would have to be used in examining documents
and editing documents
conducting
any third party consultations
making
copies, or edited copies of documents; and
notifying
any final decision on the
application.[15]
While
each agency's and each application's circumstances will vary, general factors
that are relevant when deciding whether the diversion
of resources or
interference with normal operational functions is unreasonable include:
the size of the
agency[16]
the ordinary
allocation of RTI resources
the other
functions of the agency;[17] and
whether and to
what extent processing the application will take longer than the legislated
processing period of 25 business days.
In
determining whether the work involved in dealing with an application is
unreasonable, it is not necessary to show that the extent
of the
unreasonableness is overwhelming. Rather, it is necessary to weigh up the
considerations for and against, and form a balanced
judgement of reasonableness,
based on objective evidence.[18]
Factors that have been taken into account in considering this question
include:[19]
whether
the terms of the request offer a sufficiently precise description to permit the
agency, as a practical matter, to locate the
documents sought
the public
interest in disclosure of the documents
whether the
request is a reasonably manageable one, giving due, but not conclusive, regard
to the size of the agency and the extent
of its resources usually available for
dealing with access applications
the
agency’s estimate of the number of documents affected by the request, and
by extension, the number of pages and the amount
of officer time
the
reasonableness or otherwise of the agency’s initial assessment and whether
the applicant has taken a cooperative approach
in re-scoping the application
the timelines
binding on the agency
the degree of
certainty that can be attached to the estimate that is made as to the documents
affected and hours to be consumed; and
in that regard, importantly whether there
is a real possibility that processing time may exceed to some degree the
estimate first
made; and
whether the
applicant is a repeat applicant to that agency, and the extent to which the
present application may have been adequately
met by previous
applications.Submissions of Council
As
per its purported initial and internal review decisions, Council submits as
follows:
search
results from the eight Council business areas located over 2680 pages across 533
files responsive to this application;
the time
commitment by Council officers on initial searches, identification, collation
and partial scanning of materials (exclusive
of document review by a decision
maker) was in excess of 26 hours;
reviewing the
more than 2680 pages would involve significant work that includes:
➢ opening
the files and documents and reviewing their contents;
➢ opening
attachments and reviewing their contents;
➢ compiling
all documents into a pdf format and structuring them in a manner suitable for
review;
➢ editing
pages to redact irrelevant information and information concerning Council
employees or other third parties; and
➢ assessing
and applying any Schedule 3 exemptions or Schedule 4 public interest factors
including potential prejudice.
the time
involved for me, as decisionmaker, to review each page of the located documents
and marking up each page in preparation for
release would, as a conservative
estimate take me one minute per page amounting to approximately 45
hours
the estimated
time to review the material set out above is in addition to that required to
compile the documents, scan, and convert
all the document holdings to pdf and
structure them to enable review. As our team does not include a dedicated
administrative officer,
that task falls to the decision maker. A realistic
estimate of document preparation time would be one minute per two pages
amounting
to an additional 22 hours of work.
Balanced against the time required to conduct the internal review process,
additional matters I considered included:
➢ the
impact of the narrowed scope of the IP Act application;
➢ available
delegated resources to handle IP Act and RTI Act internal reviews;
➢ the
scope and volume of other work within the City Legal Corporate Governance
and Commercial team;
➢ the
volume of internal review applications completed this year; and
➢ the
other workload within the team and the existing internal review matters
requiring decision in December 2021.
Your narrowing of the scope of your application
to exclude emails from your own email address that were cc’ed to your
account
is of little effect in reducing the work involved as each document is
still required to be reviewed to assess if it can be excluded.
Internal review workload
Council has delegated the authority for internal review decisions pursuant
to s.94(2) of the IP Act to nominated personnel within
the City Legal Corporate
Governance and Commercial team that has a current staffing compliment of seven .
The availability of a decision
maker for internal review matters is further
limited by the legislative requirement for that person to possess a certain
level of
seniority to the original decision maker and of course, by having the
requisite experience within the team to conduct the reviews.
Internal review applications are but one part of the specialist work
performed by the City Legal
Corporate Governance and Commercial team that includes significant Council
projects including review, amendment and drafting of Council
local laws, review
of Council delegations and development of a new delegation register.
These key projects are in addition to the 761 new file matters allocated
to our team for the 2021 year to 30 November 2021. Of the
761 new matters
allocated, 29 have been internal review matters. Of those 29 matters, three of
those internal review applications
remain current with the team and all three
decisions are due on 8 December 2021. Two of the internal review applications
are from
you. Your other internal review claims inadequacy of search requiring
recommencement of the search, collation and review process.
In light of the significant workload within our team and the competing
internal review decision deadlines, the commitment of one legal
officer
singularly to one file for more than 9 working days to the exclusion of all
other work is unsustainable and poses an unreasonable
and substantial impact on
Council resources.
Submissions of the applicant
To
the extent that it is necessary for the prerequisites in section 61 of the IP
Act to be satisfied before a decision to refuse to
deal with an access
application is made under section 60 of the IP Act, the purported section 61
notice issued by Council to the
applicant[20] satisfies these
prerequisites. I have noted the applicant’s response to Council,
including her suggested narrowing of her
application as
follows:[21]
... I am prepared to narrow the scope of this IP application by
omitting emails that have been CCd to my email address of [...] – PROVIDED
THAT these emails are
duplicated such as when I send emails to Council and then
CC my own email address of [...]
This would not include emails where I am CCd in, for example, emails
that are not from my email address of [...].
[Applicant’s emphasis]
In
her submission to OIC dated 22 July 2022, the applicant focused on arguments as
to why disclosure of the responsive information
would be in the public
interest:
I would like to remind the OIC that the Administrative Action
Complaint (or AAC) with Council is an investigation complaint. I
lodged my complaint with Council and it was referred as an Administrative Action
Complaint. This AAC investigation was going for 3 months when the
investigation officer suddenly went on leave, and it was left to the Disputes
Commissioner (Ms Stefanie
Nesbitt) to correspond with me via email.
It was Council, including Ms Nesbitt and the CEO, who advised me I could
go to the Queensland Ombudsman’s Office in relation
to any suspected
Administration Action failure.
As you would be aware, taking a complaint to an external complaint body
(even to the CCC), requires substantive evidence. The type
of particular
evidence which may (most likely, being an investigation) come from information
released under privacy legislation.
The object of privacy legislation, to
my understanding, is to give a right of access to information in the
government’s possession
or under the government’s control unless, on
balance, it is contrary to the public interest to release it.
I believe, reasonably, that with-holding investigative information
prejudices my right to administration of justice.
Clearly, Council often writes (to me) about taking a complaint to the
Queensland Ombudsman, or lodging review with the OIC, or going
to the CCC (if
you’re unhappy with the outcome of their investigation or review).
Yet I am witnessing more and more the refusal
(or outright unnecessary delay or
reduction in information being released) to release my personal information
(including investigative
information).
I genuinely believe I have suffered a wrong, and without access to the
investigative file of the AAC (and associated information),
then I am unable to
be sure of any remedy/external complaint or investigation which may be available
under the law (as I genuinely
am unable to decide on what information to go over
if I don’t have access to it!). I believe I have demonstrated my
willingness,
determination and potential/ability (despite disability/impairment)
to lodge complaints, so it’s not hard to see that I would
go down the
course of action of further external complaints (therefore it is reasonable that
I would pursue a remedy). It is therefore
obvious that disclosure of the
information I am seeking from Council in this matter would greatly assist myself
to pursue a remedy
(ie Queensland Ombudsman, or even the CCC) or to evaluate
whether a remedy was available, or worth pursuing.
The AAC was not finalised, but prematurely closed. There is a
concern from the Disputes Commissioner herself about a conflict of
interest connection. I raised matters with a Divisional Manager who
appears to have suddenly disappeared from Council after I raised concerns
of
some of her (questionable) information in her emails to me.
The reason I seek access to emails I have sent to, as well as emails I
have received from, Council, in relation to the AAC is to ensure
Council
received (and perused/considered) all the relevant information provided, as well
as the emails and information they sent
to me are actually all contained
in the investigation file of my AAC.
I also have a current, ongoing Queensland Human Rights
Commission investigation, which is at a conciliation stage. Some
information
on the AAC investigative file may be information that I could
potentially submit to the QHRC as part of this conciliation process.
...
I have had issues
accessing investigative/complaint files including the CMP and Ethical
standards investigations. Council refused to release them to me via
administrative releases, and I then had issues applying for information
via Council’s RTI Unit. Clearly this continues to be an issue with
accessing the AAC investigation information and associated material.
With respect, I am concerned that Council may be deliberately trying to
with-hold certain investigative information from me in an
attempt to suppress
and subvert information being provided to me via the privacy request. I am
also concerned that delaying sufficiently
long enough to receive information
from my privacy request, puts me out of time to lodge concerns with external
complaint bodies.
... [Applicant’s
emphasis]
Findings
What work would
be involved in dealing with the access application?
Council
advised that preliminary search inquiries from eight Council business areas had
located over 2680 potentially responsive pages.
Based
on this number of pages, Council estimated that 22 hours of administrative work
would be involved in:
searching for,
extracting and reviewing the documents for relevance
collating,
scanning and compiling the documents into a pdf format for review by a
decision-maker; and
editing/redacting
the documents in preparation for release.
Council’s
estimate was based upon one minute per two pages. I consider this to be a
reasonable basis for the estimate. I am
satisfied that, while an agency is
required to consider how much time an access application is likely to take to
process, a precise
assessment is not required. As such, in cases where an
assessment may, in itself, substantially and unreasonably divert the agency's
resources, an estimate is acceptable.
Council
also estimated that 45 hours would be required to be spent by a decision-maker
in:
reviewing the
documents and assessing them against the provisions of the IP Act; and
marking up the
documents to reflect the decision.
Council’s
estimate was based upon one minute per page, which I consider to be a
conservative estimate. It is reasonable to
expect that, given the nature of the
access application as a request for complaint documents, responsive documents
would likely contain
the personal information of third parties. As such, I
consider the time needed to review, consider and redact the personal information
of other persons is likely to be significantly more than one minute. In my
view, a more reasonable estimate is two minutes per page.
This equates to a
further 90 hours of work involved in processing the access application.
In
addition, I note that Council did not include an estimate of time needed to
conduct any third party consultations, nor to prepare
a written decision. I
consider it is reasonable to estimate a further five hours would be required to
complete these tasks, given
the volume of documents.
In
summary, I am satisfied that approximately 117 hours of
work[22] would be required to
process and decide the applicant’s access application.
Would the impact on Council’s functions be
substantial and unreasonable?
Yes.
I am satisfied that processing the access application would substantially and
unreasonably impact Council’s functions,
for the reasons set out below.
Based
on the estimate set out above for compiling, reviewing and editing the
responsive emails, as well as making and issuing a decision,
the processing of
the application would involve approximately 117 hours of work. This equates to
one Council officer working on
the access application for almost 17 business
days,[23] or over three weeks, to
the exclusion of all other functions.
In
its submissions, Council focused on the available resources in its City Legal
division (which is responsible for conducting internal
reviews of IP Act/RTI Act
access decisions), and the competing work priorities of that division (see
paragraph 20 above). Based on that
information, and the wide range of other legal work for which the division is
responsible, I am satisfied
that spending nearly 17 business days to deal with
one application would have a substantial and unreasonable impact on those
resources.
However,
on the basis that Council’s decision was, in fact, a deemed refusal of
access (see paragraph 3 above), I have also
considered the impact on the
resources of Council’s RTI unit were the application required to be
processed by that unit.
I
discussed the resourcing of Council’s RTI unit in detail at paragraphs 40
to 46 of my decision in T74 and Brisbane City Council [2021] QICmr 54 (21
October 2021)[24] and I rely upon
the observations and findings made there. While I do not have to hand the
current number of access applications
that Council is processing, previous years
have shown that Council is an extremely busy RTI unit that receives a high
volume of access
applications relative to other
agencies.[25] OIC’s own
interactions with Council indicate the high volume of work required to be
processed by the unit.
Accordingly,
having regard to information previously provided by Council about the staffing
of its RTI Unit and the high volume of
applications it receives each year, I am
satisfied that spending 17 days to process one application would have a
substantial and
unreasonable impact on Council’s resources.
I
have had regard to the factors listed at paragraph 19 above to the extent that
they are relevant to the circumstances of this case.
I
acknowledge, as noted at paragraph 21
above, that the applicant attempted to narrow the scope of her application by
excluding emails sent from her email address, provided
that these emails were
duplicates (for example, emails that the applicant sent to Council and where she
copied in her email address).
The applicant did not exclude emails where she
was copied in, but which were not sent from her email address.
I
agree with Council’s position that this concession is of little practical
effect in reducing the work involved in processing
the application because a
review of each email would still be required to decide whether or not it can be
excluded on the terms identified
by the applicant.
As
noted, the applicant’s submissions focus solely on the public interest in
disclosure of the requested information, rather
than any arguments concerning
the work involved in processing the application and its impact on
Council’s resources. I accept
that the public interest in disclosure is
one relevant factor to be taken into when considering the application of section
60 of
the IP Act (see paragraph 19 above). However, in terms of the
applicant’s submission that she requires access to the requested
information in order to make a complaint to the Queensland Ombudsman
(QO), or because it may possibly be relevant to a complaint that she
states she is pursuing with the Queensland Human Rights Commission
(QHRC), I am not satisfied that she requires access to the information in
order to make those complaints. If the applicant considers that
Council has
engaged in maladministration, she is free to make her complaint to the QO which
will assess her complaint and request
relevant information from Council if
necessary. Similarly, if the applicant considers that Council has breached her
human rights
in dealing with her complaint, she can raise this matter with the
QHRC which will, again, seek relevant information from Council
if necessary.
In
summary, having regard to all relevant factors listed in paragraph 19 above, I
am satisfied that requiring an officer of Council
in either the RTI unit or the
City Legal division to work on processing the applicant’s access
application, to the exclusion
of all other work, for a period of over three
weeks, would significantly impact Council’s ability to process other
access applications/applications
for internal review, and attend to its other
local government functions, resulting in a substantial and unreasonable
diversion of
Council’s resources.
For
the reasons set out above, I am satisfied that the work involved in dealing with
the access application would, if carried out,
substantially and unreasonably
divert Council’s resources from their use in the performance of
Council’s functions. DECISION
I
set aside Council’s deemed refusal of access. In substitution, I find
that Council was entitled to refuse to deal with the
applicant’s access
application under section 60 of the IP Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.A Rickard
A/Right to Information CommissionerDate: 7 September
2022
APPENDIX
Significant procedural steps
Date
Event
5 January 2022
OIC received the application for external review.
6 January 2022
OIC requested that Council provide the initial documents.
10 January 2022
Council provided the initial documents.
10 February 2022
OIC advised the applicant and Council that the application for review had
been accepted.
1 April 2022
OIC updated the applicant.
19 May 2022
OIC communicated a preliminary view to the applicant.
8 June 2022
The applicant requested and was granted an extension of time to 7 July 2022
in view of her disabilities.
15 June 2022
The applicant was granted a further extension of time to 22 July
2022.
22 July 2022
OIC received submissions from the applicant.
26 August 2022
The applicant requested an update.
[1] Dated 20 September 2021.
[2] The access application was
compliant on 20 September 2021. The section 61 notice was issued on 27 October
2021, being business day
26. [3]
Council’s purported initial decision dated 10 November 2021 and its
purported internal review decision dated 7 December 2021
were invalid.
[4] Including the external review
application and the submission dated 22 July 2022.
[5] Section 21(2) of the HR Act.
[6] XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010)
(‘XYZ’) at [573]; Horrocks v Department of
Justice (General) [2012] VCAT 241 (2 March 2012) at
[111].[7] Freedom of
Information Act 1982 (Vic) and the Charter of Human Rights and
Responsibilities Act 2006 (Vic).
[8] XYZ at
[573].[9] Section 123 of the IP
Act. [10] Section 40 of the IP
Act. [11] Section 58 of the IP
Act. [12] Section 14B of the
AIA. [13] Macquarie Dictionary
Online www.macquariedictionary.com.au (accessed 5 September 2022).[14]
Section 60(3) of the IP Act.
[15] Section 60(2) of the IP
Act. [16] Middleton and
Building Services Authority (Unreported, Queensland Information
Commissioner, 24 December 2010) at
[34]-[37].[17] 60CDYY and
Department of Education and Training [2017] QICmr 52A (7 November 2017) at
[18].[18] ROM212 and
Queensland Fire and Emergency Services [2016] QICmr 35 (9 September 2016) at
[42] and F60XCX and Department of the Premier and Cabinet [2016] QICmr 41
(13 October 2016) at [90], adopting Smeaton v Victorian WorkCover Authority
(General) [2012] VCAT 1550 (Smeaton) at
[30].[19] Smeaton at
[39].[20] Dated 27 October
2021.[21] Dated 7 November
2021.[22] 22 + 90 +
5.[23] Based on a seven hour
working day. [24] Issued to the
applicant who was acting as agent for the access applicant in that matter.
[25] Pages 94-96 of Department
of Justice and Attorney-General, ‘Right to Information Act 2009
and Information Privacy Act 2009 Annual Report 2020-21’ at
<rti.qld.gov.au> show that, in the 2020-21 financial year, Council
received 544 RTI and IP applications; the next highest
number of applications
were received by City of Gold Coast (173) and Moreton Bay Regional Council
(107), with all other local governments
receiving fewer than 100 access
applications.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Nine Network Australia Pty Ltd and Brisbane City Council [2012] QICmr 31 (7 June 2012) |
Nine Network Australia Pty Ltd and Brisbane City Council [2012] QICmr 31 (7 June 2012)
Nine Network Australia Pty Ltd and Brisbane City Council [2012] QICmr 31 (7 June 2012)
Last Updated: 17 July 2012
Decision and Reasons for Decision
Application Number: 310717
Applicant: Nine Network Australia Pty Ltd
Respondent: Brisbane City Council
Decision Date: 7 June 2012
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
REFUSAL OF ACCESS – applicant sought information about
the top five
revenue raising parking meters and amounts raised for the 2010 calendar year
– whether the information comprises
exempt information the disclosure of
which would endanger a person’s life or physical safety under schedule 3,
section 10(1)(c)
and/or endanger the security of a structure under schedule 3,
section 10(1)(h) of the Right to Information Act 2009 (Qld) –
whether disclosure of the information would, on balance be contrary to the
public interest – section 47(3)(b) and 49 of the Right to Information
Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to Brisbane City Council (Council) under the Right
to Information Act 2009 (Qld) (RTI Act) for access to the street and
suburb locations of the top five revenue raising parking meter machines in 2010
and the amounts raised
by each machine.
Council
located one page of relevant information and found that it was exempt from
disclosure.[1]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of Council’s decision refusing access.
In
the circumstances, Council is not entitled to refuse access to the relevant
information in this review.
Significant procedural steps
Significant
procedural steps are set out in the Appendix.
Reviewable decision
The
decision under review is Council’s decision dated 25 July 2011.
Relevant information
Council
produced a one page spreadsheet containing the five highest earning parking
meters detailing the street name, suburb, number
of parking spaces, hours and
days of operation, hourly parking rate and total annual revenue of each machine
(Relevant
Information).[2]
Material considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision are disclosed in these reasons (including
footnotes and Appendix).
Relevant law
Under
section 23 of the RTI Act, a person has a right to access documents of an agency
subject to a number of exclusions and limitations,
including grounds for refusal
of access. These grounds are contained in section 47 of the RTI Act.
Sections
47(3)(a) and 48 of the RTI Act provide that access may be refused to a document
to the extent that it comprises ‘exempt
information’. Schedule 3
sets out the types of information which the Parliament considers to be
‘exempt information’
as its disclosure would, on balance, be
contrary to public interest.
Sections
47(3)(b) and 49 of the RTI Act provide a ground for refusal of access where
disclosure of information would, on balance,
be contrary to the public interest.
Issues for determination
The
issues for determination in this decision are whether:
the Relevant
Information comprises exempt information, the disclosure of which would:
endanger
a person’s life or physical
safety[3]
endanger
the security of a
structure;[4]
or
disclosure of
the Relevant Information would, on balance, be contrary to the public
interest.[5]
I
will examine these issues in turn.
Findings
Is the Relevant Information exempt from disclosure?
No,
for the reasons that follow.
Council
submits that the Relevant Information comprises exempt information, the
disclosure of which could reasonably be expected to:
endanger a
person’s life or physical
safety[6] and
endanger the
security of a
structure.[7]
The
term ‘could reasonably be expected to’ requires that the relevant
expectation is:[8]
reasonably
based; and
neither
irrational, absurd or ridiculous, nor merely a possibility
whether
the expected consequence is reasonable requires an objective examination of the
relevant evidence
the
expectation must arise as a result of disclosure, rather than from other
circumstances; and
it is
not necessary for a decision-maker ‘to be satisfied upon a balance of
probabilities’ that disclosing the relevant information will produce
the anticipated prejudice.
In
summary, Council submits
that:[9]
meters in
Brisbane have been the subject of frequent attacks and thefts
meter attendants
have been verbally abused when attending to meters
raising
awareness of the amounts of money held by meters may create new opportunities
for theft
disclosure of
the Relevant Information could reasonably be expected to result in:
relevant
meters being targeted for theft and/or vandalism
relevant
staff facing a greater risk of criminal activity.
With
respect to Council’s submission regarding disclosure leading to an
increased likelihood of criminal activity, which could
reasonably be expected to
endanger a person’s life or physical safety or the security of a
structure, I am not satisfied on
the evidence before me that such an expectation
is reasonably based given that:
information
which is currently publicly available reveals parking meter revenue collected by
Council[10] and
statistical data relating to the number of meters in
Brisbane[11]
the clearance of
meters occurs in public and may be observed by members of the public; and
the Relevant
Information does not identify specific meters, nor does it reveal monetary
amounts held at any one time.
After carefully considering all of the information before me and on the basis of
the matters set out above, I am satisfied that:
there
is insufficient evidence to conclude that disclosure of the Relevant Information
could reasonably be expected to increase the
likelihood of relevant criminal
activity, as submitted by Council; and
the Relevant
Information does not comprise exempt information, the disclosure of which could
reasonably be expected to endanger a
person’s life or physical
safety[12] or the
security of a structure.
[13]
Would disclosure of the Relevant Information be contrary to the public interest?
No,
for the reasons that follow.
In
determining whether disclosure of the Relevant Information would, on balance, be
contrary to the public interest I
must:[14]
identify and
disregard irrelevant factors
identify factors
favouring disclosure of the information in the public interest
identify factors
favouring nondisclosure of the information in the public interest
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to public interest.
Irrelevant factors
I
have examined schedule 4 of the RTI Act and consider that no irrelevant factors
arise.
Factors favouring disclosure
After
carefully considering all of the information before me, I am satisfied that the
factors favouring disclosure of the Relevant
Information include that disclosure
could reasonably be expected to:
ensure effective
oversight of expenditure of public
funds[15]
promote open
discussion of public affairs and enhance the Council’s
accountability;[16]
and
contribute to
positive and informed debate on important issues or matters of serious
interest.[17]
Based
on the information before me, I am satisfied that:
disclosure of
the Relevant Information (revealing a snapshot of revenue raised by Council
meters identified by street and suburb)
could reasonably be expected to enhance
the public interest factors favouring disclosure
there is a
strong public interest in ensuring that people affected by Council services
(including users of parking meters and Council
rate payers) are informed about
Council’s management and collection of revenue from its parking meters;
and
the public
interest factors favouring disclosure should be afforded moderate to significant
weight in the circumstances.
Factors favouring nondisclosure
After
carefully considering all of the information before me, I am satisfied that the
factors favouring nondisclosure of the Relevant
Information include that
disclosure could reasonably be expected to prejudice the business, commercial or
financial affairs of
Council.[18]
With
respect to this factor, I am mindful of Council’s submission that
disclosure of the Relevant Information could reasonably
be expected to affect
Council revenue if:
revenue is lost
through theft
meters are
inoperable due to damage; and/or
Council is
required to expend funds on repairs to or replacement of
meters. [19]
I
am also mindful of Council’s public interest submission that
‘disclosure could reasonably be expected to prejudice the security of
these parking meters and the public safety of officers
servicing
them’.[20]
I
have carefully considered the factors favouring nondisclosure and am satisfied
on the information before me that disclosure of the
Relevant Information could
not reasonably be expected to prejudice the business, commercial or financial
affairs of Council, security,
law enforcement or public safety, given
that:
information
which is currently publicly available reveals parking meter revenue collected by
Council[21] and
statistical data relating to the number of meters in
Brisbane[22]
the clearance of
meters occurs in public and may be observed by members of the public; and
the Relevant
Information does not identify specific meters, nor does it reveal monetary
amounts held at any one time.
On
the basis of the matters set out above, I am satisfied that the public interest
factors favouring nondisclosure should be afforded
little weight in the
circumstances.
Balancing the public interest
In
accordance with the matters set out above, I am satisfied that:
the public
interest factors favouring disclosure of the Relevant Information outweigh those
favouring nondisclosure; and
disclosure of
the Relevant Information would not, on balance, be contrary to the public
interest.
DECISION
I
set aside the Department’s decision to refuse access to the Relevant
Information and find that this information:
does not
comprise exempt information under section 47(3)(a) of the RTI Act; and
would not, on
balance, be contrary to the public interest to be disclosed under section
47(3)(b) of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the Right to Information Act 2009 (Qld).
________________________
Assistant Commissioner Henry
Date: 7 June 2012
APPENDIX
Significant procedural steps
Date
Event
4 July 2011
Council received the applicant’s RTI Act application.
25 July 2011
Council issued its decision to the applicant refusing access to a one page
document.
28 July 2011
OIC received the applicant’s external review application.
14 September 2011
OIC conveyed a preliminary view to the Council that access to some
information could be refused as exempt information but the remainder
could be
disclosed.
OIC invited the Council to provide submissions to OIC by 28 September
2011
27 September 2011
Council contested the OIC preliminary view and maintained all information
was exempt information. It also raised fresh claims that
disclosure of the
information would, on balance, be contrary to the public interest.
28 September 2011
Applicant provided a submission to OIC detailing the release of similar
information by another city Council.
16 May 2012
Applicant agreed to exclude some information from the scope of the
application
[1] Council later
submitted in its letter to the OIC dated 27 September 2011 that disclosure of
the information would, on balance, also
be contrary to the public interest under
section 47(3)(b) of the RTI Act.
[2] During the
course of the review, OIC obtained the agreement of the applicant to exclude the
individual machine identification numbers
and the location of each machine on
the street from the scope of the application. Accordingly, this information
does not form part
of the Relevant
Information.[3]
Schedule 3, section 10(1)(c) of the RTI
Act.[4] Schedule 3,
section 10(1)(h) of the RTI
Act.[5] Section
47(3)(b) and 49 of the RTI
Act.[6] Sections
47(3)(a), 48 and schedule 3, sections 10(1)(c) of the RTI
Act.[7] Sections
47(3)(a), 48 and schedule 3, sections 10(1)(h) of the RTI
Act.[8] Most
recently Nine Network Australia Pty Ltd and the Department of Justice and
Attorney-General (310280, 14 February 2012) at paragraphs 29 to
31.[9]
Council’s submission to the OIC dated 27 September
2012.[10]
Council’s Annual
Reports.[11]
Information available from www.data.gov.au
Parking Meter Areas Brisbane City
Council.[12]
Schedule 3, section 10(1)(c) of the RTI
Act.[13] Schedule
3, section 10(1)(h) of the RTI
Act.[14] Section
49(3) of the RTI
Act.[15] Schedule
4, part 2 item 4 of the RTI
Act.[16] Schedule
4, part 2, item 1 of the RTI
Act.[17] Schedule
4, part 2, item 2 of the RTI
Act.[18] Schedule
4, part 3, item 2 of the RTI
Act.[19]
Council’s submission to the OIC dated 27 September
2012.[20] Schedule
4, part 3, item 7 of the RTI
Act[21]
Council’s Annual
Reports.[22]
Information available from www.data.gov.au
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Watkins Pacific Limited and Queensland Rail; Gold Coast Bulletin (Third Party) [1998] QICmr 20 (3 June 1998) |
Watkins Pacific Limited and Queensland Rail; Gold Coast Bulletin (Third Party) [1998] QICmr 20 (3 June 1998)
Watkins Pacific Limited and Queensland Rail
(S 99/95, 6 March 1998, Information Commissioner Albietz)
(This decision has been edited to remove merely procedural information
and may have been edited to remove personal or otherwise sensitive
information.)
1.-4. These paragraphs deleted.
REASONS FOR DECISION
Background
This
is a 'reverse FOI' application by Watkins Pacific Ltd (Watpac), objecting to a
decision by Queensland Rail to grant the Gold
Coast Bulletin access under the
FOI Act to parts of a report by Weathered Howe, consulting engineers, who had
been retained by Queensland
Rail to investigate allegations against Watpac of
unsafe construction practices on a segment of the Beenleigh-Robina railway
line.
By
letter dated 17 January 1994, Mr David Smith made application to Queensland
Rail, on behalf of the publisher of the Gold Coast
Bulletin (Gold Coast
Publications Pty Ltd), for access to documents under the FOI Act, in the
following terms:
Could Queensland Rail please provide correspondence and reports between
Queensland Rail and engineers Weathered Howe in reference
to the commissioned
independent investigation of allegations regarding safety and quality of the 12
km section of the rail line between
Ormeau and Coomera.
There is a very strong public interest aspect of this request. The
subject was raised in Parliament late last year, with allegations
the quality
and safety of construction of a section of the line may have been
compromised.
At the time, Opposition transport spokesman Vaughan Johnson warned of a
possible "scandal" and possible "fraudulent practices".
Queensland Rail less than two weeks later ordered an independent probe
into the allegations, Gold Coast engineers Weathered Howe being
commissioned to
complete the study.
Queensland Rail predicts up to five million passengers a year will use the
rail link after its opening later this year.
It is obviously in the public interest that the complete, and unabridged,
Weathered Howe report is made available to the Gold Coast
Bulletin.
Queensland
Rail identified a lengthy report from Weathered Howe, and a number of associated
documents, as falling within the terms
of the access application. Pursuant to
s.51 of the FOI Act, Queensland Rail consulted Watpac, as the contractor
responsible for
the construction of the relevant segment of the rail line.
Watpac objected to disclosure of the documents on the basis that they
were
exempt under s.45(1)(c) of the FOI Act.
The
initial decision in response to the FOI access application was made on behalf of
Queensland Rail by Mr P Carden, FOI Co-ordinator,
and communicated to Watpac and
the Gold Coast Bulletin by letters dated 23 March and 24 March 1995,
respectively. Mr Carden decided
that the substantive sections of the Weathered
Howe report, entitled "Summaries and Conclusions", "Standard of Work Overall and
Areas
of Concern", and "Quality Assurance Comments", plus a number of appendices
to the report, were exempt matter under s.45(1)(c).Mr Carden also decided
that a small amount of other matter was exempt under s.44(1) or s.46(1)(b) of
the FOI Act. He decided that
the balance of the report and its appendices were
not exempt matter, and should be disclosed to the Gold Coast
Bulletin.
By
letter dated 18 April 1995, Watpac, through its solicitors, sought internal
review of Mr Carden's decision, with respect to the
matter which Mr Carden had
decided was not exempt matter. In his internal review decision dated 2 May
1995, Mr K Buckley, FOI Internal
Review Officer, affirmed Mr Carden's decision
that certain matter was not exempt matter, and should be disclosed to the Gold
Coast
Bulletin. Solicitors for Watpac then applied to me for external review,
under Part 5 of the FOI Act, of Mr Buckley's decision.
The
Gold Coast Bulletin did not seek internal review of Mr Carden's decision that
certain matter described above was exempt matter
under s.45(1)(c), s.44(1) and
s.46(1)(b), and accordingly the correctness of that part of Mr Carden's decision
is not an issue which
I have jurisdiction to determine in this external review.
External review process
I
obtained and perused a copy of the entire Weathered Howe report and supporting
documents. The Gold Coast Bulletin was consulted
and confirmed that it wished
to pursue access to the matter in issue, and to become a participant in these
proceedings. As noted
above, the substantive parts of the Weathered Howe report
are not in issue in this external review, and have not been provided to
the Gold
Coast Bulletin. Concessions made by the Gold Coast Bulletin in the course of
this external review have further limited
the scope of the review, to the extent
that the matter remaining in issue is:
Description
Folios
Covering letter from Weathered Howe forwarding report
304-5
Cover pages of Report and table of contents
299-303
Section 1.0 - Introduction (two paragraphs)
298
Section 2.0 - Assessment Brief (brief description of purpose of
consultancy, details of work and timing of reports.)
297-8
Appendix 3 - Watpac summary of the Davis relationship (the only matter in
issue from this Appendix is a facsimile cover sheet with
a simple two line
message forwarding the summary. The summary itself is not in
issue)
265-6
Appendix 4 - Queensland Rail letter securing services of Weathered Howe
with 3 page attachment setting out background, purpose of
consultancy and other
details of consultancy.
257-62
Appendix 5 - Various documents recording allegations made by
representatives of Roy Davis Contracting (part of folio 253 is not in
issue)
241-56
Appendix 6 - Note of a telephone conversation with a representative of Roy
Davis Contracting
238-40
Appendix 7 - Statutory declaration by a representative of Roy Davis
Contracting and attached photographs
235-6
Appendix 8 - Statutory declaration by a representative of Roy Davis
Contracting
233-4
Appendix 9 - Notes of meeting between Weathered Howe and Queensland Rail on
progress of consultancy
230-32
Appendix 10 - Letter from a representative of Roy Davis
Contracting
228-9
Appendix 11 - Notes of site inspections with Queensland Rail officers (part
of folio 225 is not in issue)
221-27
Appendix 12 - Requests for information to Queensland Rail from Weathered
Howe
216-20
Appendix 13 - Detailed Report Civil 2 (parts of the report dealing with
adequacy of level of inspection of Queensland Rail officers
are in issue.
Balance is not in issue).
208-12
Some
of the matter which remains in issue is merely administrative information
relating to the commissioning and creation of the report.
Other matter relates
to the adequacy of supervision, by Queensland Rail officers, of construction
work undertaken by Watpac. However,
the bulk of the matter remaining in issue
sets out the criticisms and concerns expressed about unsafe construction
practices, which
had given rise to the commissioning of the report, or which
were made known to Weathered Howe in the course of its investigations.
Weathered Howe's assessment of the validity of those concerns is contained in
the substantive part of the report, which, however,
is not in issue in this
external review for the reason explained in paragraph 10
above.
By
letter dated 19 February 1997, the solicitors for Watpac were provided with a
copy of my decision in Re Cannon and Australian Quality Egg Farms Limited
[1994] QICmr 9; (1994) 1 QAR 491 and invited to lodge a written submission and/or evidence
in support of Watpac's contention that the matter in issue was exempt under
s.45(1)(c) of the FOI Act. Despite being accorded a number of opportunities to
provide a submission or evidence in support of its
contentions, Watpac has
lodged no material with me. In this context, it is worth repeating the comments
which I published for the
benefit of 'reverse FOI' applicants in Re Pope and
Queensland Health [1994] QICmr 16; (1994) 1 QAR 616 at pp.621-622 (paragraph
17):
Section 81 of the FOI Act provides that in a review under Part 5 of the
FOI Act, the agency which made the decision under review has
the onus of
establishing that the decision was justified or that the Information
Commissioner should give a decision adverse to the
applicant. In the present
case, therefore, the formal onus remains on Queensland Health to justify its
decision that the Seawright
Report is not exempt under s.45(1)(c). Queensland
Health can discharge this onus, however, by demonstrating that any one of the
three elements which must be established to found a valid claim for exemption
under s.45(1)(c) cannot be made out. Thus, the applicant
in a 'reverse-FOI'
case, while carrying no formal legal onus, must nevertheless, in practical
terms, be careful to ensure that there
is material before the Information
Commissioner from which I am able to be satisfied that all elements of the
exemption provision
relied upon (in this case the three elements of s.45(1)(c))
are established. Application of 45(1)(c) of
the FOI Act
Section
45(1)(c) of the FOI Act provides:
45.(1) Matter is exempt matter if—
...
(c) its disclosure—
(i) would disclose information (other than trade secrets or information
mentioned in paragraph (b)) concerning the business, professional,
commercial or
financial affairs of an agency or another person; and
(ii) could reasonably be expected to have an adverse effect on those
affairs or to prejudice the future supply of such information
to
government;
unless its disclosure would, on balance, be in the public
interest.
The
correct approach to the interpretation and application of s.45(1)(c) is
explained in Re Cannon at pp.516-523 (paragraphs 66-88). In summary,
matter will be exempt under s.45(1)(c) if I am satisfied
that:
(a) the matter in issue is properly to be characterised as information
concerning the business, professional, commercial or financial
affairs of an
agency or another person; and
(b) disclosure of the matter in issue could reasonably be expected to have
either of the prejudicial effects contemplated by s.45(1)(c)(ii),
namely:
(i) an adverse effect on the business, professional, commercial or financial
affairs of the agency or another person, which the information
in issue
concerns; or
(ii) prejudice to the future supply of such information to government;
unless I am also satisfied that disclosure of the matter in issue would, on
balance, be in the public interest.
The
only material before me which states grounds for Watpac's objection to
disclosure, is a letter dated 15 March 1995 from Watpac's
solicitors in response
to s.51 consultation by Queensland Rail:
(a) In the compilation of the reports and correspondence, due regard was
not had to the rule of natural justice, in that the reports
and correspondence
contained hearsay evidence, were subjective in their analyses, and Watpac was
not afforded the opportunity to
make submissions in its own defence.
(b) The report was commissioned by Q Rail in response to allegations made
by a Subcontractor, which have been determined to be vexatious.
(c) The report covers a review of fitness for purpose, public safety, as
well as a wide range of other matters relating to construction
supervision. The
report confirms there are no areas of concern in relation to the works being fit
for the purpose or safety to the
public. The report makes unanswered
allegations relating to construction practice which may be extremely detrimental
to Watpac.
(d) The allegations by the Subcontractor appear to have been made to
secure a commercial settlement of litigation between the Subcontractor
and
Watpac. Both Watpac and Q Rail have been subjected to pressure from the
Subcontractor through media releases and coverage.
(e) The contents of the reports and correspondence are such, that
selective releasing of the parts of the report which exacerbate
media pressure
on both Q Rail and Watpac, may prejudice the proper outcome of the current legal
proceedings.
Business, commercial or financial
affairs?
In
interpreting this requirement, I have adopted a confined approach to the
construction of the term "concerning the business, ... commercial or
financial affairs of .... another person", which accords with the approach
taken by Powell J of the NSW Supreme Court in Wittingslow Amusements Group v
Director-General of the Environment Protection Authority of NSW (Supreme
Court of NSW, Equity Division, No. 1963 of 1993, Powell J, 23 April 1993,
unreported). The relevant passage from Powell
J's decision is reproduced in
Re Cannon at p.518, paragraph 72. A similar approach has also been
adopted by Victorian judges (see the cases analysed in Re Cannon at pages
517-518, paragraphs 69-71). It is not sufficient that the matter in issue has
some connection with a business, or has been
provided to an agency by a
business, or will be used by a business in the course of undertaking business
operations. The matter
in issue must itself be information about business,
commercial or financial affairs, in order to satisfy this
requirement.
As
I have noted above, some of the matter in issue is simply administrative
information, or information about how Weathered Howe went
about preparing the
report. Other information relates to the quality of supervision by Queensland
Rail officers. I am not satisfied
that matter of that kind satisfies the
initial requirement for exemption imposed by s.45(1)(c)(i). Other examples
could be given.
However, in light of the findings I have made below in relation
to the other requirements for exemption under s.45(1)(c), I will
refrain from
adding to the length of this decision by attempting to identify in detail all
matter which does or does not meet the
requirement for exemption imposed by
s.45(1)(c)(i) of the FOI Act. Adverse effect on
business, commercial or financial affairs?
Watpac
has not argued that disclosure of the matter in issue could reasonably be
expected to prejudice the future supply of such information
to government, and I
can see no reasonable basis for such a claim. I will therefore consider whether
disclosure of the matter in
issue could reasonably be expected to have an
adverse effect on Watpac's business, commercial or financial
affairs.
I
analysed the meaning of the phrase "could reasonably be expected to", by
reference to relevant Federal Court decisions interpreting the identical phrase
as used in exemption provisions of the Freedom of Information Act 1982
Cth (the Commonwealth FOI Act), in my reasons for decision in Re "B" and
Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279, at pp.339-341,
paragraphs 154-160. Those observations are also relevant here. In particular,
I said in Re "B" (at pp.340-341, paragraph 160):
The words call for the decision-maker ... to discriminate between
unreasonable expectations and reasonable expectations, between
what is merely
possible (e.g. merely speculative/conjectural "expectations") and expectations
which are reasonably based, i.e. expectations
for the occurrence of which real
and substantial grounds exist.
The ordinary meaning of the word "expect" which is appropriate to its context
in the phrase "could reasonably be expected to" accords
with these dictionary
meanings: "to regard as probable or likely" (Collins English Dictionary, Third
Aust. ed); "regard as likely
to happen; anticipate the occurrence ... of"
(Macquarie Dictionary, 2nd ed); "Regard as ... likely to happen; ... Believe
that it
will prove to be the case that ..." (The New Shorter Oxford English
Dictionary, 1993).
Watpac
has made a briefly-stated claim, in broad terms, that disclosure could be
expected to prejudice its affairs, but has not backed
up its claim with any
evidence, or with specific submissions explaining how the disclosure of
particular matter in issue could reasonably
be expected to prejudice its
relevant affairs.
There
is no doubt that the matter in issue contains criticisms or concerns raised
about particular aspects of Watpac's construction
practices in relation to the
rail line. The validity of those criticisms/concerns was assessed in segments of
the report which are
not in issue in this external review. However, the
contents of the report itself make it clear that the criticisms/concerns have
already been the subject of considerable attention both in the media and in
Parliament (see, for example, Appendix 2). Given the
extent of public attention
which had already been drawn to them by the time of the relevant FOI access
application, it is doubtful
that disclosure under the FOI Act of another
statement of the concerns (even if in more detail than originally made public)
could
reasonably have been expected to prejudice the business, commercial or
financial affairs of Watpac - disclosure of the matter in
issue under the FOI
Act would not be likely to have occasioned any significant escalation in the
concerns which people might have
had on first hearing of the criticisms.
But,
in any event, there has been a considerable lapse of time since the
criticism/concerns first came to public attention. In that
time, they have been
assessed by independent expert engineers, and the rail line has been completed
and has operated safely. Given
the nature of the concerns expressed, the
passage of time and the successful operation of the rail line, I consider that
if any adverse
effect on the business, commercial, or financial affairs of
Watpac could reasonably be expected to follow as a consequence of the
disclosure
now of the matter in issue, any such adverse effect would be minimal.
Public interest balancing test
The
construction of a rail line of the size of the Beenleigh-Robina rail line is a
significant public undertaking. There is a significant
public interest in
Queensland Rail being held accountable to the public of Queensland for its part
in procuring and supervising work
carried out on the rail line. There is also a
significant public interest in allowing members of the public access to matter
which
will enable them to assess whether this significant commuter and tourism
facility has been properly constructed and is safe to serve
the
community.
In
my view, these public interest considerations favour disclosure both of the
criticisms and concerns raised about safety aspects
of some of Watpac's
construction practices, and of the steps taken by or on behalf of Queensland
Rail with a view to establishing
whether or not the criticisms and concerns had
any substance, and to assure the quality and safety of the construction work
being
undertaken on behalf of Queensland Rail. (In that regard, it is
unfortunate, in my opinion, that the Gold Coast Bulletin did not
pursue access
to those segments of the report which detail Weathered Howe's assessment of the
validity of the criticisms and concerns
raised about unsafe construction
practices.)
Arguably,
it may not have been appropriate to disclose the criticisms made about the
safety of particular aspects of Watpac's construction
practices, thereby risking
prejudice to Watpac's business reputation, until it was established by
investigation that the criticisms
had substance. However, once the criticisms
(albeit in a less detailed version than appears in the matter in issue) became a
matter
of public record after being raised in the Legislative Assembly (see
Hansard, 16 November 1994, pp.10422-10423), the Queensland public
was confronted
with a significant issue of public safety, in respect of a major item of public
infrastructure, which was ultimately
intended to attract usage by the public in
substantial numbers. From that point in time, I consider that the balance of
the public
interest, has favoured disclosure of the detail of the criticisms and
concerns about safety aspects of Watpac's construction processes,
so as to
enable the public to assess whether the sources of the criticism were credible
(including in terms of their knowledge of
relevant facts and their relevant
expertise) or perhaps motivated by self-interest, and to assess the nature and
extent of any potential
threat to public safety, with a view to ultimately
holding Queensland Rail accountable for taking steps to assure the quality and
safety of the construction work being undertaken for it on behalf of the
Queensland public.
I
also consider that the public interest in accountability of government agencies
for the performance of their functions favours disclosure
of the matter in issue
which concerns the supervision, and quality assurance practices, of Queensland
Rail officers in respect of
the Watpac construction contracts (although the
extent to which any of that matter could be properly said to concern the
business,
commercial or financial affairs of Watpac would, in any event, be
extremely limited: see paragraph 18 above).
In
light of the view I have stated at paragraph 23 above (i.e., that any adverse
effect on the business, commercial or financial affairs
of Watpac, that could
reasonably be expected in consequence of disclosure of the matter in issue,
would be minimal), I consider that
the public interest considerations which tell
in favour of disclosure of the matter in issue carry such weight as to warrant a
finding
that disclosure of the matter in issue would, on balance, be in the
public interest. I therefore find that none of the matter in
issue is exempt
matter under s.45(1)(c) of the FOI Act. Access to
entire report
Given
my findings and comments above, I would respectfully suggest that the interests
of both Queensland Rail and Watpac (as well
as the interest of the Queensland
public in being more fully informed) might best be served if Queensland Rail
were to elect to now
disclose the Weathered Howe report in its entirety. To do
so would give a properly balanced view of the safety concerns that have
been
raised, and the expert opinion offered by Weathered Howe in assessing the
validity of those concerns. Queensland Rail is able
to take such action either
in the exercise of the discretion conferred on it by s.28(1) of the FOI Act (see
Re Norman and Mulgrave Shire Council [1994] QICmr 13; (1994) 1 QAR 574 at p.577, paragraph
13), or pursuant to the discretion reserved to it by s.14 of the FOI Act, to
disclose information otherwise than
under the FOI Act. However, that is an
issue for Queensland Rail to consider, as I have no jurisdiction to make a
decision concerning
those parts of the Weathered Howe report which are not in
issue in the present review for the reason explained at paragraph 10
above.
DECISION
I
affirm the decision under review (being the decision made by Mr K Buckley on
behalf of the respondent on 2 May 1995) that the matter
in issue (more fully
described at paragraph 11 above) is not exempt matter under the FOI Act, and
that the Gold Coast Bulletin has
a right to be given access to it under the FOI
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | SJ and Ors and Department of Communities [2006] QICmr 26 (28 September 2007) |
SJ and Ors and Department of Communities [2006] QICmr 26 (28 September 2007)
Office of the Information
Commissioner Decision and Reasons for
Decision Application Numbers: 210263, 210264,
210265, 210266, 210267, 210268,
210269, 210270, 210271, 210272, 210273, 210274
Applicants:
SJ and Ors
Respondent:
Department of Communities
Third
Party:
The Courier Mail
Decision
Date:
28 September 2007
Catchwords:
FREEDOM OF INFORMATION – section 45(1)(c) Freedom of Information Act
1992 (Qld) – compliance notices - ‘document of an
agency’ – ‘business, professional, commercial or financial
affairs’ – public interest balancing test – reverse
FOI
Contents
Background
.................................................................................................................
2
Steps taken in the external review process
................................................................
2
Matter in issue
.............................................................................................................
4
Findings.........................................................................................................................
4
Decision
......................................................................................................................
11
Reasons for Decision
Background
1.
The external review applicants seek review of twelve decisions of the Department
of Communities (the Department) to partially disclose to the Courier-Mail
compliance notices issued to child care centres managed by them. As the
same issues arise
in each of the twelve decisions, this decision is made in
respect of all twelve external review applications.
2. On
30 January 2007 the Courier-Mail applied to the Department for access under the
Freedom of Information Act 1992 (Qld) (FOI Act) to the following
information:
Copies
of any compliance notices issued during 2006 or 2007
Copies
of any suspension or revocation notices issued during 2006 or
2007.
3.
The Department processed the application and identified twelve compliance
notices which relate to the applicants.
Those twelve notices form the
matter in issue in this external review (Compliance
Notices).
4.
The Department made an original decision. The applicants sought internal
review of that decision and on 8 June 2007,
the Department made its internal
review decision to partially release the Compliance Notices to the
Courier-Mail.
5. On
3 July 2007 the applicants applied to the Information Commissioner for external
review of the Department’s
internal review decision dated 8 June 2007.
Steps taken in the external review process
6. By
letter dated 11 July 2007 this Office sought copies of the Compliance Notices
and other relevant documentation from
the Department.
7. By
letter dated 11 July 2007 this Office wrote to the Courier-Mail inviting it to
become a participant in the external
review.
8. By
letter dated 20 July 2007 the Courier-Mail confirmed that it wished to
participate in the review. On 25 July 2007
this Office granted the
Courier-Mail participant status and advised the applicants
accordingly.
9.
This Office received copies of relevant documentation from the Department on 24
July 2007 and undertook a careful analysis
of its content.
10. This Office then sought
clarification of factual matters from the Department including the numbers of
child care centres
located within each of the Department’s regions and the
number of centres for which each authorised officer of the Department
is
responsible.
11. By emails dated 30 July
2007 and 8 August 2007 the information requested was received from the
Department.
12. By letters dated 8 August
2007 I conveyed a preliminary view to the applicants and the Department that
information identifying
the applicants, contained in the Compliance Notices, was
exempt from disclosure under section 45(1)(c) of the FOI Act. I sought
further submissions from these parties if they did not accept my preliminary
view.
13. By letter dated 29 August
2007 the applicants submitted that the Compliance Notices are not valid
compliance notices and
on this basis fall outside the scope of the
Courier-Mail’s application. The applicants referred to
‘ample’ yet
unspecified authority in support of their submissions
and queried whether this Office required them to specify relevant case
law.
14. By email dated 31 August
2007 the Department made submissions objecting to part of the preliminary view,
specifically
that the name of the ‘region’ and ‘authorised
officer’ set out in the Compliance Notices was not exempt from
disclosure
under the FOI Act. The Department submitted that this information is
exempt from release because:
• “each of the
authorised officers in each region is directly linked to a limited number and
defined set of child care centres...”
• “releasing
the Compliance Notices with the identifying information relating to departmental
officers/offices could indirectly
identify the child care centres
concerned.”
15. By email dated 31 August
2007 this Office sought further clarification from the Department with regard to
its further
submissions.
16. By email dated 4
September 2007 the Department made further submissions as requested in respect
of its claim for exemption
of the names of authorised officers, their job title
and the relevant region from which the Compliance Notice was issued. These
submissions related to how the relevant centres might be able to be identified
if these details were released.
17. By letter dated 5
September 2007 I wrote to the applicants confirming the preliminary view and
advising that if they wished
to make further submissions including in respect of
supporting authority, they should do so by 14 September 2007.
18. On 12 September 2007 a
staff member of this Office phoned the Department to discuss the preliminary
view and the Department’s
further submissions. The Department was
advised of my further preliminary view that:
• the name of authorised officers
(in this particular circumstance) is exempt from disclosure under section
45(1)(c) of
the FOI Act as release could identify the relevant centre
• given the large number of child
care centres in each region, the regional office is not exempt from
disclosure.
19. By letter dated 12
September 2007 I conveyed to the Courier-Mail the preliminary view that the
Compliance Notices were
partially exempt from disclosure under section 45(1)(c)
of the FOI Act and invited the Courier-Mail to make further submissions if
it
did not agree with the view.
20. By letter dated 14
September 2007 the applicants provided this Office with their further
submissions.
21. On 18 September 2007 the
Department advised by telephone that it accepted my preliminary view, as
discussed on 12 September
2007, and did not wish to make further
submissions.
22. By letter dated 18
September 2007 the Courier-Mail sought an extension of time in which to provide
submissions and requested
clarification of aspects of my preliminary
view.
23. By letter dated 19
September 2007 I advised the Courier-Mail of the considerations I had taken into
account when forming
my preliminary view as requested. I also granted the
Courier-Mail an extension of time in which to provide its further
submissions.
24. By letter dated 27
September 2007 the Courier-Mail advised that it did not accept the preliminary
view and submitted that:
• on balance, the public interest
favours disclosure of information that would identify the external review
applicants
• release of the information could
not reasonably be expected to have an adverse effect on the business, financial
etc
affairs of the external review applicants
25. In making this decision I
have taken the following into account:
• the Courier-Mail’s FOI
application dated 30 January 2007
• the Compliance Notices (which
comprise the matter in issue)
• the initial decision of the
Department dated 14 May 2007
• the internal review decision
dated 8 June 2007
• correspondence from the external
review applicants to the Department setting out the applicants’ objections
to
the release of the Compliance Notices dated 3 April 2007,
30 May 2007, 1 June 2007 and 5 June 2007
• the applicants’
applications for external review
• the applicants’ letter to
this Office dated 29 August 2007 objecting to the preliminary view
• the applicants’ letter to
this Office dated 14 September 2007 objecting to the preliminary view and
providing
submissions
• advice received from the
Department on 30 July 2007 regarding the number of child care centres within
each region
• advice received from the
Department on 8 August 2007 regarding the number of child care centres for which
each authorised
officer has responsibility
• the Department’s
submissions dated 31 August 2007
• the Department’s
submissions dated 4 September 2007
• the Courier-Mail’s
letter dated 18 September 2007
• the Courier-Mail’s
submissions dated 27 September 2007
• relevant sections of the FOI Act
and applicable case law. Matter in Issue
26. The matter in issue in
this external review comprises 12 Compliance Notices issued by the Department to
the applicants
(Matter in
Issue). Findings
Does the Matter in Issue comprise ‘documents of an
agency’
27. In summary, the
applicants submit that the Matter in Issue:
• is invalid
• was issued by the Department
other than in accordance with the requirements of the Child Care Act 2002
(Qld) (CC Act).
• does not fall within the scope of
the Courier-Mail’s FOI application as it does not comprise valid
compliance
notices.
28. I have carefully
considered the applicants’ submissions and the case law to which I have
been referred.
29. The FOI Act applies to
‘documents of an agency’ and ‘official documents of a
Minister’[1].
30. I also note that the
object of the FOI Act is to extend as far as possible the right of the community
to access to information
held by Queensland government[2].
31. Section 7 of the FOI Act
defines ‘document’ as including:
a) a copy of a
document; and
b) a part of,
or extract from, a document; and
c) a copy of a
part of, or extract from, a document.
32. Section 7 also refers to
the definition of ‘document’ set out in section 36 of the Acts
Interpretation Act 1954 (Qld) (AI Act), which
includes—
a) any paper or other material on
which there is writing; and
b) any paper or other material on which
there are marks, figures, symbols or perforations having a meaning for a person
qualified
to interpret them; and
c) any disc, tape or other article or any
material from which sounds, images, writings or messages are capable of being
produced
or reproduced (with or without the aid of another article or
device).
33. A ‘document of an
agency’ or ‘document of the agency’ is defined in
section 7 of the FOI Act as ‘a document in the possession or under the
control of an agency, or the agency concerned, whether created or received in
the
agency, and includes—
a) a document to which the
agency is entitled to access; and
b) a document in the possession
or under the control of an officer of the agency in the officer’s official
capacity.
34. Section 8(1) of the FOI
Act provides that ‘agency means a department, local government or
public authority.’
35. Based on the provisions
set out above, any question as to the validity of the Matter in Issue is
irrelevant for the purposes
of this external review under the FOI Act.
36. This Office’s
jurisdiction as set out in the FOI Act, does not extend to considerations of a
document’s ‘validity’.
If a document exists and is a
document of an agency, it is accessible under the FOI Act subject to any
relevant exemption.
37. As the Matter in Issue is
entitled Compliance Notices and has been issued by the Department as such, they
are Compliance
Notices for the purposes of this external review and fall within
the scope of the Courier-Mail’s FOI application.
38. In summary, after
carefully considering all of the information available to me including the
applicants’ submissions,
I am satisfied that:
• there is no legal requirement
that the Matter in Issue meet any threshold test relating to its creation,
rather, its
status as a ‘document’ for the purposes of the FOI Act
derives from the specific and relevant provisions of the FOI Act
and the AI Act,
as set out above
• the Matter in Issue in this
external review comprises ‘documents of an agency’ as defined by the
FOI Act
and is therefore responsive to the relevant FOI application
• this Office has jurisdiction to
conduct this external review.
39. Having made this finding,
I must now consider whether any of the material contained in the Matter in Issue
is exempt from
disclosure under section 45(1)(c) of the FOI
Act. Section 45(1)(c) of the FOI
Act
40. Section 45(1)(c)
provides:
45 Matter relating to trade secrets,
business affairs and research
(1) Matter is exempt matter
if—
(c) its disclosure—
(i) would disclose information (other
than trade secrets or information mentioned in paragraph (b)) concerning the
business,
professional, commercial or financial affairs of an agency or another
person; and
(ii) could reasonably be expected to have an
adverse effect on those affairs or to prejudice the future supply of such
information
to government;
unless its disclosure would, on balance, be in the public
interest.
41. In respect of this
exemption provision, the applicants submit that:
• if the relevant notices are
considered to be Compliance Notices under section 142 of the CC Act, and
therefore subject
to the FOI Act and within the scope of the request by the
Courier-Mail, they are fully exempt from disclosure under section 45(1)(c)
of
the FOI Act
• certain competitors of the
applicants are not subject to regulation under the CC Act which unfairly
prejudices the applicants.
42. In respect of this
exemption provision the Department submits that parts of the Matter in Issue are
exempt from disclosure
under section 45(1)(c) of the FOI Act,
including:
• the addressee and address
appearing on the notice as it identifies the applicants
• the licence details as they
identify the applicants
• references to names of centres or
persons connected with centres as these details identify the applicants
• the name of the
Department’s authorised officers as this could identify the relevant
centre and the applicants
• the signature block of the
officer issuing the notice (i.e. signature, job title and region) as it may
identify the
applicants
• the Department’s
‘footer’ as it discloses the region in which the notice was
issued.
43. In respect of this
exemption provision the Courier-Mail submits that:
• there is not a reasonable
expectation that the applicants’ business, professional, commercial or
financial affairs
would be adversely affected if the Matter in Issue was
released in full
• even if a reasonable expectation
could be established, the public interest considerations favouring
disclosure outweigh
those designed to protect commercially sensitive
information.
44. I will consider each of
the elements relevant to section 45(1)(c) of the FOI Act in
turn. (a) Information concerning
business, professional, commercial or financial affairs
45. The first element in the
test for exemption under section 45(1)(c) of the FOI Act is that the information
in issue must
actually concern the business, professional, commercial or
financial affairs of the agency or business operator.
46. In Cannon and
Australian Quality Egg Farms Ltd [1994] QICmr 9 (30 May 1994) (Cannon)
the Information Commissioner set out at paragraph 81 that:
The words “business, professional, commercial or financial”
are hardly apt to establish distinct and exclusive categories;
there must in
fact be substantial overlap between the kinds of affairs that would fall within
the ambit of the ordinary meanings
of the words “business”,
“commercial” and “financial”, in particular. The
common link is to
activities carried on for the purpose of generating income or
profits...
47. Further, as set out in
Boully and Department of Natural Resources; Stevenson Financial Corp. Pty Ltd
& Anor (Third Parties) [1998] QICmr 1 (3 March 1998) at paragraph
62:
It is not sufficient that the matter in issue has some connection with a
business, or has been provided to an agency by a business,
or will be used by a
business in the course of undertaking its business operations. The matter in
issue must itself be information
about business, commercial or financial
affairs, in order to satisfy the first element of the test for exemption under
s.45(1)(c).
48. In Johnson and
Queensland Transport; Department of Public Works (Third Party) [2004] QICmr
1 (5 January 2004), the Information Commissioner explained at paragraph 50
that:
I consider that Parliament's intention in enacting the s.45(1)(c)
exemption was to provide a means by which the general right of access
to
documents in the possession or control of government agencies could be prevented
from causing unwarranted commercial disadvantage
to:
(a) individuals who offer professional
services to the public on a fee for service basis (see Re Pope and Queensland
Health
[1994] QICmr 16 (18 July 1994)at paragraph 29);
(b) private sector business operators
(whether they be individuals, partnerships, or corporations); and
(c) government agencies which function
on a business model to generate income from the provision of goods or
services.
49. The Matter in Issue
comprises information including that which identifies the relevant child care
centres by their name,
address and licence details, the names of persons
employed at or connected to particular child care centres, and the names of the
Department’s authorised officers responsible for the relevant child care
centres and the regions in which the centres operate.
50. After carefully
considering all of the information available to me, I am satisfied
that:
• disclosure of some of the Matter
in Issue would disclose information concerning the business or commercial
affairs of
the applicants on the basis that it directly concerns a commercial
enterprise or business pursued by the applicants in an organised
way for the
purpose of profit or gain[3].
• the following parts of the Matter
in Issue discloses such information (Identifying Information):
o addressee details
o licence details
o authorised officer’s name, signature
and job title
o name of or reference to a person connected
to a centre or name of or reference to a centre itself
• disclosure of the remaining
Matter in Issue, including the region, would not disclose information concerning
the business
or commercial affairs of the applicants, nor information which
could identify the applicants and therefore does not qualify for exemption
from
disclosure under the FOI Act.
51. In the ordinary course,
the name of a government employee (in this case an authorised officer of the
Department) acting
in a professional capacity would not be exempt from
disclosure.
52. However, I note the
Department’s submissions that:
• “each of the authorised
officers in each region is directly linked to a limited number and defined set
of child care centres...”
• “releasing the
Compliance Notices with the identifying information relating to departmental
officers could indirectly identify
the child care centres
concerned.”
53. In the present
circumstances, I am satisfied that the names of the authorised and issuing
officers comprise Identifying
Information as disclosure could lead to
identification of the relevant child care centres.
54. On this same basis, I
consider that the issuing officers’ position titles (where they appear in
relevant signature
blocks) also form part of the Identifying Information as
revealing the position title would, in turn, identify the relevant authorised
officer. (b) Adverse effect reasonably expected from
disclosure
55. The next element for
consideration is whether disclosure of the Identifying Information could
reasonably be expected to
have an adverse effect on the business, commercial or
financial affairs of the applicants.
56. The Information
Commissioner considered the phrase ‘could reasonably be expected to’
at paragraphs 62 to 63
of Cannon:
The phrase "could reasonably be expected to” ...:
... calls for the decision-maker ... to discriminate between unreasonable
expectations and reasonable expectations, between what is
merely possible (e.g.
merely speculative/conjectural "expectations") and expectations which are
reasonably based, i.e. expectations
for the occurrence of which real and
substantial grounds exist.
It is appropriate to record what was said by the Full Court of the Federal
Court in Searle's case [Searle Australia Pty Ltd v Public Interest
Advocacy Centre [1992] FCA 241; 108 ALR 163 (Searle)] (at p.176) about the comparable
test in s.43(1)(b) of the Commonwealth FOI Act:
In the application of s.43(1)(b), there would ordinarily be material
before the decision maker which would show whether or not the
commercial value
of the information would be or could be expected to be destroyed or diminished
if the information were disclosed.
It would be for the decision-maker to
determine whether, if there were an expectation that this would occur, the
expectation was
reasonable.
57. In summary, the
Information Commissioner made the following observations in relation to section
45(1)(c):
• an adverse effect under section
45(1)(c) will almost invariably be financial in nature, whether directly or
indirectly
(e.g. an adverse effect on an entity’s ‘business
reputation or goodwill ... is feared ultimately for its potential to
result in
loss of income or profits, through loss of customers’) (at paragraph 82 of
Cannon)
• if information is already in the
public domain or is common knowledge in the industry, it would ordinarily be
difficult
to show that disclosure of the information under FOI could reasonably
be expected to have an adverse effect (paragraph 83 of Cannon)
• in most instances the question of
whether disclosure of information could reasonably be expected to have an
adverse
effect will turn on whether the information is capable of causing
competitive harm to the relevant entity. A relevant factor is
whether it
enjoys a monopoly position or whether it operates in a commercially competitive
environment (paragraph 84 of Cannon).
58. The Courier-Mail submits
that the decision to exempt matter (the Identifying Information) is based on an
unreasonable
expectation and could be considered merely
speculative.
59. On the information
available to me, I am satisfied that:
• the Identifying Information is
neither in the public domain nor is it common knowledge
• the applicants operate in a
commercially competitive environment and I consider that it is more than merely
speculative
to conclude that release of the Identifying Information would cause
damage to their reputations
• disclosure of the Identifying
Information could therefore reasonably be expected have an adverse financial
effect on
the business, commercial or financial affairs of the
applicants.
60. Given my finding that
disclosure of the Identifying Information could reasonably be expected to cause
an adverse effect
on the business, commercial or financial affairs of the
applicants, it is unnecessary to consider whether disclosure would prejudice
the
future supply of information to government. Public
Interest Balancing Test
61. The final matter for
consideration is whether disclosure of the Identifying Information is in the
public interest.
62. In relation to the public
interest balancing test, the Courier-Mail relevantly submits that:
• there is a public interest
consideration favouring disclosure that provides an understanding of how the
Department carries
out its licensing and compliance functions...such public
accountability is fundamental to all government agencies which perform functions
on behalf of the community.
• disclosure of issues of general
concern can also assist the community to make decisions concerning their
children’s
welfare particularly with respect to health and
safety.
63. I consider that the
accountability and transparency of government is a public interest consideration
favouring disclosure
of the Identifying Information. In other words, disclosure
of information about how government functions are conducted can enhance
the
accountability of agencies and individual officers in the performance of their
official functions.
64. Against this, I must
balance the public interest in maintaining the secrecy of sensitive commercial
information held by
government agencies about business operators which, among
other things, could benefit competitors and adversely affect the relevant
businesses.
65. I note that the
Identifying Information comprises a small proportion of information contained in
the Compliance Notices.
66. After carefully weighing
the public interest considerations set out above, and the submissions of the
parties, I am satisfied
that:
• there is a public interest
consideration favouring non-disclosure as release of details which identify or
which could
reasonably be expected to identify relevant childcare centres may
damage the applicants’ reputation and/or benefit the applicants’
competitors
• in respect of the Identifying
Information, the public interest consideration favouring non-disclosure (which
is intended
to protect commercially sensitive information held by government
about business operators) outweighs the public interest consideration
favouring
disclosure
• release of the majority of the
information contained in the notices (subject to exemption of the Identifying
Information)
provides transparency and accountability of government by
demonstrating how the Department and its officers perform compliance
functions. Provision of further information to the
Courier-Mail
67. I note that the
Courier-Mail, in its submissions dated 27 September 2007, also states
that:
other than the information contained in your letters, the Courier-Mail has
not been provided with evidence to support the notion that
release of this
information (the Identifying Information) would cause any adverse effect on the
businesses concerned. Further the
Courier-Mail has not been provided with
any supporting documentation or evidence from the external review
applicants.
68. In circumstances such as
this, where revealing information which could identify the applicants would
reveal matter claimed
to be exempt, I have not been able to provide the
Courier-Mail with any addition material. In any event, I note that there
is very
minimal overlap between the issues raised by the applicants and those
raised by the Courier-Mail. Conclusion
69. I am satisfied that
release of the Identifying Information would disclose information that is
properly characterised as
information:
• concerning the business,
commercial or financial affairs of the applicants
• which could reasonably be
expected to have an adverse effect on those affairs
thereby establishing a public interest consideration favouring
non-disclosure.
70. After carefully
considering the public interest considerations for and against disclosure of the
Identifying Information,
I am satisfied that the arguments in favour of
disclosure do not outweigh the considerations favouring non-disclosure.
71. In summary, I find that
only the Identifying Information qualifies for exemption under section 45(1)(c)
of the FOI Act,
namely:
• addressee details
• licence details
• authorised officer’s name,
signature and job title
• name of or reference to a person
connected to a centre or name of or reference to a centre itself.
Decision
72. I vary the decision of Ms
Cynthia Irvine of the Department made on 8 June 2007, by finding
that:
• the Matter in Issue in this
external review comprises ‘documents of an agency’ as defined by the
FOI Act
and is therefore responsive to the relevant FOI application
• disclosure of the Identifying
Information could reasonably be expected have an adverse effect on the business,
commercial
or financial affairs of the applicants
• in respect of the Identifying
Information, public interest considerations favouring non-disclosure outweigh
public interest
considerations favouring disclosure
• the Identifying Information
qualifies for exemption from disclosure under section 45(1)(c) of the FOI
Act
• the remainder of the Matter in
Issue does not qualify for exemption from disclosure under the FOI
Act.
73. I have made this decision
as a delegate of the Information Commissioner, under section 90 of the
Freedom of Information Act 1992 (Qld).
________________________
F Henry
Assistant Commissioner
Date: 28 September 2007[1] Section
21 of the FOI Act[2] Section 4(1) of the FOI Act[3] Re Stewart and Department of
Transport [1993] QICmr 6 (9 December 1993) at para 103
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Australian Rainforest Conservation Society Inc and Queensland Treasury [1996] QICmr 5; (1996) 3 QAR 221 (9 April 1996) |
Australian Rainforest Conservation Society Inc and Queensland Treasury [1996] QICmr 5; (1996) 3 QAR 221 (9 April 1996)
Last Updated: 20 February 2001
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 96005Application S
176/94 Participants: AUSTRALIAN
RAINFOREST CONSERVATION SOCIETY INC Applicant QUEENSLAND
TREASURY Respondent
DECISION AND REASONS FOR DECISION
FREEDOM OF INFORMATION - refusal of access - matter in issue
comprising handwritten notes, and parts of formal minutes, of meetings
of the
Charter Preparation Committee appointed under the Government Owned
Corporations Act 1993 Qld to develop a charter for the corporatisation of
the Forest Service of the Department of Primary Industries - matter in issue
comprising deliberative process matter falling within the terms of s.41(1)(a) of
the Freedom of Information Act 1992 Qld - whether disclosure of the
matter in issue would, on balance, be contrary to the public interest -
consideration of public interest
factors weighing for and against disclosure -
application of s.41(1) of the Freedom of Information Act 1992
Qld.Freedom of Information Act 1992 Qld s.26, s.34(2)(f),
s.34(2)(g), s.36(1), s.36(1)(f), s.36(1)(g), s.41(1), s.41(1)(a),
s.41(1)(b), s.81Acts Interpretation Act 1954 Qld
s.27BGovernment Owned Corporations Act 1993 Qld s.16, s.17, s.19,
s.23, s.26, s.28, s.29(1), s.34, s.37(2), s.38, s.39,
s.42(1)Eccleston and Department of Family Services and Aboriginal
and Islander Affairs, Re [1993] QICmr 2; (1994) 1 QAR 60Trustees of the De La
Salle Brothers and Queensland Corrective Services Commission, Re
(Information Commissioner Qld, Decision No. 96004, 4 April 1996,
unreported)
DEClSION
I set aside that part of the decision under review (being the
internal review decision made on behalf of the respondent by Mr M Lawrence
on 14
October 1994) which relates to the matter described at paragraph 7 of my reasons
for decision. In substitution for it, I decide
that the matter described at
paragraph 7 of my reasons for decision is not exempt matter under s.41(1) of the
Freedom of Information Act 1992 Qld, and that, in accordance with s.21 of
the Freedom of Information Act 1992 Qld, the applicant has a right to be
given access to that matter.Date of Decision: 9 April
1996...............................................F
N ALBIETZINFORMATION COMMISSIONER
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 96005Application S
176/94 Participants: AUSTRALIAN
RAINFOREST CONSERVATION SOCIETY INC Applicant QUEENSLAND
TREASURY Respondent
REASONS FOR DECISION
Background1. The applicant (also referred to in
these reasons for decision as "the Society") seeks review of the respondent's
decision to refuse
it access under the Freedom of Information Act 1992
Qld (the FOI Act) to documents relating to preparatory work for the proposed
corporatisation of the Department of Primary Industry's
Forest Service (the
Forest Service). The nature of the corporatisation process provided for in the
Government Owned Corporations Act 1993 Qld is explained at paragraphs
12-15 below. The only matter remaining in issue in this external review (after
concessions by both
participants) consists of passages from the formal minutes
of meetings of the Charter Preparation Committee (CPC), established to
assist in
the corporatisation of the Forest Service, and handwritten notes taken at those
meetings, from which the formal minutes
were developed. The respondent contends
that the matter remaining in issue is exempt matter under s.41(1) of the FOI
Act. 2. By letter dated 21 March 1994, the Society applied to the
Department of Primary Industries (the DPI) for all documents relating
to
corporatisation of the Forest Service. Without limiting the scope of its
application, the Society specified some of the categories
of documents sought.
Minutes of meetings of the CPC was one of the categories specified.The
Society's FOI access application was transferred in part to Queensland Treasury
under s.26 of the FOI Act. The initial decision
was made on behalf of
Queensland Treasury by Ms F Smith on 26 September 1994. Ms Smith identified
more than 140 documents as falling
within the terms of the Society's FOI access
application. Ms Smith decided to give access in full to some 70 documents, to
give
access in part to 17 documents, and to deny access to the remaining
documents. Among the matter released in part were minutes of
CPC meetings, and
the handwritten notes from which they were drawn. Ms Smith determined that
matter to which access was not granted
was exempt under one or more of s.36(1),
s.38, s.41(1), s.44(1), s.45(1) and s.46(1) of the FOI Act.3. By letter
dated 3 October 1994, the Society applied for internal review of Ms Smith's
decision. The internal review decision was
made by Mr M Lawrence of Queensland
Treasury on 14 October 1994. Mr Lawrence affirmed Ms Smith's decision on
slightly varied grounds.
By letter dated 28 November 1994, the Society applied
for external review by the Information Commissioner, under Part 5 of the FOI
Act, of Mr Lawrence's decision.The external review
process4. I first obtained and examined the several hundred
pages of documents which comprised or contained the matter that was in issue
at
the commencement of this external review. I then requested that Queensland
Treasury identify the specific paragraphs of s.36(1)
upon which it relied to
contend that matter in issue was exempt. After receiving that information, a
member of my staff had further
discussions with Queensland Treasury in relation
to its claims for exemption under s.36(1).5. As a general observation, I
consider it important that agencies state as specifically as possible the
exemption provision or provisions
under which they determine matter to be
exempt. It is often not sufficient merely to identify a section or subsection.
For example,
section 36(1) consists of seven separate exemption provisions, and
decision-makers should clearly identify in their decisions the
specific
exemption provisions claimed to apply to particular documents, or parts of
documents, as well as explaining (according to
the requirements imposed by s.27B
of the Acts Interpretation Act 1954 Qld, read in conjunction with
s.34(2)(f) and (g) of the FOI Act) the basis on which the exemption provisions
are claimed to be applicable.
In addition, I note that agencies frequently rely
on s.36(1)(f) or s.36(1)(g) (which cover drafts, and copies or extracts,
respectively,
of matter which is exempt under earlier paragraphs of s.36(1))
without identifying the earlier paragraph of s.36(1) which is claimed
to be
relevant and explaining the basis on which the test for exemption under the
earlier paragraph is claimed to have been satisfied.
This is a prerequisite for
a draft, or a copy or extract, of such matter to be exempt under s.36(1)(f) or
s.36(1)(g), respectively.
I consider that s.34(2)(f) of the FOI Act requires
explanation of the reasons for refusal of access in at least this level of
detail.6. Returning to the present external review, after the
discussions with Queensland Treasury,I wrote to the Society identifying the
matter in issue according to subject categories, and asking the Society to
indicate the categories
to which it wished to pursue access. In the same
letter, I expressed the preliminary view that some (but not all) of the matter
which Queensland Treasury claimed to be exempt under s.36(1) was exempt matter
under either s.36(1)(c), s.36(1)(f) or s.36(1)(g)
of the FOI Act. In response
to my letter, the Society significantly narrowed the number of documents to
which it sought access,
a step which has hastened the resolution of this
external review. With regard to two of the documents then remaining in issue, I
consulted third parties who indicated that they did not object to the release of
documents recording information supplied by them.
With the agreement of
Queensland Treasury, those documents were released to the
Society.7. With respect to the matter then remaining in issue, I wrote
to Queensland Treasury conveying my preliminary view in relation to
its claimed
exemptions under s.36(1)(e), s.40(d) and s.41(1) of the FOI Act, and inviting it
to lodge submissions and/or evidence
in support of any claim for exemption which
it wished to maintain. In response, Queensland Treasury agreed to release
further matter,
but maintained its contention that the balance (listed below) is
exempt matter under s.41(1) of the FOI Act. Queensland Treasury
indicated that
it did not wish to submit any further evidence regarding this external
review, and stated that it would rely on the reasons previously given.
The only
matter remaining in issue, therefore, is parts of CPC minutes, and corresponding
parts of the handwritten notes from which
they were drawn, as described in the
following table:
Document No.
Description
Page No.
Matter in Issue
75 and 86
Minutes of CPC meeting on 27/10/93
2
Last paragraph
5
Fourth paragraph
7,8
The whole
9
Second paragraph
10
The whole
12
Last paragraph
13
First 5 paragraphs
96
Minutes of CPC meeting on 2/12/93
1
Fourth paragraph
3
Last 4 paragraphs (and preceding heading)
4
First 8 paragraphs
107 and 130
Minutes of CPC meeting on 27/1/94
3
Last 2 paragraphs (and preceding heading)
4,5,6
The whole
7
First 3 paragraphs
55
Handwritten notes of meeting on 27/10/93
Parts corresponding to matter in issue in 75 & 86
110
Handwritten notes of meeting on 27/1/94
Parts corresponding to matter in issue in 107 & 130
Section 41(1) of the FOI Act8. Section 41(1) of the
FOI Act provides: 41.(1) Matter is exempt matter if
its disclosure--(a) would disclose--(i) an
opinion, advice or recommendation that has been obtained, prepared or recorded;
or(ii) a consultation or deliberation that has taken
place;in the course of, or for the purposes of, the deliberative
processes involved in the functions of government; and(b) would,
on balance, be contrary to the public interest.9. A detailed
analysis of s.41 of the FOI Act can be found in Re Eccleston and Department
of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 at
pp.66-72, where, at p.68 (paragraphs 21-22) I
said:21. Thus, for matter in a document to fall
within s.41(1), there must be a positive answer to two
questions:(a) would disclosure of the
matter disclose any opinion, advice, or recommendation obtained, prepared or
recorded, or consultation
or deliberation that has taken place, (in either case)
in the course of, or for the purposes of, the deliberative processes involved
in
the functions of government?
and(b) would disclosure, on balance, be
contrary to the public interest?22. The
fact that a document falls within s.41(1)(a) (ie. that it is a deliberative
process document) carries no presumption that
its disclosure would be
contrary to the public interest. ...10. An
applicant for access is not required to demonstrate that disclosure of
deliberative process matter would be in the public interest;
an applicant is
entitled to access unless an agency can establish that disclosure of the
relevant deliberative process matter would
be contrary to the public interest.
In Re Trustees of the De La Salle Brothers and Queensland Corrective Services
Commission (Information Commissioner Qld, Decision No. 96004, 4 April 1996,
unreported),I said at paragraph
34:The correct approach to the application
of s.41(1)(b) of the FOI Act was analysed at length in my reasons for decision
in Re Eccleston, where I indicated (see p.110; paragraph 140) that an
agency or Minister seeking to rely on s.41(a) needs to establish that specific
and tangible harm to an identifiable public interest (or interests) would result
from disclosure of the particular deliberative process
matter in issue. It must
further be established that the harm is of sufficient gravity when weighed
against competing public interest
considerations which favour disclosure of the
matter in issue, it would nevertheless be proper to find that disclosure of the
matter
in issue would, on balance, be contrary to the public
interest.Application of s.41(1) to Charter Preparation
Committee minutes11. While Queensland
Treasury has released the bulk of the minutes of CPC meetings, it maintains that
some parts of the minutes of
three meetings are exempt matter under s.41(1) of
the FOI Act.Before considering this claim, I will
briefly refer to relevant provisions of the statutory regime for
"corporatisation", and the
steps undertaken towards corporatisation of the
Forest Service.Government Owned
Corporations12. In May 1993, the Government Owned
Corporations Act 1993 Qld (the GOC Act) was enacted. The meaning of
"corporatisation" and the objectives of the Act are set out at sections 16 and
17 of
the GOC Act, which provide:Meaning of
"corporatisation" 16. "Corporatisation" is a
structural reform process for nominated government entities
that--(a) changes the conditions and (where required) the
structure under which the entities operate so that they operate, as far as
practicable,
on a commercial basis and in a competitive environment;
and(b) provides for the continued public ownership of the
entities as part of the process; and(c) allows the State, as
owner on behalf of the people of Queensland, to provide strategic direction to
the entities by setting financial
and non-financial performance targets and
community service obligations.Objectives of
corporatisation 17. The objectives of
corporatisation are to improve Queensland's overall economic performance, and
the ability of the Government to
achieve social objectives,
by--(a) improving the efficiency and effectiveness of GOCs;
and(b) improving the accountability of GOCs.13. The
objectives of corporatisation are to be achieved through application of four key
principles which are detailed in s.19 of
the GOC Act. These are: clarity of
objectives, management autonomy and authority, strict accountability for
performance, and competitive
neutrality.14. Chapter 2 of the GOC Act
sets out the machinery for creating a GOC. A government entity must first
become a "candidate GOC" (s.23).
Candidate GOCs are nominated by regulation
made by the Governor in Council (s.26). A candidate GOC will normally become a
full
GOC only following the preparation and implementation of a Corporatisation
Charter (s.29(1)).Section 28 provides that a Corporatisation Charter of a
candidate GOC:... sets out the steps by which, and the basis on
which--(a) a candidate GOC is to become a GOC or is to change
its type to a company GOC; and(b) the key principles of
corporatisation, and their elements, are to be
implemented.15. The responsible Ministers of a candidate GOC may
require the preparation of a draft Corporatisation Charter (s.34). The
responsible
Ministers may also appoint a Charter Preparation Committee to
prepare a draft Corporatisation Charter (s.38). The candidate GOC
is required
to cooperate with the CPC (s.37(2)). A CPC is responsible for the conduct of
its own business but must comply with any
direction given by the responsible
Ministers (s.39). The CPC must give a copy of the draft Corporatisation Charter
to the responsible
Ministers (s.42(1)).16. The Forestry Service was duly
nominated as a candidate GOC. The responsible Ministers were the Treasurer and
the Minister for
Primary Industries. A CPC of seven members was appointed. It
consisted of five representatives of government (three from the DPI,
one from
Queensland Treasury and one from the former Office of Cabinet), an industry
representative and an external consultant specialising
in environmental
economics. The members of the CPC undertook work towards the preparation of a
draft Corporatisation Charter over
a number of months and the CPC met on a
several occasions. Handwritten notes were taken at those meetings and formal
minutes produced
after each meeting. (It should be noted that at some time
after the lodgment of this external review application, the Forest Service
was
removed from the list of candidate
GOCs.)Deliberative process
material17. I am satisfied that the formal
minutes of CPC meetings fall within the terms of s.41(1)(a) of the FOI Act. The
minutes record
the deliberations of the CPC and the advice and opinions of
members working towards the goal of preparing a draft Corporatisation
Charter
for consideration by the responsible
Ministers.The public
interest18. With respect to the
application of s.41(1)(b) of the FOI Act, the only material I have received from
Queensland Treasury comprises
the comments made by Mr Lawrence in his internal
review decision. With respect to s.41(1) of the FOI Act, Mr Lawrence
stated:I have considered that releasing the
matter would serve the public interest by
allowing individuals to make informed comment on
Government business.
allowing individuals access to all documentation
pertaining to a particular
matter.Conversely, I have
considered that release of the matter would not be in the public interest
because
If this type of matter were to be released it may
affect ultimately the information that can be obtained for the purposes of
deliberation.
The matter concerned, if generally considered to be in
the public domain, may not be made as readily available, hence limiting the
scope of any such deliberations.I have considered
the above and have decided that the matter is exempt under section 41(1) of the
Act and that release of that matter,
on balance, would not be in the public
interest.19. In its application for external review, the Society
stated:The request relates to the issue of corporatisation of the
Department of Primary Industries Forest Service. This is clearly a matter
of
major public interest. In particular, there are potentially very serious
environmental implications with respect to the proposed
corporatisation of wood
production from native forests. Documents released under the request clearly
show that officers involved
in steering the corporatisation process are
concerned about the response of conservation groups. The released documents do
nothing
to allay conservation concerns. For example, the minutes of a meeting
of the Forestry Charter Preparation Committee (28 September
1993) record Dr
David James alluding to "the need to ensure that commercial activity is not
inhibited by excessively disruptive environmental
regulation". In response, Mr
Terry Johnston, Director, DPI Strategic Policy Unit, "explained the distinction
between the Department
of Environment & Heritage's (DEH's) and DPI's
regulatory roles in Queensland which he felt provided adequate safeguard's
against
such an occurrence".20. The first question I must ask is
whether there are any public interest considerations which weigh against
disclosure. Essentially,
what Queensland Treasury contends is that if the
information contained in those parts of the minutes which have been withheld
from
disclosure were made available to the public, the future free flow of
information might be disrupted. In this case, it is possible
to discern two
sources of advice and information to which Queensland Treasury may be referring.
The first is input from officers
of the public service who are members of the
CPC. The second is input from members of the CPC drawn from outside the public
service.21. With its reference to disruption to the future free flow of
information, Queensland Treasury seeks to invoke what I have referred
to in
previous decisions as the 'candour and frankness' argument. I discussed the
validity of the 'candour and frankness' argument
with respect to the advice and
opinion of public servants in Re Eccleston at pp.103-107, paragraphs
124-135.At paragraphs 132-134, I said:132. I
consider that the approach which should be adopted in Queensland to claims for
exemption under s.41 based on the third Howard criterion (ie. that the
public interest would be injured by the disclosure of particular documents
because candour and frankness
would be inhibited in future communications of a
similar kind) should accord with that stated by Deputy President Todd of the
Commonwealth
AAT in the second Fewster case (see paragraph 129 above):
they should be disregarded unless a very particular factual basis is laid for
the claim that disclosure
will inhibit frankness and candour in future
deliberative process communications of a like kind, and that tangible harm to
the public
interest will result from that
inhibition.133. I respectfully agree
with the opinion expressed by Mason J in Sankey v Whitlam that the
possibility of future publicity would act as a deterrent against advice which is
specious or expedient or otherwise
inappropriate.It could be argued in fact
that the possibility of disclosure under the FOI Act is, in that respect, just
as likely to favour the
public interest.
134. Even if some diminution in candour and
frankness caused by the prospect of disclosure is conceded, the real issue is
whether
the efficiency and quality of a deliberative process is thereby likely
to suffer to an extent which is contrary to the public interest.
If the
diminution in previous candour and frankness merely means that unnecessarily
brusque, colourful or even defamatory remarks
are removed from the expression of
deliberative process advice, the public interest will not suffer. Advice which
is written in
temperate and reasoned language and provides justification and
substantiation for the points it seeks to make is more likely to benefit
the
deliberative processes of government. In the absence of clear, specific and
credible evidence, I would not be prepared to accept
that the substance or
quality of advice prepared by professional public servants could be materially
altered for the worse, by the
threat of disclosure under the FOI Act.
22. Queensland Treasury has not provided
any evidence to justify a claim of this type. It has offered no explanation as
to why the
matter remaining in issue would be regarded by the public servants
involved as any more sensitive (and its disclosure any more likely
to inhibit
future candour and frankness) than the matter which has already been provided to
the Society. The public servants on
the CPC would no doubt have recognised that
they were performing an important public function with regard to the future of
the Forest
Service and the DPI, and the future of plantation and native forests
in Queensland. I find it difficult to believe that these officers
or other
public servants in similar positions would have refrained, or would in future
refrain, from frankly discussing issues of
such public significance, merely
because minutes of their discussions might at some stage be made public. I am
not satisfied that
disclosure of the CPC minutes would reduce the candour and
frankness of public servants to such an extent that the efficiency and
quality
of the deliberative processes undertaken by similar committees would materially
suffer, with consequent harm to the public
interest in the effective working of
government. 23. As to the question of reduced
input from representatives of the community, and/or particular interest groups,
who serve on similar
committees, I accept that there is a public interest in
maintaining consultation with, and input from, committee members drawn from
outside the public service. However, I am not satisfied that input from
committee members of that kind would be diminished in future
by the release of
the matter in issue. The two members of the CPC not drawn from the public
service were serving on a publicly established
committee dealing with a matter
of significant public interest to Queensland. One was a paid consultant, whom
the people of Queensland
have every right to expect would fully and frankly
participate in the proceedings of the CPC, regardless of whether or not those
proceedings are made public.I am not satisfied
that a significant number of suitably qualified persons would be dissuaded from
performing roles of such public
significance, or would refrain from making a
full contribution to such a committee, if the matter remaining in issue (of
which only
a small part comprises inputs, of no particular sensitivity, from the
non-government members of the CPC) were to be disclosed.
24. On the case presented by Queensland
Treasury (which carries the onus, under s.81 of the FOI Act, of establishing
that its decision
was justified, or that I should give a decision adverse to the
applicant), I am not satisfied that there is any public interest consideration
weighing against disclosure of the matter in issue. However, even if some
public interest consideration weighing against
disclosure, of the kinds canvassed above or some other kind, could be
demonstrated,I consider that there are substantial
public interest considerations favouring disclosure of the matter in issue.
25. First, there is the public interest in
enhancing the accountability of government. Sections 16 and 17 of the GOC Act
(see paragraph
12 above) reinforce the government's role as owner of government
enterprises on behalf of the people of Queensland, and the idea
of
accountability as an objective of the corporatisation process. In his second
reading speech to the GOC Bill, the then Treasurer
indicated that the
facilitative mechanisms for creation of GOCs were "essential for the success
of the overall corporatisation agenda", and stressed that the government's
approach to corporatisation would continue to be a consultative one throughout
the corporatisation
process (Hansard, 12 May 1993,
p.2711).26. The CPC was a committee
established under the GOC Act to advise on a draft Corporatisation Charter for
the Forest Service. All
but one of its members were public servants, or
otherwise publicly remunerated. The Corporatisation Charter was central to the
corporatisation
process. It was the role of the CPC to consider not only the
procedural elements of transition of the Forest Service to a GOC, but
also to
consider substantive issues dealing with the scope of operations of the GOC, for
example, to what extent it would have involvement in the area of native
forests. Its role was to consider every facet of corporatisation,
including the
relationship between, and the respective roles of, the new GOC and the DPI. It
was a committee established and funded
by the public, which was intended to make
recommendations relating to matters of significant public
interest.27. Disclosure of the matter in issue
would give insight into the CPC's operations, including the options it
discussed. It would
also give insight into the operations of the various
government Departments who provided representatives to the CPC. I do not
consider
that the fact that the Forest Service has (whether temporarily or
permanently) been removed from the list of candidate GOCs, reduces
the
significance of the public interest in enhancing the accountability of
government in this instance. (Queensland Treasury has
not indicated to me the
reason for that development, or whether it is intended to renominate the Forest
Service at a later date.)
The CPC was a publicly established committee and
there is a public interest in members of the community having access to its
minutes
in order that they may be informed about, and consider the efficacy of,
its operations.28. In addition, the matter in
issue would also provide valuable insights into issues relating to the
conservation, use and management
of forests in Queensland. It would give the
public access to the views of public servants, and a publicly remunerated
consultant,
with considerable experience in these areas. I am sure that access
to this information would be of assistance in future debate,
not only relating
to possible corporatisation, but also relating to forestry policy in Queensland
in general. In this sense, disclosure
would further the public interest in
promoting informed community debate relating to the government's forest policy
in the future.29. I consider that there are
very strong public interest considerations weighing in favour of disclosure of
the matter in issue.
In terms of s.41(1)(b) of the FOI Act, I am not satisfied
that disclosure of the matter remaining in issue from the CPC minutes
would, on
balance, be contrary to the public interest, and I find that it is not exempt
matter under s.41(1) of the FOI Act.Application of
s.41(1) to handwritten notes30. Queensland
Treasury contends that those parts of documents 55 and 110 from which the matter
in issue in the formal minutes was
drawn, are also exempt matter under s.41(1)
of the FOI Act.The handwritten notes are by no
means a transcript of proceedings at the CPC meetings. They are rough notes
made during the course
of meetings in order to serve, no doubt, as an
aide-memoire for the preparation of the formal minutes. The notes are in
point form and contain many abbreviations. They are frequently difficult
to
understand. In one sense they contain more detail than the formal minutes, but
this detail is often difficult to unravel, given
the abbreviated nature of the
information in the notes. Nevertheless, it is my estimation that careful
perusal of the notes could
provide some information about what took place at the
meetings additional to the information contained in the formal
minutes.31. I accept that there may be cases
where it could be argued that disclosure of rough notes of a meeting would be
contrary to the
public interest. Notes taken in haste by a person at a meeting
may well be very abbreviated. They may list keywords and may omit
significant
passages or ideas. An officer preparing formal notes may rely heavily on his or
her recollection of the meeting to supplement
the rough notes. In such
circumstances, there may be cases where rough notes would positively mislead
readers as to what took place
at a meeting. In a case of that type an agency
might be in position to claim that disclosure of a particular passage would be
contrary
to the public interest. However, for such a claim to be successful,
there would have to be clear evidence that disclosure would
positively mislead
readers, and further that this situation could not be easily corrected by
disclosure of other information, or
perhaps by the tendering of an explanation
with the notes.32. In this case, Queensland
Treasury has not suggested that such a situation has arisen, and from my
examination of the handwritten
notes I cannot readily identify such a
possibility. The notes add, to some extent, to the record of discussions which
took place
within the CPC. For similar reasons to those discussed above in
relation to the formal minutes, I am not satisfied that disclosure
of the matter
in issue in the handwritten notes would be contrary to the public interest, and
I find that it is not exempt matter
under s.41(1) of the FOI
Act.Conclusion33. For the reasons stated
above, I set aside that part of the decision under review in which Mr Lawrence
decided that the matter
listed at paragraph 7 above is exempt matter under
s.41(1) of the FOI Act. I find that the matter listed at paragraph 7 is not
exempt
matter under s.41(1), and that the Society has a right to be given access
to it under the FOI
Act.................................................................F
N ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Deery Hotels Pty Limited and Department of Justice and Attorney-General [2012] QICmr 55 (29 October 2012) |
Deery Hotels Pty Limited and Department of Justice and Attorney-General [2012] QICmr 55 (29 October 2012)
Last Updated: 27 August 2013
Decision and Reasons for Decision
Application Number: 310911
Applicant: Deery Hotels Pty Limited
Respondent: Department of Justice and Attorney-General
Decision Date: 29 October 2012
Catchwords: ADMINISTRATIVE LAW - RIGHT TO
INFORMATION - EXEMPT INFORMATION - application for correspondence between the
Office of
Liquor and Gaming Regulation and Queensland Police Service in relation
to licensed venues - objections to disclosure raised by owner
of a venue on the
basis that information is exempt under schedule 3, of the Right to
Information Act 2009 (Qld) - whether access to information may be refused
under sections 47(3)(a) and 48 of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - CONTRARY TO PUBLIC INTEREST -
information concerning liquor-related incidents - issues
of public safety,
accountability and regulation of licensed venues - impact of disclosure on the
business affairs of a licensed venue
- whether disclosure of the information
would, on balance, be contrary to the public interest - whether access to
information may
be refused under sections 47(3)(b) and 49 of the Right to
Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - DISCLOSURE DECISION - ONUS ON
EXTERNAL REVIEW - whether objecting participant has established
that a decision
not to disclose information is justified or that the Information Commissioner
should give a decision adverse to the
access applicant - section 87(2) of the
Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
An
application was made to the Department of Justice and Attorney-General
(Department) under the Right to Information Act 2009 (Qld) (RTI
Act) for access to correspondence between the Office of Liquor and Gaming
Regulation
(OLGR)[1] and the
Liquor Enforcement and Proactive Strategy (LEAPS) coordinator at the
Queensland Police Service (QPS) in relation to certain licensed venues.
The
Department contacted the owners of the relevant venues, including the external
review applicant (Applicant), to seek their views on disclosure of the
information it had located in response to the application. The Applicant
objected to
information about its venue being disclosed. The Department decided
to grant access to the information on the basis that it was
not exempt or
contrary to the public interest to disclose under the RTI
Act.[2]
The
Applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s decision to disclose information. The
Applicant submitted that information relating
to its venue is exempt and/or
contrary to the public interest to disclose and therefore, should not be
released under the RTI Act.
On external review, the Applicant emphasised that
disclosing information about ‘alleged incidents’ at its venue
would be unlikely to advance government accountability and would instead,
significantly prejudice its business affairs
by damaging the venue’s
reputation.
For
the reasons set out below, the Department’s decision to disclose
information relating to the Applicant’s venue is
affirmed as the
information is not exempt and nor would its disclosure, on balance, be contrary
to the public interest under the
RTI Act.
Background
LEAPS
is a program which involves QPS working with OLGR with a view to ensuring
compliance with legislation and regulations concerning
licensed venues. QPS
officers who attend or become aware of liquor-related incidents involving
licensed venues create a report and
forward this to the QPS LEAPS Coordinator.
The LEAPS Coordinator then sends the information to OLGR which assesses it as
part of
its regulatory
activities.[3]
Significant
procedural steps relating to the application and external review are set out in
the Appendix to these reasons
Reviewable decision
The
decision under review is the Department’s internal review decision dated
21 December 2011 granting access to information
under the RTI Act.
Material considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and Appendix).
Information in Issue
The
information in issue in this review (Information in Issue) consists of
two spreadsheets, prepared by the QPS LEAPS Coordinator and sent to OLGR, in
accordance with LEAPS
processes.[4] The
spreadsheets set out:
date, time and
location of incidents recorded by QPS officers as having occurred at, or in the
vicinity of, the Applicant’s
venue
a summary of the
facts relating to the incidents, including nature of any offence(s), any
resulting arrests and/or description of
any injuries sustained; and
an indication as
to any substance(s) the involved individuals were observed as having been
affected by, and level of intoxication
(where applicable).
The
Information in Issue does not include the names of any individuals involved in
the incidents.
Issues for determination
In
this review the Applicant has the onus of establishing that access to the
Information in Issue should be
refused.[5] The
Applicant has raised the following grounds for refusal of access in its
submissions:
(i) the
Information in Issue is exempt
information;[6] or
(ii) disclosure
of the Information in Issue would, on balance, be contrary to the public
interest.[7]
The
Applicant made extensive submissions to OIC in support of its view that the
Information in Issue should not be
disclosed[8] and in
making my decision in this review, I have carefully considered all of the
submissions. Some submissions did not relate directly
to the issues for
determination in this review, for example, they did not go to the requirements
for establishing the exemptions
claimed or were unrelated to the test for
applying particular public interest factors. Accordingly, such submissions are
not referred
to in these reasons for decision as they do not relate to the
issues for determination, as set out above.
To
support a number of its exemption claims and public interest arguments, the
Applicant contends that individuals involved in the
incidents can be identified
from the Information in Issue. As this issue arises for consideration
throughout these reasons, I have
made a preliminary finding on whether
individuals are identifiable from the Information in Issue and have then
referred to this finding,
throughout the reasons, where applicable.
Findings
The
Applicant generally submitted that the RTI Act does not intend for all
information which government possesses to be made publicly
available and
therefore, disclosure of the Information in Issue would be in conflict with the
purpose and objects of the
legislation.[9] The RTI
Act provides a general right of access to information in the possession or under
the control of Queensland government
agencies.[10] While
the legislation excludes certain documents and entities from the application of
the RTI Act[11], I am
satisfied that the Information in Issue is not subject to any of these
exclusions. Accordingly, I find that the Information
in Issue is in the
possession of the Department and is therefore, subject to the RTI Act access
scheme.
Are individuals identifiable from the Information in
Issue?
No,
for the reasons that follow.
As
set out in paragraph 10 above, the
Information in Issue does not name any individuals involved in the incidents.
The Information in Issue only refers to
individuals in generic terms, eg.
‘victim’ or ‘suspect’. Having carefully reviewed the
Information in Issue,
I am also satisfied that any personal details of
individuals which appear in the Information in Issue, eg. descriptions of
injuries
sustained, are not of such a unique nature that they could reasonably
be expected to be used to ascertain the identity of any individuals
involved in
the incidents.
The
Applicant contends that media articles could be used in conjunction with the
Information in Issue to identify individuals. The
Applicant points to a
particular incident referred to in the Information in Issue which it considers
would identify the victim and
suspect.[12]
I acknowledge that incidents occurring at the Applicant’s venue may have
been the subject of media reports and that some reported
incidents may have
similarities to those referred to in the Information in Issue. However, given
the absence of individual names
and/or other uniquely personal details from the
Information in Issue, I do not consider the identity of individuals could
reasonably
be ascertained using media reports.
For
the above reasons, I am satisfied that any individuals involved in the incidents
cannot be identified from the Information in
Issue and also, that it is not
reasonable to expect that individuals’ identities could be ascertained
using the Information
in Issue and/or other publicly available material.
Is the Information in Issue exempt information?
No,
for the reasons that follow.
Relevant law
Access
should be given to a document unless disclosure would, on balance, be contrary
to the public
interest.[13] The
right of access is subject to some limitations, including grounds on which
access may be
refused.[14] One
ground for refusing access is where a document comprises exempt
information.[15]
Schedule 3 of the RTI Act sets out the type of information which Parliament has
considered to be exempt as its disclosure would,
on balance, be contrary to the
public interest.
Analysis
The
exemptions raised by the Applicant in this review are set out in the Appendix to
these reasons.
Schedule 3, section 6(a) - contempt of court
The
Information Commissioner has previously
explained[16] that
the:
concept of
contempt of court is based on the protection and maintenance of public
confidence in the effective administration of justice;
and
public
disclosure of matter that has the tendency to interfere, or is intended to
interfere, with the pending fair trial of a criminal
or civil proceeding will
amount to a contempt of court.
The
Applicant submits that the Information in Issue:
easily
identifies suspected offenders and victims and would therefore, jeopardise a
fair trial for potential suspects
contains
unsubstantiated allegations which have not been determined by a court and the
series of events described is only one source’s
account of events; and
identifies
incidents of a criminal nature which may be subject to criminal proceedings, and
if disclosed, there is a reasonable expectation
that it would adversely affect
the impartiality of jurors and/or judicial officers.
I
acknowledge that the Information in Issue contains allegations which may have
not yet been determined by a court. However, as I
have found that individuals
could not reasonably be identified from the Information in Issue, I consider
that any pending criminal
or civil proceedings associated with the incidents
could not be connected to the Information in Issue with any level of certainty.
For this reason, I am not satisfied that disclosure could interfere with any
such proceeding to constitute contempt of court.
I
therefore find that the Information in Issue is not exempt under schedule 3,
section 6(a) of the RTI Act.
Schedule 3, section 6(b) - contrary to an order or
direction
The
Applicant submits that:
there is a real
possibility that an order has been made or direction given by a royal commission
or commission of inquiry or a person
or body having power taking evidence on
oath to which public disclosure would be contrary; and
the
decision-maker is compelled to check and ensure that no such orders have been
made or directions given prior to any disclosure
being contemplated.
The
Applicant has not provided any supporting evidence to show that there has been
an order made or direction given by a royal commission
or commission of inquiry,
or by a person or body having power to take evidence on oath, not to disclose
the Information in Issue.
As the onus is on the Applicant to establish that a
decision not to disclose the Information in Issue on the basis of this exemption
is justified[17] and
in the absence of any available evidence to support its submission, I find that
the Information in Issue is not exempt under
schedule 3, section 6(b) of the RTI
Act.
Schedule 3, section 10(1)(a) - prejudice to an investigation
The
Applicant submits that:
all of the
Information in Issue relates to contraventions or possible contraventions of the
law, largely of an allegedly criminal
nature, some or all of which are likely to
be subject to investigation and/or court proceedings
the Information
in Issue arguably allows for the identification of suspects and victims and
contains a significant number of unsubstantiated
allegations; and
if the
Information in Issue is disclosed, it could reasonably be expected to impact
adversely on the ability of QPS to discharge its
duties.
For
this exemption to apply, there must be evidence of an investigation. The
Applicant has not, however, provided any evidence to
show that investigations
are currently being conducted by QPS (or any other law enforcement agency) in
relation to the incidents.
I acknowledge that some of the incidents may
be the subject of QPS investigations into alleged criminal offences. However,
in the absence of any evidence as to specific investigations
and in view of my
findings at paragraphs 15-18 above, I am satisfied that the
Applicant has not established the requisite level of prejudice to satisfy this
exemption.
I
therefore find that the Information in Issue is not exempt under schedule 3
section 10(1)(a) of the RTI Act.
Schedule 3, section 10(1)(b) - reveal a confidential source
The
Applicant submits that the Information in Issue identifies a number of officers
and could enable the identity of victims, suspects,
security personnel,
employees of the Applicant and witnesses to be ascertained, many of which are
likely to be confidential sources
of information.
For
this exemption to apply, a confidential source of information must exist in
relation to the enforcement or administration of the
law.[18] There is no
evidence available to OIC to demonstrate that any individuals involved in the
incidents provided information to QPS
officers confidentially. Even if I had
been satisfied on this point, for the reasons set out at paragraphs 15-18 above, I do not consider that
disclosure of the Information in Issue could reasonably be expected to enable
the identity of any individuals
to be ascertained.
I
therefore find that the Information in Issue is not exempt under schedule 3
section 10(1)(b) of the RTI Act.
Schedule 3, section 10(1)(c) - endanger a person’s life or physical
safetySchedule 3, section 10(1)(d) - serious act of harassment or
intimidation
The
Applicant submits that it could reasonably be expected that a person who has
divulged information or taken action against a person
of interest, whose
identity is reasonably determinable from this information, may reasonably fear
their physical safety is in danger.
For the same reasons, the Applicant submits
that disclosure of the Information in Issue could reasonably be expected to
result in
a person being subjected to a serious act of harassment or
intimidation.
I
acknowledge that there may be cases in which witnesses to, and/or victims of,
criminal offences, may have well-founded concerns
of the nature submitted by the
Applicant. However, in view of my findings at paragraphs 15-18 above that individuals are not
identifiable from the Information in Issue, I do not consider that the
Information in Issue could
be used for the purpose of committing acts which may
endanger a person’s life or physical safety and/or constitute serious
harassment or intimidation. Accordingly, I do not consider that the outcomes
contemplated by these exemptions could
rea[19]nably be expected
to19 occur through disclosure of the Information in
Issue.
I
therefore find that the Information in Issue is not exempt under schedule 3
section 10(1)(c) or (d) of the RTI Act.
Schedule 3, section 10(1)(e) - prejudice a fair trial
The
Applicant submits that disclosure would impact adversely on the impartiality of
jurors and/or judicial officers as the Information
in Issue identifies suspects
and victims and discloses incidents of an allegedly criminal nature in the
context of unsubstantiated
accounts which have not been determined by a court.
A
‘person’s fair trial’ only refers to a criminal trial
and does not extend to civil
proceedings.[20] The
phrase ‘impartial adjudication of a case’ is wide enough to
extend to civil proceedings or any case that is formally adjudicated by a
decision
maker.[21]
For
the reasons set out at paragraph 24
above, I am satisfied that the Information in Issue could not reasonably be
expected to prejudice any criminal or civil proceedings
relating to the
incidents and is therefore, not exempt under schedule 3 section 10(1)(e) of the
RTI Act.
Schedule 3, section 10(1)(f) and (i) - prejudice methods,
systems or procedures
The
Applicant submits that releasing the Information in Issue will:
negatively
impact the important relationship between licensees, their staff and QPS, as
licensees would be less likely to contact
QPS in relation to liquor-related
incidents; and
prejudice the
effectiveness of the LEAPS project because voluntary participants would no
longer cooperate to as full an extent, thereby
decreasing the accuracy of the
information obtained by LEAPS and the effectiveness of its efforts to address
liquor-related issues
or predict trends.
The
Information in Issue records suspected offences which have occurred at, or in
the vicinity of the Applicant’s venue. I
am satisfied that the attendance
of QPS officers at licensed venues, either at the request of the venue, or
through other intelligence
sources, constitutes (i) a lawful method for
preventing, detecting and dealing with contraventions or possible contraventions
of
the law and/or (ii) a system for the protection of persons and
property.[22]
The
Liquor Act 1992 (Qld) (Liquor Act) places a number of obligations
on licensed venues in relation to safety and security, for example:
licensees are
required to maintain a safe environment for their patrons and
staff[23]
licensees must
ensure liquor is served, supplied and promoted in a way that is compatible with
minimising harm from the use of liquor
and preserving the peace and good order
of the neighbourhood of the
premises;[24] and
venues must keep
a register about each incident at the licensed venue (i) in which a person is
injured or (ii) requiring a person
to be removed from the
venue.[25]
In
view of the above legislative requirements and the regulatory environment in
which licensed premises operate, I consider it is
reasonable to expect that
licensees would notify QPS of any incidents at their venue requiring QPS
attention to ensure the safety
of their venue, staff and patrons. In my view,
maintaining open and regular communication with a law enforcement agency would
be
advantageous to a licensee as it would support the venue in managing and
responding to liquor-related incidents, provide an added
level of protection for
staff and patrons and generally, enhance venue safety. For these reasons, I am
not persuaded that the disclosure
of information under the RTI Act would lead to
licensees being reluctant to contact QPS about liquor-related
incidents.[26]
For
the above reasons, I am not satisfied that it is reasonable to expect that the
relevant methods, systems and/or procedures could
be prejudiced through
disclosure of the Information in Issue. Accordingly, I find that the
Information in Issue is not exempt under
schedule 3, section 10(f) or (i) of the
RTI Act.
Would disclosure, on balance, be contrary to the public interest?
No,
for the reasons that follow.
Relevant law
An
agency may refuse access to information under the RTI Act where its disclosure
would, on balance, be contrary to the public
interest.[27] The RTI
Act identifies many factors that may be relevant to deciding the balance of the
public interest[28]
and explains the steps that a decision-maker must
take[29] in deciding
the public interest as follows:
(i) identify
any irrelevant factors and disregard them
(ii) identify
relevant public interest factors favouring disclosure and nondisclosure
(iii) balance
the relevant factors favouring disclosure and nondisclosure; and
(iv) decide
whether disclosure of the information in issue would, on balance, be contrary to
the public interest.
Analysis
(i) Irrelevant factors
The
Applicant has questioned the intentions of the access applicant for seeking
access to the Information in Issue and the use to
which the Information in Issue
may be put once released.
[30]
The
RTI Act provides that the conduct of the access applicant which may result from
disclosure is an irrelevant factor in deciding
the public
interest.[31] I also
consider that the access applicant’s reasons for requesting information
under the RTI Act are irrelevant when assessing
the public
interest.[32]
For
the above reasons, I have not taken the Applicant’s submissions on this
issue into account. I do not consider any other
irrelevant factors arise in
this case.
(ii) Factors favouring disclosure
The
RTI Act recognises that the public interest will favour disclosure of
information where disclosure could reasonably be expected
to:
promote open
discussion of public affairs and enhance the government’s
accountability[33]
contribute to
positive and informed debate on important issues or matters of serious
interest;[34] and
reveal
environmental or health risks or measures relating to public health and
safety.[35]
OLGR
is responsible for regulating Queensland’s liquor industry and its
development, within a socially responsible framework,
and in a way that is
compatible with minimising harm caused by alcohol
abuse.[36] As part of
its regulatory role, OLGR records liquor-related incidents as reported by QPS
officers, whether or not breach action
against the licensee/venue has been
taken, to enable OLGR to identify any trends at licensed premises that may
require proactive
negotiations with the licensee and to reduce the likelihood of
significant incidents in the
future.[37] OLGR
performs this part of its functions with the cooperation of QPS officers,
through the LEAPS program.
The
Information Commissioner has previously recognised that it is essential for the
public to have confidence in the way a regulatory
agency performs its
functions.[38] Given
the nature of the Information in Issue, as described at paragraph 9 above, I consider that disclosure would
allow the community to scrutinise QPS’ response to liquor-related
incidents and the
way such incidents are communicated to OLGR, for the purpose
of it performing its regulatory activities relating to liquor and licensed
venues. For these reasons, I am satisfied that disclosure would enhance
government accountability and promote open discussion of
public affairs.
The
occurrence of liquor-related incidents at licensed premises is an issue of
serious interest and the impact this issue has on the
community is
well-recognised.[39]
I consider that disclosure of the Information in Issue would allow members of
the public to scrutinise the nature and frequency
of liquor-related incidents
reported by QPS in relation to the Applicant’s venue and the actions taken
by QPS at the time of
the incident. I am satisfied that this would reveal
measures relating to public safety and would contribute to positive and informed
debate on matters of serious interest to the community.
The
Applicant argues strongly against the weight to be given to the above public
interest factors on the basis that the Information
in Issue describes alleged
incidents which occurred some time ago and does not discuss the role of OLGR or
QPS, or measures taken,
to ensure safety or contribute to
accountability.[40]
The Applicant also
submits that because the venue has a low incident rate in comparison to the
number of patrons who attend the venue,
the weight of these factors should be
further reduced.[41]
I
acknowledge that the age of the information potentially reduces its utility for
the purpose of public discussion. However, OLGR
remains the regulating body for
licensed premises and OLGR has confirmed that information about liquor-related
incidents continues
to be communicated between QPS and OLGR in the context of
the LEAPS program, to assist OLGR in performing its regulatory functions.
Accordingly, I am satisfied that disclosure of the Information in Issue, despite
its date range, could still reasonably be expected
to enhance government
accountability, contribute to discussion and debate within the community on
matters of serious interest and
reveal measures relating to public safety.
In
my view, whether the number of liquor-related incidents reported in relation to
a licensed venue is high or low, disclosure will
still allow the public to see
the way in which incidents are reported by QPS and communicated to OLGR.
Accordingly, I am satisfied
that a venue’s incident rate does not decrease
the public interest in enhancing the accountability of the law enforcement
agency
and regulatory body in relation to their responsibilities concerning
liquor-related incidents and licensed premises.
For
the reasons set out above, I afford the public interest factors identified at
paragraph 50 significant weight in favour of disclosure.
(iii) Factors favouring nondisclosure
The
Applicant has raised numerous public interest factors in schedule 4 of the RTI
Act which it considers favour nondisclosure of
the Information in
Issue.[42] The
Applicant’s primary concern is that disclosure of the Information in Issue
will prejudice its business affairs and damage
its reputation.
[43] The Applicant submits that
disclosure would lead to decreased patronage and financial implications for the
venue.
The
Information in Issue describes liquor-related incidents recorded by QPS as
having occurred at, or in the vicinity of the Applicant’s
venue. While I
am prevented from describing the particular nature of the Information in Issue
in these reasons[44],
the information refers generally to the behaviour of venue patrons and their
level of intoxication, any suspected criminal offences
and any violence involved
in the incident.
I
consider that it is reasonable to expect that the Applicant’s business
and/or financial affairs could suffer some level of
prejudice through disclosure
of this type of information as some members of the public may be less inclined
to patronise the Applicant’s
venue to avoid exposure to such incidents.
Accordingly, I find that this public interest factor applies in this case.
However,
I afford this factor only moderate weight on that basis that members of
the public are generally aware that liquor-related incidents
occur in many
licensed venues and still choose to attend the venues. I also consider that a
venue’s history of liquor-related
incidents is only one factor considered
by potential patrons in selecting a venue to attend.
I
acknowledge that the Information in Issue is about allegations of criminal
conduct which at the time of recording had not been tested
in court. However,
as no individuals are identified in the Information in Issue, I find that the
public interest factor in schedule
4, part 3, item 6 of the RTI Act does not
apply in this case.
For
the reasons set out at paragraph 24
above, I find that disclosure of the Information in Issue could not reasonably
be expected to impede the administration of justice
for a person, or generally
and therefore find that the public interest factors in schedule 4, part 3, items
8 and 9 of the RTI Act
do not apply in this case.
For
the reasons set out at paragraph 43
above, I find that disclosure could not reasonably be expected to prejudice the
flow of information to a law enforcement or regulatory
agency and that
therefore, the public interest factor in schedule 4, part 3, item 13 of the RTI
Act does not apply in this case.
There
is no evidence available to indicate that the Information in Issue was
communicated confidentially, either to QPS by persons
involved in the incidents
or between QPS and OLGR. I am therefore not satisfied the Information in Issue
is confidential and accordingly,
find that the public interest in schedule 4,
part 3, item 16 does not apply in this case.
For
the reasons set out in paragraphs 15-18 above, I am not satisfied that the
Information in Issue identifies individuals or that any identities could
reasonably be ascertained
from the Information in Issue. Accordingly, I find
that disclosure of the Information in Issue would not reveal
th[45]personal
information45 of any individual and that therefore, the
public interest factor in schedule 4, part 4, item 6 of the RTI Act does not
apply in this
case.
The
Applicant did not make any specific submissions to support the application of
the public interest factors concerning prejudice
to intergovernmental relations
and prejudice to security, law enforcement and public safety. As the onus is on
the Applicant to
establish that a decision not to disclose the Information in
Issue is justified[46]
and in the absence of any evidence to support the application of these factors,
I find that they do not apply in this case.
(iv) Balancing the public interest
Enhancing
the accountability of regulatory and law enforcement agencies which deal with
liquor-related incidents in relation to licensed
premises is a factor carrying
significant weight in favour of disclosure of the Information in Issue. Given
that the occurrence of
such incidents raises issues of public safety, I am also
satisfied that disclosure of the Information in Issue would lead to open
discussion of public affairs and positive and informed debate on matters of
serious interest. Weighing against these factors is
the prejudice to the
Applicant’s business and/or financial affairs which may result from
disclosure of the Information in Issue,
however, I am satisfied that this
carries only moderate weight in this case in view of the general level of public
awareness of the
occurrence of liquor-related incidents in licenced
premises.
On
balance, I am satisfied that the public interest favours disclosure in this case
and therefore, find that disclosure of the Information
in Issue would not be
contrary to the public interest.
DECISION
For
the reasons set out above, I affirm the Department’s decision to grant
access to the Information in Issue on the basis that
it is not exempt
information and that disclosure would not, on balance, be contrary to the public
interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.
________________________
K Shepherd
Assistant Information Commissioner
Date: 29 October 2012 APPENDIX
Significant procedural steps
Date
Event
8 August 2011
The Department received the access application.
27 September 2011
The Department consulted with the Applicant under section 37 of the RTI Act
about disclosure of the relevant information to the access
applicant and invited
to Applicant to identify any objections to disclosure.
12 October 2011
The Applicant notified the Department that it objected to disclosure of the
relevant information and provided submissions supporting
its case.
25 October 2011
The Department issued its initial decision to the Applicant, deciding to
disclose information in relation to the Applicant’s
venue.
31 October 2011
The Applicant applied to the Department for internal review.
28 November 2011
The Department affirmed its initial decision.
21 December 2011
OIC received the external review application.
13 January 2012
The Department provided OIC with relevant documents including the
Information in Issue.
19 January 2012
OIC received the Applicant’s further submissions.
24 February 2012
OIC sought clarification from the Department in relation to the Information
in Issue.
30 April 2012 – 22 May 2012
OIC issued a written preliminary view to the Applicant that there is no
basis on which the Information Commissioner can set aside
the Department’s
decision on the Information in Issue. OIC invited the Applicant to provide
submissions supporting its case
if it did not accept the preliminary view.
28 June 2012
The Applicant advised OIC it did not accept the preliminary view and lodged
submissions in response.
20 July 2012
OIC telephoned OLGR to obtain information about the LEAPS program as it
relates to OLGR’s role in regulating licensed venues.
31 July 2012
OIC provided the Applicant with an update on the status of the external
review.
27 August 2012
OIC provided the Department with an update on the status of the external
review and asked the Department to convey the status of the
review to the access
applicant.
21 September 2012
OIC provided the Applicant with a further update on the status of the
external review.
28 September 2012
The Department received the access application.
Schedule 3 of the RTI Act - Exempt information
6 Information disclosure of which would be contempt of court or
Parliament
Information is exempt information if its public disclosure would, apart
from this Act and any immunity of the Crown—
(a) be in contempt of court; or
(b) be contrary to an order made or direction given by—
(i) a royal commission or commission of inquiry; or
(ii) a person or body having power to take evidence on oath; or
...
10 Law enforcement or public safety information
(1) Information is exempt information if its disclosure could reasonably
be expected to—
(a) prejudice the investigation of a contravention or possible
contravention of the law (including revenue law) in a particular case;
or
(b) enable the existence or identity of a confidential source of
information, in relation to the enforcement or administration of
the law, to be
ascertained; or
(c) endanger a person’s life or physical safety; or
(d) result in a person being subjected to a serious act of harassment or
intimidation; or
(e) prejudice a person’s fair trial or the impartial adjudication
of a case; or
(f) prejudice the effectiveness of a lawful method or procedure for
preventing, detecting, investigating or dealing with a contravention
or possible
contravention of the law (including revenue law); or
...
(i) prejudice a system or procedure for the protection of persons,
property or the environment; or
... Schedule 4 of the RTI Act - Factors for deciding the public
interest
Part 3 Factors favouring nondisclosure in the public interest
Disclosure
of the information could reasonably be expected to prejudice the fair treatment
of individuals and the information is
about unsubstantiated allegations of
misconduct or unlawful, negligent or improper conduct.
Disclosure
of the information could reasonably be expected to prejudice security, law
enforcement or public safety.
Disclosure
of the information could reasonably be expected to impede the administration of
justice generally, including procedural
fairness.
Disclosure
of the information could reasonably be expected to impede the administration of
justice for a person. ...
Disclosure
of the information could reasonably be expected to prejudice the flow of
information to the police or another law enforcement
or regulatory agency.
Disclosure
of the information could reasonably be expected to prejudice intergovernmental
relations....
Disclosure
of the information could reasonably be expected to prejudice an agency’s
ability to obtain confidential information....
Part 4 Factors favouring nondisclosure in the public interest because of
public interest harm in disclosure
6 Disclosing personal information
(1) Disclosure of the information could reasonably be expected to cause a
public interest harm if disclosure would disclose personal
information of a
person, whether living or dead.
[1] OLGR is part of
the portfolio of the Attorney-General and Minister for Justice. For the purpose
of section 14 of the RTI Act, the
agency which deals with requests for
information held by OLGR is the Department of Justice and Attorney
General.[2] The
Department also sought QPS’ views on disclosure. The Department has
confirmed to OIC that QPS initially objected to disclosure
of information and
sought internal review of the Department’s decision to disclose
information. QPS did not however, apply
to OIC for external review and
therefore, they were not involved in the review process.
[3] See
Commissioner’s Circular 27/2010 – Drink Safe Precincts and
Banning Orders, 2 December 2010 at page 2 (available at http://www.police.qld.gov.au/Resources/Internet/rti/policies/documents/Circular%2027-2010.pdf).[4]
As described at paragraph 5 above.
[5] Under section
87(2) of the RTI Act, the participant in an external review who opposes a
disclosure decision (defined in section 87(3)(a) of the RTI Act)
has the onus of establishing that a decision not to disclose the information is
justified
or that the Information Commissioner should give a decision adverse to
the access
applicant.[6] Under
sections 47(3)(a) and 48 and schedule 3 of the RTI Act.
[7] Under sections
47(3)(b) and 49 of the RTI Act.
[8] Submissions to
OIC dated 24 February 2012 and 20 July 2012. I have also considered the
Applicant’s RTI Objection Form, and
accompanying letter dated 12 October
2011, submitted to the Department in response to the consultation process.
[9] Submissions to
OIC dated 24 February 2012 and 20 July 2012.
[10] Section 23 of
the RTI Act. See also sections 12 and 14 of the RTI Act.
[11] See sections
11 and 17 and schedules 1 and 2 of the RTI Act.
[12] Submissions
to the Department dated 12 October 2011. I am unable to set out the details of
the Applicant’s submission on this
issue as it refers to information
claimed to be exempt and/or contrary to public interest – see section 108
of the RTI Act.
[13] Section 44(1)
of the RTI Act. This is referred to as the pro-disclosure bias in
deciding access to documents.
[14] Section 47(2)
of the RTI Act provides that these grounds are to be interpreted narrowly and an
agency may give access to a document
even if a ground on which access may be
refused applies.
[15] The grounds for refusal of access are
listed in section 47(3) of the RTI Act. Section 47(2) of the RTI Act provides
that these grounds
are to be interpreted narrowly.
[16] In
Henderson and Department of Education (Unreported, Queensland Information
Commissioner, 22 July 1997) at [23] in the context of the equivalent provision
in section 50
of the repealed Freedom of Information Act 1992 (Qld)
(FOI
Act).[17] See
paragraph 11
above.[18]
McEniery and the Medical Board of Queensland [1994] QICmr 2; (1994) 1 QAR 349 in the
context of the equivalent provision in section 42(1)(b) of the repealed FOI Act.
[19] The phrase
‘could reasonably be expected to’ requires that the
expectation is reasonably based and not irrational, absurd or ridiculous
(Attorney-General v Cockcroft [1986] FCA 35; (1986) 64 ALR 97 at [106]) nor merely a
possibility (Murphy and Treasury Department [1995] QICmr 23; (1995) 2 QAR 744). Whether
the expected consequence is reasonable requires an objective examination of the
relevant evidence (Murphy at [45-47]). It is not necessary for a
decision-maker ‘to be satisfied upon a balance of
probabilities’ that disclosing the document will produce the
anticipated prejudice, or, as in this case, a public good (Sheridan and
South Burnett Regional Council & Others (Unreported, Queensland
Information Commissioner, 9 April 2009)). Importantly, the expectation must
arise as a result of disclosure,
rather than from other circumstances (Murphy
at [54]).[20]
Uksi and Redcliffe City Council; Cook (Third Party) [1995] QICmr 18; (1995) 2 QAR 629
(Uksi) at [34].
[21] Uksi
at [35].[22] I
have also considered whether the communication of the liquor-related incidents
by QPS officers to OLGR is a system, method or procedure
for the purpose of
these exemptions. I am satisfied that this aspect of the LEAPS program does not
meet the necessary requirements
as the purpose of the communications is to
assist OLGR in its regulatory activities, eg. identifying trends at licensed
premises.
I consider this aspect of the LEAPS program is relevant to the public
interest factors relating to accountability, discussed at
paragraphs 50-57
below. [23]
Section 148A(1)(a) of the Liquor
Act.[24] Section
148A(1)(b) of the Liquor
Act.[25] Section
142AI(1)(a) of the Liquor Act.
[26] Even if I was
persuaded on this point, I am satisfied that licensees are not the only source
of intelligence for QPS in relation
to liquor-related incidents. I consider
that victims, patrons and even venue staff, would still be likely to contact QPS
to attend
such incidents, notwithstanding the disclosure of related information
under the RTI Act.
[27] Section
47(3)(b) and 49 of the RTI Act. The term public interest refers to
considerations affecting the good order and functioning of the community and
government affairs for the well-being of citizens.
This means that in general, a
public interest consideration is one which is common to all members of, or a
substantial segment of,
the community, as distinct from matters that concern
purely private or personal interests. However, there are some recognised public
interest considerations that may apply for the benefit of an individual.
[28] Schedule 4 of
the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest. However, this list of
factors is not exhaustive. In other words, factors that are not listed may also
be relevant
in a particular case.
[29] Section 49(3)
of the RTI
Act.[30]
Submissions to OIC dated 24 February 2012 and 20 July 2012.
[31] Schedule 4,
part 1, item 3 of the RTI Act.
[32] In State
of Qld v Albietz, Information Commissioner (Qld) & Anor [1996] 1 Qd R
215, de Jersey J noted at [219] “... the Freedom of Information Act
does not confer any discretion on the Information Commissioner, or the Supreme
Court, to stop disclosure of information because of
any particular motivation in
the applicant”. Although this decision was made in the context of the
repealed FOI Act, I consider the reasoning equally applies when considering
applications under the RTI Act.
[33] Schedule 4,
part 2, item 1 of the RTI Act.
[34] Schedule 4,
part 2, item 2 of the RTI Act.
[35] Schedule 4,
part 2, item 14 of the RTI
Act.[36] http://www.olgr.qld.gov.au/aboutUs/index.shtml.
[37] http://www.police.qld.gov.au/Resources/Internet/rti/policies/documents/Circular%2027-2010.pdf
[38] See
Kenmatt Projects Pty Ltd and Building Services Authority (Unreported,
Queensland Information Commissioner, 27 September 1999) at [47] and Seven
Network (Operations) Limited and Redland City Council; A third party
(Unreported, Queensland Information Commissioner, 30 June 2011) at
[25].[39] See, for
example, Law, Justice and Safety Committee, ‘Inquiry into Alcohol-Related
Violence – Final Report (Report No.
74)’, March 2010 at http://www.parliament.qld.gov.au/
documents/TableOffice/TabledPapers/2010/5310T1903.pdf; Queensland
Government, ‘Queensland Government Response to Law, Justice and Safety
Committee’s final report into alcohol-related
violence’, 27 August
2010 at http://www.parliament.qld.gov.au/
documents/Committees/LJSC/2009/alcohol-related-violence/responseReport74.pdf);
Ministerial Council on Drug Strategy, ‘National Alcohol Strategy 2006-2009
– Towards Safer Drinking Cultures’,
May 2006 at http://www.alcohol.gov.au/internet/alcohol/
publishing.nsf/Content/B83AD1F91AA632ADCA
25718E0081F1C3/$File/nas-06-09.pdf).[40]
Page 2 and 5 of Applicant’s submission to OIC dated 20 July 2012.
[41] Page 4 of
Applicant’s submission to the Department dated 12 October 2011.
[42] These are
listed in the
Appendix.[43]
Submission to OIC dated 20 July 2012.
[44] Due to the
operation of section 108 of the RTI Act – see footnote 12
above.[45] As
defined in section 12 of the Information Privacy Act 2009 (Qld).
[46] See paragraph
11 above.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | X19 and Metro South Hospital and Health Service [2020] QICmr 12 (26 February 2020) |
X19 and Metro South Hospital and Health Service [2020] QICmr 12 (26 February 2020)
Last Updated: 12 May 2020
Decision and Reasons for Decision
Citation:
X19 and Metro South Hospital and Health
Service [2020] QICmr 12 (26 February 2020)
Application Number:
314483
Applicant:
X19
Respondent:
Metro South Hospital and Health Service
Decision Date:
26 February 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - medical records of deceased
parent - personal
information and privacy - whether disclosure would, on balance, be contrary to
the public interest - sections 47(3)(b) and 49 of the Right to Information
Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Metro
South Hospital and Health Service (MSHHS) under the Right to
Information Act 2009 (Qld) (RTI Act) for access to her late
mother’s medical records held by the Princess Alexandra Hospital.
MSHHS
located 3700 pages and decided[2] to
refuse access to all pages on the basis that disclosure would be contrary to the
public interest.
The
applicant applied[3] to the Office of
the Information Commissioner (OIC) for external review of MSHHS’
decision.
I
have decided to affirm MSHHS’ decision.
Background
The
applicant’s mother passed away in July 2017 while admitted at the Princess
Alexandra Hospital.
The
applicant stated that she is seeking access to her mother’s medical
records in order to understand if and how any health
conditions of her mother
may affect her and her
family.[4]
Reviewable decision
The
decision under review is MSHHS’ decision dated 20 February
2019.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and Appendix). I have
also had regard to the Human Rights Act
2019 (Qld),[5] particularly
the right to seek, receive and impart
information.[6] I consider a
decision-maker will be ‘respecting and acting compatibly
with’ that right and others prescribed in the HR Act, when applying
the law prescribed in the RTI Act.[7]
I have acted in this way in making this decision, in accordance with section
58(1) of the HR
Act.[8]
Information in issue
The
information in issue (Information in Issue) consists of 3700 pages of
medical records of the deceased.
Issue for determination
The
issue for determination is whether, on balance, disclosure of the Information in
Issue would be contrary to the public interest
under sections 47(3)(b) and 49 of
the RTI Act.
Relevant law
The
RTI Act gives a person the right to be given access to documents of an
agency.[9] However, this right of
access is subject to other provisions of the RTI Act, including the grounds on
which an agency may refuse
access to
documents.[10] Relevantly, an
agency may refuse access to information where its disclosure would, on balance,
be contrary to the public
interest.[11]
The
term ‘public interest’ refers to considerations affecting the good
order and functioning of the community and government
affairs for the well-being
of citizens. This means that in general, a public interest consideration is one
which is common to all
members of, or a substantial segment of, the community,
as distinct from matters that concern purely private or personal interests.
However, there are some recognised public interest considerations that may apply
for the benefit of an individual.
The
RTI Act identifies various factors that may be relevant to deciding the balance
of the public interest[12] and
explains the steps that a decision-maker must
take[13] in deciding the public
interest as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the Information in Issue would, on balance, be contrary to the
public interest.
Findings
Irrelevant factors
No
irrelevant factors apply in the circumstances of this matter and I have
consequently taken no irrelevant factors into account in
considering whether, on
balance, disclose of the Information in Issue would be contrary to the public
interest.
Factors favouring disclosure
Family Medical History Information
The
applicant submitted[14] that
accessing information about her late mother’s diagnoses and treatment may
assist and benefit the ongoing management of
her and her family’s health
affairs.
I
have considered whether these submissions give rise to any public interest in
favour of disclosure of the Information in Issue.
There may be a public
interest in ensuring, where there is a familial health issue, that historical
medical information is not lost,
and therefore the best and most efficient
health care is provided to patients in successive generations. However, there
are provisions
under other legislation that facilitate access to relevant health
information in certain
circumstances.[15] Such provisions
would allow the applicant’s medical practitioner to obtain pertinent
family medical history information from
MSHHS and thus ensure efficient and
appropriate care of the applicant and her family.
Consequently,
I consider that the public interest raised by the applicant’s submissions
in this regard has low weight in the
circumstances of this matter.
Personal information factors
The
RTI Act identifies two public interest factors relevant in this case which
favour the disclosure of information where the information
is ‘personal
information’, namely:
schedule 4, part
2, item 7 of the RTI Act which provides that it will be in the public interest
to disclose personal information where
the information is the applicant’s
personal information (Applicant’s Information Factor): and
schedule 4, part
2, item 9 of the RTI Act which provides that it will be in the public interest
to disclose personal information where
the information relates to a person who
has died and both of the following apply—(a) the information
would, if the person were alive, be personal information of the person;
(b) the applicant is an eligible family member of the person (Eligible
Family Member Factor).
Section
12 of the Information Privacy Act 2009 (Qld) (IP Act) defines
‘personal information’ for the purpose of the RTI Act as,
information or an opinion, including information or
an opinion forming part of a
database, whether true or not, and whether recorded in a material form or not,
about an individual whose
identity is apparent, or can reasonably be
ascertained, from the information or opinion.
Applicant’s Information Factor
I
have carefully read the Information in Issue. This public interest factor only
has application to a very small amount of the Information
in Issue. The
applicant’s personal information (her name) appears in the medical record
in a number of places where the deceased’s
relationship with the applicant
is noted. The personal information of the applicant is intertwined with the
personal information
of the deceased to such an extent that it cannot be
disclosed without also disclosing the personal information of the deceased and
its excision would be of little utility. Accordingly, I afford low weight to
the Applicant’s Information Factor.
Eligible Family Member Factor
Apart
from the small amount of information that is the personal information of persons
other than the deceased and the applicant (addressed
later in this decision),
the balance of the Information in Issue is the personal information of the
applicant’s deceased mother.
As noted at paragraph 18, the RTI Act recognises that there is a
public interest in favour of disclosure of a deceased individual’s
personal information
in circumstances where the applicant is an eligible family
member of the deceased.
To
be satisfied that the Eligible Family Member Factor applies in favour of
disclosure of the Information in Issue, I must determine;
firstly, whether the
information would, if the deceased were alive, be their personal information;
and, secondly, whether the applicant
is an eligible family member of the
deceased.
Medical
records of the nature of the Information in Issue in this review have long been
held by the Information Commissioner to be
personal information for the purpose
of the RTI and IP Acts.[16] Having
reviewed the Information in Issue I am satisfied that it would, given that it is
the medical record of the deceased, if the
deceased were alive, be their
personal information, as it meets the definition of personal information in the
IP Act. Thus, what
remains is to determine if the applicant is an eligible
family member for the purpose of the Eligible Family Member Factor.
Schedule
5 of the RTI Act defines an eligible family member in a hierarchical way as
follows:
eligible
family member, of a deceased person, means—
(a) a spouse
of the deceased person; or
(b) if a
spouse is not reasonably available—an adult child of the deceased person;
or
(c) if a
spouse or adult child is not reasonably available—a parent of the deceased
person; or
(d) if a
spouse, adult child or parent is not reasonably available—an adult sibling
of the deceased person; or
(e) if a
spouse, adult child, parent or adult sibling is not reasonably available and the
deceased person was not an Aboriginal person
or Torres Strait Islander—the
next nearest adult relative of the deceased person who is reasonably available;
or
(f) if a
spouse, adult child, parent or adult sibling is not reasonably available and the
deceased person was an Aboriginal person
or Torres Strait Islander—a
person who is an appropriate person according to the tradition or custom of the
Aboriginal or Torres
Strait Islander community to which the deceased person
belonged and who is reasonably available.
A
person described in item 1 is not reasonably available
if—
(a) a person
of that description does not exist or is deceased; or
(b) a person
of that description can not be reasonably contacted; or
(c) a person
of that description is unable or unwilling to act as the eligible family member
of the deceased person for the purposes
of this
Act.
In
the course of the external review I obtained a copy of the Death Certificate of
the deceased.[17] The Death
Certificate shows that the deceased was widowed at the date of her death. Thus,
the person noted at Item 1(a) above is
‘not reasonably
available’ by virtue of item 2(a) of the above definition.
In
terms of item (1)(b), the Death Certificate shows that the applicant is an adult
child of the deceased. I am therefore satisfied
on the evidence before me that:
the applicant is an adult child of the deceased; that item (1)(b) of the
eligible family member definition
is satisfied; and that, the Eligible Family
Member Factor in favour of disclosure is enlivened for
consideration.
Based
on the evidence available to me,[18]
it is clear that the applicant was living interstate and therefore, by virtue of
her lack of proximity, was not closely involved
with the deceased’s health
care prior to her death. This is not to say that the applicant was
disinterested in her mother’s
care. Indeed, it is evident from the
applicant’s submissions that she had telephone contact with her mother and
siblings.
However, the applicant was not involved in a sufficiently detailed
way in the day to day health care decisions concerning her mother
to reduce the
prejudice to the deceased’s privacy in disclosure of the Information in
Issue. Additionally, certain entries
in the deceased’s medical record
lend weight to the conclusion that this public interest factor should be given
low weight.[19] In these
circumstances I give low weight to the Eligible Family Member
Factor.
Other factors favouring disclosure
I
have carefully considered all other public interest factors favouring disclosure
listed in schedule 4, part 2 of the RTI Act and
can identify no other factors
that apply in the circumstances of this review.
Factors favouring nondisclosure
Personal information factors
The
RTI Act contains three factors favouring nondisclosure which are enlivened in
the circumstances of this review:
firstly, where
disclosure of information could reasonably be expected to cause a public
interest harm if disclosure would disclose
personal information of a person,
whether living or dead (Harm Factor);
[20]
secondly, where
disclosure of the information could reasonably be expected to prejudice the
protection of an individual’s right
to privacy (Protection of Right to
Privacy Factor);[21] and
finally, where
the information is about a person who has died and all of the following
apply—
the
information would, if the person were alive, be personal information of the
person;
the
applicant is an eligible family member of the person;
the
disclosure of the information could reasonably be expected, if the person were
alive, to impact on the person’s privacy
(Eligible Family Member
Privacy
Factor).[22]
Harm Factor
The
Information in Issue contains sensitive personal information of the deceased.
Disclosing
the sensitive personal information of the deceased could reasonably be expected
to result in a public interest harm, namely,
a reduction in public confidence in
the health system and a reduction in the ability of public hospitals to provide
health care effectively
and efficiently. The effective delivery of health care
services and the efficient operation of health services rely upon full and
frank
disclosure by patients. The risk in disclosing personal information of the type
in issue in this review is that patients would
no longer engage in an open and
frank relationship with health care providers if they felt that information they
provided would be
disclosed to others. This lack of candour may compromise
their own health and the ability of the health care system to provide proper
care effectively and efficiently.
[23]
Given
the sensitive and private nature of the Information in Issue, and health records
generally, the public interest harm to the
efficient and effective delivery of
public health care that could reasonably be expected to result from disclosure
of the Information
in Issue would be substantial. Therefore, this Harm Factor
is deserving of significant weight in circumstances such as those present
in
this review.
Protection of Right to Privacy Factor
A
public interest favouring nondisclosure will apply if disclosure of the
Information in Issue is likely to prejudice the protection
of an
individual’s right to
privacy.[24] The concept of
‘privacy’ is not defined in either the IP Act or the RTI Act.
However, it can be regarded as the right
of an individual to preserve their
personal sphere free from interference from
others.[25]
A
small amount of the Information in Issue is the personal information of
individuals other than the applicant and the deceased, such
as relatives and
acquaintances, including their identities, contact details and residential
circumstances. Most of this information
is personal information which the
individuals themselves did not volunteer. Moreover, even where information was
volunteered by
these persons, circumstances indicate that it was provided in the
expectation of it being used by medical staff to assist with the
care and
treatment of the deceased and would not otherwise be disclosed.
I
consider that disclosure of the small amount of the Information in Issue which
concerns persons other than the applicant and the
deceased, would be to
interfere with the right of those persons to keep their personal sphere free
from interference by others.
Accordingly,
I consider that the public interest factor in favour of nondisclosure to protect
an individual’s right to privacy
applies in the circumstances of this
matter to the small amount of information about individuals other than the
applicant and the
deceased, and given the personal nature of the information
this factor carries significant weight.
Eligible Family Member Privacy Factor
This
factor favouring nondisclosure applies where:
the personal
information is of a deceased individual
the applicant is
an eligible family member of the deceased person; and
the disclosure
of the information could reasonably be expected to impact on the deceased
person’s privacy if the deceased person
were alive.
Relevantly,
this factor is worded almost identically to the factor favouring disclosure
discussed above at paragraph 21, the
only difference being the last element. It is the presence of this last element
that polarises this public interest against
disclosure, and requires an
assessment of the impact on the deceased’s privacy as if they were
alive.
As
has already been established in this decision:
the applicant is
an eligible family member of the deceased according to the definition of
eligible family member as set out in schedule
5 of the RTI Act; and
the Information
in Issue is the personal information of the deceased, being medical records
which by their very nature contain sensitive,
private information about
individuals’ personal circumstances, care and health.
Therefore,
what remains to be considered for this factor favouring nondisclosure to apply
is whether disclosure of the Information
in Issue could reasonably be expected,
if the deceased were alive, to impact on her privacy.
The
Information in Issue has not been disclosed and remains private. Given my
observations on the nature of the familial connection
between the applicant and
deceased, the applicant’s involvement in the deceased’s health care
and the wishes of the deceased
above, I consider that disclosing the Information
in Issue in the circumstances of this review would be to allow a significant
level
of intrusion into a private aspect of the deceased’s personal sphere
and would amount to a significant impact on the privacy
of the deceased, were
she alive.
Consequently,
I conclude that due to the nature and sensitivity of the Information in Issue
and the prejudice to the privacy of the
deceased, were she alive, the Eligible
Family Member Privacy Factor favouring nondisclosure carries significant weight.
Balancing the public interest
For
the reasons explained, I give:
low weight to
the public interest in favour of disclosure to ensure the best and most
efficient intergenerational health care;
low weight to
the public interest factor favouring disclosure of the small amounts of
Information in Issue that are the applicant’s
personal information;
low weight to
the public interest factor favouring disclosure to the applicant as an eligible
family member; and
significant
weight to each of the three public interest factors favouring nondisclosure of
the Information in Issue.
Thus,
on balance, the significant weight of the public interest factors which favour
nondisclosure of the Information in Issue in
this case outweigh the public
interest factors favouring disclosure. Therefore, I find that disclosure of the
Information in Issue
would, on balance, be contrary to the public interest under
section 49 of the RTI Act.
DECISION
I
affirm the decision under review. I find that access to the Information in
Issue may be refused under section 47(3)(b) and section
49 of the RTI Act as its
disclosure would, on balance, be contrary to the public
interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.Assistant Information
Commissioner CorbyDate: 26 February 2020
APPENDIX
Significant procedural steps
Date
Event
27 February 2019
OIC received the application for external review.
1 March 2019
OIC notified MSHHS and the applicant that the application for external
review had been received and requested procedural documents
from MSHHS.
6 March 2019
OIC received the requested documents from MSHHS.
10 March 2019
OIC received submissions from the applicant.
2 April 2019
OIC notified MSHHS and the applicant that the application for external
review had been accepted.
28 May 2019
OIC called the applicant and gave an oral preliminary view that she may be
refused access to her mother’s medical records.
The applicant provided OIC with her submissions via email.
22 July 2019
OIC conveyed a written preliminary view to the applicant, advising that
access to her mother’s medical records may be refused
on the basis that
disclosure would be contrary to the public interest.
The applicant advised OIC that she rejected the preliminary view.
23 July 2019
OIC notified MSHHS that the applicant rejected the preliminary view and
requested that MSHHS provide the Information in Issue.
24 July 2019
MSHHS provided the Information in Issue to OIC by courier.
26 July 2019
OIC called the applicant to clarify issues and concerns that she had
raised.
28 July 2019
OIC received further submissions from the applicant in support of her
status as an ‘eligible family member’.
15 October 2019
OIC received a call from the applicant, advising of her objection and
requesting that OIC issue a decision.
7 November 2019
The applicant forwarded a medical letter to OIC.
[1] Access application dated 12
January 2019.[2] Decision dated 20
February 2019.[3] External review
application dated 27 February 2019.
[4] In her email applying for
external review dated 27 February 2019 at 3:54pm; email from applicant to OIC
dated 10 March 2019 8:22am;
and in a telephone conversation with OIC
on 28 May 2019 following which the applicant provided a copy of a letter from
her psychiatrist
and a Centrelink medical
certificate.[5] Referred to in
these reasons as the HR Act, and which came into force on 1 January
2020.[6] Section 21 of the HR Act.
[7] XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; Horrocks v Department of Justice (General) [2012] VCAT
241 (2 March 2012) at [11].[8] I
also note the observations made by Bell J in XYZ at [573] on the
interaction the Freedom of Information Act 1982 (Vic) and the Charter
of Human Rights and Responsibilities Act 2006 (Vic) that ‘it is
perfectly compatible with the scope of that positive right in the Charter for it
to be observed by reference to the scheme of,
and principles in, the Freedom
of Information Act.’[9]
Section 23 of the RTI Act. [10]
Set out in section 47 of the RTI Act.
[11] Under sections 47(3)(b) and
49 of the RTI Act. [12]
Schedule 4 of the RTI Act lists factors that may be relevant when deciding
whether disclosure of information would, on balance, be
contrary to the public
interest. This list is not exhaustive and therefore, other factors may also be
relevant in a particular
case.[13] Section 49(3) of the
RTI Act.[14] See footnote 4.
[15] Under the Hospital and
Health Boards Act 2011 (Qld), specifically part 7.
[16] See for example, Keogh
and Department of Health (Unreported, Queensland Information Commissioner,
31 August 2010).[17] Provided by
MSHHS by email on 6 March 2019 together with a copy of the applicant’s
application for access and MSHHS’
decision.[18] The
applicant’s written submission dated 28 July 2019 and oral submissions in
telephone discussions on 28 May 2019 and 15 October
2019 and the
Information in Issue.[19] I am
precluded by the operation of section 108 of the RTI Act from disclosing the
content of the entries as to do so would reveal
the Information in
Issue.[20] Schedule 4, part 4,
section 6 of the RTI Act.[21]
Schedule 4, part 3, item 3 of the RTI
Act.[22] Schedule 4, part 3,
item 5 of the RTI Act.[23] I
note in this regard that the Health Service clearly conveys to patients an
expectation that medical records are confidential and
that patient privacy is
maintained: ‘We know you need to trust your health provider before you
give them sensitive personal information. You can expect that we
will deal with
all personal information in an ethical, lawful and confidential
way.Your health information will only be discussed or made available
to those who are involved in your care.’
https://metrosouth.health.qld.gov.au/patients-and-visitors/your-time-in-hospital/medical-records-and-confidentiality.
See also: https://publications.qld.gov.au/dataset/health-information-privacy.
[24] Schedule 4, part 3, item 3
of the RTI Act. [25] See
0P5BNI and Department of National Parks, Recreation, Sport and Racing
(Unreported, Queensland Information Commissioner, 12 September 2013);
Marshall and Department of Police (Unreported, Queensland Information
Commissioner, 25 February 2011) at [27] paraphrasing the Australian Law Reform
Commission’s
definition of the concept in ‘For your information:
Australian Privacy Law and Practice’ Australian Law Reform Commission
Report No. 108 released 11 August 2008, at paragraph 1.56.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Q93 and Department of Transport and Main Roads [2020] QICmr 70 (25 November 2020) |
Q93 and Department of Transport and Main Roads [2020] QICmr 70 (25 November 2020)
Last Updated: 25 March 2021
Decision and Reasons for
Decision
Citation:
Q93 and Department of Transport and Main Roads [2020] QICmr 70
(25 November 2020)
Application Number:
315199
Applicant:
Q93
Respondent:
Department of Transport and Main Roads
Decision Date:
25 November 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - EXEMPT
INFORMATION - applicant seeks the name and address of the person
who reported
allegedly smoky vehicle - whether disclosure would reveal information that could
reasonably be expected to identify
a confidential source of information in
relation to the enforcement or administration of the law - whether information
is exempt
from disclosure under section 67(1) of the Information Privacy Act
2009 (Qld) and sections 47(3)(a) and 48 and schedule 3, section 10(1)(b) of
the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Department
of Transport and Main Roads (Department) under the Information Privacy
Act 2009 (Qld) (IP Act) for all documents relating to complaints made
in relation to her vehicle, including ‘smoky vehicle program
complaints’ or ‘not roadworthy complaints’ over a
12 month period.[2]
The
Department located three pages in response to the application and released two
full pages and part of one page to the applicant.
It refused access to the
name and address of the individual who made a notification of a smoky vehicle to
the Department (Complainant
Information).[3] This information
was refused on the basis that its disclosure could reasonably be expected to
enable the existence or identity of
a confidential source of information, in
relation to the enforcement or administration of the law, to be
ascertained.
The
applicant applied for internal
review[4] of the Department’s
decision. On internal review[5] the
Department upheld its original decision to refuse access to the Complainant
Information,[6] and located and
released a further ten pages.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s decision, ‘seeking notice of
whether the notifier... was a police officer, and their name or confirmation
that it was [Person X] or [Person Y].’
[7]
For
the reasons set out below, I affirm the Department’s decision to refuse
access to the Complainant Information under section
67(1) of the IP Act and
sections 47(3)(a) and section 48 of the Right to Information Act 2009
(Qld) (RTI
Act).[8]
Reviewable decision
The
reviewable decision is the Department’s internal review decision dated 18
February 2020.
Evidence considered
Significant
procedural steps relating to the external review are set out in the
Appendix.
The
evidence, submissions, legislation and other material I have considered in
reaching my decision are set out in these reasons (including
footnotes and the
Appendix).
Generally,
decision makers must have regard to the Human Rights Act 2019 (Qld)
(HR Act). However, section 11(1) of the HR Act provides that
‘[a]ll individuals in Queensland have human rights’
(my emphasis). Given the applicant resides in a State other than
Queensland, I have not had direct regard to the HR Act. I have,
of course,
observed and respected the law prescribed in the IP and RTI Acts in making this
decision. In doing so, my decision can
be construed as ‘respecting and
acting compatibly with’ the rights prescribed in the HR
Act.[9] Accordingly, had it been
necessary for me to have regard to the HR Act in this review, the requirements
of section 58(1) of that
Act would be satisfied, and the following observations
of Bell J about the interaction between the Victorian analogues of
Queensland’s
IP and RTI Acts and HR Act would apply: ‘it is
perfectly compatible with the scope of that positive right in the Charter for it
to be observed by reference to the scheme
of, and principles in, the Freedom
of Information Act’.[10]
Information in issue
The
only information in issue is the Complainant Information, being the name and
address of the individual who made a notification
of a smoky vehicle to the
Department.
Issue for determination
The
issue for determination is whether access to the Complainant Information may be
refused on the basis that disclosure could reasonably
be expected to enable the
identity of a confidential source of information, in relation to the enforcement
or administration of the
law, to be
ascertained.[11]
Relevant law
Under
the IP Act, a person has a right to be given access to documents of an agency to
the extent they contain the individual’s
personal
information.[12] That right is
subject to certain limitations set out in the IP Act and RTI Act.
One
such limitation is that an agency may refuse access to a document to the extent
it comprises exempt information.[13]
Relevantly, information is exempt if its disclosure could reasonably be expected
to enable the existence or identity of a confidential
source of information, in
relation to the enforcement or administration of the law, to be
ascertained.[14]
In
evaluating this exemption, a decision maker must also consider the exceptions
outlined in schedule 3, section 10(2) of the RTI
Act, in accordance with the
comments of Chief Justice Holmes in Commissioner
of the Police Service v Shelton &
Anor:[15]
an agency cannot reach the view necessary...in relation to information
which may be exempt under sch 3 s 10 without a consideration
of the documents
the subject of the application to ascertain whether they fall within s 10(2).
Applicant’s submissions
The
applicant submitted that she considered the informant to be one of two police
officers and that she requires this information
to:[16]
...prosecute agencies for systemic and egregious human rights abuses which
are based on protected attributes, hate based persecution
and abuse of
power...using public office and directing large numbers of public servants to
use their position to persecute.
The
applicant has also indicated that she wishes to ‘join the name of the
person to a lawsuit already
afoot’.[17]
To
the extent that these submissions raise for consideration the exceptions set out
in schedule 3, section 10(2) of the RTI Act, this
is addressed at paragraph 33 below.
To
the extent that the applicant’s submissions raise public interest
arguments in favour of disclosure, I am not able to take
these into
account.[18] The categories of
exempt information set out in schedule 3 of the RTI Act represent the types of
information which Parliament has
already decided, would, on balance, be contrary
to the public interest to disclose. As such, once the requirements of an
exemption
have been established, the RTI Act does not allow for the analysis of
applicable public interest factors, no matter how compelling
an applicant may
consider their arguments to be.
Although
I am not able to formally consider these matters, in effort to promote
settlement of the review,[19] OIC
wrote to the applicant to confirm that the Complainant Information was not
either of the two names she had included in her external
review
application.[20] However, the
applicant was not satisfied with this, and continued to seek access to the
Complainant Information.
The
applicant contends that she has been unable to participate in a
‘written only process’ and that this process has been used by
OIC ‘to cause [her] disadvantage and
deception’.[21] The
procedure to be followed on external review is, subject to the IP Act, within
the discretion of the Information
Commissioner.[22] To ensure
procedural fairness,[23] OIC
routinely issues a written preliminary view to an adversely affected party.
This allows the party to understand the case against
them and allows them to
provide information in reply supporting their case.
During
this review, our Office twice conveyed a written preliminary view to the
applicant.[24] The applicant
provided written submissions in
response.[25] In these
circumstances, I am satisfied that the applicant has been afforded procedural
fairness throughout the review process and
has been given reasonable
opportunities to put forward her views, of which she has availed herself.
Findings
Information
will be exempt under schedule 3, section 10(1)(b) of the RTI Act
if:
there exists a
confidential source of information
the information
supplied is in relation to the enforcement or administration of the law
disclosure of
the information in issue could reasonably be
expected[26] to enable the existence
or identity of the confidential source of information to be
ascertained;[27] and
none of the
exceptions to the exemption apply.
I
consider each of these factors are satisfied in this case, as set out
below.
Is the source of the information confidential?
Yes,
for the following reasons.
A
confidential source of information supplies information on the understanding
that their existence or identity will remain
confidential.[28] This understanding
may arise as a result of an express agreement between the
parties.[29] Alternatively, the
surrounding circumstances may indicate an implicit mutual understanding of
confidentiality of the identity of
the source between the
parties.[30]
There
is no evidence before me to indicate that an express assurance of
confidentiality was given by the Department in this case.
It is therefore
necessary to consider the surrounding circumstances to determine whether a
mutual understanding of confidentiality
of the identity of the source can be
implied. In evaluating this issue, I have considered the information on the
Department’s
website relating to smoky
vehicles.[31] When a user logs on to
the website and follows the prompts to submit an online report about a smoky
vehicle, the following statement
appears at the top of the electronic
form:
Transport and Main Roads collects the information
supplied by you for the purpose of assisting the department in detecting smoky
vehicles
on our roads. This information is required under the Transport
Operations (Road Use Management) Act 1995. Only authorised officers have access
to this information. Your personal details will not be disclosed to any third
party without
your consent, unless required by
law.
I
also consider the source could reasonably expect to remain confidential given
that the Department is able to independently verify
whether or not a vehicle is
smoky without revealing the identity of the complainant (and, in most cases,
without the necessity of
contacting them for further information). In this
regard, I note the Information Commissioner’s previous comments
that:[32]
The most common situation in which a source of information and the agency
receiving the information could reasonably expect that confidentiality
could be
preserved in respect of the identity of the source, is where the information
provided can be independently verified by the
agency's own investigators, or the
source draws the agency's attention to the existence of physical or documentary
evidence which
speaks for itself (i.e. which does not require any direct
evidence from the source to support it). Thus a person may inform the proper
authority that a neighbour is illegally carrying on an unlicensed business from
the neighbour's premises, and that investigators
can observe this for themselves
if they visit the premises at certain hours; or a source may alert the revenue
authorities to precisely
where they may discover the second set of accounting
records which will establish that a business has been fraudulently understating
its income.
This
accords with the Department’s initial decision, in which it stated that it
‘does not generally reveal the identity of a notifier unless it is
necessary or relevant to the management of the information
being provided. This
is in accordance with the complaints handling process, which aims to handle
information in line with privacy
obligations.’[33]
Having
regard to all the circumstances outlined above, I am satisfied there is an
implied mutual understanding of confidentiality
between the Department and the
source who reported the smoky vehicle regarding the source’s name and
address.[34]
Was the information supplied in relation to the enforcement or
administration of the law?
Yes,
the information was provided to the Department for the enforcement or
administration of regulation 291(1) of the Transport Operations (Road Use
Management—Road Rules) Regulation 2009 (Qld).
Would disclosure of the Complainant Information be reasonably
expected to enable the identity of the confidential source of information
to be
ascertained?
Yes,
because the Complainant Information comprises the name and address of the person
who reported the applicant’s vehicle to
the Department.
Do any of the exceptions apply?
The
applicant contends that reporting her vehicle was an act of intimidation,
harassment, persecution and stalking by police, and
that it was a false
complaint from a police officer (or other public servant) as retaliation for
reports/complaints that she has
made:[35]
Police can pull over the vehicle themselves. They did
not because it was a false complaint in a series of falsified propaganda about
me, designed to malign and persecute me.
I
have considered this submission in light of the exception in schedule 3, section
10(2)(a) of the RTI Act, which provides that information
is not exempt if it
consists of matter revealing that the scope of a law enforcement investigation
has exceeded the limits imposed
by law. Other than the applicant’s
unsubstantiated allegations, there is no information or evidence before me that
supports
this contention. In any event, the nature of the Complainant
Information is such that it is not capable of revealing the scope of
any law
enforcement investigation. It consists only of the name and address of a
complainant.
I
have also considered the remaining exceptions listed in schedule 3, section
10(2) of the RTI Act and do not consider that any apply
to the Complainant
Information. DECISION
As
a delegate of the Information
Commissioner,[36] I affirm the
Department’s decision to refuse access to the Complainant Information
under section 67(1) of the IP Act, and section
47(3)(a), section 48 and schedule
3, section 10(1)(b) of the RTI Act. S
MartinAssistant Information Commissioner 25 November
2020
APPENDIX
Significant procedural steps
Date
Event
19 February 2020
The applicant applied for external review.
13 March 2020
The Office of the Information Commissioner (OIC) wrote to the
applicant and the Department, and accepted the application for external review.
OIC requested the information in issue
from the Department.
13 March 2020
The Department provided the information in issue to OIC.
1 June 2020
OIC wrote to the applicant concerning procedural issues (including in
relation to the applicant’s other external reviews)
5 June 2020
OIC conveyed a preliminary view to the applicant, and to promote
settlement, also confirmed that the Complainant Information was not
comprised of
either of the two names the applicant had raised in her external review
application.[37]
30 June 2020
OIC issued a closure letter to the applicant as she had not responded to
the preliminary view in the timeframe provided.
The applicant then contested OIC’s closure of the review.
2 July 2020
OIC conveyed the preliminary view to the applicant again, in the body of an
email as requested.
6 July 2020
The applicant provided submissions.
3 September 2020
OIC updated the applicant concerning the review.
4 September 2020
The applicant raised concerns about OIC’s processes.
[1] On 23 December
2019.[2] The 12 months prior to
the date of the application.[3]
Decision dated 21 January 2020.[4]
Confirmed by the Department on 23 January
2020.[5] Decision issued 18
February 2020.[6] The Department
also considered the application of schedule 3, section 10(1)(f) of the Right
to Information Act 2009 (Qld). However, given my findings it is not
necessary for me to consider this alternative reason for
refusal.[7] On 19 February
2020.[8] Because the information
is exempt under schedule 3, section 10(1)(b) of the RTI
Act.[9] XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010) (XYZ) at [573];
Horrocks v Department of Justice (General) [2012] VCAT 241 (2 March 2012)
at [111]. [10] XYZ at
[573]. [11] Section 67(1) of the
IP Act, sections 47(3)(a) and 48, and schedule 3, section 10(1)(b) of the RTI
Act.[12] Section 40 of the IP
Act.[13] Under section 67(1) of
the IP Act, sections 47(3)(a) and 48 of the RTI
Act.[14] Schedule 3, section
10(1)(b) of the RTI Act.[15]
[2020] QCA 96 at [47] per Holmes
CJ.[16] Emails received on 30
June 2020 and 6 July 2020.[17]
Email dated 6 July 2020.[18]
Section 67(1) of the IP Act and sections 47(3)(b) and 49 of the RTI Act. These
submissions raise for consideration factors favouring
disclosure under schedule
4, part 2 of the RTI Act, including, for example, that disclosure could
reasonably be expected to allow
or assist inquiry into possible deficiencies in
the conduct or administration of an agency or official, or could reasonably be
expected
to advance the fair treatment of individuals and other entities in
accordance with the law in their dealings with agencies. The
applicant’s
submissions concerning the lawsuit give rise to the factors concerning the
administration of justice. [19]
As required under section 103(1) of the IP
Act.[20] OIC letter to applicant
dated 5 June 2020, and email to the applicant on 2 July
2020.[21] Submissions dated
4 September 2020.[22]
Section 108(1)(a) of the IP Act.
[23] As required by section 110
of the IP Act and common law.
[24] Once by letter on 5 June
2020, and once, as requested by the applicant, in the body of an email on 2 July
2020.[25] By email on 6 July
2020.[26] The phrase
‘could reasonably be expected to’ requires an objective
consideration of all the relevant evidence and consideration
of whether the
expectation is reasonably based. A reasonable expectation is not irrational,
absurd or ridiculous. Sheridan and South Burnett Regional Council and
Others [2009] QICmr 26 (9 April 2009) at paragraphs [189]-[193] referring to
Attorney-General v Cockcroft [1986] FCA 35; (1986) 64 ALR 97; see also Nine Network
Australia Pty Ltd and Department of Justice and Attorney-General
(Unreported, Queensland Information Commissioner, 14 February 2012) at
[31].[27] McEniery and
Medical Board of Queensland [1994] QICmr 2; (1994) 1 QAR 349 (McEniery) at
[16]. McEniery considered the application of section 42(1)(b) of
the Freedom of Information Act 1992 (Qld), identical in terms to schedule
3, section 10(1)(b) of the RTI Act, and has been relied upon in subsequent
decisions applying
schedule 3, section 10(1)(b) of the RTI Act, including
94HQWR and Queensland Police Service [2014] QICmr 45 (10 November 2014)
(94HQWR) at [16]-[31] and Shirirone Pty Ltd and Department of
Agriculture, Fisheries and Forestry [2014] QICmr 46 (18 November 2014) at
[13]-[45].[28] McEniery
at [20]-[22].[29]
McEniery at [35].[30]
McEniery at [50].[31]
Department of Transport and Main Roads, ‘Report Smoky Vehicle’,
Queensland Government (Web page) <https://www.service.transport.qld.gov.au/reportsmokyvehicle/application/EnterDetails.xhtml?dswid=4146>
accessed on 21 October 2020.[32]
McEniery at [27].[33]
Dated 21 January 2020.[34]
94HQWR at [18]-[23].[35]
Submission dated 6 July
2020.[36] Under section 139 of
the IP Act.[37] The Department
was consulted regarding this settlement proposal.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Gapsa and Department of Transport and Main Roads [2013] QICmr 25 (6 September 2013) |
Gapsa and Department of Transport and Main Roads [2013] QICmr 25 (6 September 2013)
Last Updated: 7 August 2014
Decision and Reasons for Decision
Application Number: 311159
Applicant: Gapsa
Respondent: Department of Transport and Main Roads
Decision Date: 6 September 2013
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION - GROUNDS ON WHICH
ACCESS MAY BE REFUSED – CONTRARY TO PUBLIC INTEREST
INFORMATION – an
agency may refuse access to a document to the extent the document comprises
information the disclosure of
which would, on balance, be contrary to the public
interest – workplace investigation documents – whether disclosure
would, on balance, be contrary to the public interest – sections 47(3)(b)
and 49 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to
the Department of Transport and Main Roads (Department) under the
Right to Information Act 2009 (Qld) (RTI Act) for access to a
workplace investigation report, statements and documents provided by relevant
people, the applicant’s response
to the allegations against him and the
investigator’s findings.
The
Department located 398 pages and 22 audio recordings which responded to the
application and decided to grant access to 5 pages
in full and 5 pages in part
and refuse access to 388 pages and the 22 audio recordings in full on the
grounds that disclosure would
be contrary to the public interest. On internal
review, the Department made the same decision.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s decision to refuse access to 388 pages
of the investigation report and its attachments.
On
external review the Department agreed to release a further 225 pages either in
full or in part to the applicant.
For
the reasons set out below, I am satisfied that the public interest favouring
open discussion of public affairs and enhancing the
government’s
accountability, revealing the reason for a government decision or any background
or contextual information that
informed that decision and the applicant having
access to his personal information is outweighed by the public interest
favouring
nondisclosure because of individuals’ right to privacy and the
prejudice to the Department’s management function. Therefore,
access to
the information under consideration in this review is refused on the basis that
its disclosure would, on balance, be contrary
to the public interest.
Background
Significant
procedural steps relating to the application and the external review are set out
in the appendix to this decision.
Reviewable decision
The
decision under review is the Department’s internal review decision dated
6 September 2012.
Evidence considered
The
evidence, submissions, legislation and other material I have considered in
reaching this decision are disclosed in these reasons
(including footnotes and
appendix).
Information in issue
The
information in issue in this review is information provided by complainants and
other departmental officers throughout the course
of the investigation into
allegations made against the
applicant,[2] including
the evidence provided by those individuals, summaries of interviews, emails and
other documents evidencing and/or documenting
their complaints.
Issues for determination
The
issue for determination in this review is whether access to the Information in
Issue can be refused on the basis that its disclosure
would, on balance, be
contrary to the public
interest.[3]
Would disclosure of the Information in Issue, on balance, be contrary to the
public interest?
Yes,
for the reasons that follow.
Relevant law
Under
section 23 of the RTI Act, a person has a right to be given access to documents
of an agency, subject to a number of exclusions
and limitations, including
grounds for refusal of access. These grounds are contained in section 47 of the
RTI Act. Relevantly,
access may be refused to information the disclosure of
which would, on balance, be contrary to the public interest under section
49 of
the RTI Act.
The
term public interest refers to considerations affecting the good order
and functioning of the community and government affairs for the well-being of
citizens.
This means that in general, a public interest consideration is one
which is common to all members of, or a substantial segment of,
the community,
as distinct from matters that concern purely private or personal interests.
However, there are some recognised public
interest considerations that may apply
for the benefit of an individual.
The
RTI Act identifies many factors that may be relevant to deciding the balance of
the public interest[4]
and explains the steps that a decision-maker must
take[5] in deciding the
public interest as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information in issue would, on balance, be contrary to the
public interest.
Findings
No
irrelevant factors arise in the circumstances of this case.
Enhance government accountability and reveal reasons for a decision
If
disclosing information could reasonably be expected to enhance the government's
accountability[6] or
reveal the reason for a government decision and any background or contextual
information that informed the
decision,[7] it is
relevant to consider these public interest factors favouring disclosure. I am
satisfied that there is a public interest in
government agencies being
accountable for properly investigating workplace
disputes.[8]
In
this case, disclosure of the Information in Issue would to some extent further
these public interest factors as it would enable
the applicant to assess the
findings of the investigator against the evidence relied on. This would assist
him to further understand
the Department’s decision. However, the
applicant has now received a significant amount of information on external
review
which furthers these public interest factors, including:
background
information
the allegations
against the applicant
legislation,
policy and procedures considered during the investigation
summary of
findings made by the investigator
the
investigator’s analysis and conclusion
evidence relied
on
summaries of the
applicant’s own evidence; and
the
investigator’s statement of systemic issues within the work unit and the
investigator’s recommendations.
Given
the nature of the Information in Issue (ie that it is witness statements and
personal information of complainants), I am satisfied
that the information will
not significantly further promote enhance the government’s accountability
or reveal the reasons for
a decision. I am satisfied that the Department has
now provided the applicant with a significant amount of information relevant
to
his access application and I consider that these public interest factors have
been significantly advanced by the release of that
information. I am also
satisfied that disclosure of the Information in Issue would do little to further
advance these public interest
factors. Therefore, I give these factors little
weight.
Administration of justice and fair treatment of individuals
In
the applicant’s application for internal
review[9] the applicant
stated that:
[he believes] that by ... being lawfully provided... with a copy
of the [Information in Issue he] will be in a position to assess if
[he has] received fair treatment.
If
disclosure of information could reasonably be expected to contribute to the
administration of justice generally or to the administration
of justice for a
person, including procedural fairness, it is relevant to consider this public
interest factor favouring
disclosure.[10] In
the context of workplace investigations, procedural fairness requires, amongst
other things, that a person is adequately informed
of the allegations against
them and the outcome of those allegations, including where appropriate
information about the evidence
relied on. Similarly, if disclosing information
could reasonably be expected to advance the fair treatment of individuals and
other
entities in accordance with the law in their dealings with agencies, it is
relevant to consider this public interest factor favouring
disclosure. However,
this public interest factor does not require a decision maker to ensure that an
applicant is provided with
sufficient information to enable that applicant to be
subjectively satisfied that he or she received fair treatment.
I
am satisfied, from reviewing the information that has been released to the
applicant, including the information released to the
applicant on external
review, that the applicant has been afforded procedural fairness as he has been
provided with the substance
of the allegations, the summary of findings made by
the investigator and the investigator’s analysis and conclusion and the
applicant participated in the investigation process which is now complete.
Further, the allegations against the applicant were found
to be unsubstantiated.
Given the information already released to the applicant and the nature of the
Information in Issue (ie witness
statements and personal information of
complainants, rather than information about the way in which the investigation
was conducted),
I am satisfied that disclosure of the Information in Issue will
not further advance the fair treatment of the applicant in his dealings
with the
Department. Therefore, it is my view that these public interest factors do not
arise for consideration.
Possible deficiencies, misconduct or negligent, improper or unlawful conduct and
incorrect or misleading information
In
his application for internal
review[11] the
applicant stated:
...[that he has] concerns in relation to the false
allegations that [he] had faced and the complaint management process to
which [he was] subjected.
...[he] believe[s] that the [Information in Issue is]
likely to assist [him] to clarify and identify further concerns that
[he has] in relation to maladministration in the Department...
On
external review[12]
the applicant also submitted that:
...[The] Investigation Report demonstrates no compliance with
any standards for the investigation of workplace issues...
... when the evidence provided is tested there will be most likely more
evidence that [he] will be able to disprove as being false, malicious or
vexatious.
...Throughout the whole investigation, which lasted approximately seven
(7) months, management was largely unaccountable for its detrimental
actions
towards [him]...
[The Department] did not provide [him] with a head of power for the
investigation...
...the multiple complaints from various staff did not even constitute an
“employee complaint” as defined in Directive
No.08/10 Managing
employee complaints...
...the Legal and Prosecution Services Branch... failed to ensure proper
compliance with any statutory regulations relating [to] proper employee
complaints management.
It
is not my role to determine whether there has been any maladministration or
wrongdoing on the part of an agency in conducting workplace
investigations. The
role of the OIC is limited to a merits review of government agencies’
decisions under the RTI Act. However,
the RTI Act recognises that the following
public interest factors favouring disclosure may arise in certain
circumstances:
disclosure of
the information could reasonably be expected to allow or assist inquiry into
possible deficiencies in the conduct or
administration of an agency or
official[13]
disclosure of
the information could reasonably be expected to reveal or substantiate that an
agency or official has engaged in misconduct
or negligent, improper or unlawful
conduct;[14] and
disclosure of
the information could reasonably be expected to reveal that the information
was—
- incorrect
- out
of date
- misleading
- gratuitous
- unfairly
subjective; or
- irrelevant.[15]
I
have set out the information the Department agreed to release to the applicant
on external review in paragraph 17
above. I am satisfied that the applicant has now been provided with sufficient
information to allow or assist inquiry into possible
deficiencies in the conduct
or administration of the Department or an official in the conduct of the
investigation of allegations
made against him. I have carefully reviewed the
Information in Issue and I am satisfied that disclosure of that information
could
not reasonably be expected to further any of the three public interest
factors set out above. Therefore, I afford these factors
no weight in the
circumstances.
Applicant’s personal information
If
disclosing information could reasonably be expected to disclose the personal
information of the individual applying for that information,
a public interest
factor favouring disclosure
arises.[16] As some
of the Information in Issue, including the applicant’s name and references
to events to which he was a party, is the
applicant’s personal
information, this factor is relevant
here.[17]
This
factor warrants significant weight. However, the nature of this information is
such that it is not possible to separate the
applicant’s personal
information from the personal information of others. In other words, the
relevant information cannot
be disclosed to the applicant without disclosing
personal information of other individuals. Therefore, the relevant privacy
interests
of other people (which I discuss below) must be balanced against the
public interest in disclosing to the applicant his personal
information.
Right to privacy and personal information
If
disclosing the information could reasonably be expected to prejudice the
protection of an individual’s right to privacy it
will be relevant to
consider this public interest factor favouring
nondisclosure.[18]
The RTI Act also provides that if disclosing information will disclose
the personal information of another person, disclosure could
reasonably be
expected to cause a public interest
harm.[19] The
Information in Issue includes information about opinions, thoughts and feelings
provided by complainants and other Departmental
officers which has not been
provided to the applicant and is not capable of being de-identified. This
information is the personal
information of people other than the applicant.
Since
disclosure of the Information in Issue would disclose the personal information
of other people, I am satisfied that disclosure
could reasonably be expected to
prejudice the protection of an individual’s right to privacy and cause a
public interest harm.
Given the nature of this information, significant weight
should be afforded to these public interest factors favouring nondisclosure.
Management or assessment of agency staff
If
disclosing information could reasonably be expected to have a substantial effect
on the management or assessment by an agency of
the agency’s staff or
prejudice an agency’s management function, a public interest factor
favouring nondisclosure
arises.[20] In the
applicant’s application for internal review the applicant stated that the
allegations made against him were false.
I
am not in a position to express an opinion about whether or not the statements
made about the applicant are false. In any event,
while I acknowledge that
people can make false allegations to government agencies about public servants,
there is a very strong public
interest in protecting the free flow of
information concerning the conduct and competency of public servants, even where
this may
result in an agency investigating false allegations. This is because
the Department relies on information from public servants and/or
members of the
public in order to become aware of, and if necessary resolve, any issues
concerning the conduct and competency of
public servants.
The
applicant also submitted on external
review[21] that:
...the Legal and Prosecution Services Branch... failed to ensure
proper compliance with any statutory regulations relating [to] proper
employee complaints management. Therefore, the argument to protect [the
Department’s] industrial relations and human resource management
function is false as officers with those responsibilities did not comply with
mandatory statutory obligations.
I
am not in a position to express an opinion about whether or not the Department
properly conducted the investigation in light of
its statutory obligations, nor
is it my role to do so. However, I have carefully reviewed the Information in
Issue and I am satisfied
that it is not of a type to assist the applicant in
determining whether or not the Department properly conducted the workplace
investigation.
Further,
in investigations such as this, information is usually provided by witnesses on
the understanding that the information will
be used for the purposes of the
investigation and any subsequent disciplinary action only. Information received
is ordinarily treated
confidentially, except to the extent that procedural
fairness and discipline processes require otherwise. In my view, disclosing
the
Information in Issue could reasonably be expected to have a detrimental effect
on the Department’s management function
as disclosing information of this
type would tend to discourage individuals from coming forward with relevant
information in the
future. I am also satisfied that disclosure of this
information could reasonably be expected to cause staff to lose confidence in
the finalisation of investigations, particularly where allegations are found to
be
unsubstantiated.[22]
This in turn would significantly impact the effectiveness of future
investigations. As noted by Assistant Information Commissioner
Jefferies in
I6XD0H and Department of Community
Safety:[23]
Although it is reasonable to expect staff to cooperate with
investigation processes in the course of their employment, disclosing
the
transcripts of interviews of other witnesses when it is not required for the
investigation and discipline process and after the
matter has been finalised
would also make staff reluctant to fully participate in future workplace
investigations of this nature.
This
factor has significant weight against disclosure of the Information in
Issue.
Balancing the relevant public interest factors
For
the reasons set out above, I afford little weight to the public interest factors
in enhancing the government’s accountability
and revealing the reason for
a government decision or any background or contextual information that informed
that decision and I
afford significant weight to the public interest factor in
the applicant having access to his personal information.
Balanced
against these factors favouring disclosure of the Information in Issue are the
following factors favouring nondisclosure,
to which I afford significant
weight:
the Information
in Issue is the personal information of others and its disclosure could
reasonably be expected to prejudice the protection
of an individual’s
right to privacy and cause a public interest harm; and
disclosure of
the Information in Issue could reasonably be expected to prejudice the
Department’s management function.
Having
balanced the relevant factors in this case, I consider the public interest in
nondisclosure of the Information in Issue outweighs
the public interest factors
favouring disclosure.
DECISION
For
the reasons set out above, I vary the decision under review and find that
disclosure of the Information in Issue is, on balance,
contrary to the public
interest.
I
have made this decision as a delegate of the Acting Information Commissioner,
under section 145 of the RTI Act.
________________________
Lisa Meagher
Acting Assistant Information Commissioner
Date: 6 September
2013 APPENDIX
Significant procedural steps
Date
Event
5 July 2012
The Department received the access application.
8 August 2012
The Department decided to refuse access to the Information in Issue.
13 August 2012
The Department received the applicant’s application for internal
review of its decision dated 8 August 2012.
6 September 2012
The Department again decided to refuse access to the Information in
Issue.
7 September 2012
OIC received the applicant’s application for external review of the
Department’s decision dated 6 September 2012.
18 September 2012
OIC notified the applicant in writing that the external review application
had been accepted.
OIC notified the Department that the external review application had been
accepted and asked the Department for a copy of the Information
in Issue.
The Department provided OIC with a copy of the Information in Issue.
7 November 2012
OIC sought further information from the Department.
12 November 2012
The Department provided OIC with the requested information.
18 April 2013
OIC conveyed to the Department the view that disclosure of some of the
investigation report and its attachments is not, on balance,
contrary to the
public interest and invited the Department to make submissions if it did not
agree with the view.
8 May 2013
The Department advised OIC that it did not accept OIC’s view and
provided written submissions.
28 May 2013
OIC sought further information from the Department.
20 June 2013
The Department provided OIC with further written submissions and agreed to
release some information to the applicant.
11 July 2013
OIC conveyed to the Department its view that further information could be
released to the applicant as its disclosure is not, on balance,
contrary to the
public interest.
1 August 2013
The Department advised that it accepted OIC’s view.
12 August 2013
OIC conveyed a view to the applicant on the refusal of access issue.
23 August 2013
The Department provided the applicant with a copy of the information it
agreed to release on external review.
2 September 2013
The applicant advised OIC that he objected to OIC’s view in
part.
[1] By access
application dated 5 July
2012.[2] The
applicant did not contest OIC’s view that it was contrary to the public
interest to disclose information about allegations
made against another subject
officer. Therefore, I have not considered that information in this
decision.[3]
Sections 47(3) (b) and 49 of the RTI Act.
[4] Schedule 4 of
the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest.
[5] Section 49(3) of
the RTI Act.[6]
Schedule 4, part 2, item 1 of the RTI Act.
[7] Schedule 4, part
2, item 11 of the RTI Act.
[8] I6XD0H and
Department of Community Safety (Unreported, Queensland Information
Commissioner, 26 June 2012) at
[31].[9] Dated 13
August 2012.[10]
Schedule 4, part 2, item 16 of the RTI Act.
[11] Dated 13
August 2012.[12]
By emails dated 2 September 2013 and 3 September
2013.[13] Schedule
4, part 2, item 5 of the RTI Act.
[14] Schedule 4,
part 2, item 6 of the RTI Act.
[15] Schedule 4,
part 2, item 12 of the RTI Act.
[16] Schedule 4,
part 2, item 7 of the RTI Act.
[17] Section 12 of
the Information Privacy Act 2009 (Qld) defines ‘personal
information’ as information or an opinion, including information or an
opinion forming part of a database, whether true or not, and whether recorded
in
a material form or not, about an individual whose identity is apparent, or can
reasonably be ascertained, from the information
or
opinion.[18]
Schedule 4, part 3, item 3 of the RTI Act.
[19] Schedule 4,
part 4, section 6 of the RTI Act.
[20] Schedule 4,
part 4, section 3(c) of the RTI Act.
[21] By email
dated 3 September
2013.[22] Daw
and Queensland Rail (Unreported, Queensland Information Commissioner, 24
November 2010) at
[17].[23]
(Unreported, Queensland Information Commissioner, 26 June 2012) at [6].
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Myers, TD & PA and Queensland Treasury [1995] QICmr 6; (1995) 2 QAR 470 (21 April 1995) |
Myers, TD & PA and Queensland Treasury [1995] QICmr 6; (1995) 2 QAR 470 (21 April 1995)
Last Updated: 23 February 2001
OFFICE OF THE INFORMATION ) S 235 of
1993COMMISSIONER
(QLD) ) (Decision No. 95006) Participants: T D
and P A MYERS Applicants - and -
QUEENSLAND TREASURY Respondent DECISION AND
REASONS FOR DECISIONFREEDOM OF INFORMATION - applicants
challenging sufficiency of search for documents falling within the terms of the
applicants' FOI
access application - whether there are reasonable grounds for
believing that the requested documents exist and are in the possession
or under
the control of the respondent - whether the search efforts made by the
respondent to locate the requested documents have
been reasonable in all the
circumstances of the case -meaning of "document of an agency" within s.7 of the
Freedom of Information Act 1992 Qld.Freedom of Information
Act 1992 Qld s.7, s.52 Freedom of Information Act 1982 Vic
Stamp Act 1894 Qld s.4, s.23(1), s.23A, s.26(3), s.28, First Schedule
cl. 3Birrell and Victorian Economic Development Corporation,
Re (1989) 3 VAR 358Cannon and Australian Quality Egg Farms Limited,
Re (Information Commissioner Qld, Decision No. 94009, 30 May 1994,
unreported)Shepherd and Department of Housing, Local Government &
Planning, Re (Information Commissioner Qld, Decision No. 94007, 18
April 1994, unreported)Smith and Administrative Services Department,
Re [1993] QICmr 3; (1993) 1 QAR
22 DECISIONThe
decision under review (being the decision made on behalf of the respondent by
Mr Michael Sarquis on 14 December 1993 to the effect
that there are no
documents in the possession or control of the respondent that fall within the
terms of the applicants' FOI access
application dated 30 September 1993) is
affirmed.Date of Decision: 21 April 1995
...........................................................F
N ALBIETZINFORMATION COMMISSIONEROFFICE OF THE
INFORMATION ) S 235 of 1993COMMISSIONER (QLD) ) (Decision
No. 95006) Participants: T D and P A
MYERS Applicants - and - QUEENSLAND
TREASURY Respondent REASONS FOR
DECISIONBackground1. The
applicants seek review of the respondent's decision that no documents can be
located in the possession or control of Queensland
Treasury which fall within
the terms of the applicants' FOI access application dated 30 September
1993.2. Mr and Mrs Myers
applied under the Freedom of Information Act 1992 Qld (the FOI Act) to
the Office of State Revenue (a division of Queensland Treasury) for access to
various documents concerning shares
held by them in a company, Jurycastle Pty
Ltd (Jurycastle). In their FOI access application, Mr and Mrs Myers described
themselves
as being shareholders of Jurycastle and stated that they believed
their shares in that company had been disposed of without their
knowledge or
authority. Mr and Mrs Myers allege that their shares were transferred to Graham
John Swain and Lorraine Barbara Swain
(the Swains). The substance of the
applicants' FOI access application is expressed in the following
terms: Our request is we want the document showing the change of
shareholding with signature signing our shareholding over to Swain. We
have not
signed any documents regarding sale of our
shares.3. It is
understandable that the applicants would consider that a document recording a
transfer of a shareholding in a private company
ought to have been lodged with
the Office of State Revenue, since s.26(3)(b) of the Stamp Act 1894 Qld
requires every instrument chargeable with stamp duty under that Act to be lodged
in the Stamp Duty Office (the predecessor to
the Office of State Revenue) within
one month after execution of the document, unless an extension of time is given.
Section 4 of
the Stamp Act, read with clause (3) of the First Schedule of
that Act, "Conveyance or Transfer", provides that a conveyance or transfer of
shares
is assessable to stamp duty on a basis proportionate to the value of the
shares being transferred (referred to as ad valorem assessment). Section
28 of the Stamp Act provides that the Office of State Revenue shall
retain possession of any instrument chargeable with stamp duty and which is
unstamped
or insufficiently stamped, until the stamp duty payable, and any
penalty and costs, has been
paid.4. Queensland Treasury's
initial decision was made by Ms Anthea Derrington on 25 November 1993. Her
decision detailed the searches
and inquiries made to locate any documents
falling within the terms of the applicants' FOI access application. It
indicated that
the Office of State Revenue conducted a comprehensive search of
the computer system which records all stamp duty lodgements. Those
searches are
described in Ms Derrington's decision letter as follows: The search
revealed that a number of unspecified documents had been lodged by Jurycastle
Pty Ltd. A number of attempts were then
made to locate those documents,
including documents which were lodged on 17 July 1992, which should have been
placed on a file. The file in question was recorded as awaiting
assessment in stamps team 3, however, team 3 advised that the file was no longer
there.
In addition team 3 is no longer allocated new files of the nature of the
file in question. An unsuccessful search was also conducted
of matter held in
team 7. A search was then conducted of all relevant storage
areas for finalised files. An electronic mail message was also sent to all
Brisbane
officers of the Office of State Revenue on 13 October 1993 requesting
assistance in locating the file. All relevant No Further Action
correspondence bundles were also searched for a period covering in excess of 12
months, however, a
bundle dated 20 October 1992 could not be located. A further
electronic mail message was issued to all Brisbane officers requesting
assistance in locating the October bundle, however, the bundle was not
found. As the missing file has not been able to be found, it is
impossible to determine from the computer record the nature of the documents
lodged. For example they could refer to a mortgage, purchase of property or a
lease, etc.5. Ms Derrington
went on to observe that: It would be misleading to state that the
document you sought could not be found as there is no record that such
information had ever
been provided to the Office of State Revenue.
6. Ms Derrington also
referred to inquiries made of other agencies, which were unable to provide any
assistance: The Australian Securities Commission stated that the
Commission only retains current shareholder information which is obtained from
annual returns and no historical information is maintained. In
summary, it has not been possible to establish that the information which you
seek is, or has ever been, kept within a division
of Queensland
Treasury. Notwithstanding these comments, as the Queensland
Treasury decision-maker in this matter, I decided on 24 November to refuse
access
to your request. In taking this action you will be able to pursue your
appeal rights under the Act and a copy of those rights is
attached for your
information.7. By letter
dated 26 November 1993, the applicants applied for internal review under s.52 of
the FOI Act, saying: ... we are not satisfied with the search to
date. We are very concerned at our shares being disposed of without our
authority and
knowledge and wish to find the documents relating to this
matter.8. Queensland
Treasury's internal review decision was made by Mr Michael Sarquis on 14
December 1993. Mr Sarquis' decision letter
stated that he requested the
Executive Director of the Office of State Revenue to undertake a further, more
comprehensive search
for the information to which Ms Derrington referred in her
letter of 25 November 1993. That search involved the following
steps:? the "no further action" bundle of 20 October 1992, which
previously could not be found, was located and examined? all relevant
stamp duty assessing teams in the Office of State Revenue were contacted and
requested to conduct a physical search
of their areas for documents relating to
the applicants' FOI access application? the area of the Office of State
Revenue termed "section 28" (if documents have been lodged for assessment, and
further information
is required before the documents are assessed for stamp
duty, those documents are retained in the area known as "section 28", so
named
after s.28 of the Stamp Act, the terms of which are set out at paragraph
3 above) which includes areas for storage of files described as the "cellar" and
abeyance
areas, was re-examined? the counter services area relating to
"awaiting payments" matters was re-examined? the "no further action"
clerk was contacted.9. Mr
Sarquis reported that these searches and inquiries failed to locate any matter
relating to the documents requested in the applicants'
FOI access application,
and failed to establish that any such documents do in fact exist. On this
basis, Mr Sarquis decided to affirm
Ms Derrington's initial
decision.10. The applicants
applied, by letter dated 16 December 1993, for external review under Part 5 of
the FOI Act.Principles applicable to "sufficiency of search"
cases11. As I indicated
in paragraphs 12-61 of my decision in Re Smith and Administrative Services
Department (Information Commissioner Qld, Decision No. 93003, 30 June 1993,
now reported at [1993] QICmr 3; (1993) 1 QAR 22) and in paragraphs 14-15 of my decision in Re
Cannon and Australian Quality Egg Farms Limited (Information Commissioner
Qld, Decision No. 94009, 30 May 1994, unreported), I have jurisdiction to
conduct an external review where
an applicant, who has applied to an agency for
access to a document, subsequently complains that access to the document has
been
denied because of the agency's failure to locate and deal with the document
in its response to the relevant FOI access application.
As I indicated in Re
Smith and Re Cannon, I have jurisdiction to conduct an external
review on the question of the "sufficiency of search" conducted by the agency,
even if
there are no other issues raised (e.g. claims that requested documents
are exempt under Part 3, Division 2 of the FOI
Act).12. I explained the
principles applicable to "sufficiency of search" cases in my decision in Re
Shepherd and Department of Housing, Local Government & Planning
(Information Commissioner Qld, Decision No. 94007, 18 April 1994, unreported) at
paragraphs 18 and 19, as follows: 18. It is my view that in an
external review application involving 'sufficiency of search' issues, the basic
issue for determination
is whether the respondent agency has discharged the
obligation, which is implicit in the FOI Act, to locate and deal with (in
accordance
with Part 3, Division 1 of the FOI Act) all documents of the agency
(as that term is defined in s.7 of the FOI Act) to which access
has been
requested. It is provided in s.7 of the FOI Act
that: "'document of an agency' or 'document of the
agency' means a document in the possession or under the control of an
agency, or the agency concerned, whether created or received in the
agency, and
includes - (a) a document to which the agency is entitled to access;
and (b) a document in the possession or under the control of an
officer of the agency in the officer's official capacity;" 19. In
dealing with the basic issue referred to in paragraph 18, there are two
questions which I must answer: (a) whether there are reasonable
grounds to believe that the requested documents exist and are documents of the
agency (as that term
is defined in s.7 of the FOI Act); and if
so, (b) whether the search efforts made by the agency to locate
such documents have been reasonable in all the circumstances of a particular
case.Searches and inquiries made during the external review
process13. In the
present case, it was necessary (in accordance with the principles set out above)
to conduct an independent inquiry as to
whether Queensland Treasury had
possession or control of any documents falling within the terms of Mr and Mrs
Myers' FOI access
application.14. The Deputy
Information Commissioner wrote to the applicants on 20 December 1993 requesting
that they provide an explanation of
the basis on which they believed that
Queensland Treasury had possession or control of documents which relate to the
alleged unauthorised
disposal of the applicants' shares in Jurycastle, together
with copies of any documents in their possession which demonstrated that
Queensland Treasury has possession or control of documents of that
kind.15. The applicants
responded by letter dated 22 December 1993, saying: ... we advise
that letter dated 25 November 1993 signed by Anthea Derrington ... confirms that
the Queensland Treasury Department
does hold documents that relate to Jurycastle
lodged on or about the time when our shares could have been disposed of and that
the
file appears to have gone astray within the Treasury Department
system.16. This is a
reference to that part of Ms Derrington's decision letter set out in paragraph 4
above which indicates that documents
concerning Jurycastle were lodged on 17
July 1992 but that these documents could not be located by Queensland Treasury.
I accepted
that these circumstances afforded a sufficient prima facie
indication that there may be reasonable grounds to believe that the documents
requested by the applicants were in the possession
of the respondent, so as to
justify detailed searches and
inquiries.17. In January 1994,
the Assistant Information Commissioner telephoned one of the applicants, Mr
Terry Myers, in order to obtain some
of the factual background to the
transaction to which the documents, which the applicants believe should be held
by Queensland Treasury,
relate. Mr Myers indicated that he and his wife held
shares in Jurycastle, and realised that shares had been divested from them when
they inspected records of the Australian Securities Commission which recorded
shares being transferred from them to the Swains.
The relevant documents from
the Australian Securities Commission were subsequently forwarded to my
office.18. The annual return
lodged with the Australian Securities Commission in respect of Jurycastle for
the financial year ended 30 June
1990 records Mr and Mrs Myers as each owning
nine ordinary shares in Jurycastle. Identical details are recorded in a company
extract
for Jurycastle obtained from the Australian Securities Commission on 27
November 1991. The annual return lodged with the Australian
Securities
Commission in respect of Jurycastle for the financial year ended 30 June 1992
(which contains a declaration as to the
completeness and correctness of the
information contained in it, signed by Graham John Swain, as Director, on 25
January 1993), records
a deletion of the names of Mr and Mrs Myers from the list
of shareholders and from the list of Directors. This, prima facie,
suggests that a transfer of Mr and Mrs Myers' shareholding in Jurycastle was
effected (or at least was regarded by officeholders
of Jurycastle as having been
effected, and was recorded as such) at some time between 30 June 1991 and 30
June 1992. As noted at
paragraph 3 above, an instrument effecting a conveyance
or transfer of shares would ordinarily have been required to be lodged for
assessment and payment of stamp
duty.19. The Assistant
Information Commissioner arranged for an inspection to be undertaken at the
Office of State Revenue, so that a search
of the records system of the Office of
State Revenue could be carried out for documents concerning Jurycastle, or for
that matter,
any of the other potential parties to the transaction alleged by
the applicants to have occurred, including the applicants themselves,
the
Swains, and the secretary to the company (who was a solicitor who also performed
legal services for the
company).20. It was established
that the computerised record system of the Office of State Revenue became
operational at the end of 1991.
Under the guidance of the Assistant Information
Commissioner, a search was conducted under the name Jurycastle. This revealed a
record of a document having been lodged on or about 17 July 1992, and having
been assigned to team 3. The details recorded were
not sufficient to disclose
whether the documents lodged in respect of Jurycastle on 17 July 1992 related to
a transfer of shares,
or some other kind of transaction.
21. The computerised record
system of the Office of State Revenue also identified a finalised transaction
concerning Jurycastle, which
related to the transfer of a mortgage. This
clearly did not concern the transaction the subject of the applicants' FOI
access application.22. During
the Assistant Information Commissioner's attendance at the Office of State
Revenue, the searches detailed in Ms Derrington's
initial decision were
retraced, with the same negative result. As it was possible that documents
concerning a share transfer might
have been passed to the Compliance section of
the Office of State Revenue for recovery of stamp duty assessed, but not paid,
an inquiry
was made with that section, but it also produced a negative result.
A follow-up inquiry on 12 August 1994 confirmed that the Compliance
section did
not have physical possession of any document falling within the terms of the
applicants' FOI access application.
23. After the inspection of the
records system of the Office of State Revenue proved fruitless, the solicitor
who had also been the
company secretary of Jurycastle was interviewed by
telephone in order to determine whether he had information which would identify
the existence of documents the subject of the FOI access application. The
background facts as far as they could be independently
established were
explained to the solicitor, and he was asked whether he could shed any light on
the nature of the documents lodged
on behalf of Jurycastle on 17 July 1992. He
explained that Jurycastle was the owner of an island off the Queensland coast,
and that
Jurycastle had gone into liquidation. There had been a conditional
contract for sale of the island which had not proceeded to finalisation,
and the
solicitor had been involved in attempting to transfer legal ownership of the
island from the prospective purchaser back to
Jurycastle. There had been
litigation over this very issue, and the solicitor referred to a relevant
decision given by White J of
the Supreme Court of Queensland, in which an order
was made that the prospective purchaser of the island do all things necessary
to
enable a conveyance of the island back to Jurycastle. In the context of such a
transfer, the solicitor had written to the Office
of State Revenue asking if it
was possible for the island to be transferred back to Jurycastle without having
to pay stamp duty twice.
The solicitor believed that this was the reference
that the Office of State Revenue had to the assessment pending, being the
documents
lodged on 17 July 1992.
24. A copy of the reasons for
decision of White J given on 22 June 1992 in the action commenced by Supreme
Court Writ No. 673 of 1992
was obtained. This decision sets out some of the
history of the conditional contract for the sale of the island, most of which is
irrelevant for present purposes, apart from the fact that the conditional
contract for the sale of the island was dated 25 August
1991. What is of
significance is that the Supreme Court issued a mandatory injunction requiring
the prospective purchaser (who it
appears was entitled to treat the conditional
contract as rescinded, when the relevant condition had not been fulfilled) to
sign
all necessary documents to enable a conveyance of the island (back to
Jurycastle) to be made.25. I
forwarded to Mr and Mrs Myers a copy of White J's reasons for decision, and
conveyed my preliminary view that the content of
that decision supported the
history of events as described by the solicitor, which in turn supported the
view that the documents
lodged with the Office of State Revenue on 17 July 1992
did not concern the transaction the subject of the Myers' FOI access
application.
Mr and Mrs Myers did not respond to that preliminary
view.26. I consider that the
existence of the Supreme Court's Order supports the solicitor's belief that the
documentation lodged on 17
July 1992 was the request to transfer the island back
to Jurycastle, without the need to pay stamp duty twice, for these
reasons:(a) the timing of the Order of White J, being 22 June 1992,
makes it more probable than not that the documentation of 17 July 1992
was
consequent upon the Order;(b) the content of the Order is similar in
nature to the solicitor's explanation of the purpose of the documentation of 17
July 1992;
and(c) the timing of the documentation of 17 July 1992 is
more consistent with the solicitor's explanation than the possibility that
the
documentation relates to the transfer of shares, which one would expect would
pre-date the contract for the sale of the island
(25 August 1991), especially
given my findings about an agreement dated 19 August 1991 referred to later in
these reasons for
decision.27. I am therefore
satisfied, on the balance of probabilities, that the documentation lodged at the
Office of State Revenue on 17
July 1992 did not relate to a change of
shareholding in Jurycastle, and did not, therefore, fall within the terms of the
applicants'
FOI access application.
28. During the course of the
telephone conversation with the solicitor referred to in paragraph 23 above, the
solicitor indicated
that there should be a record in the Office of State Revenue
of a transaction in which a mortgage in favour of Jurycastle was transferred.
This confirmed the transaction identified in the name of Jurycastle during the
inspection conducted at the Office of State Revenue
(see paragraph 21
above).29. As to the share
transaction itself, the solicitor indicated that he was aware of an agreement
between the applicants and the Swains,
whereby shares were transferred from the
applicants to the Swains, but knew nothing about assessment of stamp duty for
that transaction.
The solicitor also stated that he had at no time received
instructions to lodge the transfer for assessment of stamp duty. In fact,
the
solicitor indicated that he was not even aware of the transfer agreement until
quite some time after the transaction occurred,
when he had received some
information from the Queensland Law Society (which had been provided to the Law
Society by the
applicants).30. By letter dated
1 February 1994, I conveyed to the applicants the results of the searches and
inquiries undertaken up to that
date, and my preliminary view that the Office of
State Revenue does not hold any documents concerning a transfer of shares from
the
applicants to the
Swains.31. The applicants
responded by letter dated 14 February 1994, indicating that they did not accept
my preliminary views, and stating
that they refuted the solicitor's contention
that the applicants had a copy of documents dealing with the transfer of shares.
The
applicants stated that they had never executed or signed a transfer of their
shares in Jurycastle to any person at
all.32. Following receipt of
the applicants' letter, the Assistant Information Commissioner contacted
Mr Terry Myers. In relation to
the existence of a share transfer
agreement, Mr Myers said that the only document in his possession was a document
dated 19 August
1991, which was an agreement to sell shares in Jurycastle, on
the condition that the island in which Jurycastle had an interest was
sold, and
that Mr and Mrs Myers receive $50,000 cash for their shares. Mr Myers said that
the island concerned was never sold and
he had received no money for his shares
since November 1990.33. Mr
Myers was requested to forward to my office copies of the documents held by him
described in the telephone conversation referred
to in the preceding paragraph.
The applicants subsequently forwarded copies of three documents as
follows:? a document described as an "agreement" dated 28 July 1991, the
effect of which is not clear, but which appears to provide that,
upon a contract
of sale of the island being duly executed, Jurycastle would credit the
applicants with the sum of $50,000, with a
further $50,000 being paid from the
balance of purchase monies for the island, due in two years or earlier according
to the contract
for the sale of the island? a document described as an
"agreement" dated 19 August 1991, but which appears to provide that, in return
for the acceptance of
$100,000 for their shareholding in the island concerned,
the applicants would "agree to withdraw from the Directorship and Shareholding
of Jurycastle Pty Ltd and have no more claims whatsoever"? a document
described as an "agreement" dated 14 October 1991, the effect of which appears
to be that Jurycastle, described in the
agreement as the "vendor" would pay to
the applicants $50,000 on 14 October 1991, with a further sum of $50,000 to be
paid to them
upon finalisation of the sale of the island or 14 October
1993, whichever first
occurred.34. The "agreements"
dated 28 July 1991 and 19 August 1991 are poorly drafted so far as providing a
clear statement of the intentions
of the parties, and the intended legal effects
of the agreements. The "agreement" of 14 October 1991 is more regular, in form
and
substance. What is of significance, however, is that the "agreement" of 19
August 1991 purports to require the applicants to withdraw
from their
directorship and shareholding of Jurycastle upon the occurrence of certain
events. The document is deficient in that
it does not specify to whom their
shares were to be
transferred.35. Based on the
information provided to me by the applicants and by the solicitor who acted as
the secretary to Jurycastle, it appeared
to me that the "agreement" of 19 August
1991 was the document regarded by the remaining officeholders of Jurycastle as
authorising
the transfer of the applicants' shareholding in Jurycastle. Whether
the "agreement" was legally capable of causing that result is
not a question
falling within my
jurisdiction.36. After the
"agreements" had been received from the applicants, the Assistant Information
Commissioner spoke again to Mr Terry Myers,
expressing the view that the
agreement of 19 August 1991 appeared to have been treated as authorising
the transfer of the applicants'
shareholding in Jurycastle, but that no evidence
could be found to suggest that either this document, or any document recording
the
transfer of shares from the applicants to the Swains, had ever come into the
possession or control of the Office of State Revenue.
37. The applicants then wrote
to me indicating that they insisted that the matter be investigated to the
fullest extent. This letter
was taken as an indication that the applicants did
not intend to accept the views expressed to them, but wished this matter to
proceed
to a formal
decision.38. I then obtained a
copy of the documents sent by the applicants to the Queensland Law Society (see
paragraph 29 above). While
examination of those documents shed some light on
the applicants' version of events concerning sale of the island, there is
nothing
in them which might tend to show that documents effecting a change of
shareholding in Jurycastle ever came into the possession of
the Office of State
Revenue.39. This view was
conveyed to Mr and Mrs Myers by letter dated 15 September 1994. Mr and Mrs
Myers' response, in their letter of
26 September 1994, discloses a
misunderstanding of my function as Information Commissioner: On
reading your letter of the 15 September 1994 we would come to the following
conclusions: ... 2. The Stamp Duties Office
should be advised that documents were never lodged in relation to the stamping
of share transfers from
Myers to other parties. 3. Alternatively
or in addition to that, that the Office of Stamp Duties be instructed to issue a
Notice to produce documents pursuant
to Section 23 of the Stamp Act
1894. 4. That the Commissioner makes a recommendation that Myers
be re-instated to their share entitlement as no documented evidence has
been
presented which proves that the shares were transferred by Terrence and Patricia
Myers.40. This discloses
that Mr and Mrs Myers' principal concern is to have corrected the substance of
what they consider to be an improper
transaction. However, my jurisdiction is
limited to that which Parliament has conferred under Part 5 of the FOI Act: in
this case,
to determine whether documents falling within the terms of the Myers'
FOI access application are in the possession or under the control
of the
respondent. I have no jurisdiction to deal with issues of the kind raised in
paragraphs 3 and 4 of the Myers' letter to me
dated 26 September
1994.41. Since the applicants
had rejected the preliminary views conveyed to them, and in the hope of removing
any doubt as to whether
a document had been forwarded to the Office of State
Revenue recording a transfer of shares in Jurycastle, I wrote to Mr Graham
Swain,
as a Director of Jurycastle, asking him whether such a document was ever
lodged for assessment of stamp duty payable and, if so,
where and when such a
document was lodged.42. Mr
Swain responded by letter dated 10 November 1994. He did not directly answer
the question as to whether an instrument recording
a change of shareholding in
Jurycastle had been lodged for assessment of stamp duty. Rather, he referred me
to the fact that Jurycastle
was in liquidation, and that the liquidator holds
all books and documentation relating to Jurycastle. Significantly, Mr Swain
confirmed
my preliminary view that it was the agreement of 19 August 1991 which
had resulted in the transfer of
shares.43. Having regard to Mr
Swain's confirmation that it was the agreement of 19 August 1991 that had been
treated as effecting the transfer
of shares from Mr and Mrs Myers, it was
possible that the agreement had been lodged for assessment of stamp duty at any
time after
that date, i.e. at a time prior to the commencement of the
computerised record system referred to in paragraph 20 above. Inquiries
were
made of the Office of State Revenue about the system of recording transactions
prior to the introduction of the computerised
system. The Office of State
Revenue informed me that the previous system had involved the allocation of a
numeric lodgement number
to every file received in the office on "file lodgement
slips" which provided information such as the receipt number, documents
delivered
and the history of the file. The Office of State Revenue referred to
the difficulty in conducting a search of the file lodgement
slips because there
were approximately 500 to 800 lodgements per day at the relevant
time.44. Section 26(3)(b) of
the Stamp Act provides that instruments charged with stamp duty "shall
be lodged in the Stamp Duties Office at Brisbane, Rockhampton, Townsville or
Cairns" within one month of the execution of such instruments. Given the
location of the island referred to in paragraph 23 above, and
the addresses of
the parties to the agreement of 19 August 1991, I considered that it was
possible that a document recording a transfer
of shares in Jurycastle may have
been lodged at Rockhampton after 19 August 1991. I did not consider that it was
reasonable to expect
that such a document would have been lodged in centres
other than Brisbane or Rockhampton. The Office of State Revenue informed
me
that its computerised records system, which commenced operation at the end of
1991, records transactions lodged at all centres
in Queensland. However, before
that time each centre retained its own records system. I requested that a
search be made of the
records system at the Rockhampton office of the Office of
State Revenue for any document recording a transfer of shares in
Jurycastle.45. On 16 December
1994, the Office of State Revenue informed me that searches had been made as
follows:Brisbane? the "Section 28" records for the period
August-November 1991 were searched;? a further search for the
documentation lodged at the Office of State Revenue on 17 July 1992, by the
lodgement number assigned to
that documentation was conducted;? the "no
further action" bundles for August-November 1991 were searched;? a
search was conducted at the Counter Services - Awaiting Payments
section.Rockhampton? a manual search was conducted
through a recovery registry of the Rockhampton office which records files for
the period prior to
the introduction of the computerised system. This registry
records information concerning the following categories of files: "Section
28"
files, miscellaneous correspondence, first and final notices issued to recover
stamp duty owing;? files and records in the sections known as "Abeyance"
and "Awaiting Payments" were also searched.The Office of State Revenue
described all of those searches as "both intensive and time consuming but,
unfortunately,
unsuccessful".46. The
results of these inquiries were conveyed to the applicants, again with the
opportunity for them to reply on those matters.
The applicants did so by letter
dated 25 January 1995 which went into some detail concerning their grievances
with officers of Jurycastle,
but provided no new information relevant to the
issues which are within my jurisdiction to determine under Part 5 of the FOI
Act.Application of "sufficiency of search"
principles47. Having
set out at length the extensive inquiries made in this review, it remains to
apply the principles set out in paragraph
19 of my decision in Re
Shepherd (see paragraph 12 above). The first question is whether there are
reasonable grounds for believing that the documents, to which
the applicants
have sought access, exist and are documents of the respondent agency (according
to the definition of the term "document
of an agency" in s.7 of the FOI Act).
48. It appears that documents
do exist which deal with a change of shareholding in Jurycastle. Those
documents, or copies of them,
being the "agreement" dated 28 July 1991, and the
"agreement" dated 19 August 1991 (referred to in paragraph 33 above) are in the
applicants' possession. It appears to me that these are the instruments which
were treated by officers of Jurycastle as affording
authority for the transfer
of Mr and Mrs Myers' shareholding in Jurycastle, as recorded in documents lodged
with the Australian Securities
Commission for the financial year ended 30 June
1992 (see paragraph 18 above). Whether or not those agreements were legally
effective
for that purpose is not an issue which falls within my jurisdiction
under Part 5 of the FOI
Act.49. I am satisfied,
however, based on the exhaustive searches described above, that neither the
documents referred to in the preceding
paragraph, nor any documents which fall
within the terms of the applicants' FOI access application dated 30 September
1993, have
come into the possession or under the control of Queensland
Treasury.50. Although the point
was not raised by the respondent, it does seem to me to be arguable that, even
if the documents which the applicants
seek had been lodged with the Office of
State Revenue for assessment and payment of stamp duty, the documents would not
thereby have
become documents in the possession or under the control of the
respondent, within the definition of "document of an agency" in s.7
of the FOI
Act. In Re Birrell and Victorian Economic Development Corporation (1989)
3 VAR 358 at pp.376-7, Jones J (President) of the Victorian Administrative
Appeals Tribunal made the following observations on the meaning
of the words "a
document in the possession of an agency" in the definition of the phrase
"document of an agency" in the Freedom of Information Act 1982 Vic:
The meaning of possession will vary according to the context in
which it is used. Thus, in Yeates v Hoare [1981] VicRp 91; [1981] VR 1034
at 1037, Kaye J said when considering "possession" in relation to criminal
sanctions: It is notorious that, apart from any statutory
definition, there is no definitive meaning of the word "possession" where it is
used
in a statute which provides criminal sanctions for breach of its
provisions. The meaning to be attributed to such an expression
depends upon the
context in which it appears and the policy of the statute disclosed by its
provisions read as a whole: DPP v Brooks [1974] AC 862 at 865, per Lord
Diplock. In Warner v Metropolitan Police Commissioner [1969] 2 AC 256 at
304; [1968] 2 All ER 356 at 387, Lord Pearce said: "One must, therefore,
attempt from the apparent intention of the Act itself to reach a construction of
the word "possession" which is not so narrow as to stultify the practical
efficacy of the Act or so broad that it creates absurdity
or
injustice." In this case the meaning of possession must be considered
in the context of the FOI Act and, in particular, in the light of the scheme
and
object of that Act. ... ... ... It follows, in
my view, that a situation could arise where an agency has mere custody of
documents that would not amount to possession
and therefore the documents would
not be subject to the FOI Act ...
.51. If the last-mentioned view
of Jones J is correct, it seems to me to be arguable that Queensland Treasury
has mere custody of documents
lodged with it for assessment and payment of stamp
duty. The property in a document lodged would remain with the party (to the
transaction
evidenced in the document) which had lodged it. That party would
retain the right to possession and control of the document lodged,
which
Queensland Treasury would be obliged to return, once satisfied that the
applicable stamp duty had been paid. If a dispute
arises over payment of stamp
duty, Queensland Treasury may retain custody of a document for an extended
period, but its entitlement
to custody of the document would ordinarily only be
for the limited purpose of satisfying itself that the amount of stamp duty
properly
payable is, in fact, paid. (If, on the other hand, Queensland Treasury
was entitled to take and retain, for its own administrative
purposes, copies of
documents lodged for assessment and payment of stamp duty, the position in
respect of such copies would be different.
A copy of a document retained by
Queensland Treasury for its own administrative purposes would no doubt be a
document in its possession
or control for the purposes of the FOI Act.) As I
have noted above, the issue was not argued by the participants in this case, and
I do not wish to express any concluded view in respect of
it.52. If that argument were
correct, it would probably be the case that the applicants' FOI access
application was misconceived from
the beginning. Even if not misconceived, it
was always something of a long shot. If an agreement of the kind sought by the
applicants
had been lodged for assessment and payment of stamp duty, and there
were no irregularities in its processing, the agreement would
have remained in
the physical possession of Queensland Treasury for only a very short period of
time, before it was returned to the
party which had lodged it. All that
Queensland Treasury would have retained would have been some rather brief
details as a record
of the lodgement, and the payment of duty. An applicant
seeking such a document under the FOI Act would either need extremely fortuitous
timing with the lodgement of an FOI access application, or else the benefit of
some irregularity or dispute attending the assessment
of stamp duty payable,
which caused Queensland Treasury to retain the relevant documents for an
extended period, or perhaps to make
copies of the relevant document for its own
administrative
purposes.53. Nothing of that
kind occurred in the present case, in which the results of my investigation make
it clear that there is no evidence
to suggest that the documents which the
applicants seek were ever lodged with the respondent. Indeed, were it not for
the fact that
the respondent's initial searches had disclosed that a number of
unspecified documents had been lodged by Jurycastle on 17 July 1992
and their
whereabouts could not be accounted for, I doubt that I would have been prepared
to commit such a significant amount of
resources on the part of my staff and the
staff of the respondent, to the searches and investigations undertaken in this
case.54. Strictly speaking, it
is unnecessary to consider the second question posed in paragraph 19 of Re
Shepherd (see paragraph 12 above). However, for the sake of completeness, I
record my conclusion that the search efforts made by the agency,
and by my
staff, to locate documents falling within the terms of Mr and Mrs Myers' FOI
access application, have been reasonable in
all the circumstances of this case.
The searches made by Ms Derrington and Mr Sarquis were retraced by the Assistant
Information
Commissioner and in themselves were extensive and painstaking.
During the course of this external review, further inquiries were
made by my
staff of persons outside the respondent agency (mostly directed to ascertaining
the nature of the documents lodged on
17 July 1992) and further searches have
been made by staff of the Office of State Revenue at my request. All the
searches and inquiries
have produced a negative result.
Conclusion55. I
affirm the decision of the internal reviewer, Mr M Sarquis, dated 14 December
1993, that there are no documents in the possession
or control of Queensland
Treasury that fall within the terms of the applicants' FOI access application
dated 30 September
1993.................................................F
N ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Cameron and Queensland Police Service [2012] QICmr 41 (7 August 2012) |
Cameron and Queensland Police Service [2012] QICmr 41 (7 August 2012)
Last Updated: 28 May 2013
Decision and Reasons for Decision
Application Number: 310733
Applicant: Cameron
Respondent: Queensland Police Service
Decision Date: 7 August 2012
Catchwords: ADMINISTRATIVE LAW – INFORMATION PRIVACY ACT –
ACCESS TO INFORMATION – REFUSAL OF ACCESS – applicant
sought
information about complaints he made to the Queensland Police Service –
whether disclosure of the information is, on
balance, contrary to public
interest – section 67(1) of the Information Privacy Act 2009 (Qld)
and section 47(3)(b) and 49 of the Right to Information Act 2009 (Qld)
– whether the information is exempt from disclosure – section 67(1)
of the Information Privacy Act 2009 (Qld) and section 47(3)(a) and 48 and
schedule 3, section 10(4) of the Right to Information Act 2009 (Qld)
– whether the information is unlocatable – section 67(1) of the
Information Privacy Act 2009 (Qld) and section 47(3)(e) and 52(1)(b) of
the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied[1] to
the Queensland Police Service (QPS) for access to all records in relation
to complaints made by him between May 2005 and May 2011 (Access
Application).[2]
QPS
located 445 documents, including 1 CD containing CCTV
footage,[3] and
decided[4] to release
115 documents in full and 222 documents in part. Access to the remaining 108
documents, including the CCTV footage, was
refused on the basis that it was
exempt from disclosure or that the information was a duplicate copy, irrelevant
to, or outside the
scope of the Access Application.
The
applicant sought external review of QPS’s decision to refuse access and
submitted that further CCTV footage and tape recordings
of conversations
responsive to the Access Application should have been located.
During
the course of the external review, QPS located and released further information
sought by the applicant.
In
accordance with section 67(1) of the Information Privacy Act 2009 (Qld)
(IP Act), QPS’s decision is varied and access is refused
to:
10 full pages,
223 part pages and tape recordings on the ground that the information was
obtained, used or prepared for an investigation
by a prescribed crime body, or
another agency, in the performance of the prescribed functions of the prescribed
crime body under
sections 47(3)(a) and 48 and schedule 3, section 10(4) of the
Right to Information Act 2009 (Qld) (RTI Act)
10 part pages on
the ground that disclosure of the information is, on balance, contrary to public
interest under sections 47(3)(b)
and 49 of the RTI Act; and
CCTV footage on
the ground that the document has been or should be in the agency’s
possession and all reasonable steps have
been taken to find the document but the
document cannot be found under sections 47(3)(e) and 52(1)(b) of the RTI
Act.
Background
Significant
procedural steps relating to the application are set out in Appendix A to this
decision.
Reviewable decision
The
decision under review is QPS’s decision dated 29 July 2011.
Evidence considered
The
evidence, submissions, legislation and other material I have considered in
reaching my decision are disclosed in these reasons
(including footnotes and
appendices).
Information in issue
The
relevant information remaining in issue in this external review comprises:
Category A
Information—10 full
pages,[5] 223 part
pages[6] and the Tape
Recordings[7] which
relate to the investigations of three complaints made by the applicant
Category B
Information—10 part
pages[8] which relate to
the investigation of a fourth complaint made by the applicant;
and
Category C
Information—the CCTV
Footage[9] which relates
to the investigation of the first complaint made by the applicant.
Category A Information
QPS
refused access to the Category A Information on the following
basis:[10]
disclosure could
reasonably be expected to prejudice the effectiveness of a lawful method or
procedure for preventing, detecting,
investigating or dealing with a
contravention or possible contravention of the
law[11]
the information
was given in the course of an investigation of a contravention or possible
contravention of the law and the information
was given under compulsion under an
Act that abrogated the privilege against
self-incrimination;[12]
and
disclosure
would, on balance, be contrary to public
interest.[13]
After
carefully considering all relevant information before me, I am satisfied that
schedule 3, section 10 of the RTI Act (CMC
Exemption)[14]
applies to the Category A Information.
Relevant law
The
RTI Act[15] allows an
agency to refuse access to information which was obtained, used or prepared for
an investigation by the Crime and Misconduct
Commission (CMC), or another
agency (such as QPS), in the performance of the prescribed functions of the
CMC.
The
prescribed functions of the CMC are the crime function, the intelligence
function and the misconduct
function.[16]
Relevantly,
the CMC’s misconduct function includes ensuring that a complaint about
misconduct is dealt with in an appropriate
way.[17] The CMC must
perform its misconduct function having regard to the principles of cooperation,
capacity building, devolution and the
public
interest.[18]
Specifically, the principle of devolution provides that 'action to prevent
and deal with misconduct in a unit of public administration should generally
happen with the
unit'.[19]
The
CMC can perform its misconduct function in several ways, including by doing one
or more of the following:
assessing
information about misconduct
referring
complaints to a public official to be dealt with by the public official;
and/or
performing its
monitoring role for police misconduct or official
misconduct.[20]
The
Crime and Misconduct Act 2001 (Qld) (CM Act) defines
‘misconduct’ to include ‘official misconduct or police
misconduct'.[21]
The
term ‘official misconduct’ is defined in the CM
Act[22] as
follows:
... conduct that could, if proved, be—
(a) a criminal offence; or
(b) a disciplinary breach providing reasonable grounds for terminating
the person’s services, if the person is or was the holder
of an
appointment.
The
term ‘police misconduct’ is defined in the CM
Act[23] as
follows:
... conduct, other than official misconduct, of a police officer
that—
(a) is disgraceful, improper or unbecoming a police officer; or
(b) shows unfitness to be or continue as a police officer; or
(c) does not meet the standard of conduct the community reasonably expects of
a police officer.
If
it is suspected that a complaint involves or may involve police misconduct or
official misconduct under the CM Act, the CMC must
be
notified.[24] QPS
must deal with a complaint about police misconduct or official misconduct (if
the CMC refers the complaint back to it), in the
way it considers most
appropriate, subject to the CMC’s monitoring
role.[25]
Does the CMC Exemption apply in the circumstances?
The
following requirements must be satisfied in order to establish that the CMC
Exemption applies:
the Category A
Information was obtained, used or prepared for an investigation
the
investigation was conducted by a prescribed crime body or other agency; and
the
investigation was in the performance of the prescribed functions of the
prescribed crime body.
In
summary, having reviewed the Category A Information located by QPS in relation
to this external review, including the transcripts
of the Tape
Recordings,[26] I
find that:
pages 1 to 193
relate to a complaint received by the CMC from the applicant on 5 May
2005
pages 194 to 364
and the Tape Recordings relate to a complaint made by the applicant and referred
to the CMC by QPS under section
40 of the CM Act on 16 January 2008
pages 365 to 414
relate to a complaint received by the CMC from the applicant on 8 April
2008
the complaints
were assessed by the CMC as possibly involving an allegation of official
misconduct or police misconduct which was
suitable for QPS to deal with
the
investigations were conducted by the Ethical Standards Command unit of QPS (QPS
ESC); and
outcome advice
only was to be provided to the CMC upon completion of the investigations.
On
the basis of the matters set out above, I am satisfied that the requirements of
the CMC Exemption are met in this case.
Does the exception in schedule 3, section 10(6) of the RTI Act apply?
The
Category A Information will not be exempt under the CMC Exemption where:
the information
is about the applicant; and
the
investigation has been
finalised.[27]
Correspondence
provided to the applicant by QPS regarding the outcome of the relevant
investigations confirms that they have been
finalised.
Therefore,
for the exception to the CMC Exemption to apply in this case, the Category A
Information must be about the applicant.
The
word ‘about’ is neither defined in the RTI Act nor the Acts
Interpretation Act 1954 (Qld).
The
Macquarie
Dictionary[28] defines
‘about’ as ‘of; concerning; in regard to ... connected
with’.
The
CMC Exemption[29] and
its exception identified
above[30] are
equivalent to provisions in the repealed Freedom of Information Act 1992
(Qld) (FOI
Act).[31] In the
Explanatory Memorandum to the
Bill[32] which
inserted the CMC Exemption and its
exception[33] into the
FOI Act, the purpose of these sections was described as follows:
... a new exemption which exempts information obtained, used or
prepared for investigations by the Crime and Misconduct Commission
(CMC) or
another agency. The exemption is only to apply where the investigation is in
performance of the CMC’s crime function
and misconduct functions ...
This exemption is to apply to the information obtained, used or prepared
in the course of the investigation and the consideration
of, and reporting of
the investigation.
This exemption does not apply if a person seeks information about
themselves, including personal, professional, business and work-related
information. However, a person can only receive such information once the
investigation has been finalised. For example, and subject to the other
exemptions in the FOI Act, a person could receive information about
allegations made against them, information given about them in the
course of an interview and conclusions made about them in a
report.
[emphasis added]
The
debate following the Second Reading
speech[34] in respect
of the Bill which introduced the CMC exemption and its exception makes it clear
that Parliament intended that access to
the investigation reports would be
available only to the person being investigated. That is, mainly public
officials (investigated
under the CMC’s misconduct function) and criminals
(investigated under the CMC’s crime function), i.e., people who are
the
subject of the investigation.
The
CMC’s misconduct functions include ensuring that a complaint about
misconduct is dealt with in an appropriate
way.[35] As discussed
above, the CMC can perform this misconduct function by referring a complaint
about misconduct to a public
official[36] who has a
responsibility to deal with the complaint.
Investigations
such as that carried out by QPS ESC in relation to the applicant's complaints
are concerned with establishing whether
official misconduct or police misconduct
have occurred under the CM Act. While it can be said that the Category A
Information came
into existence as the result of the applicant's actions (that
is, the making of the complaints), that does not in and of itself render
the
Category A Information about the
applicant.[37]
Rather, the Category A Information is about the individuals whom the applicant's
allegations concern.
Accordingly,
I find that while the investigations have been finalised, the Category A
Information is not information about the applicant and therefore, the
exception to the CMC Exemption in schedule 3, section 10(6) of the RTI Act does
not apply in this
case.
Conclusion
On
the basis of the matters set out above, I am satisfied that:
In relation to
the Category A Information there is sufficient evidence to establish that the
CMC performed its misconduct function
in relation to the investigations, by
referring the matters to QPS to be dealt with subject to the CMC’s
monitoring role.
The Category A
Information was obtained, used or prepared by QPS ESC, in the performance of the
CMC’s misconduct function subject
to the CMC’s monitoring role with
the requirement that the CMC be advised of the outcome.
The Category A
Information comprises exempt information under schedule 3, section 10(4) of the
RTI Act and is not subject to the exception
in schedule 3, section 10(6) of the
RTI Act.
As
I have found that the Category A Information is exempt, it is not necessary for
me to consider the other claims QPS have made.
Category B Information
QPS
refused access to the Category B Information on the basis that disclosure would,
on balance, be contrary to public
interest.[38]
Relevant law
Sections
47(3)(b) and 49 of the RTI Act allows an agency to refuse access to documents
where disclosure of information would, on balance,
be contrary to public
interest.
In
determining whether disclosure of the Category B Information would, on balance,
be contrary to public interest I
must:[39]
identify and
disregard irrelevant factors
identify factors
favouring disclosure of the information in the public interest
identify factors
favouring nondisclosure of the information in the public interest
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to public
interest.
Where does the balance of the public interest lie in this matter?
I
am satisfied that release of the Category B Information would, on balance, be
contrary to public interest for the reasons that follow.
I
have examined the irrelevant factors in schedule 4, part 1, of the RTI Act and
do not consider that any irrelevant factors arise
here.
Factors favouring disclosure and nondisclosure of information in the public
interest
After
carefully considering all of the information before me, I am satisfied that the
public interest factors favouring nondisclosure
include that disclosure of the
Category B Information could reasonably be expected to:
cause a public
interest harm by disclosing the personal information of a person, whether living
or dead;[40] and
prejudice the
protection of an individual’s right to
privacy.[41]
I
have not identified any factors favouring the disclosure of the Category B
Information.
Balancing the factors favouring disclosure and nondisclosure in the public
interest
The
Category B Information comprises details such as a date of birth, employment
details (payroll and registration numbers) and personal
opinions of third
parties relevant to the investigation of a complaint made by the applicant.
The
applicant does not seek names and addresses. However, he argues that,
‘... the evidence, statements and opinions expressed are of great concern
to the public
interest.’[42]
Some
of the Category B Information relates to employees of QPS. There is generally
minimal or no harm in disclosing routine workplace
information of public
servants. However, information which is not wholly related to the routine day
to day work activities of a
public service officer is considered non routine
personal work information, including information relating to complaints made by
or about a public service
officer.[43]
After
carefully considering the Category B Information, I am satisfied that:
the information
about QPS employees does not comprise their routine personal work
information
the information
to which the applicant has been refused access contains personal information
which, if disclosed, could reasonably
be expected to cause a public interest
harm by revealing the personal information of the relevant person and
prejudicing that person’s
privacy; and
I consider that
significant weight should be given to these factors favouring nondisclosure.
Given
the above, I am satisfied that the release of the Category B Information would
not advance the public interest in any significant
way and disclosure of the
Category B Information would, on balance, be contrary to the public interest.
Category C Information
During
the course of the external review, the applicant submitted that additional
information should have been located by QPS. In
particular, the applicant
submits that CCTV footage for 3 May 2005 at the Beenleigh Watchhouse (CCTV
Footage) should exist.
Relevant law
The
RTI Act allows an agency to refuse access to documents where the agency is
satisfied that those documents are nonexistent or cannot
be located following
all reasonable steps having being taken to locate
them.[44]
The
Information Commissioner considered the grounds for refusal of access set out in
section 52 of the RTI Act in PDE and the University of
Queensland
(PDE).
[45]
In
PDE, the Information Commissioner said
that:[46]
... [T]he FOI Act [equivalent of section 52] address[es] two
different scenarios faced by agencies and Ministers from time to time in dealing
with FOI applications: circumstances where the
document sought does not exist
and circumstances where a document sought exists (to the extent it has been or
should be in the agency’s
possession) but cannot be located. In the former
circumstance, an agency or Minister is required to satisfy itself that the
document
does not exist. If so satisfied, the agency or Minister is not required
by the FOI Act to carry out all reasonable steps to find
the document. In the
latter circumstance an agency or Minister is required to satisfy itself that the
document sought exists (to
the extent that it has been or should be in the
agency’s possession) and carry out all reasonable steps to find the
document before refusing access.
The
Information Commissioner also
found[47] that to be
satisfied that a document does not exist, it is necessary for the agency to rely
upon its particular knowledge and experience
with respect to various key factors
including:
the
administrative arrangements of government
the agency
structure
the
agency’s functions and responsibilities (particularly with respect to the
legislation for which it has administrative responsibility
and the other legal
obligations that fall to it)
the
agency’s practices and procedures (including but not exclusive of its
information management approach); and
other factors
reasonably inferred from information supplied by the applicant
including:
○ the
nature and age of the requested document/s
○ the
nature of the government activity the request relates
to.
If
an agency relies on searches to justify a decision that the document sought does
not exist, the Information Commissioner indicated
in PDE that all
reasonable steps must be taken to locate documents. Enquiries and searches of
all relevant locations having regard to the
key factors listed above should take
place.[48]
As
for unlocatable documents, for an agency to be entitled to refuse access it is
necessary to consider whether:
the document/s
sought has been or should be in the agency’s
possession?and
the agency has
taken all reasonable steps to find the document/s sought ?
Were searches conducted by QPS?
The
applicant has
submitted[49] that the
documents released to him by QPS confirm that the CCTV Footage
exists.[50] In
addition, the applicant has stated that “...QPS appear to be doing all
they can to protect the discovery of its unethical & unprofessional
behaviour, by way of
destroying, losing or denying any incriminating
evidence”.
As
noted above, when assessing claims by an agency that documents are unlocatable
or that documents are nonexistent, it is always
necessary to consider the
adequacy of searches undertaken by an agency in an effort to locate relevant
documents.
QPS
have submitted
that:[51]
enquiries with
the Beenleigh Watchhouse established that the retention period for CCTV
recordings is 60 days unless otherwise required
(e.g., for investigations or
court proceedings)
the CCTV Footage
was not held at the Beenleigh Watchhouse
the
investigating officer advised that the initial complaint was received on
5 May 2005 but that the investigations ceased due to
the complaint
being interwoven with court proceedings. The investigation was re-opened on
30 July 2007 and finalised in September
2007. At the finalisation of
the investigation, all documentation was provided to ESC. The investigating
officer could not confirm
if this included the CCTV footage
enquiries with
ESC identified that all evidence in relation to completed investigations are
lodged to the Central Exhibits Facility
according to administrative and
legislative requirements
searches of
COMPASS (complaint/investigation) documents revealed that no CCTV footage had
been received and that there was no note
or record on file to indicate the
location or existence of the footage
if the
investigating officer held the CCTV footage, it would be attached to their
property list in QPRIME. Checks on QPRIME located
over 800 entries but failed
to locate the CCTV footage relevant to the complaint; and
following
searches conducted for a previous application under the now repealed FOI Act,
access was refused to the CCTV Footage on
the basis that it was considered to
not exist or could not be located.
In
relation to these searches, QPS
stated:[52]
The above searches proved negative in locating the CCTV footage.
[QPS] consider in the circumstances that reasonable searches have been
undertaken for the requested document and have determined that the
requested
document does not exist.
Following
a request for further information about searching the QPS ESC hard copy file and
whether enquiries had been made with the
relevant prosecution authority for the
CCTV Footage, QPS submitted
that:[53]
an examination
of archive box BNE 0095 1787, which is listed on the records system as
containing the complaint file, failed to locate
the complaint file. It is
unknown where the file is now located as there is no other reference on the
recordkeeping system to an
alternative location
an examination
of the QPS ESC tape index for the complaint file only identifies an audio tape
of an interview between the applicant
and Detective Inspector Hutchinson
it is reasonable
to surmise that if the CCTV Footage was supplied to QPS ESC by the Detective
Inspector, it would have been recorded
on the tape index; and
an examination
of located documents relating to the prosecution record, including a returned
exhibits form dated 26 March 2007 and
the QP9 Brief of Evidence, do not identify
the CCTV Footage being used as an exhibit for prosecution purposes.
On
the basis of the above additional searches, QPS have submitted that the CCTV
Footage cannot be located despite reasonable searches
having been
conducted.[54]
Are there reasonable grounds to be satisfied that the CCTV Footage is
unlocatable?
Yes.
Where
documents requested in an application cannot be located, an agency may refuse
access provided the requirements (as discussed
in this decision) are
satisfied.
While
I accept that the CCTV Footage did exist, I am satisfied that QPS’s
searches have been carried out in a systematic way
taking into account the
factors identified in the PDE decision.
Accordingly,
having carefully reviewed QPS’s submissions, together with the submissions
lodged by the applicant, I am satisfied
that:
QPS has taken
all reasonable steps to locate the CCTV Footage; and
access to the
CCTV Footage can be refused on the basis that it is
unlocatable.[55]
DECISION
I
vary the Decision of the Queensland Police Service dated 29 July 2011 by finding
that, in accordance with section 67(1) of the IP
Act, access is refused to:
10 full pages,
223 part pages and the Tape Recordings on the ground that the information was
obtained, used or prepared for an investigation
by a prescribed crime body, or
another agency, in the performance of the prescribed functions of the prescribed
crime body under
sections 47(3)(a) and 48 and schedule 3, section 10(4) of the
RTI Act
10 part pages on
the ground that disclosure of the information is, on balance, contrary to public
interest under sections 47(3)(b)
and 49 of the RTI Act; and
the CCTV Footage
on the ground that the document has been or should be in the agency’s
possession and all reasonable steps have
been taken to find the document but the
document cannot be found under sections 47(3)(e) and 52(1)(b) of the RTI
Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.
________________________Assistant
Information Commissioner Corby
Date: 7 August 2012
APPENDIX A
Significant procedural steps
Date
Event
3 May 2011
The Queensland Police Service (QPS) receives the applicant’s
request for access dated 29 April 2011 (Access Application).
29 July 2011
QPS locates 445 documents, including 1 CD containing CCTV footage, and
decides to release some information. Access to the remaining
information was
refused as:
disclosure of
the information would, on balance, be contrary to public interest
the information
is exempt from disclosure
the information
is outside the scope of the Access Application; and
the information
comprises a duplicate copy of information already considered.
15 August 2011
OIC receives the applicant’s application for external review dated 12
August 2011.
25 August 2011
OIC advises the applicant and QPS that the application has been accepted
for review.
13 September 2011
OIC receives a copy of the relevant documents from QPS.
16 September 2011
OIC contacts QPS in relation to the CCTV footage which should have been
provided with the relevant documents.
16 September 2011
The applicant advises OIC staff that the most important aspect of the
external review is the CCTV footage, in particular CCTV footage
for 3 May
2005.
22 September 2011
OIC receives the CCTV footage from QPS. A review of the CCTV footage by OIC
staff reveals that it is in relation to 12/13 November
2007 only.
28 September 2011
OIC conveys a written preliminary view to QPS in relation to the CCTV
footage for 12/13 November 2007 and requests QPS to conduct
further searches for
CCTV footage relating to the applicant’s time at Beenleigh Watchhouse on 3
May 2005. QPS is asked to respond
to the preliminary view and request for
further searches by 12 October 2011.
28 September 2011
OIC provides the applicant with a written update about the external review
process.
30 September 2011
OIC provides the applicant with a verbal update about the external review
process. The applicant advises that he is also seeking CCTV
footage in relation
to December 2007.
13 October 2011
QPS verbally advises OIC that it agrees to release the CCTV footage for
12/13 November 2007 and that the CCTV footage for 3 May 2005
cannot be located.
QPS requests an extension of time to provide a written submission.
14 October 2011
OIC grants QPS an extension until 28 October 2011 to provide a written
submission.
19 October 2011
OIC receives QPS’s written submission in response to the preliminary
view about CCTV footage for 12/13 November 2007 and the
request for further
searches about CCTV footage for 3 May 2005.
2 November 2011
OIC requests QPS to release the CCTV footage for 12/13 November 2007 to the
applicant.
3 November 2011
OIC advises the applicant in writing that following a review of the records
of the applicant’s telephone conversations with
OIC staff, OIC will not
engage in any further telephone contact with the applicant for the remainder of
the review process. Any further
contact with OIC must be made in writing.
10 November 2011
QPS advises OIC that the CCTV footage for 12/13 November 2007 has been
forwarded to the applicant by correspondence dated 10 November
2011.
11 November 2011
OIC writes to the applicant confirming that as QPS have released the CCTV
footage for 12/13 November 2007 in full, OIC will not consider
it further in
this review. OIC also provides the applicant with an update about the remaining
issues in this review.
24 November 2011
OIC receives the applicant’s submission dated 22 November 2011 in
which he confirms that he has received the CCTV footage for
12/13 November 2007
and advises that he is still seeking access to:
CCTV footage for
3 May 2005 at Beenleigh Watchhouse and 9/10 October 2007* at Southport
Watchhouse; and
all
correspondence between QPS and OIC concerning his requests.
* A review of the Access Application shows that the applicant is
seeking access to documents regarding an incident at Southport watch
house on or
about 9/10 December 2007.
29 November 2011
OIC writes to QPS requesting QPS to conduct further searches for CCTV
footage for 9/10 December 2007 at Southport Watchhouse and provide
a submission
to OIC by 13 December 2011.
9 December 2011
QPS verbally advises OIC that CCTV footage has been located for Southport
Watchhouse and that a written submission has been forwarded.
14 December 2011
OIC receives QPS’s written submission dated 9 December 2011. QPS
advises that the CCTV footage has been submitted to QPS’s
Electronic
Recording Studio for enhancement and editing. QPS advises that it has no
concerns about the edited footage being released.
19 December 2011
QPS verbally advises OIC that the editing of the CCTV footage for 9/10
December 2007 is to remove personal information of third parties
present in the
footage prior to releasing the footage to the applicant.
21 December 2011
OIC provides the applicant with a written update about the external review
process, advising that additional CCTV footage for 9/10
December 2007 has been
located and that QPS has agreed to release it following editing to remove and/or
obscure images which would
identify other people.
13 January 2012
QPS advises OIC that the CCTV footage for 9/10 December 2007 is ready for
release and that it expects that it will be posted to the
applicant by
correspondence dated 16 January 2012.
30 January 2012
OIC receives written confirmation from QPS that the CCTV footage for 9/10
December 2007 was forwarded to the applicant by correspondence
dated 16 January
2012.
8 February 2012
The applicant leaves a message on OIC’s answering machine:
requesting
access to all correspondence between OIC and QPS regarding the handling of this
external review
indicating that
he has not received the CCTV footage for 9/10 December 2007 from QPS; and
raising concerns
about the handling of the external review.
8 February 2012
OIC sought and received verbal confirmation from QPS that the CCTV footage
for 9/10 December 2007 was posted to the applicant’s
Post Office box on 16
January 2012.
8 February 2012
OIC writes to the applicant:
advising that as
an access application may not be made to the Information Commissioner, his
request for all correspondence between
OIC and QPS cannot be processed
advising that
the CCTV footage for 9/10 December 2007 was posted to the applicant by QPS on 16
January 2012. The applicant was requested
to provide written confirmation that
he had now received this CCTV footage; and
providing a
written update about the external review process.
10 February 2012
The applicant leaves a message on OIC’s answering machine advising he
has:
received
documents and CCTV footage from QPS; and
not received
CCTV footage for 3 May 2005 and this is the footage that he
wants.
10 February 2012
OIC conveys a written preliminary view to the applicant that QPS is
entitled to refuse access to CCTV footage for 3 May 2005 at Beenleigh
watch
house on the basis that QPS have taken all reasonable steps to locate the CCTV
footage for 3 May 2005 and there are reasonable
grounds to be satisfied that it
does not exist or cannot be found. The applicant is invited to provide a
submission by 24 February
2012 if he does not accept the preliminary view.
22 February 2012
OIC receives the applicant’s submission advising that he does not
accept the preliminary view about the sufficiency of the searches
conducted by
QPS to locate CCTV footage for 3 May 2005. The applicant also requests an update
about the processing of the remaining
issues in this review and requests all
correspondence between OIC and QPS concerning him.
23 February 2012
The applicant leaves a message on OIC’s answering machine confirming
that he sent his submission by fax and post on 21 February
2012. The applicant
advises that he is concerned about the timeframe of this review.
27 February 2012
OIC writes to the applicant:
responding to
his concerns about timeframes
providing copies
of submissions made by QPS regarding the further searches undertaken to locate
CCTV footage responsive to the Access
Application
confirming that
as the applicant does not agree with the preliminary view about the sufficiency
of searches conducted by QPS to locate
CCTV footage for 3 May 2005, that his
submissions will be considered in a formal decision
confirming that
an access application may not be made to the Information Commissioner
providing copies
of OIC guidelines on Process and requirements and Informal
resolution; and
providing an
update about the external review process.
16 March 2012
QPS provides OIC with a schedule of documents responsive to the Access
Application.
26 March 2012
OIC writes to the applicant in response to a message left on OIC’s
answering machine on 19 March 2012:
about
OIC’s decision to cease telephone contact with the applicant
confirming that
an access application may not be made to the Information Commissioner
about not being
able to respond to an enquiry as OIC’s file does not contain
correspondence to the applicant dated 19 October
2011; and
providing the
applicant with an update about the external review process.
11 May 2012
OIC provides the applicant with a written update about the external review
process.
17 May 2012
OIC conveys a written preliminary view to QPS about refusal of access. OIC
invites QPS to provide a submission by 31 May 2012 if the
preliminary view is
not accepted.
5 June 2012
OIC receives QPS’s submission dated 31 May 2012. QPS submits that, in
the alternative to exemptions relied upon in its decision,
that some of the
information is exempt under schedule 3, section 10(4) of the Right to
Information Act 2009 (CMC Exemption).
18 June 2012
The applicant contacts OIC asking if OIC has received correspondence from a
Member of Parliament on his behalf.
18 June 2012
OIC writes to the applicant advising that no correspondence has been
received from a Member of Parliament on his behalf and reminding
him of the
direction made that OIC will not engage in phone contact with him for the
remainder of the review.
21 June 2012
OIC receives correspondence dated 19 June 2012 from Mr Jon Krause, MP,
Member of Parliament attaching correspondence from the applicant
dated 18 June
2012. In the applicant’s correspondence he raises specific concerns
about:
the timeframe of
this review
the
disappearance of CCTV footage for 3 May 2005 at Beenleigh watch house
the Access
Application requested all recorded conversations (specifically all calls
recorded by QPS to Inspector Hutchinson etc) and
these have not been provided;
and
OIC refusing to
provide him with any documentation about him and the OIC process.
21 June 2012
OIC writes to Mr Krause, MP confirming receipt of his correspondence.
21 June 2012
OIC writes to the applicant confirming receipt of correspondence from Mr
Krause, MP and advising that the concerns raised in his correspondence
to OIC
dated 18 June 2012 will be addressed in correspondence to be posted to him on or
before 29 June 2012.
22 June 2012
OIC requests QPS to provide:
further
information in support of the CMC exemption claimed
a submission
about searches undertaken to locate tape recordings of conversations responsive
to the Access Application; and
an edited copy,
removing information claimed to be exempt, of its submission dated 31 May 2012
which can be provided to the applicant.
26 June 2012
QPS confirms that the applicant’s complaint of 11 May 2009 was not
subject to the jurisdiction of the CMC and advises that enquiries
are being made
about relevant tape recordings.
27 June 2012
OIC writes to QPS confirming the request for further information in
relation to the CMC exemption claim and requesting a submission
about
sufficiency of search about the tape recordings and CCTV footage for 3 May 2005.
In addition, QPS is requested to provide the
applicant with the additional
information agreed to be release.
28 June 2012
QPS provides further information in support of the CMC exemption
claim.
29 June 2012
OIC writes to the applicant:
providing an
overview of the steps taken to date in relation to this external review
responding to
concerns raised in the applicant’s correspondence to OIC dated 18 June
2012; and
providing a
written preliminary view on some of the remaining issues in this external
review.OIC invites the applicant to provide a submission by 13
July 2012 if the preliminary view is not accepted.
6 July 2012
QPS advises OIC that:
the additional
information has been forwarded to the applicant by correspondence dated 3 July
2012
the applicant
has submitted a further access application to QPS requesting “All QPS
recordings, CCTV footage and correspondence between the QPS and Jason Adrian
CAMERON” which is currently being processed; and
QPS had located
tape recordings of conversations as requested by the applicant.
9 July 2012
OIC receives correspondence dated 5 July 2012 from Mr Jon Krause, MP,
Member of Parliament attaching correspondence from the applicant
dated 3 July
2012. In the applicant’s correspondence, he advises that he does not
accept the preliminary view.
10 July 2012
OIC writes to Mr Krause, MP confirming receipt of his correspondence.
11 July 2012
OIC verbally confirms with QPS that the sufficiency of search issues in
relation to tape recordings and CCTV footage for 3 May 2005
will need to be
addressed in this external review despite the applicant’s subsequent
access application for this information.
QPS agreed to provide a submission as
requested
17 July 2012
OIC writes to QPS seeking a response by 20 July 2012 to the requests
contained in correspondence dated 27 June 2012 in relation to
sufficiency of
search.
20 July 2012
QPS provides a submission in relation to sufficiency of search about the
CCTV footage for 3 May 2005.
24 July 2012
QPS provide a further submission in relation to sufficiency of search about
the CCTV footage for 3 May 2005.
24 July 2012
OIC conveys a verbal preliminary view to QPS that information comprising
the last sentence of document 439 does not comprise deliberative
process
information and that disclosure would not, on balance, be contrary to public
interest. QPS is invited to provide a submission
if the view is not
accepted.OIC also request that, in relation to the issue of tape recordings,
QPS provide a submission:
detailing the
searches undertaken for tape recordings responsive to the Access Application and
any tape recordings located and/or
why tape recordings cannot be located;
and
in relation to
located tape recording/s, advising whether QPS propose to release the tape
recording/s to the applicant or setting
out reasons why QPS consider that access
should not be given.
30 July 2012
OIC receives a further submission from QPS dated 25 July 2012. QPS:
accept the
preliminary view that the last sentence of document 439 does not comprise
deliberative process information and that disclosure
would not, on balance, be
contrary to public interest
provide details
of tape recordings located and indicate whether QPS is prepared to release the
information to the applicant; and
provide further
details about the searches undertaken for the CCTV footage for 3 May
2005.
1 August 2012
OIC requests QPS to release to the applicant the last sentence of document
439 and the tape recordings QPS indicted could be released.
APPENDIX B
Schedule 3, section 10 of the Right to
Information Act 2009 (Qld) relevantly provides:
10 Law enforcement or public safety information
...
(4) Also, information is exempt information if it consists of information
obtained, used or prepared for an investigation by a prescribed
crime body, or
another agency, in the performance of the prescribed functions of the prescribed
crime body.
...
(6) However, information is not exempt information under subsection (4)
or (5) in relation to a particular applicant if—
(a) it consists of information about the applicant; and
(b) the investigation has been finalised.
...
(9) In this section—
...
misconduct functions see the Crime and Misconduct Act 2001,
section 33.
prescribed crime body means—
(a) the Crime and Misconduct Commission; or
(b) the former Criminal Justice Commission; or
(c) the former Queensland Crime Commission.
prescribed functions means—
(a) in relation to the Crime and Misconduct Commission—the crime
function, the intelligence functions and the misconduct functions;
and
...
[1] By application
dated 29 April
2011.[2] QPS sought
clarification from the applicant who advised that the complaints relate to
incidents which occurred on 3 May 2005, 12/13
November 2007, 9/10 December 2007
and between 26 January and 10 March
2009.[3] A review of
the CCTV footage by OIC staff on 22 September 2011 revealed that it relates to
12/13 November
2007.[4] Dated 29
July 2011.[5]
Comprising documents 273-278, 311-313, and
315.[6] Comprising
documents 1, 3 6-12, 16-17, 28, 33-35, 37, 47-48, 52-55, 70, 77-78, 81-82,
86-89, 91-96, 99-108, 114-124, 127-150, 153,
155, 158, 160, 162-163, 165-166,
175, 181-182, 188-189, 191-192, 194-196, 202-204, 206, 210, 212, 216-217, 224,
226, 228, 230-242,
258-262, 264, 271, 279-290, 294, 296-309, 314, 316, 322-349,
351-352, 355-356, 358, 361-363, 365-367, 376-377, 379-389, 391-397,
404, 406,
and 409-410.[7]
Comprising electronic records of interviews of three third parties by Inspector
Ziebarth.[8]
Comprising documents 416, 418-419, 423, 432-433, 437, 439, 441 and
445.[9] Comprising
CCTV footage for 3 May 2005 at the Beenleigh
Watchhouse.[10]
With the exception of the Tape Recordings which were located as a result of
further searches conducted during the course of the external
review.[11]
Sections 47(3)(a) and 48 and schedule 3, section 10(1)(f) of the RTI
Act.[12] Sections
47(3)(a) and 48 and schedule 3, section 10(3) of the RTI
Act.[13] Sections
47(3)(b) and 49 of the RTI
Act.[14] Sections
47(3)(a) and 48 and schedule 3, section 10 of the RTI Act. The relevant parts of
schedule 3, section 10 are set out in Appendix
B.[15] Section
67(1) of the IP Act provides that access to a document may be refused on the
same basis upon which access to a document could
be refused under section 47 of
the RTI Act.[16]
Schedule 3, section 10(9) of the RTI
Act.[17] Section
46(2)(b) of Crime and Misconduct Act 2001 (Qld) (CM
Act).[18]
Section 33(b) and section 34 of CM
Act.[19] Section
34(c) of CM
Act.[20] Section
35 of CM Act.[21]
See the Dictionary in Schedule 2 of the CM Act.
[22] Section 15 of
CM Act.[23] See
the Dictionary in Schedule 2 of the CM
Act.[24] Sections
37 and 38 of CM
Act.[25] Sections
42(2) and 44(2) of the CM
Act.[26] Located
at pages 279 to 290, 296 to 309 and 325 to 346 of the documents located by
QPS.[27] Schedule
3 section 10(6) of the RTI Act.
[28] Macquarie
Dictionary Online www.macquariedictionary.com.au.
[29] Schedule 3
section 10(4) of the RTI
Act[30] Schedule 3
section 10(6) of the RTI Act.
[31] Sections
42(3A) and 42(3B) of the FOI Act. Inserted by the Freedom of Information and
Other Legislation Amendment Act 2005 (Qld) which commenced on 31 May 2005.
[32] Freedom of
Information and Other Legislation Amendment Bill 2005
(Qld).[33]
Schedule 3 sections 10(4) and 10(6) of the RTI Act. Sections 42(3A) and 42(3B)
of the FOI Act.
[34] Which occurred
on 11 and 25 May 2005. See in particular page 1634 of Hansard for this
period.[35]
Section 33 of the CM
Act.[36]
Section 35(1)(b) of the CM
Act.[37] See
McKay at paragraphs 80 and 81.
[38] Sections
47(3)(b) and 49 of the RTI
Act.[39] Section
49(3) of the RTI
Act.[40] Schedule
4, part 4, item 6 of the RTI Act.
[41] Schedule 4,
part 3, item 3 of the RTI Act.
[42] Submission
dated 3 July
2012.[43] Office
of the Information Commissioner Guideline—Routine personal work
information of public servants.
[44] Under section
52(1) of the RTI
Act.[45]
Unreported, Queensland Information Commissioner, 9 February 2009.
Note—Although PDE concerned the application of section 28A of the
now repealed Freedom of Information Act 1992 (Qld), the requirements of
that section are replicated in section 52 of the RTI
Act. [46] At
paragraph 34.[47]
See PDE at paragraph
37.[48] At
paragraph 49.[49]
Submission dated 22 February
2012.[50] In
particular, page 26 comprises a Compass Summary Report which contains details of
an email dated 4 May 2005 which confirms that
the CCTV Footage was secured by
Acting Senior Sergeant
King.[51]
Submission dated 19 October
2011.[52]
Submission dated 19 October
2011.[53]
Submissions dated 24 and 25 July
2012.[54]
Submission dated 20 July 2012. This submission was made subject to the search of
the QPS ESC hardcopy file, details of which were
provided in the submission
dated 24 July
2012.[55] In
accordance with sections 47(3)(e) and 52(1)(b) of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | M83 and Queensland Police Service [2020] QICmr 49 (9 September 2020) |
M83 and Queensland Police Service [2020] QICmr 49 (9 September 2020)
Last Updated: 26 October 2020
Decision and Reasons for Decision
Citation:
M83 and Queensland Police Service [2020] QICmr 49
(9 September 2020)
Application Number:
315356
Applicant:
M83
Respondent:
Queensland Police Service
Decision Date:
9 September 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL TO DEAL - EXEMPT
INFORMATION - applicant seeking access to investigation file
concerning their
complaint - whether application is expressed to relate to all documents
containing information of a stated kind
or relating to a stated subject matter -
whether all of the documents to which the application relates would comprise
exempt information
- whether section 59 of the Information Privacy Act
2009 (Qld) applies
REASONS FOR DECISION
Summary
The
applicant applied[1] to the Queensland
Police Service (QPS) under the Information Privacy Act 2009 (Qld)
(IP Act) for the following documents containing their personal
information:[2]
(i) the ESC investigation file concerning the applicant’s
complaint;[3] and
(ii) entries about the applicant in a police officer’s notebook.
Although
QPS did not make a decision within the timeframe prescribed by the IP Act,
QPS located and released some of the requested
information to the
applicant.[4] QPS also notified the
applicant that it had decided to refuse to deal with the part of the application
seeking the investigation
file (Part One of the
application).[5]
The
applicant applied to the Office of the Information Commissioner (OIC) for
an external review of QPS’s deemed decision with respect to Part One of
the application.[6]
For
the reasons set out below, I set aside the decision QPS is deemed to have made
refusing access to the information remaining in
issue and find that section 59
of the IP Act applies to Part One of the application, as all the requested
documents appear to comprise
exempt information under schedule 3, section 10(4)
of the RTI Act.
Reviewable decision and evidence considered
The
decision under review is the deemed decision QPS is taken to have made under
section 66 of the IP Act.
The
evidence, submissions, legislation and other material I have considered in
reaching this decision are disclosed in these reasons
(including the footnotes
and Appendix).
7. I have also
had regard to the Human Rights Act
2019 (Qld),[7] particularly
the right to seek and receive
information.[8] I consider a
decision-maker will be ‘respecting’ and ‘acting
compatibly with’ that right and others prescribed in the HR Act, when
applying the law prescribed in the IP Act and the RTI
Act.[9] I have acted in this way in
making this decision, in accordance with section 58(1) of the HR Act. I also
note the observations
made by Bell J on the interaction between equivalent
pieces of Victorian legislation:[10]
‘it is perfectly compatible with the scope of that positive right in
the Charter for it to be observed by reference to the scheme of,
and principles
in, the Freedom of Information
Act’.[11]
The
significant procedural steps taken during the external review process are set
out in the Appendix.
Issue for determination
The
issue to be determined is whether Part One of the application may be the subject
of a refusal to deal decision under section 59
of the IP Act.
Relevant law
If
an access application is made to an agency under the IP Act, the agency
should deal with the application unless this would not
be in the public
interest.[12] Section 59 of the
IP Act sets out one of the circumstances in which it would not be in the
public interest to deal with an access
application, namely where:
an access
application is expressed to relate to all documents, or to all documents of a
stated class, that contain information of
a stated kind or relate to a stated
subject matter; and
it appears to
the agency that all of the documents to which the application relates are
comprised of exempt information.[13]
Relevantly,
information will qualify as exempt if it consists of information obtained, used
or prepared for an investigation by a
prescribed crime body, or another agency,
in the performance of the prescribed functions of the prescribed crime body
(Prescribed Crime Body
Exemption).[14]
Schedule
3, section 10(6) of the RTI Act excludes the operation of the Prescribed Crime
Body Exemption if the investigation has been
finalised and the relevant
information is about the applicant.
If
an agency relies on section 59 of the IP Act, it is not required to identify any
or all of the documents that would be relevant
to the access
application.[15] However, in the
circumstances of a specific case, it may be appropriate and necessary to
consider the relevant documents to be satisfied
that every relevant document
comprises exempt information.[16]
External
review by the Information
Commissioner[17] is merits review,
which is an administrative reconsideration of a
case.[18] As such, the Information
Commissioner has the power to decide any matter in relation to an application
that could have been decided
by the agency, under the
IP Act.[19] After conducting
an external review of a decision, the Information Commissioner must make a
decision affirming, varying, or setting
aside and making a decision in
substitution for, the decision under
review.[20]
Findings
Is Part One of the application expressed to relate to all
documents, or to all documents of a stated class, that contain information
of a
stated kind, or relate to a stated subject matter?
Yes,
for the reasons that follow.
Part
One of the application seeks all documents in the ESC’s file about its
investigation of the applicant’s complaint.
I am satisfied that this part
of the application relates to all documents that relate to a stated subject
matter, that is, information
relating to the investigation of a specific
complaint. Accordingly, the first limb of section 59 of the IP Act is
satisfied.
Does it appear that all of the documents to which Part One of
the application relates comprise exempt information?
For
the reasons set out below, it appears that all of the documents requested in
Part One of the application comprise exempt information
under the Prescribed
Crime Body Exemption and therefore, the second limb of section 59 of the
IP Act is satisfied.
As
I have noted above, information will be subject to the Prescribed Crime Body
Exemption if:
(i) the information was obtained, used or prepared for an investigation
(ii) the investigation was conducted by a prescribed crime body, or another
agency, in the performance of a prescribed function of
the prescribed crime
body; and
(iii) the exception to the exemption does not apply.
With
respect to the first requirement, I note that the terms ‘obtained, used
and prepared’ are not defined in the IP Act, the RTI Act or
Acts Interpretation Act 1954 (Qld) so they must be given their ordinary
meaning. I have carefully considered the Requested Documents and I am satisfied
that
they are all documents ESC obtained, used and/or prepared for the
investigation of the applicant’s complaint. The scope of
the application
is effectively limited to those documents that form the ESC investigation file
into the applicant’s complaint.
In
considering the second requirement, I note that the RTI Act recognises that the
Crime and Corruption Commission (Commission) is a ‘prescribed
crime body’; and the Commission’s corruption functions are
‘prescribed
functions’.[21] Chapter
2, Part 3 of the Crime and Corruption Act 2001 (Qld) (CC Act)
identifies the Commission’s corruption functions and sets out the
principles to be applied by the Commission when performing
those
functions.[22] Relevantly:
the principles
to be applied by the Commission include ‘devolution’, which is where
the Commission refers a complaint
back to an agency to investigate, subject to
the Commission’s monitoring role; and
section 35(1)(c)
of the CC Act confirms that the Commission may perform its corruption functions
by undertaking a monitoring role
for police
misconduct.[23]
The
applicant submits that they did not complain about
corruption[24] and the investigation
found no official misconduct.[25]
The Commission’s corruption functions are not limited to corruption
investigations and explicitly include its monitoring role
of police misconduct.
Having
carefully considered the Requested
Documents[26] and seeking specific
submissions from QPS to confirm that this particular ESC investigation was
subject to the monitoring role of
the Commission, I am satisfied that the
requested documents comprise information obtained, used or prepared by QPS in
the performance
of the Commission’s prescribed functions.
I
have also considered where, under schedule 3, section 10(6) of the RTI Act, the
exception to the Crime Body Exemption will apply
if the investigation has been
finalised and the information is about the
applicant.[27]
The
applicant submits that the investigation is finalised and it consists of
information about them.[28]
I
find that the investigation has been finalised, however I am not satisfied that
the requested documents are about the applicant. The word
‘about’ in schedule 3, section 10(6) of the RTI Act, as
a matter of law, is a ‘non-technical term defined according to its
natural and ordinary
meaning.’[29]
In
this matter, the applicant is the complainant and not the subject of the
allegations or the investigation. I am satisfied that
the documents on the ESC
investigation file, while they may have been brought about by the
applicant’s complaint, are not about
the applicant—they are about
the individuals who were the subject of the
complaint.[30] To the extent these
documents contain information about the applicant, this information is
intertwined with information about others
in such a way that it cannot be
practically separated and I do not consider such intertwined personal
information to be ‘about’
the applicant in the circumstances.
Conclusion
For
these above reasons, I find section 59 of the IP Act applies because Part One of
the application is expressed to relate to all
documents of a stated subject
matter and all of the Requested Documents appear to comprise exempt information
under the Prescribed
Crime Body Exemption.
Public interest considerations
The
applicant has put forward a number of public interest arguments favouring
disclosure of the ESC investigation
file.[31] The applicant has
explained that, as the complainant, they are seeking more information about how
the complaint was handled and
what information was considered by the
investigators. I acknowledge that the IP Act is to be administered with a
pro-disclosure
bias and the grounds for refusal are to be interpreted
narrowly.[32] However, when
information qualifies as exempt information, as is the case here, I am precluded
from taking other considerations
into account. Parliament has determined that
disclosure of exempt information would, on balance, be contrary to the public
interest
in all instances.[33]
Accordingly, while the applicant has raised compelling arguments for why further
information should be provided to them, I am unable
to consider these arguments
in relation to the disclosure of exempt
information.DECISION
For
the above reasons, I set aside the decision QPS is deemed to have made refusing
access to the Requested Information and find that
section 59 of the IP Act
applies to Part One of the application.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.S
MartinAssistant Information Commissioner
Date: 9 September 2020
APPENDIX
Significant procedural steps
Date
Event
26 April 2020
OIC received the application for external review.
18 May 2020
OIC advised the applicant and QPS that the external review application had
been accepted and asked QPS to provide further information.
27 May 2020
OIC received the requested information from QPS.
22 July 2020
OIC requested, and received, further information from QPS.
29 July 2020
OIC conveyed a preliminary view to the applicant and invited the applicant
to provide submissions if they did not accept the preliminary
view.
4 August 2020
OIC received the applicant’s written submissions.
11 August 2020
OIC received the applicant’s further submissions, in a conversation
with the applicant.
[1] Application dated
15 November 2019. [2] By
email dated 10 December 2019 the applicant narrowed the scope of the
application to these two
categories.[3] ‘ESC’
is the Ethical Standards Command unit within QPS. The applicant identified the
requested complaint file by reference
to a specific file number.
[4] QPS located 156 pages and
refused access to 5 pages and portions of information on 113 pages on
the ground that disclosure would,
on balance, be contrary to the public interest
under sections 47(3)(b) and 49 of the Right to Information Act 2009 (Qld)
(RTI Act). QPS also deleted irrelevant information appearing within
the released pages. [5] Decision
dated 6 April 2020. [6]
On 26 April 2020. Therefore, the full and partial refusal of
information in response to Part 2 is not in issue in this review.
[7] Referred to in these reasons
as the HR Act, and which came into force on 1 January 2020.
[8] Section 21 of the HR Act.
[9] XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010) (XYZ) at [573]; Horrocks
v Department of Justice (General) [2012] VCAT 241 (2 March 2012) at [111].
[10] Freedom of Information
Act 1982 (Vic) and the Charter of Human Rights and Responsibilities Act
2006 (Vic).
[11] XYZ at [573].
[12] Section 58(1) of the
IP Act. [13] Exempt
information is information the disclosure of which Parliament has considered
would, on balance, be contrary to the public
interest. Schedule 3 to the RTI
Act identifies the types of information which comprise exempt information.
[14] Schedule 3, section 10(4)
of the RTI Act. [15] Section
59(2) of the IP Act. [16] In
this review, I have examined all of the documents located by QPS in response to
Part One of the application (Requested
Documents).[17] Or delegate.
[18] This can be described as
‘stepping into the shoes’ of the primary decision-maker, to
determine what is the correct and
preferable decision.
[19] Section 118(1)(b) of the IP
Act. However, this does not apply to the discretion in section 64(4) of the IP
Act to give access to
a document to which access can be refused, as the
Information Commissioner does not have power to direct that access be given to
a
document which is exempt or contrary to public interest to disclose: section
118(2) of the IP Act.[20]
Section 123(1) of the IP Act.
[21] Schedule 3, section 10(9)
of the RTI Act. [22] These
principles are set out in section 34 of the CC Act.
[23] Details of the monitoring
role for police misconduct are set out in section 47 of the CC Act and
‘police misconduct’ is defined in schedule 2 of the CC Act.
[24] External review
application. [25] Submissions
received 4 August 2020.
[26] As section 121 of the IP
Act relevantly prevents the Information Commissioner from disclosing information
that is claimed to be exempt
information, I am unable to provide a detailed
description of the Requested Documents in these reasons for decision.
[27] If the exception is found
to apply, the requested documents cannot comprise exempt information under the
Prescribed Crime Body Exemption,
and therefore, section 59 of the IP Act
cannot apply. [28] External
review application. [29]
Darlington v Office of The Information Commissioner & Queensland Police
Service [2015] QCATA 167 (Darlington) at [52].
[30] Darlington at
[56]-[58]. [31] External review
application and submissions received 4 and 11 August 2020.
[32] Sections 64(1) and 67(2)(a)
of the IP Act. [33] Section
48(2) of the RTI Act. As noted above, the information Commissioner also has no
discretion to direct that access be given
to exempt information (section 118(2)
of the IP Act). Refer also to Dawson-Wells v Office of the Information
Commissioner & Anor [2020] QCATA 60 at [17]- [18] and BL v Office of
the Information Commissioner & Anor [2012] QCATA 149 at [13] and [15].
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Price and Nominal Defendant [1999] QICmr 19 (24 November 1999) |
Price and Nominal Defendant [1999] QICmr 19 (24 November 1999)
Price & Nominal Defendant
(S 97/97, 24 November 1999, Information Commissioner
Albietz)
(This decision has been edited to remove merely procedural
information and may have been edited to remove personal or otherwise sensitive
information.)
1.- 4. These paragraphs deleted.
REASONS FOR DECISION
Background
The
applicant seeks review of a decision by the Nominal Defendant to refuse him
access to certain documents held by it and by its
former solicitors. Some of
the documents in issue relate to the legal proceedings between the applicant and
the Nominal Defendant
that were described in paragraph 3 of my reasons for
decision in Re Price and Nominal Defendant (Information Commissioner Qld,
Decision No. 99003, 30 June 1999, unreported) but were documents that came into
existence after the
lodgment by the applicant of the FOI access application
dealt with in my earlier decision (and to which I will refer as the "previous
access application"). Other documents sought by the applicant relate to
the processing of the previous access application, and the external review
application
in respect of it (no. S 2/95).
By
letter dated 1 April 1997, the applicant applied to Queensland Treasury for
access to the following:
"all
documents of the agency created in relation to my Freedom of Information
applications and related to the application";
"all
documents of the agency related to myself. To include all Ministerial contact
including the last Government and their
advisers";
"an
answer to my earlier request of the Agency to furnish the work details and names
of persons listed on documents of the agency
and their
rank";
"a
breakdown of the Solicitors, Counsel and loss assessors used by the Nominal
Defendant since 1988"; and
"a
breakdown list of cases that went to loss assessors e.g. when there were no
police reports available".
On
2 April 1997, parts 1, 3, 4 and 5 of that access application were transferred to
the Nominal Defendant pursuant to s.26 of the
FOI Act. On 12 May 1997, Ms L
Anderson, the Insurance Commissioner, made a determination in respect of those
parts. Ms Anderson
decided to grant access to some documents falling within the
terms of part 1 of the application, but refused access to nine documents,
and to
part of one document, on the basis that they comprised exempt matter under
s.43(1) of the FOI Act. She also refused access
to part of another document on
the basis that it was outside the scope of the access
application.
In
relation to parts 3, 4 and 5 of the access application, Ms Anderson refused
access to information on the basis that it would require
the Nominal Defendant
to create new written documents, and that it was unable to do so using equipment
currently available to it.
Ms Anderson also relied on s.28(2) of the FOI Act as
a further reason for refusing to deal with those parts of the access
application.
As
no internal review was available from the decision of Ms Anderson as principal
officer (see s.52(3) of the FOI Act), the applicant
applied to me, by letter
dated 16 June 1997, for review, under Part 5 of the FOI Act, of Ms Anderson's
decision. External review
process
The
documents containing the matter in issue were obtained and examined.
During
this review, the Nominal Defendant agreed to accept my preliminary view as to
which of the documents of its former solicitors
and its loss assessors, that
were created after 17 October 1994 (the date of lodgment of the applicant's
previous FOI access application
dealt with in external review no. S 2/95), fell
within the terms of the access application dated 1 April 1997, and were
"documents
of the agency". The Nominal Defendant has disclosed to the applicant
a number of documents from its own file, the solicitors' file,
and the loss
assessors' file that were initially in issue. There are no further documents on
the loss assessors' file in issue in
this external review.
A
conference was held with Mr L Meteyard of the Nominal Defendant to seek
information about parts 3, 4 and 5 of the access application.
In relation to
part 3, it was agreed that the Nominal Defendant would provide to the applicant
copies of that part of its Annual
Reports which set out relevant staff members.
In a letter to this Office dated 19 February 1999, the Nominal Defendant advised
that
it had done so but that for 1993/94, the Nominal Defendant's Annual Report
formed part of Queensland Treasury's Annual Report with
no separate listing of
Nominal Defendant staff. This was because the Nominal Defendant did not exist
as a statutory corporation
in its own right until 1 September 1994. My staff
confirmed that, in dealing with that part of the access application not
transferred
to the Nominal Defendant pursuant to s.26 of the FOI Act, Queensland
Treasury provided the applicant with a list of relevant staff,
which covered the
1993/94 period, and included the Queensland Treasury FOI decision-makers
involved in dealing with the previous
access application. As part 3 of the
access application dated 1 April 1997 has been satisfactorily dealt with, and
the applicant
has not taken specific issue with it, I will not consider part 3
further in this review.
In
relation to parts 4 and 5 of the access application dated 1 April 1997, Mr
Meteyard expressed a concern that to provide the information
sought would
involve considerable time and effort in obtaining information to create a new
document. However, in an attempt to answer
part 4 of the access application,
the letter dated 19 February 1999 provided a list of firms of solicitors that
had acted for the
Nominal Defendant since 1988.
That
letter also attached a list of counsel and loss assessors who were, at the time
of the letter, regarded as preferred suppliers
(which, Mr Meteyard informed a
member of my staff, was obtained through his having undertaken a "provider
query" of the Nominal Defendant's
computer database). The letter outlined the
difficulties involved in locating information about counsel and loss assessors
who had
provided services to the Nominal Defendant prior to late 1994 and in
compiling any of the information that the applicant sought in
relation to part 5
of his access application. A further meeting with Mr Meteyard to discuss part 5
of the access application revealed
that some of the information requested by the
applicant could, with some effort described later in these reasons, be obtained
from
the database.
I
gave the applicant a copy of the Nominal Defendant's letter dated 19 February
1999 and informed him of my preliminary view:
as
to which of the documents remaining in issue were "documents of the agency", and
my further view that those which were "documents
of the agency" all qualified
for exemption under s.43(1) of the FOI Act;
that
the Nominal Defendant was entitled, under s.28(2) of the FOI Act, to refuse to
deal with parts 4 and 5 of his access application
dated 1 April 1997, except to
the limited extent discussed at paragraph 24 below.
The
applicant responded by contesting my preliminary views and requesting a
conference with participants to clarify matters. I replied
to the applicant by
letter stating that I did not regard a conference as a productive exercise as
the matters raised could be readily
and easily dealt with by the applicant in
writing. I extended the time within which the applicant could provide
submissions and/or
evidence. In a further letter to the applicant (responding
to subsequent correspondence from him relating to this and his numerous
other
external review applications), I reiterated the issues I had invited him to
address.
The
applicant responded that he had already provided me with affidavit evidence and
submissions of improper conduct and fraud by agencies,
including the Nominal
Defendant and its solicitors. Indeed, in the course of external review no. S
2/95, the applicant provided
a lengthy submission dated 28 August 1995 and also
presented to this Office an extremely large bundle of documents which included
affidavits that he had filed in the High Court during legal proceedings in which
he was involved before it. The applicant has not,
however, responded to the
matters raised concerning parts 4 and 5 of his access application, despite being
given ample opportunity
to do so.
In
making my decision, I have taken into account the abovementioned submissions of
the applicant dated 28 August 1995, and further
submissions and documents
provided by the applicant on 26 March 1999. Creation
of documents from a computer database
Parts
4 and 5 of the access application dated 1 April 1997 are framed as requests for
access to information rather than access to
documents already in existence in
the possession or control of the Nominal Defendant. Essentially, the Nominal
Defendant would be
required to create new documents in order to provide the
relevant information. In paragraphs 6-9 of Re Pearce and Queensland Rural
Adjustment Authority and Others (Information Commissioner Qld, Decision
99008, 4 November 1999, unreported), I said:
The
ordinary and natural meaning of the words used by the legislature in s.21 and
s.25 of the FOI Act makes clear that the right of
access conferred by the FOI
Act is not a right of access to information per se, but a right of access to
information contained in
the form of documents which exist in the possession or
control of a particular agency or Minister, at the time that a valid access
application under s.25 of the FOI Act is lodged with that agency or Minister.
The natural corollary to this is that an agency or
Minister is not obliged by
the terms of the FOI Act to create a new document in order to provide
information requested by an access
applicant - an agency or Minister is only
obliged to locate existing documents in its possession or control, which fall
within the
terms of a valid access application under s.25 of the FOI Act (and to
make the decisions, in respect of any documents thus located,
that are required
under the provisions of the FOI Act).
There
is only one exception to that general statement of principle to be found in the
FOI Act. It is the one provided for in s.30(1)(e)
of the FOI Act, which is, in
turn, subject to a significant qualification. Section 30(1)(e) of the FOI Act
provides:
30.(1) Access to a document may be given to a person in one or
more of the following forms—
...
(e) if—
(i) the application relates to information that is not contained in a
written document held by the agency; and
(ii) the agency could create a written document containing the information
using equipment that is usually available to it for retrieving
or collating
stored information;
providing a written document so created.
Section
30(1)(e)(i) and s.30(1)(e)(ii) set out the two pre-conditions which, if
satisfied, will oblige an agency, at the request of
an access applicant, to
create a document in order to provide information specified in an FOI access
application. Firstly, s.30(1)(e)
only applies when the access application
relates to information that is not contained in a written document held by the
agency.
The most obvious example of this is the storage of information in a
computer database.
Secondly,
s.30(1)(e)(ii) requires an examination, in the particular circumstances of a
given case, of a factual issue as to whether
the relevant agency could create a
written document, containing the information requested in the FOI access
application, using equipment
that is usually available to it for retrieving or
collating stored information. The term "usually available" imposes a
significant
qualification on the entitlement of an FOI access applicant to seek
specific information from a computer database or other repository
of stored
information. It means, in effect, that it must be possible to retrieve or
collate the information requested by an FOI
access applicant using equipment
(including computer programs or software) already in place, or otherwise usually
available, to undertake
the performance of the agency's functions. In other
words, s.30(1)(e) imposes no requirement on an agency to obtain additional
equipment
or re-program existing equipment, or (for example) write a specific
program to enable a database to be interrogated, in order to
respond to an FOI
access application.
Mr
Meteyard has explained that the list of counsel and loss assessors was compiled
through interrogating the Nominal Defendant's database.
However, the limitation
on the information that can be obtained is that the database was created only
after the Nominal Defendant
was established as a separate corporation (September
1994) and there were some slight teething problems until integrity in the
information
stored on the database was achieved after a few months of operation.
The applicant's request for a list of counsel and loss assessors
has been
satisfied (with as much accuracy as the database can provide) back to
approximately late 1994. The data did not exist before
that period, and to
obtain the information sought by the applicant, from 1989 to late 1994, would
require manual searches of individual
files held by the Nominal
Defendant.
In
relation to part 5 of the access application, Mr Meteyard explained that the
type of query that would be required to generate a
"breakdown of cases that went
to loss assessors, eg. when there were no police reports available" is more
complex and an external
information technology consultant would have to be
retained to perform the relevant query. A consultant has been contacted and has
informed Mr Meteyard that she estimates that her charges for that task would be
between $100-$300, depending upon the difficulty
of the query and the time
taken. Thus, some of the information sought by the applicant does exist, albeit
stored on a computer database,
but is again subject to the limitation that the
information was only entered into the databases after September 1994. Prior to
that
time, a manual search of the Nominal Defendant's files would need to be
undertaken.
Section
7(1) of the Freedom of Information Regulation 1992 Qld (the FOI
Regulation) provides that an applicant must pay a charge for access to a
document that does not concern the applicant's
personal affairs. Section 29(3)
of the FOI Act provides that any charge that is, by regulation, required to be
paid by an applicant
before access to a document is given is to be calculated in
accordance with a number of principles, one of which is that a charge
may be
made for the reasonable cost incurred by an agency in providing a written
document under s.30(1)(e) of the FOI Act. These
provisions set out the basis
for making a charge for the reasonable costs incurred by an agency in creating,
from computer records,
a document which does not concern the applicant's
personal affairs.
The
applicant was informed of the possible costs involved in obtaining the
information and asked to advise whether he wished to pursue
access to it. He
has not responded to that question. I am satisfied that the Nominal Defendant
is entitled to charge for the reasonable
costs incurred by it in obtaining the
services of an information technology consultant to undertake the relevant
database inquiry
to respond to part 5 of the access application dated 1 April
1997. The information sought by the applicant does not concern the
applicant's
personal affairs. There is nothing before me to suggest that a charge of $300
to carry out this task would be unreasonable.
The
applicant is therefore entitled to access to a document that could be created by
interrogating the Nominal Defendant's database
to provide such information
retained on the database as falls within part 5 of the applicant's FOI access
application dated 1 April
1997, provided the applicant is prepared to pay the
reasonable costs of access. Under s.29(7) of the FOI Act and s.11 of the FOI
Regulation, the Nominal Defendant may require the Defendant to pay a 20% deposit
before it undertakes the work in question.
Application of s.28(2) of the FOI
Act
Section
28(2) provides:
28(2) If —
(a) an application is expressed to relate to all documents, or to all
documents of a specified class, that contain information of
a specified kind or
relate to a specified subject matter; and
(b) it appears to the agency or Minister dealing with the application
that the work involved in dealing with the application would,
if carried
out—
(i) substantially and unreasonably divert the resources of the agency
from their use by the agency in the performance of its functions;
or
(ii) interfere substantially and unreasonably with the performance by
the Minister of the Minister functions;
having regard only to the number and volume of the documents and to any
difficulty that would exist in identifying, locating or
collating the documents
within the filing system of the agency or the office of the Minister;
the agency or Minister may refuse to deal with the
application.
The
Nominal Defendant outlined, in its letter dated 19 February 1999, the type of
manual searches and difficulties involved to deal
completely with part 4 (which
would be necessary to provide the information sought back to 1989), and with any
of part 5 of the access
application, if the applicant did not agree to pay the
reasonable costs of the database inquiry.
Parts
4 and 5 of the access application are far-reaching, and part 5 is not defined by
any timeframe. The Nominal Defendant has indicated
that to carefully search
through the thousands of files opened since 1989 to ascertain the names of loss
assessors and counsel, and
claim files where loss assessors were appointed,
would be extremely time consuming. In situations where files are stored
off-site,
there would be significant retrieval costs
involved.
The
applicant has been provided with a copy of the Nominal Defendant's letter dated
19 February 1999, which contained a list of all
firms of solicitors that have
acted for the Nominal Defendant since 1988. The Nominal Defendant advised that
if part 4 of the applicant's
access application dated 1 April 1997 had to be
construed to mean each individual solicitor from those firms who had
provided legal assistance to the Nominal Defendant, there would be considerable
difficulty in
identifying from its own files the names of those individual
solicitors, and a strong likelihood that the firms of solicitors would
no longer
have files dating back to January 1989 to be able to ascertain that information.
I
am satisfied that the Nominal Defendant has carefully addressed the difficulties
it would have, with its small number of staff,
in identifying, locating and
collating all of the requested documents and has demonstrated that to do so
would significantly interfere
with its operations for a considerable period of
time.
The
Nominal Defendant's function is to manage compulsory third party claims
associated with unidentified and uninsured vehicles, and
it is funded by a levy
on third party insurance premiums paid by vehicle owners. I am satisfied that
the Nominal Defendant would
experience a substantial and unreasonable diversion
of its resources (funded by the public) in performing that function, if it were
to take the steps required to process parts 4 and 5 of the access application
(other than those addressed in paragraph 24 above),
having regard only to the
number and volume of the documents requested, and to the difficulties that would
exist in identifying,
locating or collating the documents within the filing
system of the Nominal Defendant.
I
find that, pursuant to s.28(2) of the FOI Act, the Nominal Defendant is entitled
to refuse to deal with parts 4 and 5 of the access
application dated 1 April
1997, beyond the steps discussed in paragraph 24 above concerning interrogation
of its computer database
for the period from late
1994. Documents of the
agency
For
a document to be subject to access under s.21 and s.25 of the FOI Act, it must
be a "document of the agency", i.e., of the agency
which is dealing with the FOI
access application. Section 7 of the FOI Act relevantly
provides:
In this Act—
...
"document of an agency' or "document of the agency"
means a document in the possession or under the control of an agency, or the
agency concerned, whether created or received in the
agency, and
includes—
(a) a document to which the agency is entitled to access; and
(b) a document in the possession or under the control of an officer of
the agency in the officer's official capacity.
The
ruling test imposed by the definition of "document of an agency" is comprised in
the words "in the possession or under the control
of an agency". The remaining
words of the definition illustrate, rather than extend, the ruling test. In
Re Holt and Education Queensland [1998] QICmr 4; (1998) 4 QAR 310, I decided that the
word "possession" in the above definition is properly to be construed as meaning
physical possession rather than
legal possession. A document in the physical
possession of an agency (or of an officer of an agency in the officer's official
capacity),
whether created or received in the agency, is a "document of the
agency" for the purposes of the FOI Act. A document not in the
physical
possession of an agency will nevertheless be a "document of the agency" for the
purposes of the FOI Act, if it is under
the control of the agency (or under the
control of an officer of the agency in the officer's official
capacity).
Included
in the concept of documents which are under the control of an agency are
documents to which the agency is entitled to access.
This concept is apt to
cover a document in respect of which an agency has legal ownership, and hence a
right to obtain possession,
even though the document is not in the physical
possession of the agency. The words "under the control" convey the concept of a
present legal entitlement to control the use or physical possession of a
document, as exists in the case of documents held on behalf
of a principal by
the principal's agent, or documents held by a bailee on behalf of the owner of
the documents.
In
the context of the obligations placed on an agency, by the FOI Act, in respect
of "documents of the agency" (including the manner
in which an agency is obliged
to deal with a document of the agency in response to an application under the
FOI Act), I consider
that, for a document to be one which is under the control
of an agency (or one in respect of which an agency is entitled to access),
the
agency must have a present legal entitlement to take physical possession of the
document (at least for so long as necessary to
discharge all of the agency's
obligations under the FOI Act in respect of the
document).
The
Schedule attached to these reasons for decision sets out those documents
appearing on the file of the solicitors to the Nominal
Defendant which remain in
issue. In Re Price and Nominal Defendant at paragraphs 21-28, I said
that, in the context of a solicitor and client relationship, a determination as
to those documents in
respect of which a client has a legal entitlement to
ownership is based on the contract of retainer between the solicitor and client.
At paragraph 22, I said that the judgment of the New South Wales Court of Appeal
in Wentworth v De Montfort (1988) 15 NSWLR 348 set out the relevant
principles for determining what documents on a solicitor's file are documents in
respect of which the client
has a legal right to possession. At paragraphs
29-52, I applied the principles in that case to the various categories of
documents
in issue on the solicitors' file. My findings are directly applicable
here and I will discuss the categories that are relevant below.
In the attached
schedule, I have indicated in the "Decision" column those documents which are
not "documents of the agency" by the
letters
"NDA". Correspondence between the Nominal Defendant and
its solicitors
At
paragraphs 32-34 of Re Price and Nominal Defendant, I found that original
letters and facsimile transmissions to the solicitors from the Nominal Defendant
and file copies of letters
from the solicitors to the Nominal Defendant were not
"documents of the agency" for the purposes of the FOI Act. For the same
reasons,
I find that documents on the solicitors' file which comprise
correspondence between the Nominal Defendant and its solicitors are
not
"documents of the agency" (i.e., the Nominal Defendant) for the purposes of the
FOI Act. Records of telephone attendances on the
Nominal Defendant
At
paragraph 35 of Re Price and Nominal Defendant, I found that those
documents were not "documents of the agency" for the purposes of the FOI Act. I
find that, in this external
review, records of telephone attendances on the
Nominal Defendant are not "documents of the agency" for the purposes of the FOI
Act.
Internal records and memoranda of the solicitors
as to work done or work to be done
The
solicitors' file contains diary notes of intra-office communications and records
of facsimile transmissions. At paragraph 46
of Re Price and Nominal
Defendant, I concluded that those documents were created by the solicitors
for their own benefit and were not owned by the client. For the
reasons given
at paragraphs 47-48 of Re Price and Nominal Defendant, I find that
excerpts of rules with annotations, drafts and file copies of court documents,
and notes made about the taxation by
the solicitors on the solicitors file,
belong to the solicitors and not the client. None of the documents on the
solicitors' file
falling into this category are documents of the Nominal
Defendant for the purposes of the FOI Act.
However,
the printout of the Department of Lands search (S521), was made for the benefit
of the Nominal Defendant in relation to issuing
court proceedings against the
applicant in relation to its costs. Thus, I find that S521 is a "document of
the agency" for the purposes
of the FOI Act.
Correspondence with, and records of, telephone
attendances on third parties
At
paragraph 36 of Re Price and Nominal Defendant, I said that whether any
particular document in this category belongs to the client or to the solicitor
depends upon a number of
factors and, in particular, whether the predominant
purpose of the communication was for the benefit of the solicitor or the client.
I consider that correspondence with, and records of telephone attendances on,
the solicitors' service agents, were undertaken for
the purpose of the Nominal
Defendant issuing court proceedings against the applicant in relation to its
costs. Thus, those communications
were predominantly for the benefit of the
Nominal Defendant. I therefore find that the documents on the solicitors' file
representing
such communications are "documents of the agency" for the purposes
of the FOI Act. Application of s.43(1)
of the FOI Act Nominal Defendant's
file
The
documents remaining in issue on the Nominal Defendant's file that are claimed to
be exempt under s.43(1) of the FOI Act are documents
19, 25, 29, 32, 42, and
parts of documents 7 and 8. Section 43(1) of the FOI Act
provides:
43(1) Matter is exempt matter if it would be privileged
from production in a legal proceeding on the ground of legal professional
privilege.
The
s.43(1) exemption turns on the application of those principles of Australian
common law which determine whether a document, or
matter in a document, is
subject to legal professional privilege. The grounds on which a document can
attract legal professional
privilege are fairly well settled in Australian
common law. In brief terms, legal professional privilege attaches to
confidential
communications between lawyer and client for the sole purpose of
seeking or giving legal advice or professional legal assistance,
and to
confidential communications made for the sole purpose of use, or obtaining
material for use, in pending or anticipated legal
proceedings (see Re Smith
and Administrative Services Department [1993] QICmr 3; (1993) 1 QAR 22 at pp.51-52
(paragraph 82), which sets out a summary of the principles established by the
High Court authorities of Grant v Downs [1976] HCA 63; (1976) 135 CLR 674, Baker v
Campbell [1983] HCA 39; (1983) 153 CLR 52, Attorney-General (NT) v Kearney [1985] HCA 60; (1985)
158 CLR 500, Attorney-General (NT) v Maurice [1986] HCA 80; (1986) 161 CLR 475, and
Waterford v Commonwealth of Australia [1987] HCA 25; (1987) 163 CLR 54).
There
are qualifications and exceptions to that broad statement of principle, which
may, in a particular case, affect the question
of whether a document attracts
the privilege, or remains subject to the privilege; for example, the principles
with respect to waiver
of privilege (see Re Hewitt and Queensland Law Society
Inc and Legal Ombudsman [1998] QICmr 23; (1998) 4 QAR 328 at paragraphs 19-20 and 29), and
the principle that communications otherwise answering the description above do
not attract privilege
if they are made in furtherance of an illegal or improper
purpose (see Commissioner, Australian Federal Police v Propend Finance Pty
Ltd (1997) 71 ALJR 327).
Many
of my comments in Re Price and Nominal Defendant at paragraphs 59-68 are
equally applicable to the documents in issue in this
matter.
Documents
19, 25, 29, 32 and part of document 7 comprise correspondence between the
Nominal Defendant and its solicitors. Similarly
to my findings in paragraphs
64-68 of Re Price and Nominal Defendant, I consider that each of those
documents was brought into existence for the sole purpose of seeking or giving
professional legal
advice or assistance in relation to the Nominal Defendant's
participation in the external review process in application for review
no. S
2/95. I find that those documents attract legal professional privilege, and so
qualify for exemption under s.43(1) of the
FOI Act.
Document
42 is a draft letter to the Crown Solicitor prepared by the Nominal Defendant's
solicitors. Material created by a solicitor
in fulfilment of his engagement "is
the result of the solicitor's mind working upon and acting as professional
adviser with reference
to" material communicated to him confidentially in his
professional capacity (Kennedy v Lyell [1883] 23 Ch D 387 at 407) and, as
such, will by its very nature tend to reveal the content of that advice: see
also Re Norman and Mulgrave Shire Council [1994] QICmr 13; (1994) 1 QAR 574 p.581. I find
that document 42 attracts legal professional privilege and qualifies for
exemption under s.43(1) of the FOI Act.
The
matter claimed to be exempt in document 8 is the same matter as that which was
in issue in a related application for external
review no. S 101/97, which has
now been finalised. It is page 5 of a statement of Mr Daniel Morgan prepared by
the Nominal Defendant's
loss assessors during the time when legal proceedings
were on foot between the Nominal Defendant and the applicant. The remainder
of
document 8 (to which the applicant has obtained access) is an internal
memorandum within the Nominal Defendant's office concerning
submissions that it
proposed to make during the previous external review process concerning no. S
2/95. I have been informed by
Queensland Treasury and by the Nominal Defendant
that the page of Daniel Morgan's statement was inadvertently caught up in the
memorandum
during the processing of the applicant's access application.
In
my reasons for decision in Re Price and Nominal Defendant, I found that
the statements taken by the loss assessors for use in legal proceedings between
the Nominal Defendant and the applicant
(the page in issue in document 8 forming
part of one such statement) attracted legal professional privilege. Any copies
of such
statements, or copies of parts of such statements, also attract legal
professional privilege and qualify for exemption under s.43(1).
I find that the
part of document 8 comprising a copy of page 5 of Mr Morgan's statement to the
loss assessors is exempt matter under
s.43(1) of the FOI
Act. Solicitors' file
I
have found that only the correspondence with, and records of telephone
attendances on, the service agents, plus the Department of
Lands search
printout, are documents of the Nominal Defendant for the purposes of the FOI Act
(see paragraphs 40 and 41 above). Communications with
service agents
In
Trade Practices Commission v Sterling [1979] FCA 33; (1979) 36 FLR 244 (at pp.245-266),
Lockhart J said that legal professional privilege extends
to:
(a) Any communication between a party and his professional legal adviser
if it is confidential and made to or by the professional
adviser in his
professional capacity and with a view to obtaining or giving legal advice or
assistance; notwithstanding that the
communication is made through agents of the
party and the solicitor or the agent of either of them. ....
I
consider that correspondence, and file notes of conversations, between the
solicitors and their service agents, constitute or record
communications made
for the sole purpose of instituting costs proceedings between the Nominal
Defendant and the applicant. I find
that they attract legal professional
privilege and qualify for exemption under s.43(1) of the FOI
Act. Printout of Department of Lands
search
In
Trade Practices Commission v Sterling, Lockhart J said that legal
professional privilege also extends to:
(d) Notes, memoranda, minutes or other documents made by the client or
officers of the client or the legal adviser of the client of
communications
which are themselves privileged, or containing a record of those communications,
or relate to information sought by
the client's legal adviser to enable him to
advise the client or to conduct litigation on his behalf. ...
The
solicitors obtained the Department of Lands search for the sole purpose of
providing advice to the Nominal Defendant concerning
anticipated legal
proceedings, and hence it attracts legal professional privilege. Therefore, the
printout qualifies for exemption
under s.43(1) of the FOI
Act. Improper purpose
exception
As
with his previous application for review no. S 2/95, the applicant has alleged
that there has been a tort, fraud and/or improper conduct by the Nominal
Defendant, and, therefore, the documents on the Nominal Defendant's file and on
the solicitors' file cannot qualify
for legal professional privilege.
I
considered the 'improper purpose exception' at some length in Re Murphy and
Queensland Treasury (No. 2) (Information Commissioner Qld, Decision No.
98009, 24 July 1998, unreported), at paragraphs 31-42. At
paragraphs 35, 36 and 37, I considered the judgments in Kearney and
Propend Finance concerning the evidentiary onus on a person contesting the
existence of legal professional privilege to demonstrate a prima facie
case that the relevant communications were made in furtherance of an illegal or
improper purpose. At paragraph 38, I drew the following
principles from those
cases:
To
displace legal professional privilege, there must be prima facie evidence
(sufficient to afford reasonable grounds for believing) that the relevant
communication was made in preparation for, or
furtherance of, some illegal or
improper purpose.
Only
communications made in preparation for, or furtherance of, the illegal or
improper purpose are denied protection, not those that
are merely relevant to it
(see Butler v Board of Trade [1970] 3 All ER 593 at pp.596-597). In
other words, it is not sufficient to find prima facie evidence of an
illegal or improper purpose. One must find prima facie evidence that the
particular communication was made in preparation for, or furtherance of, an
illegal or improper purpose.
Knowledge,
on the part of the legal adviser, that a particular communication was made in
preparation for, or furtherance of, an illegal
or improper purpose is not a
necessary element (see R v Cox and Railton (1884) 14 QBD 153 at p.165;
R v Bell: ex parte Lees [1980] HCA 26; (1980) 146 CLR 141 at p.145); however, such
knowledge or intention on the part of the client, or the client's agent, is a
necessary element.
I
note also that, in the recent Federal Court of Australia decision of Freeman
v Health Insurance Commission and Ors (1998) 157 ALR 333, Finkelstein J said
(at p.342):
Notwithstanding the submissions made by the applicant, I do not believe
that the exception should be extended so that the privilege
is lost if there is
an inadvertent abuse of statutory power. .... Legal professional privilege is
an important right and the public
interest does not require it to be lost except
by conduct which is morally reprehensible. ... if the exception was now to be
extended
to cover inadvertent conduct it might endanger the basis of the
privilege.
There was a successful appeal against aspects of Finkelstein J's judgment
(see Health Insurance Commission and Anor v Freeman (1998) 158 ALR 26),
but no issue was taken with the above statement of principle.
The
documents remaining in issue are very similar in nature to those considered by
me in Re Price and Nominal Defendant. The applicant has sought to rely
on the submissions he has previously placed before me regarding the 'improper
purpose exception'.
In particular, there is before me a lengthy submission and
a large bundle of documents, including affidavits filed by him in the
High Court
of Australia, in order to show prima facie evidence that the documents in
issue were brought into existence in preparation for, or furtherance of, an
illegal or improper purpose.
As I stated in Re Price and Nominal
Defendant at paragraph 81, those submissions are repetitious and
attempt to weave a net of conspiracy between many public officials, members
of
the legal profession, the police and the courts against the applicant (for
further explanation, see my discussion in paragraphs
82-83 of that decision).
Those submissions are based merely on the applicant's assertion, unsupported by
any credible, independent,
corroborative evidence.
What
must be shown to invoke the 'improper purpose exception' to legal professional
privilege is prima facie evidence of a course of action by the Nominal
Defendant or its agents adopted with knowledge of wrongdoing. Nothing in any of
the
material provided to this office by the applicant, or in the documents in
issue in this case (or other cases presently before me
involving the applicant),
amounts to prima facie evidence that the documents in issue in this case
were brought into existence in preparation for, or furtherance of, an illegal or
improper purpose. Application of s.44(1) of the FOI
Act
Section
44(1) of the FOI Act provides:
44.(1) Matter is exempt matter if its disclosure would
disclose information concerning the personal affairs of a person, whether living
or dead, unless its disclosure would, on balance, be in the public
interest.
The
Nominal Defendant claims that part of document 1 on the Nominal Defendant's file
does not fall within the terms of the access
application, as it relates to
details of banking transactions concerning persons other than the applicant.
Indeed, that part of
the document representing other persons' transactions has
nothing to do with the applicant or his dealings with the Nominal Defendant
and,
therefore, appears to fall outside the scope of the applicant's access
application. In any event, that information comprises
information concerning
the personal affairs of persons other than the applicant. The applicant has not
provided me with any submissions
on this point and I am unable to discern any
public interest considerations of any substance that would favour disclosure of
that
information to the applicant. I find that matter to be exempt under
s.44(1) of the FOI Act.
DECISION
Given
that further documents have been located in the course of the review, I vary the
decision under review (being the decision dated
12 May 1997 made on behalf of
the Nominal Defendant by Ms L Anderson) by finding that:
the
applicant is entitled to have a document created, in accordance with s.30(1)(e)
of the FOI Act, listing the information referred
to at paragraph 24 above for
the period since late 1994, subject to payment of all reasonable charges
(including a deposit);
the
agency is otherwise entitled to refuse to deal further with parts 4 and 5 of the
access application dated 1 April 1997, pursuant
to s.28(2) of the FOI Act;
the
documents listed "NDA" in the attached Schedule are not "documents of the
agency" as defined in s.7 of the FOI Act, and hence
are not subject to the
application of the FOI Act;
the
documents and parts of documents identified at paragraphs 40, 41 and 42 above
are exempt matter under s.43(1) of the FOI Act;
and
the
matter identified at paragraph 61 above is exempt matter under s.44(1) of the
FOI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Robbins and Brisbane North Regional Health Authority [1994] QICmr 19; (1994) 2 QAR 30 (19 August 1994) |
Robbins and Brisbane North Regional Health Authority [1994] QICmr 19; (1994) 2 QAR 30 (19 August 1994)
Last Updated: 28 February 2001
OFFICE OF THE INFORMATION ) S 220 of
1993COMMISSIONER
(QLD) ) (Decision No. 94019) Participants: DR
STEVEN JOHN ROBBINS Applicant - and -
BRISBANE NORTH REGIONAL HEALTH
AUTHORITY Respondent DECISION AND REASONS FOR
DECISIONFREEDOM OF INFORMATION - deemed refusal of
access to requested documents pursuant to s.79(1) of the Freedom of
Information Act 1992 Qld - respondent subsequently agreeing to give access
to requested documents - applicant dissatisfied with extent of access given -
two
further documents discovered and access given - applicant's attempt to
unilaterally expand the scope of the initial FOI access application
not
permitted.Freedom of Information Act 1992 Qld s.25(2),
s.27(4), s.27(4)(b), s.27(7), s.27(7)(b), s.51, s.52, s.71(1)(b), s.73(3),
s.79, s.79(1), s.89(1)Cannon and Australian Quality Egg Farms
Limited, Re (Information Commissioner Qld, Decision No. 94009, 30 May
1994, unreported)Pope and Queensland Health, Re (Information
Commissioner Qld, Decision No. 94016, 18 July 1994,
unreported) DECISION1. The decision under
review (being the respondent's deemed refusal of access, pursuant to s.79(1) of
the Freedom of Information Act 1992 Qld, to documents requested in the
applicant's FOI access application dated 8 October 1993) is set
aside.2. In substitution for it, I decide that the applicant may be
given access under the Freedom of Information Act 1992 Qld to all
documents which fall within the terms of his FOI access application dated 8
October 1993 and I am satisfied that those documents
consist of the 16 pages
attached to the letter of 8 December 1993 from the respondent to the applicant,
plus the two letters from
Dr Pope to the National Health and Medical Research
Council dated 28 April 1993 and 1 June 1993 which are referred to in the fourth
paragraph of the Deputy Information Commissioner's letter to the applicant dated
12 January 1994.Date of Decision: 19 August
1994...........................................................F
N ALBIETZINFORMATION COMMISSIONEROFFICE OF THE
INFORMATION ) S 220 of 1993COMMISSIONER (QLD) ) (Decision
No. 94019) Participants: DR STEVEN JOHN
ROBBINS Applicant - and - BRISBANE
NORTH REGIONAL HEALTH AUTHORITY Respondent REASONS FOR
DECISION1. Dr Robbins applied to me by letter dated 29 November
1993 for external review of a "deemed refusal" of access by the Brisbane North
Regional Health Authority (the Authority) to documents which Dr Robbins had
requested in an FOI access application dated 8 October
1993, but to which he had
received no response.2. Section 79(1) of the Freedom of Information
Act 1992 Qld (the FOI Act) relevantly provides as
follows: 79.(1) Subject to this section, if
- (a) an application has been made to an agency or Minister
under this Act; and (b) the time period provided in section
20(2), 27(4) or 57 has ended; and (c) notice of a
decision on the application has not been received by the
applicant; the principal officer of the agency or the Minister
is, for the purpose of enabling an application to be made to the Commissioner
under section 73, taken to have made a decision on the last day of the relevant
time period refusing - (d) ... (e) to grant
access to the document; or (f) ...3. Essentially,
s.79(1) provides that if the time limit specified by s.27(4) of the FOI Act for
responding to an FOI access application
has expired without the applicant
receiving notice of a decision, then the principal officer of the agency
concerned is taken to
have made a decision refusing access. A decision of a
principal officer refusing access to a document is a decision which I have
jurisdiction to investigate and review pursuant to s.71(1)(b) of the FOI Act.
The significance of providing that the deemed refusal
of access is taken to have
been made by the principal officer of the agency concerned is that it permits an
application for review
to be made direct to the Information Commissioner, i.e.,
without first making an application for internal review under s.52 of the
FOI
Act (cf. s.73(3) of the FOI Act).4. Section 27(4) and s.27(7)
provide as follows: 27.(4) If the agency or Minister
fails to decide an application and notify the applicant under section 34 within
- (a) the appropriate period; or (b) if action
is required under section 51 in relation to the application - a period equal to
the appropriate period plus 15 days; the agency or Minister is
taken to have refused access to the document to which the application relates at
the end of the period. 27.(7) In this section
- "appropriate period" means
- (a) in relation to an application to an agency or Minister for
a document that - (i) came into existence more than 5 years
before the commencement of this Part; and (ii) does not concern
the personal affairs of the applicant; 60 days after the
application is received by the agency or Minister;
or (b) in relation to any other application - 45
days after the application is received by the agency or
Minister.5. Accompanying his application for external review, Dr
Robbins enclosed a copy of his FOI access application, dated 8 October 1993,
the
relevant portion of which is as follows: Citing the Freedom of
Information Act, I am writing to request all copies of correspondence concerning
me and/or my research activities and/or the administration of research
projects
funded by the National Health and Medical Research Council (NH&MRC) which
name me as Chief Investigator and which have
been sent to the NH&MRC, its
officers or representatives by (1) Dr C B Campbell, Regional Director of the
[respondent], or (2) Dr J H Pope, Director of the Sir Albert Sakzewski
Virus Research Centre of the Royal Children's Hospital during the period
of 18
September 1989 to present.6. Dr Robbins' application for external
review was lodged some 47 days after his FOI access application was received by
the Authority
on 13 October 1993. This is outside the basic time limit of 45
days specified in the FOI Act for responding to an FOI access application
(see
s.27(7)(b) of the FOI Act), but in order to determine whether I had jurisdiction
to conduct an external review, I considered
it prudent to inquire of the
Authority whether it had undertaken consultations under s.51 of the FOI Act,
which would have extended
the time limit to 60 days (see s.27(4)(b) of the FOI
Act).7. A member of my staff contacted the Authority's FOI Co-ordinator,
Mr B Evans, on 2 December 1993. Mr Evans apologised for the delay
in processing
Dr Robbins' FOI access application which he said had been caused by difficulties
in obtaining relevant files. He said
he had obtained those files and would
examine them to extract the requested documents and decide whether any claims of
exemption
should be made. At that time, it appeared that if consultation was
required in accordance with s.51 of the FOI Act, and it could
be undertaken and
a decision made before the expiry of 60 days, i.e. by 13 December 1993, the
Authority would still be within the
statutory time limit for responding to Dr
Robbins' FOI access application. That would mean that Dr Robbins was not
entitled to make
an application to the Information Commissioner based on a
deemed refusal of access under s.79 of the FOI Act, and the Information
Commissioner would lack jurisdiction accordingly. On the other hand, if
consultation under s.51 was not required, Dr Robbins' application
for review was
valid, enlivening the Information Commissioner's jurisdiction under s.79 (and
Part 5 generally) of the FOI Act, and
rendering the Authority functus
officio. Since, even on the latter scenario, the Authority would be
required to indicate its position on the documents in issue, Mr Evans
was
requested to complete his examination of the relevant files and inform my office
of the Authority's position.8. The Authority had determined by 7
December 1993 that it was prepared to give Dr Robbins access to all requested
documents, and
that consultation under s.51 of the FOI Act was not necessary.
The Authority accepted that Dr Robbins' application for review was
valid,
therefore vesting jurisdiction in the Information Commissioner, and sought
instruction from my office as to how it should
proceed. The Authority was
authorised to give Dr Robbins access to the requested documents. This it did by
a letter to Dr Robbins
dated 8 December 1993. That letter indicated that Mr
Evans had identified a total of 16 pages which fell within the terms of Dr
Robbins' FOI access application, and access under the FOI Act was given by
forwarding copies of those pages as attachments to the
letter of 8 December
1993.9. Subsequently, on 20 December 1993, the Deputy Information
Commissioner wrote to Dr Robbins noting the contents of the letter of
8 December
1993 by which the Authority had given to Dr Robbins access to requested
documents. Given the response of the Authority,
Dr Robbins was asked to indicate
whether he was satisfied with that response, and if so, whether he wished to
withdraw his application
for external review. 10. Dr Robbins replied by
letter dated 28 December 1993. In that letter, Dr Robbins indicated that
following telephone conversations
with officers of the Administrative Law and
Litigation Branch of the National Health and Medical Research Council (the
NH&MRC),
it was clear to him that he had not been provided with items of
correspondence requested in his FOI access application. He identified
these
as: (1) Correspondence sent to the NH&MRC from a third officer of
the BNRHA [the Brisbane North Regional Health Authority] and SASVRC
[Sir Albert Sakzewski Virus Research Centre], Dr Karen Trenfield (an
officer employed on my NH&MRC research grant and covered in my request as
"all correspondence ... from
any representative from these two agencies
[BNRHA or SASVRC]"). (2) Copies of correspondence sent by
Dr J H Pope to the NH&MRC Secretariat (referred to in page 10 of the
documentation provided
by Mr Evans).11... Dr Robbins indicated that
he was not satisfied with the response that he had received from the Authority
and wished to have
his application for external review processed
accordingly.12. Dr Robbins' letter of 28 December 1993 was forwarded
to the Authority for response. Mr Evans responded on behalf of the Authority
by
letter dated 11 January 1994. Mr Evans responded to the two issues raised in Dr
Robbins' letter of 28 December 1993 as follows:(a) as to the question of
correspondence sent to the NH&MRC by Dr Karen Trenfield, Mr Evans referred
to the precise terms of Dr
Robbins' FOI access application (set out above at
paragraph 5) which requested correspondence sent to the NH&MRC by either Dr
Campbell or Dr Pope, and which made no mention of Dr Trenfield, nor of "any
representative from these two agencies [BNRHA or SASVRC]";
and(b) concerning the correspondence which Dr Robbins contended had not
been provided to him (as referred to on page 10 of the documents
which were
provided to him) Mr Evans indicated that he had contacted Dr Pope, who advised
that he had forwarded three letters (dated
18 March, 28 April and 1 June 1993)
and a facsimile transmission (dated 6 October 1993) to the NH&MRC concerning
Dr Robbins.
Mr Evans indicated that he had been unable to locate two of those
four documents in his earlier examination of the Authority's files.
However, he
had been provided with copies of those documents by Dr Pope. Having examined
them, he noted that Dr Pope's letter to
the NH&MRC dated 18 March 1993 and
the facsimile transmission of 1 October 1993 had previously been forwarded to Dr
Robbins under
cover of the Authority's letter dated 8 December 1993. He advised
that the Authority was also prepared to give Dr Robbins access
to the other two
documents, i.e. Dr Pope's letters to the NH&MRC dated 28 April 1993 and 1
June 1993.13. On 12 January 1994, the Deputy Information Commissioner
forwarded a letter to Dr Robbins (which also enclosed the Authority's
response
dated 11 January 1994) in the following terms: In response to one of
the matters raised in your letter of 28 December 1993, namely, that
correspondence from Dr Karen Trenfield
to the National Health and Medical
Research Council (NHMRC) is within the terms of your original FOI access
request, the Authority
contends that correspondence sent to the NHMRC from Dr
Trenfield is outside the terms of your original FOI request, since the terms
of
your original FOI request specifically request correspondence to the NHMRC from
two sources, namely Dr Campbell and Dr Pope.
Based on the terms of your
original FOI request, a copy of which you provided to me under cover of your
letter of 29 November 1993,
it is my preliminary view that the contention of the
Authority is correct. The phrase you have referred to in inverted commas in
the
paragraph numbered (1) of your letter of 28 December 1993 does not appear in
your original FOI request. The Authority, however, has turned
up two additional pieces of correspondence from Dr Pope to the NHMRC, being
letters dated 28 April
1993 and 1 June 1993. The Authority is prepared to
release those documents to you, and I have now authorised release by the
Authority
of those documents to you. I have suggested that the FOI Co-Ordinator
of the Authority, Mr Bill Evans, liaise with you as to the
form of access to
those documents that you prefer. Once you have had access to the
two additional documents from the Authority, I request your response as to
whether there is now any
issue outstanding in the course of this external
review. If there are now no issues outstanding, I request that you provide to
me
your written confirmation that you wish to withdraw your application for
external review on the basis that your original FOI access
request has now been
satisfied.14. No response to that letter was received from Dr
Robbins, and on 22 March 1994, I forwarded a further letter to Dr Robbins (at
the address for service of notices which had been nominated in his application
for review dated 29 November 1993) asking him to identify
and explain the nature
of any issues arising from his application for external review which he
considered were still to be determined.
I subsequently received a letter from
Dr Robbins relating to another case before me in which Dr Pope was the applicant
and Dr Robbins
was a third party (see Re Pope and Queensland Health
(Information Commissioner Qld, Decision No. 94016, 18 July 1994, unreported)).
That letter was forwarded from an address in the
State of Kansas in the United
States of America, but did not say whether Dr Robbins had moved permanently to
that address. On 7
April 1994, I wrote to Dr Robbins at the Kansas, USA
address, in the follows terms: Please note that in respect of your
appeal in my file reference no. S 220/93, I forwarded a letter dated 22 March
1994 to your Ashgrove
post office box address. Since it appears that you were
in the USA at the time that letter was forwarded, I have enclosed a further
copy
of it for your reference, and I would appreciate your response as soon as
practicable. Please advise me of your contact address for future
correspondence.15. Dr Robbins did not respond to that letter, and
indeed no further correspondence has been received from Dr Robbins in relation
to this external review (or others in which he was a participant).16. I
am satisfied (for the reasons explained in the first paragraph of the letter
quoted at paragraph 13 above) that Dr Robbins in
effect attempted to extend the
scope of his initial FOI access application by seeking correspondence from Dr
Trenfield to the NH&MRC.
In Re Cannon and Australian Quality Egg Farms
Limited (Information Commissioner Qld, Decision No. 94009, 30 May 1994,
unreported), at paragraph 10, I indicated that the interpretation
of an FOI
access application is not necessarily to be approached in the same manner as the
interpretation of a statute or legal document,
and in cases where the terms of
an FOI access application are ambiguous it will rarely be appropriate to apply
legal construction
techniques in preference to consulting with the author of the
words to clarify the author's intended meaning and agree upon more
precise
wording for the terms of the FOI access application. In this case, however, on
any reasonable construction of Dr Robbins'
FOI access application, it cannot be
interpreted as applying to correspondence from Dr Trenfield to the NH&MRC.
Dr Robbins specifically
requested copies of correspondence from Dr Pope and Dr
Campbell to the NH&MRC. There was no ambiguity in Dr Robbins' FOI access
application that required clarification in this respect.17. It is not
possible for an applicant to unilaterally extend the terms of an FOI access
application at the external review stage.
The terms in which the FOI access
application was framed will already have set the parameters for an agency's
response under Part
3 of the FOI Act, and in particular set the direction of the
agency's search efforts to locate all documents of the agency which
fall within
the terms of the FOI access application (see Re Cannon at paragraph 8).
Section 25(2) provides that an FOI access application must provide such
information concerning the document sought
as is reasonably necessary to enable
a responsible officer of the agency or the Minister to identify the document.
(There would
appear to be no impediment to the terms of an FOI access
application being extended by agreement, and there is, of course, nothing
to
prevent an applicant from making a fresh application for access to matter which
falls outside the scope of an earlier FOI access
application.)18. On the
facts of this case, I am satisfied that:(a) correspondence sent by Dr
Trenfield (if any) to the NH&MRC is outside the scope of Dr Robbins' FOI
access application dated
8 October 1993; and(b) Dr Robbins has now been
allowed access to all documents falling within the scope of his FOI access
application dated 8 October
1993.19. Technically, the decision which I
am reviewing is the deemed refusal of the Authority to give the applicant access
to the documents
requested in the applicant's FOI access application dated 8
October 1993. Section 89(1) of the FOI Act provides as
follows: 89.(1) The Commissioner, after conducting a
review of a decision (other than a review under section 84), must make a written
decision - (a) affirming the decision;
or (b) varying the decision; or (c) setting
aside the decision and making a decision in substitution for the
decision.20. Accordingly, it is appropriate that I set aside the
decision under review. In substitution for it, I decide that Dr Robbins may
be
given access under the FOI Act to all documents which fall within the terms of
his FOI access application dated 8 October 1993,
and I am satisfied that those
documents consist of the 16 pages attached to the letter of 8 December 1993 from
the Authority to Dr
Robbins, plus the two letters from Dr Pope to the NH&MRC
dated 28 April 1993 and 1 June 1993 which are identified in the fourth
paragraph
of the Deputy Information Commissioner's letter to Dr Robbins dated 12 January
1994........................................................F
N ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Volep and Queensland Police Service [2013] QICmr 10 (19 April 2013) |
Volep and Queensland Police Service [2013] QICmr 10 (19 April 2013)
Last Updated: 27 August 2013
Decision and Reasons for Decision
Application Number: 311152
Applicant: Volep
Respondent: Queensland Police Service
Decision Date: 19 April 2013
Catchwords: ADMINISTRATIVE LAW – RIGHT TO INFORMATION –
REFUSAL OF ACCESS – CONTRARY TO PUBLIC INTEREST –
applicant seeks
access to names and addresses of witnesses to an accident in which he was
injured – whether disclosure would,
on balance, be contrary to the public
interest – sections 47(3)(b) and 49 of the Right to Information Act
2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant sought[1]
access from the Queensland Police Service (QPS) under the Right to
Information Act 2009 (Qld) (RTI Act) to the names and addresses of
witnesses to a motor vehicle accident in which he was injured.
After
locating documents containing information responsive to the access application,
QPS consulted[2] with
seven witnesses to the accident. Two witnesses did not object to their details
being released to the applicant. Of the remaining
witnesses, one
objected[3] to release
of their details and the others did not respond to the consultation
(Remaining Witnesses).
QPS
decided[4] to refuse the
applicant access to the names and addresses of the Remaining
Witnesses.[5] The
decision was affirmed on internal
review.[6]
On
external review, the applicant submitted that disclosure of the names and
addresses of the Remaining Witnesses would not, on balance,
be contrary to the
public interest.
For
the reasons set out below, access to the names and addresses of the Remaining
Witnesses is granted on the basis that disclosure
would not, on balance be
contrary to the public interest.
Reviewable decision
The
decision under review is the internal review decision of QPS dated
20 August 2012.
Information in issue
The
information in issue in this external review is the names and addresses of the
Remaining Witnesses (Information in Issue).
Issue in this review
The
issue for determination in this external review is whether the Information in
Issue comprises information the disclosure of which
would, on balance, be
contrary to the public interest.
Significant procedural steps
Significant
procedural steps relating to the application and external review are set out in
the Appendix.
Evidence considered
The
evidence, submissions, legislation and other material I have considered in
reaching my decision are disclosed in these reasons
(including footnotes and
appendix).
Relevant law
Right to access information
Under
section 23 of the RTI Act, a person has a right to be given access to documents
of an agency. However, this right is subject
to a number of exclusions and
limitations, including grounds for refusal of access. These grounds are
contained in section 47 of
the RTI Act.
Findings
Does the Information in Issue comprise information the disclosure of which
would, on balance, be contrary to the public interest?
No,
for the reasons that follow.
An
agency may refuse access to information where its disclosure would, on balance,
be contrary to the public
interest.[7]
The
term public interest refers to considerations affecting the good order
and functioning of the community and government affairs for the well-being of
citizens.
This means that in general, a public interest consideration is one
which is common to all members of, or a substantial segment of,
the community,
as distinct from matters that concern purely private or personal interests.
However, there are some recognised public
interest considerations that may apply
for the benefit of an individual.
The
RTI Act identifies many factors that may be relevant to deciding the balance of
the public interest[8]
and explains the steps that a decision-maker must
take[9] in deciding the
public interest as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information in issue would, on balance, be contrary to the
public
interest.[10]
Irrelevant factors
No
irrelevant factors arise on the information before me.
Factors favouring disclosure and nondisclosure
Enhance government accountability
The
RTI Act recognises that if disclosing information could reasonably be expected
to promote open discussion of public affairs and
enhance the Government’s
accountability, a factor favouring disclosure will
arise.[11]
The
applicant submits[12]
that:
QPS unilaterally
decided that charges would not be brought against the driver of the bus
the report
prepared by QPS of the incident is brief and the substance of the witness
statements that were released are not comprehensive
some of the
evidence is contradictory and confusing and warrants further investigation
QPS has not
conducted further investigations and the evidence can only be tested after
further discussion with all witnesses
disclosing the
Information in Issue will enable the affected parties to conduct their own
investigations and ensure that the necessary
evidence can be brought before the
court
while the report
may be adequate for QPS purposes, it is completely inadequate for a
consideration of liability in a civil proceeding;
and
the fact that
QPS has determined that they cannot prove criminal charges beyond reasonable
doubt does not mean that there are many
issues to be determined on assessing
apportionment of liability in a civil proceeding.
QPS
submits[13] that:
the report is
quite detailed and provides witness accounts, the investigator’s
assessment and a thorough reasoning of why criminal
charges were not laid
against the bus driver; and
witness
statements of such incidents are often contradictory and confusing and QPS
weighs these versions in determining whether to
commence proceedings.
QPS
is responsible for attending and reporting on incidents such as that involving
the applicant and, in doing so, must be accountable
for discharging those
functions. QPS has provided the applicant with information about its
investigation, even though this was outside
the scope of the access application,
which shows details of the witness statements and the steps it took in reaching
its conclusion
to not commence criminal proceedings. Disclosing the Information
in Issue, that is, the names and addresses of the Remaining Witnesses,
would not
reveal how QPS discharged its functions and I do not consider that QPS’
accountability would be furthered by releasing
the Information in Issue.
For
these reasons, I afford no weight to this factor.
Administration of justice
If
disclosing information could reasonably be expected to contribute to the
administration of justice generally or for a person, this
gives rise to a factor
favouring
disclosure.[14] I am
satisfied that these factors are relevant. Accordingly, it is necessary to
consider the weight to be afforded to these factors
in the circumstances of this
review.
The
applicant submits[15]
that:
if the
Information in Issue is not provided, the parties to the dispute will be denied
the basic right to be able to contact these
witnesses, test their evidence and
call them as witnesses at trial
as a result, the
parties and the court would be denied important witness information which should
be submitted for a proper determination
of liability in the matter
the respondent
insurer has not given a full admission of liability
the
apportionment of liability cannot be appropriately considered solely on the
basis of the police report
witnesses cannot
be subpoenaed because they cannot be identified and there is no way this
information can be obtained through any
legal process
the whole thrust
of personal injuries compensation is to resolve claims prior to the commencement
of litigation
at least seven
days before a compulsory conference is held, each party is required to give to
the other party a signed certificate
to the effect that the party is ready for
trial
it is a
statutory necessity for a personal injuries claimant to be able to obtain the
information on witnesses prior to the commencement
of any Court proceedings,
therefore section 134A of the Evidence Act 1977
(Qld)[16]
(Evidence Act) is not relevant; and
this substantial
injustice is weighed against only a very minor breach of privacy.
QPS
submits[17] that:
disclosing the
information may assist the applicant pursue or evaluate whether to pursue a
legal remedy and will assist him to make
his own inquiries about the accident;
but
once proceedings
have commenced, the applicant could subpoena the witnesses at trial or obtain
the Information in Issue from QPS under
section 134A of the Evidence Act.
The
applicant contended that he and the other party in the matter would be denied
the ability to call the witnesses at trial and test
their evidence if the
identity of the witnesses is not disclosed under the RTI Act, and that there is
no way that information could
be obtained through any legal process.
In
this case the applicant suffered personal injury in a single vehicle incident
involving a bus. He has sought compensation for
his injuries in reliance upon
the Motor Accident Insurance Act 1994 (MAIA). One of the
objects of the MAIA is to encourage the speedy resolution of personal injury
claims resulting from motor vehicle
accidents.[18]
Before
a claimant under the MAIA can bring a civil action in a court for damages for
personal injuries they must participate in a
‘compulsory
conference’.[19]
Prior to the compulsory conference the parties’ legal representatives must
sign a ‘certificate of
readiness’.[20]
The certificate of readiness must state, among other things, that all witness
statements from persons the party intends to call
as witnesses at the trial have
been obtained.[21]
In
this case, the Applicant contends that he is precluded from signing the
certificate of readiness because he cannot obtain the identities
of the
witnesses, nor obtain statements upon which he may rely at trial (or in a
conference).
While
QPS have submitted that the applicant could subpoena the witnesses at trial or
obtain the Information in Issue from QPS under
section 134A of the Evidence Act
, the issue for the applicant is that the Information in Issue is required to
complete a pre-trial step under the MAIA.
It
is apparent that the applicant has no means of obtaining the Information in
Issue prior to proceeding to a compulsory conference.
This precludes the
applicant from being able to sign a certificate of readiness which in turn
frustrates the object of the MAIA to
encourage speedy resolution of personal
injury claims.
I
note that prior to the commencement of the Information Privacy Act 2009
(IPA) the QPS provided witness details such as those in issue in this
review to CITEC (the Queensland Government's primary information
and
communication technology (ICT) service provider) pursuant to section 94 of the
Transport Operations (Road Use Management) Act 1995 and section 31(2) of
the Motor Accident Insurance Regulation 2004. Those details were
accessible by insurance companies and parties to motor vehicle accidents.
The
introduction of the IPA brought about the removal of the identifying details of
witnesses from CITEC. However, this resulted
in the difficulties being
encountered by the applicant in this case, being encountered by other parties to
motor vehicle accidents.
The
Motor Accident Insurance Commission (the regulatory authority established under
the MAIA which is responsible for the management
of the Compulsory Third Party
(CTP) scheme in Queensland) is aware of the issue arising from the introduction
of the IPA and its
implications for the operation of the MAIA; and is
investigating a
solution.[22]
I
consider that it has been an unintended consequence of the introduction of the
IPA to fetter the operation of the MAIA to the detriment
of the parties in those
matters.
I
consider that it is in the public interest generally to ensure that the object
of the MAIA to encourage the speedy resolution of
personal injury claims
resulting from motor vehicle accidents is supported. Additionally I consider
that it is in the public interest
to ensure that the applicant in this
particular case, be given an opportunity to properly pursue a remedy for
personal injuries under
the MAIA.
For
the reasons set out above, I give these factors significant weight.
Personal information and privacy
It
is also relevant to consider whether disclosing the Information in Issue could
reasonably be expected to:
prejudice the
protection of an individuals’ right to
privacy;[23] and
cause a public
interest harm as the information is personal information of another
individual.[24]
The
Information in Issue is the personal
information[25] of
other individuals, namely the Remaining Witnesses. The Remaining Witnesses are
minors who witnessed the accident. Given the nature
of the Information in Issue
and the context in which it appears, it is also reasonable to expect that its
disclosure will prejudice
the privacy of the Remaining Witnesses. It is relevant
to consider the extent of harm that would flow from disclosing the personal
information of the Remaining Witnesses.
The
applicant submits[26]
that:
the extent of
the harm anticipated from releasing the Information in Issue would be miniscule
because (i) the information will not
be disclosed to the world at large and (ii)
release would simply allow the affected parties to contact the parents of the
Remaining
Witnesses to discuss evidentiary issues
the name and
address of an individual is not a significant intrusion in the context of this
application
there are weekly
occurrences where people are releasing their own name and address in the process
of living their everyday lives
witnesses to an
accident should expect that they may be called to give evidence as to what they
saw; and
the privacy
issues are minor compared to the potential injustice to the applicant and
insurance companies who have to make decisions
based on liability.
QPS
submits[27] that:
disclosure of
the Information in Issue is a significant intrusion into the individuals’
privacy
the RTI Act does
not provide for release of information subject to an undertaking that the
information won’t be disclosed to
the world at large; and
the witnesses
provided information to QPS for the purpose of assisting in a criminal
investigation and would not have contemplated
contact from other parties in
relation to civil proceedings.
In
Marshall and Queensland Police
Service,[28] the
RTI Commissioner recognised that in appropriate cases, information supplied to
QPS will need to be further disseminated or published
(so as, for example, to
enable further investigation, or for prosecutorial purposes, often in open
court) which may reduce the privacy
interest attaching to relevant
information.[29] I
accept that this may be the case in relation to the Information in Issue in this
review and that this reduces the weight of the
privacy interest to some degree
in this case.
However,
in that decision the RTI Commissioner also explained that members of the
community assisting police with inquiries have a
legitimate expectation that in
doing so, their privacy will be maintained and respected as far as is
possible.[30] I
consider that in the circumstances of this case, disclosing the Information in
Issue under the RTI Act would constitute an intrusion
into the witnesses’
privacy.
While
I acknowledge that individuals often release their own names and addresses to
various entities in the process of living their
everyday lives, this disclosure
is at the discretion of the individual and is often subject to a privacy
statement of the entity
limiting the use to which the information is put and
providing the individual with a legal remedy should the information be used
in
another manner. I do not consider that this reduces the privacy interest.
For
the reasons set out above, I afford moderate weight to these factors favouring
nondisclosure of the Information in Issue.
Balancing the relevant public interest factors
In
summary, for the reasons set out above:
I
afford:
○ no
weight to the public interest factor relating to promoting open discussion of
public affairs and enhancing the Government’s
accountability
○ significant
weight to the public interest factors relating to the administration of justice
for a person and to the administration
of justice generally; and
○ moderate
weight to the public interest factors relating to the personal information and
privacy of witnesses.
Having
weighed these factors I consider disclosing the Information in Issue would not,
on balance, be contrary to the public interest;
and access to the Information in
Issue is granted under section 47(3)(b) of the RTI Act.
DECISION
I
set aside the internal review decision of QPS dated 20 August 2012 and
substitute a decision to grant access to the Information
in Issue on the basis
that disclosure is not, on balance, contrary to the public interest.
I
have made this decision as a delegate of the Acting Information Commissioner,
under section 145 of the Right to Information Act 2009 (Qld).
________________________
Victoria Corby
Assistant Information Commissioner
Date: 19 April
2013APPENDIX
Significant procedural steps
Date
Event
31 May 2012
QPS receives the access application dated 30 May 2012.
16 July 2012
QPS decides to refuse the applicant access to the names and addresses of
witnesses
20 July 2012
The applicant seeks internal review of QPS’s decision dated 16 July
2012.
20 August 2012
QPS affirms its original decision to refuse access.
28 August 2012
OIC receives the applicant’s request for external review of the
internal review decision of QPS dated 20 August 2012.
30 August 2012
OIC informs the applicant and QPS that the application for external review
has been accepted.
4 September 2012
QPS provides to OIC copies of the documents containing the Information in
Issue.
2 November 2012
OIC conveys a view to the applicant that disclosure of the Information in
Issue is, on balance, contrary to the public interest. If
the view is contested,
the applicant is invited to provide a submission by 19 November 2012.
6 November 2012
The applicant provides a submission.
13 December 2012
OIC conveys a view to QPS that disclosure of the Information in Issue is
not, on balance, contrary to the public interest. If the
view is contested, QPS
is invited to provide a submission by 10 January 2013.
21 December 2012
QPS provides a submission.
25 February 2013
OIC conveys a further view to the applicant that disclosure of the
Information in Issue is, on balance, contrary to the public interest.
If the
view is contested, the applicant is invited to provide a submission by
11 March 2013.
11 March 2013
The applicant provides a submission.
[1] By access
application dated 30 May 2012 and received on 31 May
2012.[2] In
accordance with section 37 of the RTI
Act.[3] The
witnesses’ parent objected on behalf of the child
witness.[4] By
decision dated 16 July
2012.[5] Internal
review decision dated 20 August
2012.[6] By internal
review decision dated 20 August 2012 in response to an internal review
application dated 20 July
2012.[7] Sections
47(3)(b) and 49 of the RTI Act.
[8] Schedule 4 of
the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest. However, this list of
factors is not exhaustive. In other words, factors that are not listed may also
be relevant
in a particular case.
[9] Section 49(3) of
the RTI Act.[10]
As to the correctness of this approach, see Gordon Resources Pty Ltd v State
of Queensland [2012] QCATA
135.[11] Schedule
4, part 2, item 1 of the RTI Act.
[12] Submissions
dated 6 November 2012 and 11 March
2013.[13]
Submission dated 21 December
2012.[14] Schedule
4, part 2, items 16 and 17 of the RTI
Act.[15]
Submissions dated 6 November 2012 and 11 March
2013.[16] Section
134A provides that a person who is a party to a civil proceeding may make
written applications to an agency to produce documents
for inspection that are
in the agency’s possession and relevant to an issue in
proceedings.[17]
Submission dated 21 December
2012.[18] Section
3(e) of the
MAIA.[19] Section
51A(1) of the
MAIA[20] Section
51B of the
MAIA[21] Section
51B(6)(b) of the
MAIA[22] Telephone
conversation with staff of the Motor Accident Insurance Commission 19 April
2013.[23] Schedule
4, part 3, item 3 of the RTI
Act.[24] Schedule
4, part 4, item 6 of the RTI
Act.[25]
Personal information is defined in section 12 of the Information
Privacy Act 2009 (Qld) as information or an opinion, including
information or an opinion forming part of a database, whether true or not, and
whether recorded
in a material form or not, about an individual whose identity
is apparent, or can reasonably be ascertained, from the information
or
opinion.[26]
Submissions dated 6 November 2012 and 11 March
2013.[27]
Submission dated 21 December
2012.[28]
(Unreported, Queensland Information Commissioner, 25 February 2011).
[29] At paragraph
28. [30] At
paragraph 28.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Tooker and Central Queensland Ports Authority [2006] QICmr 30 (23 October 2007) |
Tooker and Central Queensland Ports Authority [2006] QICmr 30 (23 October 2007)
Office of the Information
Commissioner Decision and Reasons for
Decision
Application
Number:
210244
Applicant:
Mr P Tooker
Respondent:
Central Queensland Ports Authority
Decision
Date:
23 October 2007
Catchwords:
FREEDOM OF INFORMATION – whether documents are excluded from the
application of the Freedom of Information Act 1992 (Qld) by section 11A
– whether documents were received or brought into existence by the
respondent in carrying out its commercial
activities – Risk Management
Committee minutes relating to coal dust
Contents
Summary.......................................................................................................................
2
Background...................................................................................................................
2
Decision under
review...................................................................................................
3
Steps taken in the external review
process..................................................................
3
Matter in
issue...............................................................................................................
4
Findings.........................................................................................................................
4
...... Section 11A of the FOI
Act.....................................................................................
4
Activities conducted on a
commercial basis................................................
5
...... Whether the Matter
in Issue was received or brought into existence by
the CQPA in carrying out its commercial
activities......................................
8
...... The applicant’s submissions on public interest
considerations............................
12
...... The applicant’s submissions on whether the information is
‘commercial in
confidence’.............................................................................................................
13
Decision........................................................................................................................
14
Reasons for Decision
Summary
1.
I have carefully considered the Matter in Issue in this review, and the
submissions and evidence provided by the applicant
and the Central Queensland
Port Authority (CQPA) in this matter.
2.
For the reasons set out at paragraphs 21 – 58 below, I am satisfied
that:
• the documents sought by Mr
Tooker (the applicant) in this review have been received or brought into
existence for the
purpose of documenting the CQPA’s risk assessment issues
relating to coal handling services, and their appropriate commercial
management
• risk assessment and management
of issues relating to coal handling services, a key income earning activity of
the CQPA,
is a strategic investment by the CQPA to ensure profitability of CQPA
services and
• the documenting of the CQPA
Audit, Compliance and Risk Management Committee’s consideration of the
risk assessment
of issues, and the appropriate commercial management of such
issues, is an activity conducted on a commercial basis.
3.
On that basis, I find that the matter in issue is excluded from the application
of the Freedom of Information Act 1992 (Qld) (FOI Act) by section 11A of
the FOI Act. The CQPA are therefore not required under the FOI Act to
provide access to the documents
sought by the applicant.
Background
4.
The applicant made a request under the FOI Act, in a letter dated 4 April 2007,
for:
a copy of any CQPA Board Risk Committee (or any predecessor to the CQPA
Board Risk Committee) minutes relating to coal dust. This
request covers the
period 1997 – present, and is to include the minutes from any pre-existing
committee if the Board Risk Committee
was formed later than
1997.
5. Mr
G White, Corporate Services Manager, Central Queensland Ports Authority (CQPA)
advised the applicant, in a letter
dated 18 April 2007, that any commercial
activities of the CQPA as a Government Owned Corporation (GOC) are excluded from
the FOI
Act.
6. In
a letter dated 4 May 2007, the applicant applied for an internal review of Mr
White’s decision.
7. Mr
M Galt, Commercial Services Manager, CQPA, in a letter dated 5 June 2007,
affirmed the original decision of Mr White
and refused to grant the applicant
access to the documents.
8.
The applicant wrote to this Office, in a letter dated 6 June 2007, seeking an
external review of Mr Galt’s decision
under Part 5 of the FOI Act.
Decision under review
9.
The decision under review is the internal review decision of Mr M Galt dated 5
June 2007 to refuse access to the documents
on the basis that:
• the documents relate to the
commercial activities of the CQPA and are exempt from production under the
Transport Infrastructure Act 1996 and
• the documents are also exempt
from production under the FOI Act as they contain information that is
commercially confidential.
Steps taken in the external review process
10. On 19 June 2007 I wrote
to the CQPA seeking submissions regarding the application of section 11A of the
FOI Act to the
matter in issue.
11. In a letter dated 4 July
2007, the CQPA provided submissions to this Office relating to the application
of section 11A
of the FOI Act to the matter in issue.
12. On 16 July 2007 I wrote
to the CQPA seeking further submissions on the application of section 11A of the
FOI Act to the
matter in issue and outlining specific issues to be addressed in
those submissions. I also requested that the CQPA provide copies
of the matter
in issue and other supporting information.
13. In a letter dated 6
August 2007, this Office received further submissions from the CQPA, copies of
the matter in issue
and other supporting information.
14. Having carefully reviewed
the applicant’s external review application, the matter in issue, and the
supporting information
and submissions provided by the CQPA, I wrote to the
applicant on 7 September 2007 advising that I had formed the preliminary view
that the matter in issue had been received or brought into existence by the CQPA
in carrying out its commercial activities and was
therefore excluded from the
operation of the FOI Act by section 11A of the FOI Act. In that letter I
explained the reasons for my
preliminary view and referred to and included the
relevant parts of the CQPA’s submissions. I invited the applicant to make
submissions if he did not agree with my preliminary view.
15. In a letter dated 14
September 2007, the applicant advised that he did not accept my preliminary view
and provided me
with submissions in support of his case. The applicant also
requested that he be provided with a copy of the submissions made by
the CQPA.
16. In letters dated 19
September 2007 and 20 September 2007, the applicant provided me with further
submissions and enclosed
material for my consideration.
17. On 25 September 2007 I
requested the views of CQPA about releasing parts of the CQPA submissions to the
applicant. In
a letter dated 28 September 2007 the CQPA provided its response,
indicating parts of one submission that it considered referred to
specific
details of the matter in issue.
18. On 28 September 2007
I wrote to the applicant and provided him with a copy of the CQPA’s
submissions of 4 July 2007
in full and the CQPA’s submissions of 6 August
2007 in part. Information was removed from the CQPA’s submissions of 6
August 2007 as it made specific reference to, and revealed the contents of, the
documents that I considered were excluded from the
operation of the FOI Act in
accordance with my preliminary view. I invited the applicant to provide any
final submissions in this
review.
19. The applicant provided
this Office with his final submissions by letter dated 3 October 2007.
20. In making my decision in
this matter, I have taken the following into account:
• the applicant’s FOI
application dated 4 April 2007, application for internal review dated 4 May 2007
and application
for external review dated 6 June 2007
• Mr White’s initial decision
dated 18 April 2007 and Mr Galt’s internal review decision dated 5 June
2007
• the CQPA’s submissions
dated 4 July 2007 and 6 August 2007
• the applicant’s submissions
dated 14 September 2007, 19 September 2007, 20 September 2007 and 3 October
2007 and
• relevant provisions of the FOI
Act and the TI Act, and decisions of this Office.
Matter in issue
21. The matter in issue in
this review comprises CQPA Board Risk Committee (or any predecessor to the CQPA
Board Risk Committee)
minutes relating to coal dust for the period 1997 to 4
April 2007 (Matter in Issue).
Findings
Section 11A of the FOI Act
22. Section 11A of the FOI
Act provides:
11A Application of Act to GOCs
This Act does not apply to documents received, or brought into existence,
in carrying out activities of a GOC mentioned in schedule
2 to the extent
provided under the application provision mentioned for the GOC in the
schedule.
23. Schedule 2 of the FOI Act
relevantly states:
Schedule 2 Application of
Act to GOCs
section 11A of the Act
GOC
Application provision
1
Queensland Rail, or a port authority Transport
Infrastructure Act
(within the meaning of
the
1994, section
486
Transport Infrastructure Act
1994)
that is a GOC
24. Section 486 of the
Transport Infrastructure Act 1994 (Qld) (TI Act) is applicable and
provides as
follows:
486 Application of Freedom of Information Act and Judicial Review
Act
(1) The
Freedom of Information Act 1992 does not apply to a document received or brought
into existence by a transport GOC in carrying out its excluded
activities.
(2) The
Judicial Review Act 1991 does not apply to a decision of a transport GOC made in
carrying out its excluded activities.
(3) A
regulation may declare the activities of a transport GOC that are taken to be,
or are taken not to be, activities
conducted on a commercial
basis.
(4) In
this section—
commercial activities means activities conducted on a
commercial basis.
community service obligations has the same meaning as in the
Government Owned Corporations Act 1993.
excluded activities means—
(a) commercial activities; or
(b) community service obligations prescribed under a regulation.
transport GOC means a GOC whose functions relate mainly to
transport.
25. I am satisfied that the
CQPA is a port authority that is a GOC within the meaning of the TI Act.
26. The CQPA has not argued
that the Matter in Issue was brought into existence in the course of carrying
out community service
obligations that have been prescribed as excluded
activities under a regulation. Accordingly, the question I must determine is
whether
the Matter in Issue was received or brought into existence by the CQPA
in carrying out its activities conducted on a commercial basis.
Activities conducted on a commercial basis
27. The applicant has
provided me with lengthy submissions in relation to this issue. I have carefully
considered those submissions
in detail. The submissions may be summarised as
follows:
• That the intent of the FOI Act
was to provide freedom of information and a more narrow interpretation of
‘commercial
activities’ is an appropriate interpretation in this
context.
• The approach that I adopted in
forming a preliminary view would mean that any activity undertaken by a GOC (in
this
case the CQPA) is by definition a commercial activity and that the logical
effect of that approach is that all activities of the
CQPA are protected from
scrutiny under the FOI Act. For example ‘a secretary who takes in a cup
of tea to her manager is engaged in a commercial activity’.
• The intent of the FOI Act was for
non-commercial activities of the CQPA to be covered by the legislation.
• ‘Commercial
activities’ in this context would therefore extend to normal commercial
activities, for example
the negotiation of coal contracts or construction
contracts but not to normal CQPA Board Risk Committee minutes that relate to
CQPA
strategy for managing both public and EPA reaction to CQPA environmental
pollution/environmental harm.
• the actual contents of that
portion of the CQPA Board Risk Committee minutes the applicant has sought access
to should
be examined, and make a clearly reasoned decision on whether those
minutes are a ‘commercial activity’.
• That as a general principle, each
activity within each CQPA function should be considered on its merits and there
should
be no blanket exemption applied to any function.
28. The applicant’s
submissions also included general arguments relating to the purpose and intent
of the FOI Act and
section 11A of the FOI Act including the following:
• ‘... the intent of the
FOI Act was to ‘open the books’ to the maximum extent
possible...’.
• That the applicant’s
request is in keeping with the mood of the people as expressed through the media
and in keeping
with the mood of the government in its effort to return
‘freedom’ to freedom of information.
• ‘It is difficult for
anyone to participate in government if the government (in this case embodied in
a GOC) is making its decisions
in secrecy, under the cloak of ‘commercial
activities’.’
• ‘... a balance needs to
be struck between ‘commercial activity’ and ‘freedom of
information’ and that
the term ‘commercial activity’ should be
given a narrow interpretation and not read to cover the field of all GOC
corporate
objectives / commercial activity’.
• In this case, the FOI Act is
‘being used to conceal potentially embarrassing
information’.
29. In his submissions, the
applicant also referred to the following material to support his
assertions:
• articles published in The
Australian on 18 September 2007, 19 September 2007 and 20 September 2007
• an article published in The
Courier-Mail on 19 September 2007
• the decision of the Information
Commissioner in Eccleston and Department of Family Services and Aboriginal
and Islander Affairs [1993] QICmr 2; (1993) 1 QAR 60 (Eccleston) and
• the second reading speech of the
Attorney-General Dean Wells for the FOI Act.
30. The CQPA, in its
submissions to this Office, stated:
The CQPA is a statutory Government Owned Corporation (statutory GOC) with
shares held equally by the State Treasurer and Minister
for Transport on behalf
of the Queensland Government. The CQPA is responsible for funding its own
operations and capital works programs.
Funds may be derived from day to day
operations or from borrowings. Although borrowings are guaranteed by the
Queensland Treasurer,
CQPA is responsible for the payment of interest at market
rates and repayment of principal.
...
The Port’s major function is to facilitate the export of resources
from Central Queensland (such as coal) and to handle the
import of raw material
and the export of finished products from the various industries located in and
around Gladstone.
To this end, the CQPA has the following activities and/or functions:
• To establish, manage, and
operate effective and efficient port facilities and services in the Port of
Gladstone and Port Alma;
• To make land available for the
establishment, management and operation of effective and efficient port
facilities and services in
the Ports by other persons, or other purposes
consistent with the operation of the Ports;
• To provide or arrange for the
provision of ancillary services or works necessary or convenient for the
effective and efficient operation
of the Ports;
• To keep appropriate levels of
safety and security in the provision and operation of the facilities and
services;
• To provide other services
incidental to the performance of its other functions or likely to enhance the
usage of the Ports; and
• To perform any other functions
conferred on it by legislation.
Risk assessment and management is utilised by the CQPA in the pursuance of
its activities and functions.
31. The CQPA also submits
that its activities and functions are conducted on a commercial basis as the
objective of each of
those activities is to return a profit and earn a
commercial rate of return. No regulation has been made under section
486(3) of
the TI Act declaring activities of the CQPA that are taken to be, or
are taken not to be, activities conducted on a commercial basis.
32. As set out above, section
486(4) of the TI Act defines ‘commercial activities’ as
‘activities conducted
on a commercial basis’. No other definition of
‘commercial’ is contained in the TI Act, or in the Acts
Interpretation Act 1954 (Qld).
33. The Information
Commissioner discussed the application of section 11A of the FOI Act and the
meaning of ‘commercial’
in the decision Hansen and Queensland
Industry Development Corporation [1996] QICmr 9; (1996) 3 QAR 265 (Hansen). At
paragraphs 25 and 26 of that decision the Information Commissioner
stated:
Major dictionaries give the primary meaning of the adjective "commercial"
as "of, connected with, or engaged in, commerce; mercantile"
(Collins English
Dictionary, Third Aust. Ed), "of, engaged in, bearing on, commerce" (Australian
Concise Oxford Dictionary), "of,
or of the nature of, commerce" (Macquarie
Dictionary). The corresponding primary meaning of the noun "commerce" is "the
activity
embracing all forms of the purchase and sale of goods and services"
(Collins English Dictionary, Third Aust. Ed.), "exchange of merchandise
or
services ... buying and selling" (Australian Concise Oxford Dictionary),
"interchange of goods or commodities" (Macquarie
Dictionary)...
There is a subsidiary meaning of the adjective "commercial" which may be
appropriate to the context of the phrase "activities conducted
on a commercial
basis" in s.35 of the Queensland Industry Development Corporation Act 1994, that
is, "having profit as the main aim"
(Collins English Dictionary, Third Aust.
Ed.), "capable of returning a profit; ... preoccupied with profits or immediate
gains" (Macquarie
Dictionary).
34. The applicant has
submitted that a narrow interpretation of ‘commercial activities’ is
an appropriate interpretation
in the context. Section 4 of the FOI Act sets out
the object of the FOI Act as follows:
4 Object
of Act and its achievement
(1) The
object of this Act is to extend as far as possible the right of the community to
have access to information held
by Queensland government.
(2)
Parliament recognises that, in a free and democratic
society—
(a) the
public interest is served by promoting open discussion of public affairs and
enhancing government’s accountability;
and
(b) the
community should be kept informed of government’s operations, including,
in particular, the rules and practices
followed by government in its dealings
with members of the community; and
(c)
members of the community should have access to information held by government in
relation to their personal affairs
and should be given a way to ensure the
information is accurate, complete, up-to-date and not misleading.
(3)
Parliament also recognises there are competing interests in that the disclosure
of particular information could be
contrary to the public interest because its
disclosure in some instances would have a prejudicial effect on—
(a)
essential public interests; or
(b) the
private or business affairs of members of the community about whom information
is collected and held by government.
(4) This
Act is intended to strike a balance between those competing interests.
(5) The
object of this Act is achieved by—
(a)
giving members of the community a right of access to information held by
government to the greatest extent possible
with limited exceptions for the
purpose of preventing a prejudicial effect on the public interest of a kind
mentioned in subsection
(3); and
(b) requiring
particular information and documents concerning government operations to be made
available to the public;
and
(c)
giving members of the community a right to bring about the amendment of
documents held by government containing information
in relation to their
personal affairs to ensure the information is accurate, complete, up-to-date and
not misleading.
(6) It
is Parliament’s intention that this Act be interpreted to further the
object stated in subsection (1) in the
context of the matters stated in
subsections (2) to (5).
35. Therefore, in summary,
Parliament’s intention was that the FOI Act:
• extends as far as possible the
right of the community to have access to information held by Queensland
government in
the context of the matters stated in subsections (2) to (5) of
section 4 and
• strikes a balance between
competing interests.
36. For these reasons,
Parliament has enacted provisions under which documents are to be considered
exempt or under which
certain bodies or types of information are to be excluded
from the application of the FOI Act. Section 11A of the FOI Act is one
of
these provisions which, if applicable, means that the FOI Act will not apply to
that particular information.
37. I note that the
jurisdiction of the Information Commissioner in this matter is to conduct an
external review of Mr Galt’s
decision, and by applying the provisions of
the FOI Act and the TI Act, decide whether the particular Matter in Issue in
this case
meets the criteria set out in those provisions such that it should be
excluded from the application of the FOI Act. Specific exclusions
and exemptions
to strike the balance between competing interests recognised in section 4 of the
FOI Act have been set out in the
legislation by Parliament, as noted above. This
Office merely applies the law. Whether section 11A of the FOI Act applies to
information
sought by an applicant is an issue that is determined in accordance
with the relevant legislative provisions on a case by case basis,
following
careful consideration of the documents in issue, submissions of the parties and
relevant case law and decisions of this
Office.
Whether the Matter in Issue was received or brought into existence by
the CQPA in carrying out its commercial activities
38. In determining whether
the Matter in Issue was received or brought into existence by the CQPA in
carrying out activities
conducted on a commercial basis, the content of the
Matter in Issue is relevant only to the extent that it assists the task of
properly
characterising the nature of the activity carried out by the CQPA in
the course of which the Matter in Issue was brought into existence.
39. It is possible for a
document containing information about the CQPA’s commercial activities to
have been brought
into existence in carrying out an activity that was not
conducted on a commercial basis, for example accounting to the shareholding
Ministers for the performance of the CQPA’s functions or in carrying out a
function of a public regulatory nature. In such
a case, the document would be
subject to the application of the FOI Act and a decision would be required as to
whether any of the
matter contained in the documents in issue was exempt matter
under any of the exemption provisions in Part 3, Division 2 of the FOI
Act. If,
on the other hand, the document was brought into existence in carrying out an
activity conducted by the CQPA on a commercial
basis, the document would be
excluded from the application of the FOI Act.
40. In Readymix Holdings
Pty Ltd and Port of Brisbane Corporation; Brisbane Mini Mix Pty Ltd (Third
Party) (2003) 6 QAR 294, the Information Commissioner determined whether
documents relating to the assessment and approval of a development application
lodged
by a third party in respect of land vested in the Port of Brisbane
Corporation were documents received or brought into existence
by the Port of
Brisbane Corporation in carrying out its commercial activities. In that
decision, the Information Commissioner found
that in receiving, assessing and
approving the third party’s development application, the Port of Brisbane
Corporation was
carrying out a public regulatory activity, not an activity
conducted on a commercial basis. Therefore the documents were not excluded
from
the operation of the FOI Act by section 11A of the FOI Act.
41. Similarly, in
Hansen, the Information Commissioner was required to determine whether
documents relating to a review of a decision by the Queensland Industry
Development Corporation (QIDC) to terminate the applicant’s employment
were documents received or brought into existence by
the QIDC in carrying out
its commercial activities. In that decision, the Information Commissioner found
that the termination of
the applicant’s employment and the activities of
the QIDC in response to the applicant’s submission disputing the decision
to terminate his employment were not activities conducted on a commercial basis.
Therefore the documents were not excluded from the
operation of the FOI Act by
section 11A of the FOI Act. Coal handling
services
42. As mentioned above, one
of the activities undertaken by the CQPA is to provide coal handling services as
part of its functions
to facilitate the export of resources from Central
Queensland and to handle the import of raw material and the export of finished
products from the various industries located in and around Gladstone.
43. I am of the view that the
provision of coal handling services is a key activity the CQPA performs in order
to return a
profit and to achieve its corporate objectives and as such, is a
commercial activity.
44. The characterisation of
the provision of CQPA coal handling services as a commercial activity does not
necessarily lead
to the conclusion that the Matter in Issue was received or
brought into existence by the CQPA in carrying out its commercial activities.
It
does however assist in the characterisation of the Matter in Issue.
Risk assessment and management
of coal handling services
45. The CQPA submitted, in a
letter dated 6 August 2007:
The Minutes of the Committee and Board meetings were brought into
existence for the purpose of documenting the risk assessment issues
and their
appropriate commercial management. We would submit that the Risk Committee
documents, which were the subject of the original
FOI request, pertain to the
commercial activities of the CQPA, and were brought into existence in the
pursuit of that purpose.
...
... the issues dealt with by the Board (particularly as they relate to the
Committee reports to the Board) involve the identification
and minimisation of
the various risks related to the pursuance of the commercial activities of the
CQPA, which affect its ability
to establish, manage, and operate effective,
efficient and safe port facilities and services in the Port of Gladstone and
Port Alma.
46. Having carefully examined
the Matter in Issue, I am satisfied that such documents relate to coal handling
services and
have been received or brought into existence for the purpose of
documenting the CQPA’s risk assessment issues and their appropriate
commercial management. The documents are a record of the Board and/or Risk
Management Committee having met to address risk assessment
and management issues
associated with coal handling services.
47. It is necessary to
consider whether the documenting of the CQPA’s risk assessment issues and
their appropriate commercial
management in relation to coal handling services
can be characterised as an ‘activity conducted on a commercial
basis’.
If it can be characterised as such, then in accordance with
section 11A of the FOI Act and section 486 of the TI Act, the FOI Act
does
not apply to the Matter in Issue.
48. I note the CQPA’s
Risk Management Policy is available on its website. Relevantly, paragraph 1.1
contains a policy
statement as
follows:
CQPA is committed to:
• Behaving as a responsible
corporate citizen protecting employees, clients, contractors, visitors, the
community and the general public
from unnecessary injury, loss or damage.
• Achieving its business
objectives by minimising the impact of risks it can meaningfully and
realistically control.
49. Further, one of the aims
of the risk management system and frameworks the CQPA will put in place, as
outlined on page
3 of that document, is to ‘align risk management with
business objectives’.
50. The definition of
‘risk’ on page 4 of that document states:
Within CQPA, a risk to the business is any action or event that has the
potential to impact on the achievement of our business
objectives.
51. I am of the view that the
management of risks by the CQPA relating to coal handling issues, where coal
handling services
is a key income earning activity of the CQPA, is an activity
that is inextricably linked with achieving its business and commercial
objectives.
52. In its submissions to
this Office, the CQPA argued that:
... the activities and functions of the CQPA are activities conducted on a
commercial basis as the objective of each of those activities
is, as identified
in the Statement of Corporate Intent, to return a profit and earn a commercial
rate of return.
Clearly, the assessment of any risks which will affect the ability of CQPA
to earn a commercial return and affect profit margins is
a direct part of its
commercial activities. This is particularly so in the case of the alleged coal
dust issues which arise in the
conduct of CQPA’s principal income earning
business; namely, the conduct of coal handling services at the Port of
Gladstone.
...
In this case, the risk management assessments undertaken by the CQPA Board
and Committee are a strategic commercial investment necessary
to reduce or
minimise the risks to profitability and the return to its shareholders.
53. In Qantas and Cairns
Port Authority (2005 F0268, 15 November 2005), the Information Commissioner
found that the Cairns Port Authority's bird and wildlife risk management
program
for the Cairns International Airport was an activity conducted on a commercial
basis. In that case, the Commissioner found
that the documents in issue clearly
demonstrated that the program was a comprehensive activity carried out on a
commercial basis
involving a substantial investment by the Authority to manage
the significant risks to the Authority's profit margins posed by bird
strikes.
The Information Commissioner subsequently decided that the documents relating to
the program were received or brought into
existence by the Authority in carrying
out an activity conducted on a commercial basis and were excluded from the
application of
the FOI Act by section 11A of the FOI Act and section 486 of the
TI Act.
54. I am of the view that a
system for the management of all risks associated with coal handling services
(which would include
any alleged issues relating to the risk management of coal
dust) is a strategic investment by the CQPA and is part of the CQPA’s
commercial activities. As set out above, the CQPA has stated that coal handling
services are the ‘principal income earning business’ of the
CQPA. Risk management issues relating to coal dust are therefore critical to the
success of CQPA coal handling services, and
therefore the profitability of the
CQPA as a whole. I am of the view that it is clear that the system
for risk management of coal
dust issues is being undertaken to ensure that such
risks are reduced or minimised to ensure business objectives can be achieved,
including profitability of the CQPA and return to shareholders.
55. The Information
Commissioner considered the application of section 11A of the FOI Act and the
characterisation of ‘activities
conducted on a commercial basis’ in
Re Hansen. In that matter, the QIDC argued that all of its activities
were conducted on a commercial basis and that the effect of the exclusion
provisions was to afford it a complete exclusion from the application of the FOI
Act. The Information Commissioner did not accept
this argument and at paragraph
22 commented that:
The application of the exclusion provisions requires a determination of
the nature of the activity carried out by the QIDC, in the
course of which each
of the documents in issue was received or brought into existence, and a
determination as to whether that activity
is a commercial activity of the QIDC,
that is, an activity conducted by the QIDC on a commercial basis.
56. At paragraph 28 of that
decision, the Information Commissioner held:
For reasons already addressed above, I do not consider that the words
employed by Parliament in the exclusion provisions contemplate
or necessarily
require that all activities conducted by a GOC (which, by definition, will
necessarily have a commercial orientation)
must be characterised as commercial
activities. Moreover, the fact that a commercially oriented decision is made in
the conduct of
an activity does not necessarily make the activity a commercial
activity, or an activity conducted on a commercial basis.
57. I agree with the comments
in the Information Commissioner’s decision in Re Hansen and
I consider that my decision in this review is consistent with those comments.
I indicated at paragraph 38 above that it is possible
for a document
containing information about the CQPA’s commercial activities to have been
brought into existence in carrying
out an activity that was not conducted on a
commercial basis and noted that in such a case, the document would be subject to
the
application of the FOI Act. I have also given examples at paragraphs 39 and
40 above of instances where the Information Commissioner
has decided that
section 11A of the FOI Act does not apply.
58. I do not consider, as
submitted by the applicant, that the effect of my approach is to effectively
exclude all activities
of the CQPA from scrutiny under the FOI Act or that this
decision would result in all CQPA activity being characterised as a commercial
activity. In this case the particular documents sought (the Matter in
Issue), which I have carefully examined, relate to risk issues
regarding coal
handling services, the principal income earning activity of the CQPA. As set out
above, I consider that the risk management
of such issues is critical to
profitability of the CQPA.
59. I am satisfied that the
Matter in Issue has been brought into existence for the purpose of documenting
the CQPA’s
risk management of issues associated with coal handling
services, an activity conducted by the CQPA on a commercial basis. I find
that
the documenting of the CQPA Audit, Compliance and Risk Management
Committee’s consideration of the risk assessment of
issues, and the
appropriate commercial management of such issues, is an activity conducted on a
commercial basis.
The applicant’s submissions on public interest
considerations
60. In his submissions to
this Office, the applicant raised issues relating to the public interest in
disclosure of the Matter
in Issue. His submissions on this point may be
summarised as follows:
• A decision to not release the
information would result in a loss of transparency and may ultimately result in
loss of
accountability and must be challenged.
• ‘Philosophically, the
CQPA should seek to conduct its business on an open and transparent basis,
without seeking to extend the
coverage of ‘commercial activities’ to
prevent public scrutiny via Freedom of Information legislation of areas that (in
my view) are manifestly not commercial activities.’
• ‘The legislation itself,
while not defining the public interest, says that such interest is served
‘by promoting open
discussion of public affairs and enhancing
government’s accountability.’ ‘... making the requested CQPA
Board Risk
Committee minutes available would promote open discussion of public
affairs and enhance the government’s accountability.’
• Even if it is found that the
requested information is a commercial activity, ‘any commercial
implication is sufficiently remote from the requested information and at the
lower end of the scale and is outweighed
in this particular case by public
interest considerations.’
61. I have carefully
considered the applicant’s submissions in relation to this issue.
In those submissions, the applicant
also referred to a previous decision of
this Office, Eccelston, in which the Information Commissioner considered
and discussed in some detail public interest issues. However, in that case
the
concept of the ‘public interest’ was discussed in the context of
exemption provisions contained in the FOI Act. The
Information
Commissioner noted that the majority of exemption provisions in Part 3 of the
FOI Act contained a specific public interest
test.
62. The exemption provisions
contained in the FOI Act determine when certain information should not be
disclosed under the
FOI Act. Some of these exemption provisions incorporate a
public interest balancing test and require that a decision maker must weigh
up
the public interest considerations both in favour of and against disclosing the
information.
63. Section 11A of the FOI
Act, however, is an exclusionary provision and provides that the FOI Act does
not apply to certain
information. Where section 11A of the FOI Act applies, the
Information Commissioner does not have jurisdiction to consider whether
the
information should be disclosed to an applicant under Part 3 of the
FOI Act. Section 11A of the FOI Act does not include a specific
public
interest balancing test.
64. As set out above, in this
case I have found that section 11A of the FOI Act applies to the Matter in
Issue. Therefore,
there is no requirement to consider whether information
should be disclosed to an applicant under Part 3 of the
FOI Act. The applicant’s submissions
on whether the information is ‘commercial in confidence’
65. In his submissions to
this Office dated 3 October 2007, the applicant argued, in summary,
that:
• The CQPA has said that all of its
activities and functions are exempt from the FOI Act by virtue of the commercial
in
confidence exemption.
• The CQPA has released
commercially sensitive information in the past and therefore the CQPA has, by
its own actions,
established that such information is not necessarily covered by
the commercial in confidence exemption.
• There is no consistency in the
CQPA approach and its decision to release commercially sensitive information is
almost
a matter of whim.
• I should determine that the Board
Risk Committee minutes, as they relate to coal dust, are not commercial in
confidence.
66. I have carefully
considered the applicant’s submissions in relation to this
issue.
67. The CQPA, in its
submissions to this Office dated 4 July 2007, submitted that, as an alternative
to section 11A of the
FOI Act, it relied on the following exemption provisions
of the FOI Act:
• section 45: matter relating to
trade secrets, business affairs and research
• section 49: matter affecting
financial or property interests or
• section 46: matter communicated
in confidence.
68. The CQPA has not made
specific submissions to this Office on the exemption provisions referred to
above as it has relied,
primarily, on section 11A of the FOI Act. As I am
satisfied that section 11A of the FOI Act applies to the Matter in Issue in this
review, it is not necessary for me to address the other exemption provisions the
CQPA rely on in the alternative and those provisions
are not relevant to this
decision.
69. Any consideration of
whether the information is ‘commercial in confidence’ and whether
the CQPA has released
information in the past that the applicant claims is
commercially sensitive in nature is not relevant to my decision as to whether
the Matter in Issue in this review is excluded from the application of the FOI
Act under section 11A.
Decision
70. I affirm the decision of
Mr M Galt, Commercial General Manager, CQPA, dated 5 June 2007, by finding
that the Matter in
Issue is excluded from the operation of the FOI Act by
section 11A of the FOI Act.
________________________
R Rangihaeata
Acting Information Commissioner
Date: 23 October 2007
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Q52 and Legal Services Commission [2020] QICmr 22 (17 April 2020) |
Q52 and Legal Services Commission [2020] QICmr 22 (17 April 2020)
Last Updated: 4 August 2020
Decision and Reasons for Decision
Citation:
Q52 and Legal Services
Commission [2020] QICmr 22 (17 April 2020)
Application Number:
314662
Applicant:
Q52
Respondent:
Legal Services Commission
Decision Date:
17 April 2020
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - complaint documents about
a solicitor to the
Queensland Legal Services Commission - applicant is neither the solicitor, the
subject of complaint nor the complainant
- personal information and privacy -
accountability and transparency - administration of justice - revealing
incorrect information
- inquiry into possible deficiencies - fair treatment -
prejudice business affairs - prejudice free flow of information to regulatory
agencies - whether disclosure would, on balance, be contrary to the public
interest - whether access to information may be refused
under sections 47(3)(b)
and 49 of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS -
NONEXISTENT DOCUMENTS - purported attachments to a complaint letter
- how agency
is to be satisfied purported attachments do not exist - whether access may be
refused under sections 47(3)(e) and 52(1) of the Right to Information Act
2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Legal Services Commission (LSC) under the
Right to Information Act 2009 (Qld) (RTI Act) for access to 17
items listed in a letter from the LSC and addressed to another individual
concerning a
complaint.[1]
LSC
refused access to all 17 items on the basis that disclosure would, on balance,
be contrary to the public interest.[2]
The LSC also refused access to certain attachments to one of the items on the
basis that they were
nonexistent.[3]
The
applicant applied to the Information Commissioner for external review of
LSC’s decision.[4]
For
the reasons set out below, I affirm LSC’s decision.
Background
Significant
procedural steps taken during the external review are set out in the
Appendix.
The
background to this matter is that a solicitor made a complaint (on behalf of his
client) about another solicitor by letter to
LSC (Complaint Letter). LSC
investigated and ultimately dismissed the complaint. Written notice of this
decision was given to the subject of the complaint
(Decision Letter).
Seventeen items were listed on page 2 of the Decision Letter, including the
Complaint Letter and its purported attachments. These
documents (with the
exception of some that have now been excluded by the applicant) are the
information in issue in the review.
The
applicant was not the subject of the LSC complaint or the complainant, but
rather, was a client of one of the solicitors involved
in the complaint. Broadly
speaking, the nature of the complaint was that a solicitor had acted for both
the applicant’s company
and another party to a property transaction, and
that this amounted to a conflict of interest. The applicant has submitted that
there
was never any property
transaction,[5] that the complaint was
vexatious and baseless,[6] and that
misleading information was provided to
LSC.[7] He has submitted that he
seeks the information to make a complaint to the Victorian Legal Services
Commissioner (VLSC)[8] about
the complainant
solicitor.[9]
Reviewable decision
The
decision under review is LSC’s decision dated 27 May
2019.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching this
decision are disclosed in these reasons (including
in footnotes and the
Appendix).
During
the review, the applicant has made extensive submissions about the background to
the matter, his concerns about the information provided to LSC by the
complainant and related allegations of
wrongdoing.[10] I acknowledge that
the background to the matter is of great importance to the applicant, and that
his allegations are serious in
nature and raise complex legal questions. In my
reasons for decision, I have referred to the applicant’s submissions to
the
extent that they are relevant to the issues for my consideration.
I
have also had regard to the Human Rights Act
2019 (Qld),[11]
particularly the right to seek and receive
information.[12] I consider a
decision-maker will be ‘respecting and acting compatibly
with’ that right and others prescribed in the HR Act, when applying
the law prescribed in the RTI
Act.[13] I have acted in this way in
making this decision, in accordance with section 58(1) of the HR Act.
Information in issue
During
the external review, the applicant advised OIC that he no longer requires six of
the 17 items listed in the Decision
Letter.[14] Of the remaining 11
items in issue, most are comprised of correspondence to LSC from the complainant
solicitor, including the Complaint
Letter and its purported attachments.
Issues for determination
The
issues for determination are whether:
access to the
information in issue may be refused because its disclosure would, on balance, be
contrary to the public interest;[15]
and
access to the
attachments to the Complaint Letter may be refused because they are
nonexistent.[16]
Contrary to public interest information
Relevant law
Access
to information may be refused under the RTI Act if its disclosure would, on
balance, be contrary to the public
interest.[17] The term
‘public interest’ is not defined in the legislation, but is
generally accepted to refer to considerations affecting the good order and
functioning
of the community and government affairs for the well-being of
citizens. A public interest consideration is generally common to all
members of,
or a substantial segment of, the community, as distinct from matters that
concern purely private or personal
interests.[18]
A
decision-maker is required to take specific steps in reaching a decision on
disclosure[19] and various factors
may be relevant to deciding where the balance of the public interest
lies.[20] I have explained my
assessment of the relevant public interest factors below.
Findings
Irrelevant factors
I
have not taken any irrelevant factors into account in reaching my decision.
Factors favouring disclosure
There
is a general public interest in advancing access to government-held information,
and the RTI Act is administered with a ‘pro-disclosure
bias’,[21] meaning that an
agency should decide to give access to information, unless giving access would,
on balance, be contrary to the public
interest.
The
information in issue identifies the applicant, in some cases, by name, and in
some cases as the sole director of a company related
to the issues in
dispute.[22] This gives rise to a
factor in favour of disclosure, being the interest in an individual obtaining
access to their own personal
information.[23] In terms of the
weight to be attributed to this factor, I accept the applicant’s
involvement in the factual background to the
complaint,[24] and I have considered
his submission that ‘[t]he complaint revolves around a transaction
[his] company is claimed to be involved in, that never
occurred’.[25] However, I
find that the nature of the information in issue is such that it does not
integrally involve him or his personal sphere.
He is not the complainant, and
nor is he the subject of the complaint. Accordingly, I afford this factor low
weight.
The
applicant contends that LSC relied on false
information[26] and that there were
failings in its investigation. Given these submissions, I consider that
disclosure could reasonably be expected
to:
enhance
LSC’s accountability[27]
inform the
community of LSC’s
operations;[28] and
reveal the
reason for LSC’s decision and the background or contextual information
that informed the
decision.[29]
In
terms of the weight of these factors, I acknowledge that the applicant seeks the
information relied on by LSC, and that this would
provide him with a more
complete picture of the investigation. However, the applicant has a copy of the
Decision Letter,[30] which sets out
the reasons for LSC’s decision in detail. The applicant himself considers
that the Decision Letter contains
a summary of all the provided information and
that ‘[t]here is no information in the requested documents that [he
does] not already
have’.[31] While the
applicant contends that LSC’s accountability and transparency would be
enhanced by disclosure of the information
in issue, his submissions suggest that
he seeks to hold private individuals (certain solicitors and others) to account.
The applicant
notes:[32]
Is not the broader public interest best served by
transparency and accountability , the reason the OIC exists I would have
thought.
Solicitors have in this complaint breached numerous rules of the uniform code
of conduct. How can you NOT give significant weight
to the release of documents
that make false representations which your own guidelines for making submissions
say is an offence.
How can it be an offence to mislead the OIC, but misleading
the QLSC be of NO consequence.
To
the extent the desire to hold private individuals to account is relevant to a
factor favouring disclosure, it is considered in
the paragraph below. However,
I do not consider that it enhances the weight to be attributed to factors
concerning LSC’s accountability,
transparency, or understanding its
operations or the background to its decision.
The
applicant has also made submissions to the effect that LSC may wish to cover up
the investigation because it was
‘botched’.[33] I
acknowledge that having access to the documents requested by the applicant would
give greater transparency around the information
that was made available to the
LSC in its investigation process. Having considered the submissions advanced by
the applicant, the
nature of the information in issue and the information
already available to the applicant, I afford these factors moderate
weight.
In
terms of the applicant’s desire to hold certain individuals to account,
the applicant submits that the LSC complaint was
‘part of a fraud that
cost me my home, and millions of
dollars’.[34] The
applicant has provided extensive submissions concerning the background to
this.[35] For the relevant purposes
under the RTI Act, it is sufficient to note that the applicant alleges
wrongdoing by certain solicitors
(and others) and wishes to make a complaint to
the VLSC concerning the matter. Accordingly, I have considered whether
disclosure
of the information in issue could reasonably be expected to
contribute to the administration of justice for the
applicant.[36]
While
I understand the applicant’s desire to collect as much information as
possible to support his intended complaint to VLSC,
this is not the test
required to be applied in relation to this factor. Rather, it must be considered
whether:[37]
loss or damage
or some kind of wrong has been suffered, in respect of which a remedy is, or may
be, available under the law
the applicant
has a reasonable basis for seeking to pursue the remedy; and
disclosure of
the information in issue would assist the applicant to pursue the remedy, or to
evaluate whether a remedy is available,
or worth pursuing.
I
acknowledge the applicant’s submission that he requires the Complaint
Letter to provide to the VLSC, and that the Decision
Letter is not sufficient
for this purpose.[38] However, the
nature of the Complaint Letter and the other information in issue is that it
contains a disputed series of events.
This can be contrasted with cases where
there is a clear nexus between the applicant’s ability to pursue a remedy
and the
disclosure of information, such as where the identity of an individual
is required in order to pursue or assess a
claim.[39] Having said this, I
acknowledge that the VLSC may require information from the applicant in order to
conduct a preliminary assessment
of a complaint, and may close a complaint if a
complainant has not responded, or has responded inadequately, to a request for
further
information.[40] Given
these circumstances, in relation to the applicant’s proposed VLSC
complaint, I attribute the administration of justice
factor moderate
weight.[41]
In
terms of more general legal proceedings, the applicant has indicated he is not
involved in any current court actions that would
enable him to avail himself of
third party disclosure rules,[42]
but he has also submitted that there are ‘... significant damages to
be recouped by a legal remedy that the release of the requested material would
assist.’ The applicant has provided extensive submissions concerning
concurrent civil proceedings and a criminal
investigation.[43] Having considered
these submissions and the information provided, I am not satisfied that
disclosure of the particular information
in issue in this matter would assist
the applicant to pursue any remedy (or to evaluate whether a remedy is
available, or worth pursuing).
Accordingly, in relation to more general legal
proceedings, I do not consider the administration of justice factor carries any
significant
weight.
While
this may be frustrating for the applicant, as he wishes to build a comprehensive
picture of events as against the relevant individuals,
I consider the
Information Commissioner’s observations in Phyland and Department of
Police[44] are
relevant:
The RTI Act was not, however, designed to serve as an
adjunct to court processes, but to comprise a stand-alone mechanism for enabling
public access to government-held information. Obviously, the applicant is
entitled to elect to pursue access under the right of access
conferred by the
RTI Act. In doing so, however, she must accept the qualifications upon and
limitations to that right imposed by
the Act
itself....
The
applicant submits that disclosure of the information in issue would
‘allow an erroneous perception, based on lies, to be
rectified’.[45] A factor
favouring disclosure arises where disclosure of the information could
reasonably[46] be expected to reveal
that the information was
incorrect.[47] Having considered
the applicant’s submissions, I acknowledge that he is strongly of the view
that certain factors relied upon
in LSC’s Decision Letter are false. This
is a matter in dispute, and not an issue I am able to decide in this process.
Relevantly,
LSC considered conflicting submissions made for and on behalf of the
complainant and the subject of the complaint. In these circumstances,
I
consider it unlikely that the information in issue will provide a high degree of
insight into the factual background to the matter.
At best, it may allow the
applicant to better understand the position of the solicitors involved.
Accordingly, I afford this factor
low weight.
The
applicant refers to the LSC investigation as
‘botched’.[48] A
factor favouring disclosure arises when disclosure could reasonably be expected
to allow or assist inquiry into possible deficiencies
in the conduct or
administration of an agency.[49]
The wording of this factor is broad, as it applies to
‘possible’ deficiencies. While I am not persuaded that there
were any deficiencies in the LSC’s investigations, I acknowledge that
disclosure of the information may allow or assist the applicant to develop a
more fulsome understanding of the matters relied on
by LSC. For this reason, it
may allow or assist inquiry into any possible deficiencies. Accordingly, I
afford this factor low weight.
Factors favouring nondisclosure
A
public interest factor favouring nondisclosure arises if disclosing information
could reasonably be expected to prejudice the flow
of information to the police
or another law enforcement or regulatory
agency.[50] LSC is a regulatory
agency that bears responsibility for enforcing the Legal Profession Act 2007
(Qld) by regulating legal practice in Queensland and facilitating the
regulation of legal practice
nationally.[51]
I
consider there is a very strong public interest in protecting the free flow of
information to regulatory authorities such as
LSC.[52] This is supported by
previous decisions of the Information Commissioner about the flow of information
to regulatory agencies.[53] LSC
relies on complaints to be alerted to and investigate the conduct of legal
practitioners and initiate disciplinary proceedings
where appropriate.
Disclosing complaint information provided to LSC could reasonably be expected to
discourage individuals from coming
forward to make complaints to LSC and give
LSC evidence in investigations. This would impede the free flow of information
to LSC
and would significantly prejudice LSC’s ability to effectively
discharge its enforcement function. The weight of this factor
is not reduced by
the applicant’s submission that certain information provided to LSC in
relation to this complaint was fictitious
or erroneous. The Information
Commissioner has previously considered a similar submission in O’Connor
and Legal Services
Commission:[54]
The applicant contends that LSC ‘had the
wool pulled over their eyes’ by the third party and it is in the public
interest to prevent false information being taken into account in
investigations. While
making no finding about the veracity of the information
provided by the third party, it is, however, generally recognised that there
is
a very strong public interest in protecting the free flow of information to law
enforcement or regulatory agencies, even where
this may result in an agency
investigating false and/or unsubstantiated matters. Accordingly, I find that
this factor favouring
nondisclosure applies and I afford it significant
weight.
The
same analysis applies here. Accordingly, this factor carries significant weight
in favour of nondisclosure.
I
also consider that the information in issue contains information the disclosure
of which could reasonably be expected to:
prejudice the
fair treatment of the individuals named in the Decision Letter, and it contains
unsubstantiated allegations of misconduct,
and unlawful, negligent or improper
conduct[55]
prejudice
individuals’ privacy and disclose their personal
information;[56] and
prejudice the
relevant firms’ private, professional, commercial or financial
affairs.[57]
The
nature of the information in issue is such that it contains unsubstantiated
allegations, some of which were not considered in
detail in LSC’s
decision. These allegations could reasonably be expected to prejudice the fair
treatment of individuals named
in the Decision Letter, prejudice their privacy,
reveal their personal
information[58] and prejudice the
commercial affairs of the relevant firms, and of third parties involved in the
underlying transactions. In this
case, I acknowledge that the applicant is
aware of the background to the matter, and the parties involved. However, given
the sensitivity
of the information provided in the course of the LSC’s
investigation, I consider these factors carry significant weight in
the
circumstances.
Balancing the public interest
In
the circumstances of this case, I attribute low to moderate weight to each of
the factors favouring disclosure. On the other hand,
I have attributed
significant weight to the factors concerning fair treatment of third-party
individuals, prejudice to their privacy/disclosure
of their personal information
and prejudice to their business affairs. Finally, the public interest factor
concerning the free flow
of information to LSC carries significant weight, and
in the circumstances of the review, tips the balance of the public interest
in
favour of nondisclosure.
I
therefore consider that the factors favouring nondisclosure outweigh the factors
favouring disclosure, and access to the information
in issue may be refused on
the basis that disclosure would, on balance, be contrary to the public
interest.
Nonexistent information
One
of the items requested by the applicant in the access application was the
‘complaint and
attachments’.[59]
LSC
refused access to the ‘attachments’ on the basis that they
were non-existent.[60] In
submissions to OIC, LSC
explained[61] that the reference to
attachments was inadvertently included as a result of ‘typographical
error as parties often provide attachments to the LSC or formed part of the
template document with the reference not
being deleted’. There is no
reference in the Complaint Letter itself to any
‘attachments’, and LSC did not locate any during searches of
its physical and electronic file. I have considered the applicant’s
submissions
that tax invoices may have been attached to the Complaint Letter,
but I am not able to identify any basis for
this.[62]
I
am satisfied with this explanation and the searches conducted by LSC, and I
consider that it has taken reasonable steps to locate
any attachments.
Accordingly, I find that access may be refused under section 47(3)(e) of the RTI
Act,[63] on the basis that the
attachments are nonexistent. DECISION
I
affirm LSC’s decision to refuse access to the information in issue under
section 47(3)(b) and 47(3)(e) of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.Assistant Information
Commissioner
17 April 2020
APPENDIX
Significant procedural steps
Date
Event
12 June 2019
OIC received the applicant’s external review application.
14 June 2019
OIC requested preliminary documents from LSC.
17 June 2019
OIC received a written submission from the applicant.
19 June 2019
OIC received the requested preliminary documents from LSC.
8 July 2019
OIC notified the applicant and LSC that the application for external review
had been accepted and requested further information from
LSC.
18 July 2019
OIC received the requested further information and a submission from
LSC.
28 August 2019
OIC received a written submission from the applicant.
15 November 2019
OIC conveyed a written preliminary view to the applicant.
29 November 2019
OIC received a written submission from the applicant.
3 December 2019
OIC received a submission from the applicant by telephone.
7 January 2020
OIC received a written submission from the applicant.
17 January 2020
OIC received a written submission from the applicant.
OIC received a submission from the applicant by telephone.
31 January 2020
OIC received a written submission from the applicant.
10 February 2020
OIC received a written submission from the applicant.
16 March 2020
OIC received a written submission from the applicant.
17 March 2020
OIC received a written submission from the applicant.
11 April 2020
OIC received further information from the applicant.
[1] Access application dated 13
April 2019.[2] LSC decision dated
27 May 2019.[3] LSC decision dated
27 May 2019.[4] External review
application dated 12 June 2019.[5]
Submission with external review application dated 11 June
2019.[6] Submission with external
review application dated 11 June 2019 and submission dated 17 January
2020.[7] Submission dated 17 June
2019.[8] The applicant may also
have made a complaint to the New South Wales Legal Services Commissioner but it
is unclear whether he wishes
to use the 17 documents in any such
complaint.[9] Submission dated 29
November 2019.[10] The dates on
which the applicant made their submissions are set out in the
Appendix.[11] Referred to in
these reasons as the HR Act, and which came into force on 1 January
2020.[12] Section 21 of the HR
Act. [13] XYZ v Victoria
Police (General) [2010] VCAT 255 (16 March 2010) at
[573]; Horrocks v Department of Justice (General) [2012] VCAT
241 (2 March 2012) at [111].[14]
Applicant’s submission dated 6 January
2020.[15] Section 47(3)(b) and
49(1) of the RTI Act.[16]
Section 47(3)(e) and 52(1)(a) of the RTI
Act.[17] Sections 47(3)(b) and
49 of the RTI Act.[18] However,
there are some recognised public interest considerations that may apply for the
benefit of an individual.[19]
Section 49(3) of the RTI Act. The steps include: disregarding any irrelevant
factors, identifying relevant factors favouring disclosure
and nondisclosure and
balancing the relevant
factors.[20] Including the
non-exhaustive list of factors in schedule 4 of the RTI
Act.[21] Section 44(1) of the
RTI Act.[22] The applicant
describes the company as ‘my company’ in his external
review application dated 11 June
2019.[23] Schedule 4, part 2,
item 7 of the RTI Act.[24] As
noted in the application for external review dated 11 June 2019 and submissions
dated 6 January 2020.[25]
Submissions dated 17 January
2020.[26] Submissions dated 17
January 2020.[27] Schedule 4,
part 2, item 1 of the RTI
Act.[28] Schedule 4, part 2,
item 3 of the RTI Act.[29]
Schedule 4, part 2, item 11 of the RTI
Act.[30] Access application to
LSC dated 13 April 2019.[31]
Submissions to OIC on 7 January
2020.[32] Submissions dated 17
January 2020.[33] Submission
dated 17 January 2020.[34]
Submission dated 17 January
2020.[35] As set out in the
attached Appendix.[36] Schedule
4, part 2, item 17 of the RTI
Act.[37] Willsford and
Brisbane City Council (1996) 5 QAR 368. This decision involved the owner of
a car who collided with a dog, who was seeking information which would identify
the owner of
the dog, in order to take steps to assess whether she was in a
position to recover damages.[38]
Applicant’s submission dated 6 January
2020.[39] EF9TO8 and
Department of Transport and Main Roads [2016] QICmr 19 (3 June 2016), where
the application required the registered garaging address of a vehicle to pursue
a lawful remedy.[40] Schedule 1,
chapter 5 of the Legal Profession Uniform Law Application Act 2014 (Vic),
in particular sections 276 and
277.[41] Along with the factors
concerning advancing fair treatment of individuals in accordance with the law in
their dealings with agencies,
and the contribution to administration of justice
generally: schedule 4, part 2, items 10 and 16 of the RTI
Act.[42] Applicant’s
submission dated 17 January
2020.[43] Submissions to OIC on
7 January 2020, 17 January 2020, 31 January 2020, 10 February 2020, 16 and 17
March 2020. On 11 April 2020
the applicant provided more than 1,700 pages of
material related to a concurrent civil action to
OIC.[44] (Unreported, Queensland
Information Commissioner, 31 August 2011), at
[24].[45] Applicant’s
submission dated 11 June 2019.
[46] The Information
Commissioner has found that a decision maker must distinguish ‘between
what is merely possible ... and expectations which are reasonably
based’ and for which ‘real and substantial grounds
exist’: B and Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1
QAR 279 at
[154]- [160].[47] Schedule 4,
part 2, item 12(a) of the RTI
Act.[48] Submissions dated 6
January 2020 and 17 January
2020.[49] Schedule 4, part 2,
item 5 of the RTI Act.[50]
Schedule 4, part 3, item 13 of the RTI
Act.[51] Section 3 of the
Legal Profession Act 2007
(Qld).[52] Schedule 4, part
3, item 13 of the RTI Act.[53]
P6Y4SX and Queensland Police Service [2015] QICmr 25 (11 September 2015)
at [29]; Gregory and Queensland Police Service [2014] QICmr 48 (12
November 2014) at [25]; P6Y4SX and Department of Police (Unreported,
Queensland Information Commissioner, 31 January 2012) at
[37].[54] [2015] QICmr 10 (29
April 2015) at [30] (footnotes omitted).
[55] Giving rise to a
nondisclosure factor under schedule 4, part 3, item 6 of the RTI
Act.[56] Schedule 4, part 3,
item 3 and schedule 4, part 4, section 6 of the RTI
Act.[57] Schedule 4, part 3,
item 2 of the RTI Act.[58] The
term ‘personal information’ is broader than names, addresses
and contact details. It is defined in section 12 of the Information Privacy
Act 2009 (Qld) as ‘information or an opinion, including information
or an opinion forming part of a database, whether true or not, and whether
recorded
in material form or not, about an individual whose identity is
apparent, or can reasonably be ascertained, from the information or
opinion’.[59] This was
the first of 17 items listed in the Decision
Letter.[60] Under section
47(3)(e) of the RTI Act.[61] By
submission dated 18 July
2019.[62] Submissions dated 17
January 2020.[63] And section
52(1)(a) of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | F60XCX and Queensland Ombudsman [2014] QICmr 28 (13 June 2014) |
F60XCX and Queensland Ombudsman [2014] QICmr 28 (13 June 2014)
Last Updated: 21 January 2015
Decision and Reasons for Decision
Citation: F60XCX and Queensland Ombudsman [2014] QICmr 28 (13 June
2014)
Application Number: 311860
Applicant: F60XCX
Respondent: Queensland Ombudsman
Decision Date: 13 June 2014
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS
- CONTRARY TO PUBLIC INTEREST INFORMATION - information
relating to the handling
of the applicant’s complaint by the Queensland Ombudsman including
unsubstantiated allegations about
other individuals and information provided by
a witness - whether disclosure would, on balance, be contrary to the public
interest
- sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld) and section 67(1) of the Information Privacy Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Queensland Ombudsman (Ombudsman) under the
Information Privacy Act 2009 (Qld) (IP Act) for all documents
containing his personal information including information on a number of the
Ombudsman’s files.
The
Ombudsman located the relevant documents and refused access to information
relating to a witness and unsubstantiated allegations
on the basis that its
disclosure would, on balance, be contrary to the public interest under sections
47(3)(b) and 49 of the Right to Information Act 2009 (Qld) (RTI
Act).
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the decision to refuse access to the relevant information.
For
the reasons set out below, the decision under review is affirmed and access to
the relevant information can be refused as its
disclosure would, on balance, be
contrary to the public interest.
Background
The
applicant made a complaint to the Ombudsman about issues arising from his
employment with another agency and the actions of a
particular officer. The
Ombudsman:
notified the
applicant that it had decided to not further investigate the complaint under
section 23(1)(f) of the Ombudsman Act 2001 (Qld) as further investigation
was unnecessary or unjustifiable
provided the
applicant with reasons for its
decision[1]
did not notify
the agency or the subject officer that the complaint had been received and did
not put the allegations to the subject
officer or the agency for response; and
did not make any
finding about whether the allegations made by the applicant were substantiated
or unsubstantiated.
The
applicant considers that the Ombudsman did not formally commence an
investigation but merely collected information and documents
relevant to his
complaint.[2] The
applicant intends to apply for internal review of the Ombudsman’s decision
to not further investigate his complaint and
believes that the Information in
Issue is relevant to his internal review
application.[3]
Significant
procedural steps relating to the external review are set out in the appendix to
these reasons.
Reviewable decision
The
decision under review is the Ombudsman’s internal review decision dated
2 December 2013.
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching this
decision are disclosed in these reasons (including
footnotes and appendix).
Issue for determination
The
Ombudsman located 315 pages relevant to the access application and decided to:
grant full
access to 180 pages
refuse access to
81 pages and 16 part pages on the basis that disclosure would, on balance, be
contrary to the public interest; and
exclude 11 pages
and 27 part pages from consideration on the basis that the information was
outside the scope of, or irrelevant to,
the access application.
A
number of issues were informally resolved on external
review.[4] The remaining
issue for determination is whether access to information can be refused under
section 67(1) of the IP Act on the basis
that its disclosure would, on balance,
be contrary to the public interest under the RTI Act.
Information in issue
The
information in issue (Information in Issue) comprises 81 full pages and
16 part pages relating to a complaint the applicant made to the Ombudsman and
can be described as:
internal case
management documents, file notes and emails which record details of internal
discussions and preliminary analysis of
the complaint
draft letters to
the officer who was the subject of the complaint and the relevant agency;
and
file notes
containing information provided by a witness in relation to the
complaint.
Relevant law
Under
the IP Act, an individual has a right to be given access to documents of an
agency to the extent the documents contain the individual’s
personal
information. However, this right is subject to limitations, including grounds
for refusal of
access.[5]
An
agency may refuse access to information where its disclosure would, on balance,
be contrary to the public
interest.[6] The term
public interest refers to considerations affecting the good order and
functioning of the community and government affairs for the well-being of
citizens.
This means that, in general, a public interest consideration is one
which is common to all members of, or a substantial segment of,
the community,
as distinct from matters that concern purely private or personal interests.
However, there are some recognised public
interest considerations that may apply
for the benefit of an individual.
The
RTI Act identifies many factors that may be relevant to deciding the balance of
the public interest[7]
and explains the steps that a decision-maker must
take[8] in deciding the
public interest as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosing the information in issue would, on balance, be contrary to the public
interest.
Findings
I
have considered the irrelevant factors in schedule 4 of the RTI Act and am
satisfied that none of them arise in the circumstances
of this case. I will now
consider the relevant factors favouring disclosure and nondisclosure.
Accountability, transparency, fair treatment and the
administration of justice
I
have considered whether disclosing the Information in Issue could reasonably be
expected to:[9]
enhance the
Ombudsman’s
accountability[10]
reveal the
reason for the Ombudsman’s decision and any background or contextual
information that informed the
decision[11]
advance the
applicant’s fair treatment in his dealings with the
Ombudsman;[12]
and
contribute to
the administration of justice for the
applicant.[13]
In
summary, the applicant submits
that:[14]
The Ombudsman
(including its officers) must be accountable to the Government and complainants
for how it deals with complaints in
the performance of its official functions
and, to that end, the Ombudsman must disclose all documents it created which
relate to
the applicant.
The applicant
intends to apply for internal review of the Ombudsman’s decision to not
further investigate his complaint as he
is concerned about how his complaint was
dealt with, the conduct of the Ombudsman’s officers and the
‘extraordinary amount of time’ the Ombudsman took to deal
with the complaint.
The applicant
needs the Information in Issue to understand the background or contextual
information leading up to the decision not
to further investigate the complaint
and to prepare his internal review application.
The fact that
the Ombudsman has given the applicant reasons for not investigating his
complaint is irrelevant as the applicant disagrees
with those reasons and
intends to challenge the reasons on internal review.
He has suffered
a ‘gross injustice’ as a result of a decision by the subject
agency’s relevant officer which has had significant consequences for him
and his career
and disclosing the Information in Issue will enable him to
understand ‘what transpired during the extraordinary period in which
the [the Ombudsman] dealt with [his] complaint before deciding not
to further investigate [his] complaint’ and assist him in
making a ‘cogent argument that the Ombudsman should investigate
[his] complaint’.
A decision
refusing access to the Information in Issue will ‘limit the scope of
[his] challenge’ of the Ombudsman’s decision not to
further investigate and ‘indirectly facilitate the perpetuation of a
gross injustice [he] suffered because of an administrative decision of
[the subject agency].’
I
consider that disclosing the Information in Issue would provide the applicant
with a more comprehensive understanding of how the
Ombudsman handled the
complaint and the reasoning behind its decision to not investigate the complaint
further. I acknowledge that
the applicant is dissatisfied with the
Ombudsman’s decision and would like as much information as possible to
prepare his internal
review application. I am satisfied that the factors
identified at paragraph 17 are
relevant. It is now necessary for me to determine the weight to be afforded to
them in the circumstances of this external review.
The
fact that these public interest considerations are relevant does not oblige the
Ombudsman to provide the applicant with access
to its entire file nor reveal all
of its internal discussions about how to deal with the complaint. Rather, these
public interest
considerations are satisfied by the Ombudsman issuing a decision
to the applicant that identifies all considerations taken into account
in
reaching the decision. The Ombudsman has provided the applicant with detailed
reasons for its decision to not investigate the
complaint further. The applicant
also spoke with officers within the Ombudsman’s office at various stages
throughout the handling
of the
complaint.[15]
That
the applicant disagrees with the reasons provided by the Ombudsman is not
relevant to my findings on this issue and I note that
the applicant is entitled
to, and intends to, apply for internal review of the decision. The applicant
submits that it is ‘inappropriate for [OIC] to consider whether
the information I am seeking could be of any assistance to me in preparing my
application for internal review
of [the Ombudsman’s] decision not
to further investigate my
complaint’.[16]
My findings in this review do not go to this issue. Similarly my findings do not
express a view on the appropriateness of the Ombudsman’s
decision to not
further investigate the applicant’s complaint.
As
previously noted at paragraph 10, the
Ombudsman located 315 pages relevant to the access application and granted the
applicant full access to 180 pages and part access
to 43 pages. This information
comprises:
file notes of
numerous conversations between staff of the Ombudsman and the applicant
correspondence
from the Ombudsman to other agencies
internal emails
between officers of the Ombudsman
case management
documents; and
extracts of
legislation and policies.
I
consider that the release of this information to the applicant furthers the
applicant’s understanding of how the Ombudsman
handled the complaint and
advances these public interest factors.
I
am satisfied that these factors have been advanced significantly by the
information already released to the applicant under the
IP Act and the detailed
reasons provided in the Ombudsman’s decision issued to the applicant. I
have examined the remaining
Information in Issue carefully and it is limited in
nature. Accordingly, I find that its disclosure would only marginally advance
these factors. For these reasons, I afford each of these four factors favouring
disclosure low weight.
Personal information of the applicant
The
Information in Issue was created as a result of the applicant’s complaint
to the Ombudsman and is generally about the applicant.
I am satisfied that much
of the Information in Issue therefore comprises his personal
information.[17] This
gives rise to a factor favouring
disclosure.[18]
The
applicant will be generally aware of some of the Information in Issue where it
reflects information he provided to the Ombudsman
in support of his complaint or
information that has been conveyed to him by the Ombudsman in the reasons for
its decision. I note
that the applicant disputes this and submits that
‘there is a significant amount of information in issue that is not
known to
me’.[19]
I
find that, as the applicant is generally aware of some of the Information in
Issue, this reduces the weight of this factor to a
degree and I afford this
factor moderate weight.
Personal information and privacy of other
individuals
The
Information in Issue is also the personal information of other individuals, that
is, the subject officer and the witness. Given
the nature of this information,
and the way in which it is presented within the Information in Issue, it is not
possible to separate
the applicant’s personal information from the
personal information of others. As a result, I have considered whether
disclosing
the Information in Issue could reasonably be expected to:
prejudice the
protection of an individual’s right to
privacy;[20] and
cause a public
interest harm as it would disclose personal information of a
person.[21]
The
applicant submits that the subject officer’s right to privacy would not be
affected by release of the Information in Issue
because he knows the name of the
subject officer and, in any event, the name could be deleted from the documents
to alleviate any
concern about further dissemination of the
information.[22] I do
not accept this submission. The identity of the subject officer, while known to
the applicant, could reasonably be ascertained
by other readers from the
information released by the Ombudsman and the remaining Information in Issue.
Similarly,
it is not possible to merely delete the name of the witness. Given the nature of
the information provided by the witness,
it would be possible for the applicant,
and other readers, to identify them.
Generally,
information relating to the day-to-day work duties and responsibilities of a
public service officer may be disclosed under
the IP Act, despite it falling
within the definition of personal information. However, agency documents can
also contain personal
information of public servants which is not routine
work information.[23]
Although the personal information appears in a workplace context, it comprises
serious unsubstantiated
allegations[24] about
the conduct of the subject officer. I consider such information is not related
wholly to the routine day-to-day work activities
of a public service officer and
is not routine personal work information. It is then relevant to consider the
extent of the harm
that could result from disclosing the personal information of
other individuals under the IP Act.
The
Information in Issue is sensitive and personal in nature. I consider its
disclosure under the IP Act would be a significant intrusion
into the privacy of
the subject officer and witness. Further, I find that the extent of the public
interest harm that could be anticipated
from disclosure is significant.
I
have taken into account the fact that the applicant made the complaint and
therefore, some of the Information in Issue will be generally
known to him. In
view of this, and given the nature of the information and the context in which
it appears, I afford moderate weight
to these two factors favouring
nondisclosure.
Prejudice the fair treatment of individuals
A
factor favouring nondisclosure will arise where disclosing information could
reasonably be expected to prejudice the fair treatment
of individuals and the
information is about unsubstantiated allegations of misconduct or unlawful,
negligent or improper
conduct.[25]
Firstly,
I am satisfied the Information in Issue is about allegations of misconduct or
unlawful, negligent or improper conduct. The
Information in Issue contains
allegations about the subject officer which were made by the applicant in his
complaint to the Ombudsman.
It also includes allegations made by a witness
which were relevant to the applicant’s complaint. Given the nature of the
allegations (which I cannot identify in any more details in these
reasons),[26] I am
satisfied they relate to misconduct or unlawful, negligent or improper conduct.
The
applicant submits that ‘the subject allegations are not my
allegations. Rather, they are allegations made by [the Ombudsman’s]
officers in the course of dealing with my complaint. My rights should not be
prejudiced simply because [the Ombudsman’s] officers chose to make
‘allegations’ about the [subject
officer]’.[27]
The applicant’s submission on this issue is misconceived. As noted above,
the allegations were made by the applicant and a
witness. The fact that the
allegations may be contained in documents created by officers of the Ombudsman
based on information supplied
by the applicant and witness does not alter this.
Secondly,
I must consider whether the allegations are unsubstantiated. The applicant
submits that: [28]
for this factor
to apply, the allegations must have been ‘fully and impartially
investigated by a competent body and a formal finding reached by the body that
the allegation is unsubstantiated’
the Ombudsman
has made no such finding in this case; and
the
applicant’s interpretation of this factor is supported by OIC’s
decision in Troiani and Queensland Police Service
(Troiani).[29]
In
Troiani, the relevant allegations were investigated by the agency and
findings were made that they could not be substantiated. In applying
this factor
in Troiani, the Assistant Information Commissioner
said:[30]
27. The Information in Issue includes references to individuals
who were the subject of the allegations made by the applicant’s
late
husband in relation to unlawful activity. As set out in paragraph 17 of these
reasons, QPS found that the allegations could
not be substantiated as no
evidence of fraud or other criminal activity was discovered in the
investigation.
28. The RTI Act provides if disclosure could reasonably be expected to
prejudice the fair treatment of individuals and the information
is about
unsubstantiated allegations of unlawful conduct, this will give rise to a
public interest factor favouring nondisclosure.
29. Given the nature of the Information in Issue and QPS’ findings
in relation to the allegations, I consider this factor
applies in this case. I
am satisfied that the public interest weighs strongly against disclosure as the
Information in Issue relates
to unsubstantiated allegations and has the
potential to adversely affect the reputations of the relevant
individuals.
I
do not accept that these comments in Troiani support the
applicant’s contention. The decision in Troiani was based on
the particular facts and circumstances of that case. The Assistant
Commissioner’s findings do not limit the application
of this factor to
circumstances where an allegation has been unsubstantiated as a result of a
formal finding.
In
this case, the Ombudsman’s investigation did not proceed to a point where
any findings were made on the substance of the
allegations. The Ombudsman
decided to not further investigate the complaint as it was unnecessary or
unjustifiable. That is, no formal
finding was made that the allegations were
either substantiated or unsubstantiated. As a result, and in the absence of any
positive
finding by the Ombudsman that the allegations are substantiated, I am
satisfied that the allegations in this case are unsubstantiated.
The
applicant submits that, as he made the allegations, there is no reason for the
Information in Issue to not be released to him
subject to the deletion of the
subject officer’s
name.[31] I accept
that the applicant is aware of the substance of the allegations he made and the
identity of the subject officer and I consider
this reduces the weight of this
factor to some degree in relation to that information. I have previously
addressed why the name of
the subject officer cannot be deleted from the
Information in Issue at paragraph 29.
There is no evidence before me that the applicant is aware of the information
provided by the witness.
The
applicant submits that he seeks access to the Information in Issue for the
purpose of preparing his application for internal review
of the
Ombudsman’s decision and has no intention of disseminating or republishing
the Information in
Issue.[32] I note
that it is not possible to place restrictions on the use, dissemination or
republication of information released under the
IP Act. In OKP and Department
of Communities[33]
the Information Commissioner explained that a decision-maker should not assume
that disclosure of information to an applicant is
disclosure to the
‘world at large’ but should not exclude from consideration
evidence about the intended or likely extent of dissemination of information by
the applicant.
I have taken into account the applicant’s submission on his
intended use of the information. However, I have not excluded the
possibility
that the Information in Issue could be disseminated further as permitted under
the IP Act.
The
applicant submits that release of the information would have no effect on the
reputation of the subject officer and would not
prejudice their fair treatment
because:[34]
what OIC
describes as ‘allegations’ are not ‘allegations in
the true sense of that expression’ and are ‘merely issues
identified by [the Ombudsman’s] officers’ and
‘contained in documents created by [the Ombudsman’s]
officers’
the allegations
have not been investigated by any relevant body nor has the body made any
findings; and
the documents
have no ‘legal standing’ and simply contain issues that the
Ombudsman was proposing to raise with the subject agency.
The
basis for the applicant’s contention that the
‘allegations’ are not ‘allegations in the true sense
of that expression’ is unclear and I do not accept this submission.
As I have explained previously, I am satisfied that the Information in Issue
contains
unsubstantiated allegations.
I
do not accept the applicant’s submission that no prejudice would result
because the allegations have not been investigated
and have no legal standing.
The Information in Issue contains views about issues relevant to the
Ombudsman’s complaint handling
process that was then at a preliminary, or
at least incomplete, stage. Those views were not the views ultimately arrived at
by the
Ombudsman; the Ombudsman decided to not further investigate the
complaint. The subject officer and agency were not notified by the
Ombudsman
that a complaint had been made. Accordingly, the comments in the Information in
Issue were not tempered by a consideration
of any information that could have
been provided by the subject officer or agency.
I
have carefully considered the Information in Issue and the serious nature of the
allegations which have not been substantiated.
I am of the view that its
disclosure could reasonably be expected to adversely affect the reputation of
the subject officer which
in turn would prejudice their fair treatment. For
these reasons, I afford moderate weight to this factor.
Reveal or substantiate that an agency or official has
engaged in official misconduct or negligent, improper or unlawful conduct
A
factor favouring disclosure will arise where disclosing information could
reasonably be expected to reveal or substantiate that
an agency or official has
engaged in official misconduct or negligent, improper or unlawful
conduct.[35]
I
have addressed some of the applicant’s submissions on this issue
previously. The applicant also submits
that:[36]
he is concerned
about the conduct of the Ombudsman and its officers in dealing with the
complaint
this factor
should be applied on the basis that the agency or official in question is the
Ombudsman or an officer of the Ombudsman
the Information
in Issue could form the basis for him to make a complaint on the ground that the
Ombudsman or its officers have engaged
in misconduct or negligent, improper or
unlawful conduct; and
it is not
OIC’s role to determine or express an opinion about whether an agency or
agency official has engaged in official misconduct
or negligent, improper or
unlawful conduct.
It
is open for a decision-maker to consider the application of this factor when
undertaking a public interest balancing test under
the RTI Act. A decision-maker
will consider whether there is a reasonably based expectation that disclosing
information could reveal
or substantiate that an agency or official has engaged
in official misconduct or negligent, improper or unlawful conduct. Given the
applicant’s submissions and the nature of the Information in Issue, I have
considered this factor but I am satisfied that it
does not apply to the
Information in Issue for the following reasons.
As
previously explained, no finding by the Ombudsman has been made about the
allegations and they have not been substantiated. Therefore,
disclosing the
Information in Issue will not reveal or substantiate that the subject agency or
the subject officer has engaged in
the type of conduct identified. As a result,
I do not consider this factor applies in relation to the subject officer or the
subject
agency.
I
note the applicant’s concerns about the conduct of the Ombudsman and its
officers in dealing with his complaint. Accordingly,
I have also considered
whether this factor applies in relation to the Ombudsman or its officers. Based
on my review of the available
information, and despite the applicant’s
concerns, there is no evidence before me to suggest that this factor applies in
relation
to the Ombudsman or its officers.
Deficiencies in the conduct or administration of an agency or
official
Given
the nature of the applicant’s concerns about the subject agency and
officer and the Ombudsman’s handling of his
complaint, I have also
considered whether disclosing the Information in Issue could reasonably be
expected to allow or assist inquiry
into possible deficiencies in the conduct or
administration of an agency or
official.[37]
The
applicant submits:[38]
it is not for
OIC to decide whether there were possible deficiencies in the conduct or
administration of the Ombudsman or its officers
in dealing with his
complaint
he should have
access to the Information in Issue so that he can personally consider whether
there were deficiencies in the conduct
or administration of the Ombudsman or its
officers in dealing with his complaint; and
any reasonable
person would question what the Ombudsman has to hide.
It
is open for a decision-maker to consider the application of this factor when
undertaking a public interest balancing test under
the RTI Act. A decision-maker
will consider whether there is a reasonably based expectation that disclosing
information could allow
or assist inquiry into possible deficiencies in the
conduct or administration of an agency or official. Given the applicant’s
submissions and the nature of the Information in Issue, I have considered this
factor. Based on my review of the available information,
and despite the
applicant’s concerns, there is no evidence before me to suggest that this
factor applies in relation to the
Information in Issue.
Deliberative process information
The
RTI Act recognises that a public interest factor favouring nondisclosure will
arise where disclosing information could reasonably
be expected to prejudice a
deliberative process of government (Nondisclosure
Factor).[39]
The
RTI Act also provides that disclosing information could reasonably be expected
to cause a public interest harm through disclosure
of an opinion, advice or
recommendation that has been obtained, prepared or recorded or a consultation or
deliberation that has taken
place in the course of, or for, the deliberative
processes involved in the functions of government (Harm
Factor).[40]
Once
it is established that the Information in Issue is deliberative process
information, the Harm Factor will apply. It is then relevant
to consider the
nature and extent of the public interest harm that may result through
disclosure.[41] For
the Nondisclosure Factor to apply, a reasonable expectation of prejudice to the
relevant deliberative process must be established.
The
Information Commissioner has previously referred with approval to the following
comments in considering the meaning of ‘deliberative
processes’ involved in the functions of an
agency:[42]
The action of deliberating, in common understanding, involves
the weighing up or evaluation of the competing arguments or considerations
that
may have a bearing upon one's course of action. In short, the deliberative
processes involved in the functions of an agency
are its thinking processes -
the processes of reflection, for example, upon the wisdom and expediency of a
proposal, a particular
decision or a course of action...
It by no means follows, therefore, that every document on a departmental
file will fall into this category. ... Furthermore, however
imprecise the
dividing line may first appear to be in some cases, documents disclosing
deliberative processes must, in our view,
be distinguished from documents
dealing with the purely procedural or administrative processes involved in the
functions of an agency...
59. The applicant submits that information is not deliberative process
information merely because it would reveal the discussions
and deliberations of
the Ombudsman’s officers in deciding how to deal with the complaint or
because the information has been
created by a public
servant.[43] The applicant also submits that
the fact that a document is a deliberative process document carries no
presumption that its disclosure
would be contrary to the public
interest.[44] I have addressed the operation of
these two factors at paragraphs 55 to
58 above and the public interest
balancing test at paragraphs 14 and 15 above. 60. The Ombudsman did not
rely on these factors in the initial decision or internal review decision.
However, the following reasons
from the Ombudsman’s internal review
decision are relevant to these factors:
The draft letters are a
series of working drafts of the same letter that were prepared for internal
discussion purposes by an officer
and which contain, among other things,
proposed opinions and recommendations.
The statements, upon which the proposed opinions and recommendations were
based, were not tested. The officers the subject of your
complaint were not
interviewed and the allegations were not put to them for a response.
... The draft statements and proposed opinions and recommendations
represent one possible scenario. Ultimately, following further
internal
discussions and analysis of the contractual arrangements that existed between
[the applicant] and the [subject] agency, a decision was made that
the investigation should be concluded and reasons were given for that decision.
I
am satisfied that the draft letters together with the remaining Information in
Issue comprise an opinion, advice or recommendation
that has been obtained,
prepared or recorded in the course of, or for, the deliberative processes
involved in the functions of government.
The Information in Issue goes directly
to the thinking process of the relevant officers and reveals their opinions,
advice and recommendations
in deciding how to deal with the complaint. I am
satisfied the Information in Issue does not deal with purely procedural or
administrative
processes.
Accordingly,
the Harm Factor applies to the Information in Issue. It is now relevant for me
to consider the nature and extent of the
public interest harm that may result
through disclosing the Information in Issue and whether a reasonable expectation
of prejudice
to the relevant deliberative process is established.
The
applicant submits
that:[45]
• disclosing the Information in Issue would not cause a public
interest harm and could not reasonably be expected to prejudice
the public
interest• there is no basis for a claim that disclosing the
Information in Issue would inhibit candour and frankness in future
communications
within the Ombudsman; and • even if such candour and
frankness would be inhibited, the efficiency and quality of the deliberative
process is unlikely
to suffer to an extent which is contrary to the public
interest.
I
consider officers of the Ombudsman must be permitted to canvass all
possibilities and make subjective evaluations on the information
before them
without concern that such comments, assessments and recommendations will be
disclosed. The Information Commissioner has
previously recognised that there is
a public interest in government being able to make informed decisions in the
course of carrying
out its functions and in doing so, to have access to the
widest possible range of information and advice without fear of
interference.[46]
However, I consider it is relevant that the Ombudsman’s handling of the
applicant’s complaint is complete. I am satisfied
that this reduces the
extent of harm that disclosure could reasonably be expected to cause to the
Ombudsman’s deliberative
processes.
I
have also considered whether disclosing the Information in Issue would prejudice
the substance or quality of future deliberations
by the Ombudsman. I find it
reasonable to expect that the Ombudsman would be required to consider matters,
such as those set out
in the Information in Issue, to ensure a complaint of this
nature was dealt with thoroughly and appropriately. Therefore, I do not
consider
that the quality of the Ombudsman’s deliberations in the future would be
likely to suffer to such an extent that would
be contrary to the public interest
if the Information in Issue were disclosed.
For
the reasons set out above, I find that:
the Harm Factor
applies but there is no specific or tangible harm to the relevant deliberative
processes of the Ombudsman that could
reasonably be expected to be caused by
disclosure
therefore, the
Harm Factor carries low weight in favour of nondisclosure; and
the
Nondisclosure Factor does not apply as disclosure could not reasonably be
expected to prejudice the Ombudsman’s deliberative
processes.
Prejudice the flow of confidential information
I
have considered whether disclosing the information provided by a witness could
reasonably be expected to:
prejudice the
Ombudsman’s ability to obtain confidential
information;[47] and
cause a public
interest harm as it consists of information of a confidential nature that was
communicated in confidence and its disclosure
could reasonably be expected to
prejudice the future supply of information of this
type.[48]
The
Ombudsman explained in its initial decision (which it affirmed on internal
review) that this information:
is about its
dealings with a witness
is confidential;
and
was communicated
in confidence to the Ombudsman.
It
is clear on its face that this information is highly sensitive and was
communicated in confidence to the Ombudsman. There is a
strong public interest
in protecting the supply of confidential information from witnesses to agencies
such as the Ombudsman and
disclosing this type of witness information under the
IP Act would discourage individuals from coming forward with such information
in
future. This in turn would significantly prejudice the Ombudsman’s
ability to obtain confidential information.
In
my view, if the Ombudsman’s investigation had continued, it is possible
that this information would have been disclosed to
the subject officer.
However, this did not occur in this case and I am of the view that the
information remains confidential.
For
these reasons, I afford moderate weight to these factors which favour
nondisclosure of the witness information.
The
applicant submits that it is appropriate for OIC to obtain the witness’
consent for the information to be released to
him.[49] As
OIC’s position is that disclosing this information would, on balance, be
contrary to the public interest, it is not appropriate
for OIC to contact the
third party as the applicant
contends.[50]
Balancing the relevant factors
The
IP Act is to be administered with a pro-disclosure bias meaning that access to
information should be granted unless giving access
would, on balance, be
contrary to the public
interest.[51]
I
consider that disclosing the Information in Issue would provide the applicant
with a more comprehensive understanding of the information
considered by the
Ombudsman which informed its decision to not investigate the complaint further.
However, in my view, these factors
have been significantly advanced by the
extent of information already made available to the applicant. The remaining
Information
in Issue is limited in nature and I afford low weight to the factors
favouring disclosure.
Although
some of the Information in Issue comprises the applicant’s personal
information, as he is the complainant it is mostly
known to him. The personal
information of other individuals within the Information in Issue is sensitive
and its disclosure under
the IP Act would be a significant intrusion into the
privacy of these other individuals. I afford moderate weight to each of the
factors relating to personal information and privacy.
I
am satisfied that disclosing the Information in Issue could reasonably be
expected to prejudice the fair treatment of individuals.
I afford moderate
weight to this factor as the allegations are serious and unsubstantiated and
their unrestricted disclosure could
adversely affect the reputation of the
subject officer.
The
Information in Issue comprises deliberative process information which gives rise
to the relevant Harm Factor. However, as I am
unable to identify specific or
tangible harm to the relevant deliberative processes of the Ombudsman that could
reasonably be expected
to be caused by disclosure, the Harm Factor carries low
weight.
I
afford moderate weight to the two factors relating to the flow of confidential
information provided by the witness and find that
disclosing that part of the
Information in Issue would significantly prejudice the Ombudsman’s ability
to obtain confidential
information.
In
this case and, for the reasons set out in this decision, I find that the factors
favouring nondisclosure of the Information in
Issue outweigh the factors
favouring disclosure and that access to the Information in Issue can be
refused.
DECISION
For
the reasons set out above, I affirm the decision under review and find that
access to the Information in Issue can be refused
under section 67(1) of the IP
Act and sections 47(3)(b) and 49 of the RTI Act on the basis that its disclosure
would, on balance,
be contrary to the public interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.
________________________
L Lynch
Assistant Information Commissioner
Date: 13 June 2014
APPENDIX
Significant procedural steps
Date
Event
20 October 2013
The Ombudsman received the access application under the IP Act.
21 October 2013
The Ombudsman issued a decision to the applicant.
5 November 2013
The applicant applied for internal review of the decision.
2 December 2013
The Ombudsman issued an internal review decision affirming the initial
decision.
21 December 2013
OIC received the applicant’s external review application.
23 December 2013
OIC asked the Ombudsman to provide a number of procedural documents by 7
January 2014. The Ombudsman requested an extension of time
until 15 January 2014
to provide the requested documents.
24 December 2013
OIC granted the Ombudsman the requested extension of time.
29 December 2013
OIC received submissions from the applicant.
13 January 2014
OIC received the requested documents from the Ombudsman.
16 January 2014
OIC notified the applicant and the Ombudsman that it had accepted the
external review application and requested the Ombudsman provide
OIC with a copy
of the documents in issue by 31 January 2014.
20 January 2014
OIC received a copy of the documents in issue from the Ombudsman.
20 March 2014
OIC conveyed its preliminary view to the Ombudsman in relation to a small
amount of information on one page. The Ombudsman accepted
the preliminary view
and agreed to release the additional information to the applicant.
27 March 2014
OIC conveyed its preliminary view to the applicant in relation to the
remaining information and invited him to provide submissions
supporting his case
by 11 April 2014 if he did not accept the preliminary view. OIC asked the
Ombudsman to release the additional
information to the applicant by 4 April
2014.
30 March 2014
The applicant notified OIC that he did not accept OIC’s preliminary
view and provided submissions supporting his case. The applicant
also requested
an extension of time until 28 April 2014 to provide further submissions
supporting his case and raised a number of
procedural issues.
31 March 2014
OIC granted the applicant the requested extension of time and addressed the
relevant procedural issues.
3 April 2014
The applicant telephoned OIC and provided further submissions supporting
his case and raised procedural issues in relation to the
preliminary view.
4 April 2014
OIC addressed the procedural issues with the applicant in writing.
10 April 2014
The applicant telephoned OIC and raised procedural issues relating to the
preliminary view.
11 April 2014
The Ombudsman notified OIC the additional information had been released to
the applicant.
14 April 2014
The applicant wrote to OIC and raised a procedural issue relating to the
preliminary view.
15 April 2014
OIC addressed the procedural issues with the applicant in writing.
24 April 2014
The applicant telephoned OIC and raised procedural issues relating to the
preliminary view. OIC received written submissions from
the applicant.
12 May 2014
The applicant wrote to OIC and raised a procedural issue relating to the
preliminary view.
13 May 2014
OIC addressed the procedural issue with the applicant in writing.
[1] By letter dated 3
June 2013. [2]
Applicant’s submissions dated 29 December 2013. The applicant made
submissions to the Ombudsman and OIC on various occasions
as identified in the
appendix to this decision. I have carefully considered these submissions and
note that some issues raised by
the applicant are repeated throughout his
submissions. The footnotes to this decision do not reference each instance where
an issue
was raised.
[3]
Applicant’s submissions dated 24 April 2014.
[4] The applicant
accepted OIC’s preliminary view that certain information could be excluded
from consideration under section 88
of the IP Act as it was irrelevant to the
access application. The Ombudsman accepted OIC’s preliminary view that
there was
no basis to refuse access to a small amount of information on page 54
and released this information to the applicant.
[5] Section 67(1) of
the IP Act provides that an agency may refuse access to a document in the same
way and to the same extent it could
refuse access to the document under section
47 of the RTI Act, were the document to be the subject of an access application
under
the RTI Act.
[6] Section 47(3)(b)
and 49 of the RTI Act.
[7] Schedule 4 of
the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest. However, this list of
factors is not exhaustive. In other words, factors that are not listed may also
be relevant.
[8]
Section 49(3) of the RTI
Act.[9] The term
‘could reasonably be expected to’ requires an expectation
that is reasonably based, that is, neither absurd, irrational or ridiculous, nor
merely a possibility.
Whether the expected consequence is reasonable requires an
objective examination of the relevant evidence. It is not necessary for
a
decision-maker to be satisfied upon the balance of probabilities that disclosing
the document will produce the anticipated harm.
The expectation must arise as a
result of the disclosure, rather than from other circumstances. See Murphy
and Treasury Department [1995] QICmr 23; (1995) 2 QAR 744 and Sheridan and South Burnett
Regional Council (and Others) (Unreported, Queensland Information
Commissioner, 9 April 2009).
[10] Schedule 4,
part 2, item 1 of the RTI
Act.[11] Schedule
4, part 2, item 11 of the RTI Act.
[12] Schedule 4,
part 2, item 10 of the RTI Act.
[13] Schedule 4,
part 2, item 17 of the RTI Act.
[14]
Applicant’s submissions dated 24 April 2014.
[15] Internal
review decision dated 2 December 2013.
[16]
Applicant’s submissions dated 24 April 2014.
[17] Personal
information is defined in section 12 of the IP Act as information
or an opinion, including information or an opinion forming part of a database,
whether true or not, and whether recorded
in a material form or not, about an
individual whose identity is apparent, or can reasonably be ascertained, from
the information
or opinion.
[18] Schedule 4,
part 2, item 7 of the RTI Act.
[19]
Applicant’s submissions dated 24 April 2014.
[20] Schedule 4,
part 3, item 3 of the RTI Act.
[21] Schedule 4,
part 4, section 6(1) of the RTI Act.
[22]
Applicant’s submissions dated 24 April
2014.[23]
Underwood and Department of Housing and Public Works (Unreported,
Queensland Information Commissioner, 18 May 2012) at paragraph 60.
[24] The applicant
does not accept this and has provided submissions on this issue which I will
address below. I do not consider these
submissions reduce the weight of these
factors. [25]
Schedule 4, part 3, item 6 of the RTI Act.
[26] Section
121(3) of the IP Act provides that OIC must not include information that is
claimed to be exempt or contrary to the public
interest in the reasons for
decision on external review.
[27]
Applicant’s submissions dated 24 April 2014.
[28]
Applicant’s submissions dated 24 April 2014.
[29] (Unreported,
Queensland Information Commissioner, 21 August 2012).
[30] At paragraphs
27-29. [31]
Applicant’s submissions dated 24 April 2014.
[32]
Applicant’s submissions dated 24 April 2014.
[33] (Unreported,
Queensland Information Commissioner, 9 July 2009) at paragraphs 119-131
referring to the Victorian Court of Appeal decision
in Victoria Police v
Marke [2008] VSCA
218.[34]
Applicant’s submissions dated 24 April
2014.[35] Schedule
4, part 2, item 6 of the RTI Act.
[36]
Applicant’s submissions dated 24 April 2014.
[37] Schedule 4,
part 2, item 5 of the RTI Act.
[38]
Applicant’s submissions dated 24 April 2014.
[39] Schedule 4,
part 3, item 20 of the RTI Act.
[40] Schedule 4,
part 4, item 4 of the RTI Act.
[41] In
Trustees of the De La Salle Brothers and Queensland Corrective Services
Commission [1996] QICmr 4; (1996) 3 QAR 206 at paragraph 34 the Information Commissioner
considered, in the context of the exemption relating to deliberative process
information
in the repealed Freedom of Information Act 1992 (Qld), that
‘specific and tangible harm to an identifiable public interest (or
interests) would result from disclosure’. I consider that this is a
relevant consideration when applying the Harm Factor under the RTI Act.
[42] Eccleston
and Department of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993)
1 QAR 60 at paragraphs 28-30 citing with approval the definition given in Re
Waterford and Department of Treasury (No.2) [1984] AATA 67; (1984) 5 ALD 588 at page 606.
The Information Commissioner’s decision involved the repealed
Freedom of Information Act 1992 (Qld) but the comments are relevant to
the application of these factors under the RTI Act.
[43]
Applicant’s submissions dated 24 April
2014.[44]
Applicant’s submissions dated 24 April
2014.[45]
Applicant’s submissions dated 24 April
2014.[46]
Metcalf and Maroochy Shire Council (Unreported, Queensland Information
Commissioner, 19 December 2007) at paragraph 47.
[47] Schedule 4,
part 3, item 16 of the RTI Act.
[48] Schedule 4,
part 4, item 8(1) of the RTI Act.
[49]
Applicant’s submissions dated 29 December 2013.
[50] OIC is
required to take reasonable steps to notify a person of the likely release of
information if documents are likely to be released and the release may
reasonably be expected to be of concern to the person: section 110(4) of the IP
Act. Furthermore, OIC does not
have discretion to release information if it is
established that its disclosure would be contrary to the public interest:
section
118(2) of the IP Act.
[51] Section 64 of
the IP Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Gordon Resources Limited and Department of Employment, Economic Development and Innovation and BHP - Billiton Mitsubishi Alliance Coal Operations Pty Ltd (Third Party) [2011] QICmr 39 (21 September 2011) |
Gordon Resources Limited and Department of Employment, Economic Development and Innovation and BHP - Billiton Mitsubishi Alliance Coal Operations Pty Ltd (Third Party) [2011] QICmr 39 (21 September 2011)
Last Updated: 1 February 2012
Decision and Reasons for Decision
Application Number: 310147
Applicant: Gordon Resources Limited
Respondent: Department of Employment, Economic Development and
Innovation
Third Party: BHP-Billiton Mitsubishi Alliance Coal Operations Pty
Ltd
Decision Date: 21 September 2011
Catchwords: RIGHT TO INFORMATION – APPLICATION FOR ACCESS TO
INFORMATION - REFUSAL OF ACCESS – applicant sought information
about
royalty returns lodged with the Department of Employment, Economic Development
and Innovation – whether disclosure of
the information would, on balance
be contrary to the public interest - section 47(3)(b) and 49 of the Right to
Information Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
The
applicant made an access
application[1] under the
Right to Information Act 2009 (Qld) (RTI Act) to the
Department of Employment, Economic Development and Innovation
(Department) for:
Documents
relating to the royalty return provided by BHP-Billiton/Mitsubishi Alliance
(BMA) for the September 2008 quarter for the
Gregory-Crinum coal mine. In
particular information relating to the private royalty payable for the following
land; Lot 8 on RP615390
and Lot 10 on RP615394 and Lot 12 on RP616394 in which
Gordon Resources Ltd own a 50% interest.
The
assessment for the September 2008 Quarter of royalty payable made by the chief
executive pursuant to regulation 44.
The
access application arises in the context of an alleged overpayment of private
royalty to the applicant for the September 2008
quarter by BHP-Billiton
Mitsubishi Alliance Coal Operations Pty Ltd (BMA). The applicant submits
that its attempts to obtain information to verify the accuracy of BMA’s
assessment of the alleged
overpayment have been unsuccessful, and therefore it
has resorted to the RTI
process.[2]
The
Department identified ten pages responsive to part 1 of the access application
(Documents in Issue) and, after consulting with a relevant third party,
decided[3] to refuse
access to those pages on the basis that disclosure would, on balance, be
contrary to the public interest. With regard
to part 2 of the access
application, the Department explained that no assessment had been undertaken for
the relevant quarter and
accordingly decided that no responsive documents
existed.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department's
decision.[4]
As
a result of informal resolution processes, some parts of the Documents in Issue
were eliminated from consideration in this
review.[5] In relation
to the remaining parts of the Documents in Issue, having considered all
submissions and information before me, I am
satisfied that:
access
to some information[6]
may be refused,[7] on
the basis that its disclosure would, on balance, be contrary to the public
interest; and
the balance of
information[8] should be
released to the applicant, as its disclosure would not, on balance, be
contrary to the public interest.
Reviewable decision
The
decision under review is the Department’s decision dated 2 March
2010.
Information in Issue
During
the course of the external review, the applicant:
accepted[9]
that the Department did not hold any documents responsive to part 2 of the
access application
accepted[10]
OIC’s preliminary
view[11] that some
information[12] in the
Documents in Issue is
irrelevant[13] to the
access application; and
confirmed[14]
that it did not wish to pursue access to the personal information of the BMA
employee who signed the royalty return in the Documents
in
Issue.[15]
Further,
the Department and
BMA[16]
accepted[17]
OIC’s preliminary view that some information should be released to the
applicant.[18]
Accordingly, OIC asked the Department to provide this information to the
applicant.[19]
The
parts of the Documents in Issue that remain in issue for the purpose of this
decision are parts of pages 5, 8 and 10. Specifically,
this information
comprises:
BMA
Information[20]—for
example, tonnage, revenue, applicable royalty rates, deductions (including port
charges) and rail freight; and
Aggregate
Private Royalty
Information[21]—figures
regarding the total of royalties payable to all relevant private land holders
presented as aggregate amounts.
Issues in this review
The
applicant does not accept OIC’s preliminary
view[22] that
disclosure of the BMA Information would, on balance, be contrary to the public
interest[23] and has
provided submissions in support of its
case.[24]
BMA
does not accept OIC’s preliminary
view[25] that the
Aggregate Private Royalty Information should be released to the applicant and
has provided submissions in support of its
case.[26]
Therefore,
the issues for determination are whether disclosure of the BMA Information and
the Aggregate Private Royalty Information
would, on balance, be contrary to the
public interest.
Significant procedural steps
Significant
procedural steps relating to the application and external review are set out in
the Appendix.
Evidence relied upon
In
reaching this decision, I have taken the following into account:
the
applicant’s access application, application for external review and
supporting material
the
Department’s decision
submissions
provided by the applicant, the Department and BMA
file notes of
telephone conversations between OIC staff and representatives of the applicant,
OIC staff and Department staff, and
OIC staff and BMA
file notes of a
meeting between OIC staff and Department staff
the Documents in
Issue
a KPMG Report
dated 15 February 2010 (KPMG
Report)[27]
relevant
provisions of the RTI Act and the Mineral Resources Act 1989 (Qld) (MR
Act)
‘Determination
of Coal Royalty Min 140’
Policy[28] issued by
the Department of Mines and
Energy[29] (Policy
140); and
previous
decisions of the Information Commissioner of Queensland and other relevant case
law as identified in this decision.
The law
Under
section 23 of the RTI Act, a person has a right to be given access to documents
of an agency. However, this right is subject
to a number of exclusions and
limitations, including grounds for refusal of access. These grounds are
contained in section 47 of
the RTI Act.
Relevantly,
sections 47(3)(b) and 49 of the RTI Act provide a ground for refusal of access
where disclosure of information would,
on balance, be contrary to the public
interest. In determining whether disclosure of the information sought would, on
balance, be
contrary to the public interest I
must:[30]
identify and
disregard irrelevant factors
identify factors
favouring disclosure of the information in the public interest
identify factors
favouring nondisclosure of the information in the public interest
balance the
relevant factors favouring disclosure and nondisclosure
decide whether
disclosure of the information would, on balance, be contrary to public
interest.
Findings
Irrelevant factors
The
Department notes that disclosure of a small amount of the Aggregate Private
Royalty
Information[31] could
reasonably be expected to result in the applicant misinterpreting or
misunderstanding the information, due to an error in the
title for that
information.[32] This
factor is irrelevant to my decision regarding whether disclosure of the
Documents in Issue would, on balance, be contrary to
the public interest.
No
other irrelevant factors arise on the information before me.
Factors favouring disclosure of the information in issue
I
have carefully considered the applicant’s
submissions[33]
regarding public interest factors favouring disclosure of the BMA Information
and Aggregate Private Royalty Information.
Open discussion and accountability
On
the information before me, I am satisfied that disclosure of the BMA Information
and the Aggregate Private Royalty Information
could reasonably be expected to
promote open discussion of public affairs and enhance the Government’s
accountability,[34]
because the information enables consideration of the State’s level of
oversight regarding royalties payable to it and to private
royalty recipients.
This comprises a factor favouring disclosure of the BMA Information and the
Aggregate Private Royalty Information.
Information regarding royalty payments not otherwise available
The
applicant’s
submissions[35]
include the following background information:
the applicant
holds a 50% interest in three properties on which the Gregory-Crinum Coal mine
(Mine) is situated
the Mine is
owned and operated by BMA
the applicant
has a private mineral royalty right in minerals extracted from the Mine, as each
of the three properties in which it
has a 50% interest comprise freehold land
granted prior to May 1910
BMA is
responsible for lodging royalty returns with the State under section 320(4)
of the MR Act.
The
applicant advises that it made the access application that is the subject of
this external review because its other attempts to
obtain information to verify
the accuracy of an alleged overpayment for the September 2008 quarter have been
unsuccessful.
While
Policy 140 provides a prescribed formula and valuation methodology for royalty
payments, without specific data it provides no
assistance to the applicant in
assessing the private royalty payable for a particular quarter. The applicant
submits, and the Department
has
confirmed,[36] that:
the applicant
cannot compel the relevant Minister to exercise his discretion to conduct an
audit of a royalty return
there are no
statutory obligations on BMA to provide specific data or information used to
calculate royalties payable to private royalty
recipients;[37]
and
there is no
contractual arrangement between the applicant and BMA that provides the
applicant with rights to verify the accuracy of
royalty information provided to
the State, and no incentive for BMA to enter such an arrangement.
The
applicant advises that an informal arrangement exists between it and BMA, where
KPMG verifies the accuracy of the private royalty
returns each quarter and
provides a letter of assurance to the applicant. The KPMG Report states that
private land holders were
overpaid in the September 2008 quarter because of an
incorrect split between private/government tonnage used in the royalty
calculations,
and errors in the calculation of allowable
deductions.[38]
However, the information provided under this arrangement has not satisfied the
applicant’s concerns about the alleged overpayment
for the September 2008
quarter.
In
summary, the applicant submits that there is no apparent method for a private
royalty recipient to obtain information to verify
an alleged overpayment, and
therefore justify offsets against subsequent quarters’ royalties, under
the current statutory and
policy framework.
On
the information before me, I am satisfied that there is a public interest factor
favouring disclosure of the Aggregate Private
Royalty Information and the BMA
Information because disclosure would respectively provide a private royalty
recipient with further
information regarding aggregate private royalty payment
amounts assessed as being payable, and figures used in calculations leading
to
such amounts, in circumstances where there is no other mechanism enabling a
private royalty recipient to obtain such information.
In
this regard, I note that if the BMA Information and the Aggregate Private
Royalty Information were released, the applicant could
check the internal
accuracy of the mathematics applied to figures in various line items to
calculate figures in other relevant line
items.
I
also note that the Aggregate Private Royalty Information in particular would
enable the applicant to cross-check that information
against figures in the KPMG
report, and the initial amount it actually received from BMA (which was offset
over subsequent quarters).
Administration of justice
The
applicant seeks to verify the accuracy of the alleged overpayment in dispute. In
this regard, I am satisfied that disclosure of
the BMA Information and the
Aggregate Private Royalty Information could reasonably be expected to contribute
to the administration
of justice
generally,[39] by
avoiding unnecessary litigation in circumstances where a commercial dispute has
the potential to be resolved between the relevant
parties. There is a public
interest in disclosure of information that may avoid placing unnecessary burden
on the court system and
its related public resources.
Comments regarding the
applicant’s submissions
It
is relevant to explain the basis upon which I do not consider a number of public
interest factors identified by the applicant apply
in this review. The
applicant submits that disclosure of the BMA Information and the Aggregate
Private Royalty Information:
may allow a
private royalty recipient to assess the accuracy of its royalty payments, and
that there is no other mechanism enabling
a private royalty recipient to do
so
could reasonably
be expected to reveal that the information is
incorrect[40]
further a public
interest in ensuring that information provided by commercial entities to
government is accurate, especially when
such information affects the statutory
entitlements of third parties; and
could reasonably
be expected to reveal the reason for a government decision and any background or
contextual information that informed
the
decision.[41]
The
BMA Information and the Aggregate Private Royalty Information are comprised by
various figures. Given the content of the KPMG
Report, it appears likely that
the BMA Information or the KPMG Report include inaccuracies, possibly regarding
tonnage and allowable
deductions.
On
careful examination of the BMA Information, I am satisfied that the various
figures that comprise it:
do not indicate
the data or methodology on which they are based that would enable assessment of
their accuracy; and
do not include
revised figures, data or methodology subsequently identified as accurate that
would enable identification and examination
of the inaccurate figures.
Further,
I note that the applicant does not have possession or control of revised
figures, data or methodology that would provide
a point of comparison and enable
identification and examination of the inaccurate
figures.[42]
Therefore,
while it appears possible to examine the internal accuracy of the figures that
comprise the BMA Information and the Aggregate
Private Royalty
Information,[43] I am
satisfied that doing so would not enable identification and examination of which
figures in which line items were inaccurate,
to what extent they were
inaccurate, or to what extent they caused other figures based on them, including
the Aggregate Private Royalty
Information, to also be inaccurate.
Accordingly,
I am not satisfied that disclosure of the BMA Information or the Aggregate
Private Royalty Information may allow a private
royalty recipient to assess the
accuracy of the royalty payments. For the same reasons, I am not satisfied that
disclosure could
reasonably be expected
to[44] reveal that any
of the information is incorrect. Given these conclusions, I am also not
satisfied that disclosure would further
a public interest in ensuring that
information provided by commercial entities to government is accurate.
Finally,
on careful consideration of the BMA Information and the Aggregate Private
Royalty Information, I do not consider that this
information could reasonably be
expected to provide any background or contextual information that informed a
government decision.
This is because the information was provided by BMA to the
Department and there is no apparent connection between that information
and a
government decision.
In
summary, I am satisfied that the following factors favour disclosure of the BMA
Information and the Aggregate Private Royalty Information:
disclosure could
reasonably be expected to promote open discussion of public affairs and enhance
the Government’s accountability;
and
disclosure may
provide a private royalty recipient with further information regarding aggregate
private royalty payment amounts assessed
as being payable, and figures used in
calculations leading to such amounts, in circumstances where there is no other
mechanism enabling
a private royalty recipient to obtain such information.
Factors favouring nondisclosure of the information in issue
I
have also carefully considered the public interest factors favouring
nondisclosure of the BMA Information and the Aggregate Private
Royalty
Information.
Disclosure is prohibited by section 334 of the MR Act
Mineral
Royalty Returns are required to be lodged under section 320 of the MR Act. They
are subject to section 334 of the MR Act,
which provides:
334 Confidentiality of information
(1) Except as provided in this section, an officer shall
not disclose information or publish a record obtained by that officer
or
another person in connection with the administration of this part, unless
the disclosure or publication is
made— (a) with the consent (express or
implied) of the person to whose affairs the information or record relates;
or (b) in connection with the administration of this Act;
or (c) for the purpose of any legal proceeding (including any
report thereon) arising out of this Act; or (d) with the
consent of the Minister ...
On
the information before me, I am satisfied that disclosure of Mineral Royalty
Returns is prohibited by section 334 of the MR Act,
except in certain specified
circumstances. Disclosure under the RTI Act in response to an access
application is not one of the exceptions.
Accordingly,
I am satisfied that a public interest factor favouring non-disclosure of the BMA
Information and the Aggregate Private
Royalty Information is that disclosure of
that information is prohibited by an
Act,[45] namely
section 334 of the MR Act.
Impact on BMA’s business, commercial or financial affairs
The
BMA Information comprises information about the Mine’s tonnage, revenue,
applicable royalty
rates,[46] deductions
(including port charges) and rail freight for the September 2008 quarter. Some
of the information concerning the Mine
is interwoven with information about
other mines owned or operated by BMA, which are outside the scope of the access
application.[47]
After
careful consideration, I am satisfied that disclosure of the BMA Information may
have a detrimental effect on BMA’s business,
commercial or financial
affairs or place BMA at a disadvantage in relation to those affairs because
disclosure would reveal sensitive
commercial, business or financial information
not otherwise available about:
the amount of
coal mined and prices paid for that coal
financial
arrangements with and obligations to third party goods and service providers;
and
the success or
otherwise of mines owned or operated by BMA,
and doing so could, in the circumstances, reasonably be
expected to:
affect
BMA’s dealings with other parties involved in trade with or investment in
its mines
cause third
party goods and service providers to lose confidence in the confidentiality of
their private agreements with BMA; and
put BMA at a
competitive disadvantage.
On
this basis, I am satisfied that disclosure of the BMA Information could
reasonably be expected to:
prejudice[48]
the business, commercial or financial affairs of an
entity,[49] namely
BMA; and
cause a public
interest harm[50]
because it would disclose information
concerning[51] the
business, commercial or financial affairs of a person, namely BMA, and could
reasonably be expected to have an adverse
effect[52] on those
affairs.[53]
On
the other hand, after careful consideration of the Aggregate Private Royalty
Information, I am satisfied that its disclosure would
reveal sensitive
commercial, business or financial information about aggregate royalties payable
by BMA to private royalty recipients.
However, I also note that BMA’s
submissions objecting to disclosure of this
information[54]
related only to the ability of the applicant to calculate royalties paid to
other private royalty recipients. Given BMA’s
submissions, and on the
information before me, I am satisfied that disclosure of the Aggregate Private
Royalty Information would
not prejudice BMA’s business, commercial or
financial affairs or cause a public interest harm to those affairs.
Impact on other private land holders’ business, commercial or financial
affairs
The
Department and BMA have raised concerns that disclosure of the Aggregate Private
Royalty Information would necessarily disclose
to the applicant royalties
payable to other private royalty
recipients.[55] It
has not been possible to consult with the other private royalty recipients, as
doing so would necessarily disclose to them information
of the exact same nature
regarding the applicant.
On
the information before me, I am satisfied that the Aggregate Private Royalty
Information concerns the private, business, commercial
or financial affairs of
the other private royalty recipients, as it is information about their private
royalty interests, and therefore
about the activities they are involved in for
the purpose of generating income or profits.
Further,
I am satisfied that if the Aggregate Private Royalty Information is disclosed,
the applicant may use its knowledge of the
other private royalty
recipients’ relative interests in the land on which the Mine operates
(known to the applicant through
information contained in the KPMG Report and
also publicly available through land title searches) to determine the initial
amount
of royalties paid to each private land owner for the September 2008
quarter, prior to BMA’s revision of those amounts.
However,
on the information before me, I am unable to identify a detrimental effect of
disadvantage to the other private royalty recipients’
business, commercial
or financial affairs resulting from disclosure of the Aggregate Private Royalty
Information. In this regard,
I note that information of this nature is already
available to the applicant, through its knowledge of the other private royalty
recipients’ relative interests in the land on which the Mine operates and
the initial amount that it actually received from
BMA for the September 2008
quarter (which was offset over subsequent quarters). Accordingly, I am not
satisfied that disclosure
of Aggregate Private Royalty Information could
reasonably be expected to
prejudice[56] or have
an adverse effect[57]
on the business, commercial or financial affairs of the other private royalty
recipients.
In
summary, I am satisfied that the following public interest factors favour
nondisclosure of the information:
disclosure of
the BMA Information and Aggregate Private Royalty Information is prohibited by
an Act,[58] namely
section 334 of the MR Act
disclosure of
the BMA Information could reasonably be expected to prejudice the private,
business, professional, commercial or financial
affairs of an
entity;[59] and
disclosure of
the BMA Information could reasonably be expected to cause a public interest harm
because it would disclose information
concerning the business, professional,
commercial or financial affairs of an agency or another person and its
disclosure could reasonably
be expected to have an adverse effect on those
affairs.[60]
Balancing factors favouring disclosure and nondisclosure in the public
interest
BMA Information
I
note the importance of open discussion of public affairs and the accountability
of government. However, given the nature of the
BMA Information, I am not
satisfied that its disclosure would further the public interest in open
discussion or government accountability
to any great extent.
I
consider that the public interest in providing a private royalty recipient with
further information regarding figures used in calculations
leading to aggregate
private royalty payment amounts is significant—particularly as there is
apparently no other mechanism
for a private royalty recipient to obtain such
information.
The
public interest in contributing to the administration of justice generally by
disclosure of information that may avoid unnecessary
litigation is significant
here.
On
the other hand, I note that disclosure of the BMA Information is prohibited by
section 334 of the MR Act. However, I also note
that the information is
not exempt from disclosure under the RTI Act by virtue of the fact that its
disclosure is prohibited by section
334 of the MR Act. The prohibition is
simply one of a number of public interest factors to be
considered.[61]
The
applicant submits that this public interest factor should be given little or no
weight, on the basis that:
As the RTI Act is a latter Act, it has the effect of
“trumping” the MR [Act] and specifically in an RTI Act context will
trump the confidentiality provision in s.334 of the MR [Act]. This position is
expressly confirmed by s.6 of the RTI Act which clearly
overrides any
confidentiality provision in an Act which is not specifically listed in s.12 of
Schedule 3 of the RTI Act. [In footnote:] The Information
Commissioner’s decision in Moon and the Department of Health ... confirms
this
position.[62]
Section
6 of the RTI Act provides:
6 Relationship with other Acts prohibiting disclosure of
information
This Act overrides the provisions of other Acts prohibiting the disclosure
of information (however described).
In
relation to section 6 of the RTI Act, OIC commented as follows in Moon and
Department of Health
(Moon):[63]
The
policy objective behind section 6 is to provide a deliberate override of secrecy
provisions in other legislation such as section 62A of the Health Services
Act 1991 (Qld) to ensure that the RTI Act can operate unhindered by them. The
Parliament considered those secrecy provisions that should not be
overridden by
the RTI Act and provision is made for them in Schedule 3, section 3 of the RTI
Act. The confidentiality provisions
in the Health Services Act 1991 (Qld)
do not appear in the Schedule.
The
effect of section 6 is that the Department can participate in the early
resolution processes of the Office provided for in the RTI Act and it can agree
to release information that might otherwise be subject to section 62A of the
Health Services Act 1991 (Qld) in that process.
In
my view, the comments in Moon confirm that when the disclosure of
information is prohibited by a provision in an Act that is not listed in
schedule 3, section 12
of the RTI Act, the RTI Act overrides that
provision. However, this does not mean that the information should simply be
disclosed.
At the external review stage, it means that parties may engage in
informal resolution processes and, if those processes prove unsuccessful,
OIC is
required to decide whether the information is exempt information of a type
listed in schedule 3 (other than section 12) or
information, the disclosure of
which would, on balance, be contrary to the public interest (through application
of the public interest
test).
Section
6 must be understood in the context of the whole Act. Section 49(2) of the RTI
Act states that schedule 4 sets out the factors
the Parliament considers
appropriate for deciding where the public interest lies. Section 49(3) requires
me to identify such a factor
as Item 22, Part 3 of Schedule 4 and consider
it.
Therefore,
in relation to the applicant’s submission that:
... Item 22, Part 3 of Schedule 4 of the RTI Act... should be
given little or no weight in the context of applying the Public Interest
Exemption Test. To do otherwise would defeat the clear and obvious purpose of
and amount to an administrative overriding of s.6
of the RTI Act which cannot be
what Parliament
intended.[64]
it is my view that section 6 does not require that I give little or no weight
to the public interest factor favouring nondisclosure,
that disclosure is
prohibited by an Act. Section 6 only goes so far as to provide that the RTI Act
overrides section 334 of the
MR Act, and therefore provisions in the RTI
Act—including provisions that require determination of whether disclosure
of the
relevant information would, on balance, be in the public
interest—apply, notwithstanding that disclosure of the information
is
generally prohibited by section 334 of the MR Act.
The
applicant’s
submissions[65] also
raised the following in support of giving very limited weight to the public
interest factor that disclosure of the BMA Information
is prohibited by an Act,
namely section 334 of the MR Act:
the RTI Act is
to be applied and interpreted to further its primary
object[66]
the RTI Act
should be administered with a pro-disclosure
bias;[67] and
the grounds on
which access may be refused are to be interpreted
narrowly.[68]
I
agree these are the requirements of the legislation.
On
careful consideration of the information before me, it is my view that public
interest in nondisclosure of the BMA Information
is significant, given that that
disclosure of it is prohibited under section 334 of the MR Act, but that this
significance is reduced,
given that there is no mechanism for a private royalty
recipient to obtain information regarding royalties payable to them.
Given
the nature of the BMA Information, I consider the prejudice and adverse affect
to the business, commercial or financial affairs
of BMA is of relatively great
weight, given the potential impact that its release could reasonably be expected
to have on the interests
of BMA.
On
careful consideration of these factors, I am satisfied that the weight of the
factors favouring nondisclosure, particularly the
relatively great weight of the
factor identified at paragraph 64
above, outweigh the public interest factors favouring disclosure of the BMA
Information. Accordingly, I am satisfied that disclosure
of this information
would not, on balance, be in the public interest.
Aggregate Private Royalty Information
I
am not satisfied that disclosure of the Aggregate Private Royalty Information
would further the public interest in open discussion
or government
accountability to any great extent.
However,
I am satisfied that the public interest in providing a private royalty recipient
with further information regarding aggregate
private royalty payment amounts
assessed as being payable is significant—particularly as there is
apparently no other mechanism
for a private royalty recipient to obtain such
information. In this regard, I note that the Aggregate Private Royalty
Information
relates expressly and directly to private royalty payments.
The
public interest in contributing to the administration of justice generally by
assisting the fair settlement of commercial disputes
and avoiding unnecessary
litigation is significant and here, I consider that disclosure of the Aggregate
Private Royalty Information
could influence the settlement of the payment issue
between the parties.
For
reasons outlined above, I consider the only factor favouring nondisclosure to be
given any weight in regards to this information
is that its disclosure is
prohibited by section 334 of the MR
Act.[69]
I
am satisfied that less weight should attach to this factor with respect to the
Aggregate Private Royalty Information than the BMA
Information. This is because
information of a similar nature to the Aggregate Private Royalty Information is,
in effect, available
to the applicant and relevant private land holders each
quarter, including the relevant quarter, through their knowledge of other
private land holders’ relative interests in the relevant land (publicly
available through land title searches) and the amount
of royalties actually
received by them.
In
these circumstances, I am satisfied that the factors favouring disclosure of the
Aggregate Private Royalty Information outweigh
the factor favouring
nondisclosure, and that disclosure of this information would, on balance, be in
the public interest.
DECISION
I
vary the Department’s decision to refuse access to the Documents in Issue
under section 47(3)(b) and 49 of the RTI Act and
find that:
access to the
BMA information may be refused under sections 47(3)(b) and 49 of the RTI Act on
the basis that its disclosure would,
on balance, be contrary to the public
interest; and
the Aggregate
Private Royalty Information should be released to the applicant, as its
disclosure would not, on balance, be contrary
to the public interest.
________________________
Julie Kinross
Information Commissioner
Date: 21 September 2011
APPENDIX
Significant procedural steps
Date
Event
21 December 2009
Applicant applied to Department for documents about private royalties
payable by BMA regarding three properties for the September
2008
quarter
February 2010
Department consulted with a relevant third party
26 February 2010
Third party objected to disclosure of the Documents in Issue
2 March 2010
Department decided to refuse access to the Documents in Issue on the
basis that disclosure would, on balance, be contrary to the public
interest, and
advised that it did not hold any documents responsive to part 2 of the access
application
16 March 2010
Applicant applied to OIC for a review of Department’s
decision
4 March 2011
Applicant made submissions regarding access to the Documents in Issue
and advised that it accepted that the Department did not hold
any documents
responsive to part 2 of the access application
30 May 2011
Applicant provided the KPMG report to OIC
31 May 2011
OIC staff met with Department staff (from the Royalties and Rent unit
and RTI/Privacy unit) who confirmed their view that disclosure
of the Documents
in Issue would, on balance, be to contrary to the public interest
2 June 2011
In a telephone conversation between OIC staff and representatives of
applicant on 2 June 2011, OIC advised the applicant of its preliminary
view
that some of the information on the Documents in Issue was irrelevant, and
disclosure of the remaining information would, on
balance, be to contrary to the
public interest
7 June 2011
By correspondence, OIC confirmed to applicant its preliminary view
conveyed on 2 June 2011
14 June 2011
Applicant made submissions in which it accepted OIC’s preliminary
view that some information was irrelevant, but did not accept
OIC’s
preliminary view that disclosure of the remaining information would, on balance,
be to contrary to the public interest
17 June 2011
By correspondence, OIC advised the Department of its preliminary view
that a the Aggregate Private Royalty Information should be released
to the
applicant, disclosure of the BMA Information would, on balance, be to contrary
to the public interest and the remaining information
on the Documents in Issue
was irrelevant
17 June 2011
By correspondence, OIC consulted with BMA (as a concerned party under
section 97(4) of the RTI Act) and conveyed OIC’s preliminary
view (as per
that conveyed to Department on same date)
23 June 2011
In a telephone conversation between OIC staff and Department staff, the
Department accepted OIC’s preliminary view
24 June 2011
By correspondence, BMA advised that it did not accept OIC’s
preliminary view that the Aggregate Private Royalty Information
should be
released to the applicant
28 June 2011
In a telephone conversation between OIC staff and representatives of
applicant, applicant was advised of OIC’s preliminary view
the Aggregate
Private Royalty Information should be released to it and confirmed reliance on
its earlier submissions
28 June 2011
In a telephone conversation between OIC staff and representatives of
BMA, BMA confirmed its grounds for not accepting OIC’s
preliminary view
regarding the Aggregate Private Royalty Information
5 July 2011
In a telephone conversation between OIC staff and representatives of
BMA, BMA confirmed its participation in the external review under
section 89(2)
of the RTI Act
7 July 2011
By correspondence, OIC confirmed information to be redacted and
information to be released with the Department and BMA. Correspondence
was hand
delivered to BMA and the contents of the correspondence verbally confirmed with
BMA legal staff.
11 July 2011
In a telephone conversation between OIC staff and representatives of
applicant, the applicant proposed negotiations under section
90(3) of the RTI
Act
13 July 2011
By correspondence, BMA confirmed its grounds for not accepting
OIC’s preliminary view regarding the Aggregate Private Royalty
Information
20 July 2011
By correspondence, OIC advised applicant of informal resolution steps
taken in the review and requested that applicant confirm whether
it wished to
suspend the review in order to negotiate with other parties to the review. OIC
also queried whether applicant wished
to pursue access to personal information
of the BMA employee who signed the royalty return
25 July 2011
In a telephone conversation between OIC staff and representatives of
applicant, applicant advised that it did not wish to conduct
negotiations under
section 90(3) of RTI Act
25 July 2011
By correspondence, applicant confirmed that it did not wish to conduct
negotiations under section 90(3) of RTI Act and did not wish
to pursue access to
personal information of the BMA employee who signed the royalty return.
Applicant raised procedural fairness
concerns and requested that it be given
opportunity to respond to any adverse submissions by other parties
8 August 2011
By correspondence, OIC addressed applicant’s concerns regarding
procedural fairness and noted that applicant had already made
relevant
submissions, or was not required to do so (because OIC’s view was not
adverse to applicant)
15 August 2011
By correspondence, applicant made further submissions in response to
OIC’s correspondence regarding procedural fairness
19 August 2011
By correspondence, OIC advised parties that, given that the applicant
did not wish to pursue personal information of the BMA employee
who signed the
royalty return, that the Department accepted OIC’s preliminary view, and
that BMA’s non-acceptance of
OIC’s preliminary view related to the
Aggregate Private Royalty Information only, the Department could release
redacted versions
of pages 4, 5, 7, 8 and 10 (excluding the BMA Information and
the Aggregate Private Royalty Information).
[1] On 21 December
2009.[2] By
submissions dated 4 March
2011.[3] By decision
dated 2 March 2010.
[4] On 16 March
2010.[5] See
paragraph 7
below.[6] Parts of
pages 5, 8 and 10 of the Documents in
Issue.[7] Under
sections 47(3)(b) and 49 of the RTI
Act.[8] Parts of
pages 8 and 10 of the Documents in
Issue.[9] By
submissions dated 4 March
2011.[10] By
submissions dated 14 June
2011.[11] By
telephone conversation between OIC staff and representatives of the applicant on
2 June 2011 and by letter to the applicant dated
7 June 2011, and confirmed
by letter to the applicant dated 20 July
2011.[12] That is,
pages 1, 2, 3, 6 and 9, and parts of pages 4, 5, 7, 8 and 10 of the Documents in
Issue.[13] The
irrelevant information is irrelevant under section 73 of the RTI Act or does not
fall within the scope of the applicant’s
application. It is comprised by
information that has no bearing on private royalty payments (for example,
information about royalty
payments to the Crown and whether particular leases
are producing or not (which provide no means of enabling calculation of private
royalties), and information about mines other than the Gregory-Crinum mine or
minerals other than coal.
[14] By
submissions dated 25 July
2011.[15] That is,
parts of pages 4 and 7 of the Documents in
Issue.[16]
Consulted under section 97(4) of the RTI Act, and joined as a participant in the
external review under section 89(2) of the RTI Act.
[17] By telephone
conversation with OIC staff on 23 June 2011, the Department accepted OIC’s
preliminary view to it dated 17 June
2011 and 7 July 2011. By correspondence
dated 24 June 2011 and 13 July 2011, BMA’s submissions objecting to
disclosure related
only to the Aggregate Private Royalty Information, and BMA
was therefore taken to accept OIC’s preliminary view to it dated
17 June
2011 and 7 July 2011 that the BMA Information should be released to the
applicant.[18]
That is, parts of pages 4, 5, 7, 8 and 10 of the Documents in
Issue.[19] As
confirmed in correspondence to all parties dated 19 August
2011.[20] Parts of
pages 5, 8 and 10 of the Documents in
Issue.[21] Parts
of pages 8 and 10 of the Documents in
Issue.[22] By
telephone conversation between OIC staff and representatives of the applicant on
2 June 2011 and by letter to the applicant dated
7 June 2011, clarified in
a telephone conversation between OIC staff and representatives of the applicant
on 28 June 2011 (in which
the applicant was advised of OIC’s
preliminary view that the Aggregate Private Royalty Information should be
released to it),
and confirmed by letter to the applicant dated 20 July
2011.[23] Under
sections 47(3)(b) and 49 of the RTI
Act.[24] Dated 4
March 2011, 14 June 2011 and 15 August
2011.[25] By
letters dated 17 June 2011 and 7 July
2011.[26] Dated 24
June 2011, confirmed in telephone conversation with OIC staff on 28 June 2011
and by email dated 13 July
2011.[27] Provided
to the applicant by means other than the access application subject to this
review and obtained by OIC from the applicant
under section 103 of the RTI
Act.[28]
‘Determination of Coal Royalty Min 140’, Department of Mines
and Energy http://www.dme.qld.gov.au/zone_files/royalties/ policy_no_140.pdf,
effective 1 July
2008.[29] Now part
of the Department as defined for the purpose of this
decision.[30]
Section 49(3) of the RTI
Act.[31] That is,
the first line item on page 8 of the Documents in
Issue.[32] The
line item appears to relate to the applicant only—however, both the
Department and BMA advise that the figures in the line
are aggregate figures for
all relevant private royalty holders, not just the
applicant.[33]
Dated 4 March 2011 and 14 June
2011.[34] Schedule
4, part 2, item 1 of the RTI
Act.[35] Dated 4
March 2010. [36]
On 31 May
2011.[37] I note
this is in contrast to the obligations imposed on BMA as holder of a mining
tenure to provide certain information to the State
under Part 9 of the MR
Act.[38] Pages 2
and 3 of the section of the KPMG Report regarding the September 2008
quarter.[39] See
Schedule 4, part 2, item 16 of the RTI
Act.[40] Schedule
4, part 2, item 12(a) of the RTI
Act.[41] Schedule
4, part 2, item 11 of the RTI
Act.[42] In this
regard, I note the applicant’s advice in its submissions dated 4 March
2011 that it made the application that is the
subject of this external review
because its other attempts to obtain relevant information were unsuccessful.
[43] As noted at
paragraph 27
above.[44] The
term ‘could reasonably be expected to’ requires that the
relevant expectation is reasonably based; that it is neither irrational, absurd
or ridiculous, nor merely
a possibility. It is not necessary for a
decision-maker ‘to be satisfied upon a balance of
probabilities’ that disclosing the document will produce the
anticipated result. Whether the expected consequence is reasonable requires
an objective examination of the relevant evidence. Importantly,
the expectation
must arise as a result of disclosure, rather than in other
circumstances—see Attorney-General v Cockcroft [1986] FCA 35; (1986) 64 ALR 97 at
106; Murphy and Treasury Department [1995] QICmr 23; (1995) 2 QAR 744; Sheridan and
South Burnett Regional Council (and Others) (Unreported, Queensland
Information Commissioner, 9 April 2009); and Murphy and Treasury
Department [1995] QICmr 23; (1995) 2 QAR 744 at paragraphs 45-47 and
54.[45] Schedule
4, part 3, item 22 of the RTI
Act.[46] Royalty
rates vary depending on the average price per tonne of coal sold, disposed of or
used in the relevant quarterly period—‘Determination
of Coal Royalty
Min 140’, Department of Mines and Energy
http://www.dme.qld.gov.au/zone_files/ royalties/ policy_no_140.pdf,
effective 1
July 2008.[47] On
page 10 of the Documents in
Issue.[48] The
word ‘prejudice’ is not defined in the RTI Act or the Acts
Interpretation Act 1954 (Qld). Therefore, it is appropriate to consider
the ordinary meaning of the word. The Macquarie Dictionary contains a number of
definitions for the word ‘prejudice’, the most relevant being
‘resulting injury or detriment’ and ‘to affect
disadvantageously or
detrimentally’.[49]
Schedule 4, part 3, item 2 of the RTI
Act.[50] Schedule
4, part 4, item 7(1)(c) of the RTI
Act.[51] For
information to ‘concern’ business, professional, commercial
or financial affairs, it must be information ‘about’ those
affairs; essentially, information about activities carried on for the purpose of
generating income or profits—see
Cannon and Australian Quality Egg
Farms Limited [1994] QICmr 9; (1994) 1 QAR 491 (Cannon) at
paragraph 67, which considered the now repealed Freedom of
Information Act 1992 (Qld) exemption upon which this public interest factor
was modelled.[52]
The phrase ‘adverse effect’ usually refers to the relevant entity
being exposed to commercial disadvantage or competitive
harm—see generally
Cannon, at paragraphs
82-84.[53] Prior
to making its decision on 2 March 2010, the Department consulted with a relevant
third party whose submissions included the
comment that disclosure would act as
a disincentive to full and frank disclosure of financial information in future
royalty returns,
raising the alternative basis for the public interest harm
listed in schedule 4, part 4, item 7(1)(c) of the RTI Act that disclosure
could
reasonably be expected to prejudice the future supply of information of this
type to government. However, I am not satisfied
that disclosure of the BMA
Information could cause a public interest harm on this basis, given that
provision of such information
is required under section 334 of the MR
Act.[54] Dated 24
June 2011 and 13 July
2011.[55] The
Department raised these concerns in a meeting on 31 May 2011 and BMA raised them
in its submissions dated 24 June 2011 and 13
July
2011.[56] Schedule
4, part 3, item 2 of the RTI
Act.[57] Schedule
4, part 4, item 7(1)(c) of the RTI
Act.[58] Schedule
4, part 3, item 22 of the RTI Act.
[59] Schedule 4,
part 3, item 2 of the RTI
Act.[60] Schedule
4, part 4, item 7(1)(c) of the RTI Act.
[61] In contrast,
for those types of information covered by the provisions listed in schedule 3,
section 12 of the RTI Act, Parliament
has determined that disclosure of would,
on balance, be contrary to the public interest in all instances, and has
therefore designated
such information as exempt information—see section
48(2) of the RTI
Act.[62]
Submissions dated 15 August
2011.[63] Moon
and Department of Health (Unreported, Queensland Information Commissioner,
12 August
2010).[64]
Submissions dated 15 August
2011.[65] Dated 14
June 2011.[66]
Referring to section 3(2) of the RTI
Act.[67] Referring
to section 44(4) of the RTI
Act.[68] Referring
to section 47(2)(a) of the RTI
Act.[69] Schedule
4, Part 3, item 22 of the RTI Act. I note that schedule 3, section 12 of the
RTI Act does not recognise information prohibited
from disclosure under section
334 of the MRA as exempt information and emphasise that this merely one public
interest factor favouring
nondisclosure of the Information in Issue.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | V73 and Queensland Police Service [2021] QICmr 32 (23 June 2021) |
V73 and Queensland Police Service [2021] QICmr 32 (23 June 2021)
Last Updated: 19 August 2021
Decision and Reasons for Decision
Citation:
V73 and Queensland Police Service [2021] QICmr 32
(23 June 2021)
Application Number:
315026
Applicant:
V73
Respondent:
Queensland Police Service
Decision Date:
23 June 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - IRRELEVANT INFORMATION -
request for documents and communications about the applicant
- whether
information may be deleted on the basis it is irrelevant - section 88 of
the Information Privacy Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - CONTRARY TO PUBLIC INTEREST
INFORMATION - personal information and investigative procedure
information -
accountability, transparency, fair treatment and administration of justice -
personal information, privacy and ability
to obtain information - whether
disclosure would, on balance, be contrary to the public interest - section 67(1)
of the Information Privacy Act 2009 (Qld) and sections 47(3)(b) and 49 of
the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - NONEXISTENT OR UNLOCATABLE
DOCUMENTS - whether agency has taken all reasonable steps to
locate requested
documents - whether access to further documents can be refused on the ground
they are nonexistent or unlocatable
- section 67(1) of the Information
Privacy Act 2009 (Qld) and sections 47(3)(e) and 52(1) of the Right to
Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
1. The applicant applied to the Queensland Police
Service (QPS) under the Information Privacy Act 2009 (Qld)
(IP Act) to access a range of documents about him or which contain
his name.[1]
2. QPS did not make a decision within the required statutory timeframe and
was therefore taken to have made a deemed decision refusing
access to the
requested information.[2]
3. The applicant applied to the Office of the Information Commissioner
(OIC) for an external review of QPS’ deemed
decision.[3]
4. On external review, QPS located relevant
documents[4] and disclosed them to the
applicant, subject to deletion of certain information. The applicant remains
dissatisfied with the level
of information released to him and believes further
relevant documents exist.
5. For the reasons set out below, I vary QPS’ decision and find
that:
certain
information may be deleted under section 88 of the IP Act, on the basis it is
irrelevant to the scope of the application
access may be
refused to information on the basis that disclosure would, on balance, be
contrary to the public interest;[5]
and
access to any
further documents may be refused on the basis they do not exist or cannot be
located.[6]
Reviewable decision and evidence considered
6. The decision under review is the deemed decision
QPS is taken to have made under section 66 of the IP Act.
7. Significant procedural steps taken during the external review process are
set out in the Appendix. The evidence, submissions,
legislation and other
material I have considered in reaching this decision are disclosed in these
reasons (including the footnotes
and Appendix).
8. I have also had regard to the Human Rights Act 2019 (Qld)
(HR Act), particularly the right to seek and receive
information.[7] I consider a
decision-maker will be ‘respecting and acting compatibly
with’ that right and others prescribed in the HR Act, when applying
the law prescribed in the IP Act and RTI
Act.[8] I have acted in this way in
making this decision, in accordance with section 58(1) of the HR
Act.[9]
Information and issues for determination
9. QPS deleted information from 719 pages of the
documents disclosed to the
applicant[10] (information in
issue). The applicant generally contends that these deletions are
‘not inline with any part of the law and are simply excessive to
prevent the documents being
legible’[11] and that no
information can be withheld from
him.[12]
10. The information in issue appears in records
concerning domestic violence protection
orders[13] and criminal charges
brought against the applicant and broadly comprises:
information on
55 pages[14] which QPS deleted
on the basis that it is irrelevant to the access application (Irrelevant
Information); and
information
redacted by QPS on the basis its disclosure would, on balance, be contrary to
the public interest (CTPI Information).
11. The issues for determination are whether:
the applicant is
entitled to access the Irrelevant Information
access to the
CTPI Information may be refused on the basis disclosure would, on balance, be
contrary to the public interest;[15]
and
access to
further documents may be refused on the basis that they do not exist or cannot
be located.[16]
Irrelevant Information
12. Under the IP Act, an individual has a right to be
given access to documents of a Queensland government agency, to the extent they
contain the individual’s personal
information.[17] A document will be
outside the scope of an access application made under the IP Act if it does not
contain the applicant’s
personal
information.[18] Section 88 of the
IP Act also permits information that is not relevant to the access
application to be deleted from the document
before giving access to a copy of
the document.
13. The applicant submits that I cannot decide what information is relevant
because I do not have the necessary
information[19] and I ‘have
not requested any detail about why the information is
needed’.[20]
14. The IP Act does not require a person to give reasons for seeking access
to documents. In deciding whether information is irrelevant,
it is necessary to
consider whether the information has any bearing upon, or is pertinent to, the
terms of the application.[21] The
applicant has, however, been provided with several opportunities on external
review to make submissions in relation to why he
considers the Irrelevant
Information should be disclosed to him.
15. Having carefully considered the terms of the access
application[22] and the Irrelevant
Information, I am satisfied that:
6 entire
pages[23] of the Irrelevant
Information comprise documents that do not contain any of the applicant’s
personal information; and
the remaining
Irrelevant Information in the documents is not about the applicant but is
instead about other individuals.[24]
16. On this basis, I find that the Irrelevant Information was validly deleted
from the documents that QPS has
disclosed.[25]
CTPI Information
17. While I am limited in
the extent to which I can describe the CTPI
Information,[26] it includes:
the personal
information[27] of private
individuals, including their names, dates of birth, signatures, contact details
(such as residential and workplace addresses,
emails and telephone numbers),
their personal circumstances and their observations, recollections and opinions
information
about the personal circumstances of QPS staff
mobile telephone
numbers of QPS staff and telephone extension details for other public sector
officers; and
information
about certain procedures employed by QPS in its investigation of criminal
matters involving the applicant.
18. The right of access under the IP Act is subject to some limitations,
including the grounds on which access to information may
be
refused.[28] One ground of refusal
is where disclosing information would, on balance, be contrary to the public
interest.[29] The term
‘public interest’ refers to considerations affecting the good
order and functioning of the community and government affairs for the well-being
of citizens.
This means that, in general, a public interest consideration is
one which is common to all members of, or a substantial segment
of the
community, as distinct from matters that concern purely private or personal
interests.[30]
19. In deciding where the balance of the public interest lies, the RTI Act
requires a decision maker to identify factors for and against
disclosure,
disregard irrelevant factors[31] and
decide, on balance, whether disclosure would be contrary to the public
interest.[32]
20. I have not taken any irrelevant factors into account in making this
decision.
Factors favouring disclosure
21. A small amount of the CTPI Information relates
to the applicant and comprises his personal information. This gives rise to a
factor favouring disclosure to which I afford high
weight.[33] However, this
information about the applicant is intertwined with the personal information of
other individuals to such an extent
that it cannot be disclosed without also
disclosing the personal information of those other individuals (which raises the
nondisclosure
factors discussed below).
22. The applicant submits that no information can be withheld from him and:
Full transparency in the Criminal Justice System once charges are laid is
a fundamental protection given to defends [sic]. No one persons
[sic] individual right to privacy, can override Common Law fundamentals,
of a fair trial, and Equity of arms.
Equity of arms Mandates, that once a charge is laid, there must be no
disparity between the information available to either party.
...
To provide equity, we must have equal access to information. Therefore no
documents may be refused.[34]
23. Firstly, the RTI process is not a replacement for Court processes in
relation to the disclosure of documents for the purposes
of a fair
trial.[35] The arguments that the
applicant makes in this regard are specifically relevant to the requirements
that a Judge might consider
in criminal or other proceedings against the
applicant.
24. The RTI Act recognises that public interest factors favouring disclosure
will arise where disclosing information could reasonably
be expected to:
promote open
discussion of public affairs and enhance the Government’s
accountability[36]
inform the
community of the Government’s operations, including, in particular, the
policies, guidelines and codes of conduct
followed by the Government in its
dealings with members of the
community[37]
reveal the
reason for a government decision and any background or contextual information
that informed the decision[38]
advance the fair
treatment of individuals in accordance with the law in their dealings with
agencies;[39] and
contribute to
the administration of justice generally, including procedural fairness, or for a
person.[40]
25. QPS must be transparent and accountable about how it deals with received
allegations of contraventions, or possible contraventions,
of the law. I accept
that disclosing the CTPI Information would provide the applicant with a more
complete picture of the applications
and allegations that have been made to QPS
by, and about, him and the actions taken by QPS in respect of those matters.
QPS has
disclosed a significant amount of information to the
applicant.[41] I consider
disclosure of this information has substantially advanced the accountability and
transparency factors,[42] by
enabling scrutiny of QPS’ actions and providing background information
which informed those actions. Given the particular
nature of the CTPI
Information, I do not consider its disclosure would further advance these
accountability and transparency factors
in any significant way. In these
circumstances, I attribute low weight to these factors.
26. In determining whether the disclosure of the CTPI Information could
reasonably be expected to contribute to the administration
of justice for the
applicant, I must consider whether:[43]
the applicant
has suffered loss, or damage, or some kind of wrong, in respect of which a
remedy is, or may be, available under the
law
the applicant
has a reasonable basis for seeking to pursue the remedy; and
disclosing the
information held by an agency would assist the applicant to pursue the remedy,
or evaluate whether a remedy is available
or worth pursuing.
27. The applicant has not identified that he is wishing to pursue any
particular remedy and there is no evidence before me to indicate
that disclosure
of the CTPI Information is required to enable the applicant to pursue a legal
remedy or evaluate whether a remedy
(legal or otherwise) is available or worth
pursuing. For these reasons, I do not consider this factor favouring
disclosure[44] applies.
28. The fundamental requirements of procedural fairness—that is, an
unbiased decision-maker and a fair hearing—should
be afforded to a person
who is the subject of an investigation or
decision.[45] Although the
applicant has raised general fairness arguments, he has not enunciated how
disclosure of this particular CTPI Information
would contribute to his fair
treatment or procedural fairness. On the information before me, it appears that
the applicant was afforded
an opportunity to respond to the various allegations
made against him and I note that some of criminal proceedings referenced in
the
disclosed documents have been completed. In these circumstances, and taking the
particular nature of the CTPI Information into
account, I am not satisfied that
that there is a reasonable expectation its disclosure would, in any meaningful
way, advance the
applicant’s fair treatment or contribute to the general
administration of justice, including procedural fairness. On this
basis, while
these factors may apply,[46] I
afford them only low weight due to the nature of the CTPI Information.
29. The applicant also contends that QPS has used the redactions to hide its
improper conduct and that some of the CTPI Information
comprises
‘improper language, and racist, sexist and hateful slurs, by
QPS’.[47] Public interest
factors favouring disclosure also arise in circumstances where disclosing
information could reasonably be expected
to:
reveal the
information was incorrect, out of date, misleading, gratuitous, unfairly
subjective or irrelevant;[48] or
allow or assist
enquiry into, or reveal or substantiate, deficiencies in the conduct of QPS or
its officers.[49]
30. I have carefully considered the CTPI Information (together with the
applicant’s submissions and the information which has
been released to the
applicant). There is nothing before me which suggests that the CTPI Information
is incorrect, out of date,
misleading, gratuitous, unfairly subjective or
irrelevant. Some of the CTPI Information comprises information provided to QPS
by
other individuals. Information of this nature includes the
individuals’ observations, opinions and versions of events which
are
shaped by factors such as the individuals’ memories of relevant events and
subjective impressions. This inherent subjectivity
does not itself mean that
the information is necessarily incorrect, misleading or unfairly
subjective.[50] I am also satisfied
that there is nothing within the CTPI Information which gives rise to an
expectation that its disclosure would
allow or assist enquiry into, reveal or
substantiate, agency or official conduct deficiencies. Accordingly, to the
extent these
disclosure factors[51]
apply, I afford them low weight.
31. Taking into account the particular nature of the CTPI Information, I
cannot identify any other public interest considerations
favouring its
disclosure.[52]
Factors favouring nondisclosure
32. The RTI Act recognises that there is a public
interest harm[53] in disclosing an
individual’s personal information to someone else and that disclosing
information which could reasonably be
expected to prejudice the protection of an
individual’s right to privacy gives rise to a public interest factor
favouring nondisclosure.[54] The
concept of ‘privacy’ is not defined in the IP Act or the RTI
Act. It can, however, essentially be viewed as the right of an individual to
preserve their
‘personal sphere’ free from interference from
others.[55]
33. Having carefully reviewed the CTPI Information, I am satisfied that most
of it comprises the personal information of individuals
other than the
applicant.
34. Some of this personal information relates to personal circumstances of
QPS officers. While personal information of this nature
appears in a work
context, I am satisfied that it is not wholly related to the routine day-to-day
work activities of those
officers.[56] Given the nature of
this information, I am satisfied its disclosure would be a significant intrusion
into the privacy of the relevant
staff and the extent of the harm that would
arise from its disclosure would be significant.
35. The CTPI Information also includes mobile numbers of QPS staff and direct
telephone extension details for other public sector
officers.[57] Mobile phone numbers
and direct extensions are different to other contact details (such as email
addresses or general office phone
numbers) in that they allow an individual to
be contacted directly and potentially outside of office hours. This gives rise
to a
reasonable expectation of intrusion into the officer’s personal
sphere. Accordingly, for information of this nature, I afford
moderate weight
to these nondisclosure factors.
36. The remaining personal information relates to private individuals and it
is of a highly sensitive and personal nature, appearing
in the context of
domestic violence protection applications and police investigations of criminal
matters. As noted above, some
of this information is intertwined with a small
amount of the applicant’s personal information. Given the sensitive and
highly
personal nature of this information, I am satisfied that its disclosure
would be a significant intrusion into the privacy of these
private individuals
and the extent of the harm that could be expected to arise from its disclosure
would be significant. On this
basis, I afford significant weight to these
factors which favour nondisclosure of this remaining personal information.
37. The applicant submits that the CTPI Information is ‘unlikely to
contain information that contains a third party I am unaware of’ and
he considers that ‘No one persons [sic] individual right to
privacy, can override Common Law fundamentals, of a fair trial, and Equity of
arms’. [58] I acknowledge
that the applicant may know the identities of some of these other individuals
and, as a result of his interactions
with QPS and his involvement in criminal
proceedings, he may also be aware of some of the information these individuals
provided
to QPS. However, taking into account the sensitive nature and context
of the CTPI Information, I do not consider this reduces the
weight of these
nondisclosure factors, particularly as there can be no restriction on the use,
dissemination or republication of
information disclosed under the IP Act.
38. Public interest factors favouring nondisclosure also arise where
disclosing information could reasonably be expected to prejudice
the flow of
information to law enforcement or regulatory
agencies[59] or prejudice an
agency’s ability to obtain confidential
information.[60] There is a strong
public interest in protecting the free flow of information to law enforcement
agencies and the ability of those
agencies to obtain information which is
relevant to the investigation of potential contraventions of the law, including
the opinions
and observations of concerned individuals (whether they are
complainants, witnesses, informers or the subjects of
complaint).[61] Routinely
disclosing this type of information would tend to discourage individuals from
coming forward with relevant information
or participating openly in future
investigations, particularly where the information involves sensitive personal
matters or where
information has been provided on a confidential basis.
Accordingly, I afford significant weight to these factors favouring
nondisclosure.
39. Where disclosing information could reasonably be expected to prejudice
security, law enforcement or public safety, a factor favouring
nondisclosure
will arise.[62] Some of the CTPI
Information reveals investigation procedures and methods employed by QPS. I am
prohibited by the IP Act from disclosing
any further details as to the specific
procedures or methods that are relevant
here.[63] Having carefully
considered the relevant information, I am satisfied that disclosing information
of this nature could allow individuals
to use the information to modify their
behaviour so as to avoid detection, thereby compromising the ongoing
effectiveness of those
procedures and methods and detrimentally effecting
QPS’ ability to effectively discharge its obligations to investigate
contraventions,
or possible contraventions, of the law. On this basis, I afford
significant weight to this factor favouring nondisclosure.
Balancing of the factors
40. I have taken into account that the IP Act is to
be administered with a pro-disclosure
bias.[64] For the reasons set out
above, I am satisfied that privacy considerations and the protection of the
personal information of other
individuals warrant moderate weight in respect of
the direct contact details of public sector officers and significant weight in
favour of nondisclosure of the remaining CTPI Information, given its highly
personal and sensitive nature of the CTPI Information.
Further, anticipated
prejudices to law enforcement, the flow of information to QPS and the ability of
QPS to obtain confidential
information warrant significant weight.
41. On the other hand, I have afforded high weight to the factor favouring
disclosure of the applicant’s personal information
within the CTPI
Information,[65] however, that
personal information of the applicant is inextricably intertwined with the
personal information of other individuals.
In addition, and for the reasons
outlined above, I have identified additional factors which favour disclosure of
the CTPI Information
(including those relating to QPS’ transparency and
accountability; agency conduct deficiencies; fair treatment; revealing
information
to be incorrect, misleading or unfairly subjective; and the
administration of justice
generally).[66] However, taking
into account the nature of the CTPI Information, I have afforded these factors
only low weight. For completeness,
I have also considered all other factors
listed in schedule 4, part 2 of the RTI Act, in case the applicant’s
submissions may
indirectly raise any other factor favouring disclosure. Given
the specific nature of the CTPI information, I do not consider that
any other
factors attract any weight.
42. On balance, I am satisfied that the public interest factors favouring
nondisclosure outweigh the factors favouring disclosure.
Accordingly, I find
that disclosure of the CTPI Information would, on balance, be contrary to
the public interest and access may
be refused on this
basis.[67]
Nonexistent or unlocatable documents
43. On external review, the functions of the
Information Commissioner include investigating and reviewing whether an agency
has taken
reasonably steps to identify and locate documents applied for by
applicants.[68] However, access to
a document may be refused if it is nonexistent or
unlocatable.[69]
44. To be satisfied that documents are nonexistent, an agency must rely on
their particular knowledge and experience and have regard
to a number of key
factors.[70] If searches are relied
on to justify a finding that documents do not exist, all reasonable steps must
be taken to locate the documents.
What constitutes reasonable steps will vary
from case to case, depending on which of the key factors are most relevant in
the particular
circumstances.
45. To determine whether a document exists, but is unlocatable, the
RTI Act requires consideration of whether there are reasonable
grounds for
the agency to be satisfied that the requested document has been or should be in
the agency’s possession; and whether
the agency has taken all reasonable
steps to find the document. In answering these questions, regard should again
be had to the
circumstances of the case and the relevant key
factors.[71]
Findings
46. As a result of concerns raised by the applicant
that a specific individual, Ms J, held additional documents about him, OIC asked
QPS to conduct further searches for information requested in the access
application.[72] As a result of
those searches, additional documents were located and these were partially
disclosed to the applicant.[73] OIC
asked QPS to conduct further searches after the applicant again
submitted[74] that additional
documents about him were held by certain QPS officers, however, QPS did not
located any further documents relevant
to the access
application[75].
47. Despite the documents which QPS disclosed during the course of the
review, the applicant maintains that ‘QPS have provided less than 10%
of the material specifically covered by the
scope’.[76] More
specifically the applicant submits that the disclosed documents:
have no detail
of his ‘court information, references to cases, and the
brief’[77]
do not include
the file notes, diary entries, emails and logs which he believes were emailed by
Officers H, S and D[78]; and
omit a
‘contemptuous
log’[79] [sic] kept by Ms
J and emails that Ms J sent to QPS officers in
2015.[80]
48. QPS relied on searches conducted by its officers to justify its position
that reasonable steps have been taken to locate documents
relevant to the
application and provided information to me about its recordkeeping systems and
searches, as set out below.
49. QPS submitted[81] that it
made enquiries of QPS staff who had requisite knowledge of matters involving the
applicant and searches were conducted of
the following:
its electronic
records (including QPRIME and patrol logs)
records held at
a number of police stations, including the 2 police stations specified in item 1
of the application
documents held
in a dedicated domestic violence unit
notebooks,
diaries and text messages of officers specified in item 2 of the access
application; and
QPS’ email
records, being those held in QPS’ Office 365 system and additional emails
that were not migrated to that
system.[82]
50. QPS explained that Ms J’s records are not held at the police
stations identified in item 1 of the application and therefore,
any
contemporaneous log that she may have kept, if it exists, falls outside the
terms of the application.
51. Having reviewed the terms of the application, the applicant’s
submissions and QPS’ search
submissions,[83] I consider that QPS
has conducted comprehensive searches of locations where it would be reasonable
to expect the types of information
requested in the access application to be
stored. I am also satisfied that enquiries have been made of staff who have
relevant knowledge
of the matters in which the applicant was involved.
52. In view of the above, and taking into account the documents that were
located by QPS (including the information in issue), there
is nothing before me,
other than the applicant’s assertions, to support an expectation that
additional relevant documents exist.
Accordingly, I am satisfied that QPS has
taken all reasonable steps to locate documents relevant to the access
application; and
access to further documents may be refused on the basis they do
not exist, or cannot be located.[84]
DECISION
53. For the reasons set out above, as a delegate of the Information
Commissioner, under section 139 of the IP Act, I vary QPS’
deemed
decision and find that:
the Irrelevant
Information may be deleted under section 88 of the IP Act
access to the
CTPI Information may be refused as disclosure would, on balance, be contrary to
the public interest;[85] and
access to any
further information may be refused on the basis it is nonexistent or
unlocatable.[86]
S MartinAssistant Information Commissioner
Date: 23 June 2021
APPENDIX
Significant procedural steps
Date
Event
28 November 2019
OIC received the external review application.
18 December 2019
OIC notified the applicant and QPS that the application for external review
had been accepted and requested information from QPS.
24 January 2020
OIC received the requested information from QPS.
31 January 2020
OIC provided an update to the applicant.
3 February 2020 and 10 March 2020
OIC provided further updates to the applicant
13 March 2020
OIC conveyed a preliminary view to QPS.
17 April 2020
QPS provided a submission and agreed to disclose some of the requested
information to the applicant.
24 April 2020
OIC asked QPS to release the information it had agreed to disclose to the
applicant.
27 April 2020
OIC notified the applicant that QPS had agreed to disclose some of the
requested information and conveyed a preliminary view to the
applicant regarding
the remaining information.
4 May 2020
OIC received the applicant’s submissions.
21 May 2020
QPS notified OIC that information could not be sent electronically to the
applicant.
26 May 2020
The applicant notified OIC that he had not received documents from QPS.
27 May 2020
OIC requested, and received, confirmation of the applicant’s postal
address for delivery of documents and provided those details
to QPS.
1 June 2020
QPS notified OIC that documents were posted to the applicant on
28 May 2020.
2 June 2020
OIC notified the applicant that QPS had sent documents to his nominated
postal address and invited the applicant to provide submissions
if he did not
agree with OIC’s preliminary view.
3 and 7 June 2020
OIC received the applicant’s further submissions, including his
concern that records held by a specific individual had been
omitted.
23 June 2020
OIC requested search information from QPS and conveyed a second preliminary
view to the applicant.
22 July 2020
The applicant confirmed to OIC that he maintained his disagreement with
OIC’s preliminary view.
10 September 2020
QPS agreed to disclose to the applicant information from additional located
documents.
16 October 2020
OIC conveyed a preliminary view to the applicant regarding the sufficiency
of QPS’ searches and OIC asked QPS to release the
further information it
had agreed to disclose to the applicant.
OIC received a further submission from the applicant about further records
he considered would be held by three specific individuals.
29 October 2020
QPS released further information to the applicant.
30 October 2020
OIC asked the applicant to identify how records held by the three specified
individuals were relevant to his access application and
requested further search
information from QPS.
2 November 2020
OIC received the applicant’s submissions.
3 November 2020
OIC requested further search information from QPS.
1 December 2020 and 22 December 2020
OIC sought updates from QPS concerning the requested search information.
23 December 2020
OIC provided an update to the applicant.
5 February 2021 and 22 March 2021
OIC sought updates from QPS concerning the requested search information.
23 April 2021
OIC provided a further update to the applicant.
6 May 2021
OIC received the requested search information from QPS.
14 May 2021
OIC conveyed a further preliminary view to the applicant concerning the
sufficiency of QPS’ searches and received the applicant’s
further
submissions.
[1] The application is dated
17 September 2019 and was received by QPS on
25 September 2019. [2]
Under section 66(1) of the IP Act. In accordance with section 66(2) of the IP
Act, QPS provided a notice of the deemed decision
to the applicant on
18 November 2019. [3] On
28 November 2019. [4]
Comprising in excess of 1200 pages.
[5] Under section 67(1) of the IP
Act and sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld) (RTI Act). Section 67(1) of the IP Act sets out that an
agency may refuse access to information in the same way and to the same extent
that
the agency could refuse access to the document under section 47 of the RTI
Act were the document the subject of an access application
under the RTI Act.
[6] Under section 67(1) of the IP
Act and sections 47(3)(e) and 52 of the RTI Act.
[7] Section 21 of the HR Act.
[8] XYZ v Victoria Police
(General) [2010] VCAT 255 (16 March 2010) (XYZ) at [573];
Horrocks v Department of Justice (General) [2012] VCAT 241 (2 March 2012)
at [111]. [9] I also note the
following observations made by Bell J in XYZ at [573], on the
interaction between equivalent pieces of Victorian legislation (namely, the
Freedom of Information Act 1982 (Vic) and the Charter of Human Rights
and Responsibilities Act 2006 (Vic)): ‘it is perfectly compatible
with the scope of that positive right in the Charter for it to be observed by
reference to the scheme of,
and principles in, the Freedom of Information
Act’. [10] There is a
significant level of duplication in the information in issue which appears
within emails. [11] Submission
dated 7 June 2020. [12]
Submission dated 4 May 2020.
[13] Under the Domestic and
Family Violence Protection Act 2012 (Qld).
[14] Pages 45, 322-324, 327-328,
334, 342, 344, 349, 355-356, 358-361, 364-367, 370-371, 378 and 382-383 in Part
One; pages 213-215, 272,
277, 296-302, 403-408, 491-493, 527-529 and 608 in Part
Two and pages 7, 14, 27, 28 and 33 in Additional documents.
[15] Sections 47(3)(b) and 49 of
the RTI Act. [16] Sections
47(3)(e) and 52 of the RTI Act.
[17] Section 40 of the IP Act.
[18] ‘Personal
information’ is defined in section 12 of the IP Act as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or opinion’.
[19] Submissions dated 4 May
2020. [20] Submissions dated 3
June 2020. [21] Van
Vennendaal and Queensland Police Service [2017] QICmr 36 (28 August 2017) at
[12], citing with approval O80PCE and Department of Education and Training
(Unreported, Queensland Information Commissioner, 15 February 2010) at
[52].[22] The application seeks
information about the applicant in the following documents: (i) records held at
two police stations; (ii) QPRIME
records; (iii) the notebooks and diaries of
five officers; (iv) text messages and electronic media sent by five officers;
and (v)
emails. The date range of the application is 1 April 2015 to
25 June 2018 for items (i)-(iv) and 1 April 2015 to
2 July 2018 for
item
(v).[23] Page 45 in the Part One
documents and pages 492-493 and 527-529 in the Part Two documents.
[24] For example, it includes
officer notebook entries about police matters which do not involve the
applicant. [25] Under section 88
of the IP Act. [26] Section 121
of the IP Act, which relevantly prevents OIC from revealing information claimed
to be contrary to the public interest
information.
[27] ‘Personal
information’ is defined in section 12 of the IP Act as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or opinion’.
[28] The grounds on which access
can be refused are set out in section 47 of the RTI Act. As noted above,
section 67(1) of the IP Act
provides that access may be refused to
information in the same way and to the same extent as information may be refused
under the
RTI Act. [29]
Sections 47(3)(b) and 49 of the RTI Act.
[30] However, there are some
recognised public interest considerations that may apply for the benefit of an
individual. [31] Including those
at schedule 4, part 1 of the RTI
Act.[32] Section 49(3) of the
RTI Act. [33] Schedule 4, part
2, item 7 of the RTI Act.[34]
Submissions dated 4 May 2020. The applicant also raised ‘the interest
of Justice’ in his submissions dated 3 June
2020.[35] 3FG6LI and
Queensland Police Service [2014] QICmr 32 (29 July 2014) at [30] and
Phyland and Department of Police (Unreported, Queensland Information
Commissioner, 31 August 2011) at
[24].[36] Schedule 4, part 2,
item 1 of the RTI Act. [37]
Schedule 4, part 2, item 3 of the RTI Act.
[38] Schedule 4, part 2, item 11
of the RTI Act. [39] Schedule 4,
part 2, item 10 of the RTI Act.
[40] Schedule 4, part 2, items
16 and 17 of the RTI Act. [41]
In his submissions dated 7 June 2020, the applicant stated that some
of the documents which were partially disclosed to him had previously
been
served on him. I also note that this disclosed information confirms that the
applicant was legally represented in the criminal
proceedings taken against him
and that information was provided to his lawyer as part of those court
processes. [42] Schedule 4,
part 2, items 1, 3 and 11 of the RTI Act.
[43] Willsford and Brisbane
City Council [1996] QICmr 17; (1996) 3 QAR 368 at [17] and confirmed in 1OS3KF and
Department of Community Safety (Unreported, Queensland Information
Commissioner, 16 December 2011) at
[16].[44] Schedule 4, part 2,
item 17 of the RTI Act. [45] The
fair hearing aspect of procedural fairness requires that, before a decision that
will deprive a person of some right, interest
or legitimate expectation is made,
the person is entitled to know the case against them and to be given the
opportunity of replying
to it (Kioa v West [1985] HCA 81; (1985) 159 CLR 550 at 584 per
Mason J).[46] Schedule 4, part
2, items 10 and 16 of the RTI Act.
[47] Submissions dated 7 June
2020. [48] Schedule 4, part 2,
item 12 of the RTI Act. [49]
Schedule 4, part 2, items 5 and 6 of the RTI Act.
[50] Marshall and Department
of Police (Unreported, Queensland Information Commissioner,
25 February 2011) at [15]‑[20]; Brodsky and Gympie Regional
Council [2014] QICmr 17 (2 May 2014) at [32].
[51] Schedule 4, part 2, items
5, 6 and 12 of the RTI Act. [52]
Having carefully considered all factors listed in schedule 4, part 2 of the RTI
Act, I cannot see how disclosing the CTPI Information
could, for example,
contribute to positive and informed debate on important issues or matters of
serious interest (schedule 4, part
2, item 2 of the RTI Act); ensure oversight
of expenditure of public funds (schedule 4, part 2, item 4 of the RTI Act);
or contribute
to the maintenance of peace and order or the enforcement of the
criminal law (schedule 4, part 2, items 15 and 18 of the RTI Act).
In the event
that further relevant factors exist in favour of disclosure, I am satisfied that
there is no evidence before me to
suggest that any would carry sufficient weight
to outweigh the significant weight that I have afforded to the public interest
factors
that favour the nondisclosure of the CTPI Information.
[53] Schedule 4, part 4, section
6 of the RTI Act.[54] Schedule
4, part 3, item 3 of the RTI Act.
[55] Paraphrasing the Australian
Law Reform Commission’s definition of the concept in ‘For your
information: Australian Privacy Law and Practice’ Australian Law
Reform Commission Report No. 108 released 12 August 2008, at paragraph
1.56.[56] Refer to BFU12E and
Metro North Hospital and Health Service [2015] QICmr 21 (31 August 2015) at
[29] to [31] and F60XCX and Department of Natural Resources and Mines
[2017] QICmr 19 (9 June 2017) at [118] to [120].
[57] CTPI Information of
this nature was the only information redacted from 35 pages disclosed to the
applicant. [58] Submissions
dated 4 May 2020. [59] Schedule
4, part 3, item 13 of the RTI
Act.[60] Schedule 4, part 3,
item 16 of the RTI Act.[61] See
for example: P6Y4SX and Queensland Police Service [2015] QICmr 25 (11
September 2015), P6Y4SX and Department of Police (Unreported,
Queensland Information Commissioner, 31 January 2012), and SW5Z7D and
Queensland Police Service [2016] QICmr 1 (15 January 2016) and Marshall
and Department of the Police (Unreported, Queensland Information
Commissioner, 25 February 2011).
[62] Schedule 4, part 3, item 7
of the RTI Act. [63] Section
121(1) of the IP Act. [64]
Section 64 of the IP Act. [65]
Schedule 4, part 2, item 7 of the RTI Act.
[66] Schedule 4, part 2, items
1, 3, 5, 6, 10, 11 and 16 of the RTI Act.
[67] Section 67(1) of the IP Act
and sections 47(3)(b) and 49 of the RTI Act.
[68] Section 137(2) of the IP
Act. [69] Sections 47(3)(e) and
52 of the RTI Act. A document is nonexistent if there are reasonable grounds to
be satisfied the document
does not exist—section 52(1)(a) of the RTI Act.
A document is unlocatable if it has been or should be in the agency’s
possession and all reasonable steps have been taken to find the document but it
cannot be found—section 52(1)(b) of the RTI
Act.
[70] These factors are
identified in Pryor and Logan City Council (Unreported, Queensland
Information Commissioner, 8 July 2010) (Pryor) at [19,] which
adopted the Information Commissioner’s comments in PDE and the
University of Queensland (Unreported, Queensland Information Commissioner, 9
February 2009) at [37]-38]. The key factors include: the administrative
arrangements
of government; the agency structure; the agency’s functions
and responsibilities (particularly with respect to the legislation
for which it
has administrative responsibility and the other legal obligations that fall to
it); the agency’s practices and
procedures (including but not exclusive to
its information management approach); and other factors reasonably inferred from
information
supplied by the applicant including the nature and age of the
requested document/s and the nature of the government activity to which
the
request relates. These factors were more recently considered in Van
Veendendaal and Queensland Police Service [2017] QICmr 36 (28 August 2017)
and P17 and Queensland Corrective Services [2020] QICmr 68 (17 November
2020). [71] Pryor at
[21]. [72] On 23 June 2020.
[73] In October 2020.
[74] Submissions dated
2 November 2020. [75]
Submissions dated
6 May 2021.[76]
Submissions dated 14 May 2021.
[77] Submissions dated
3 June 2020. [78]
Submissions dated 16 October 2020 and 2 November 2020.
[79] I have taken this to refer
to a ‘contemporaneous
log’.[80] Submissions
dated 2 November 2020. [81]
Submissions received 6 May 2021, which included search records and
certifications . [82] These
searches were conducted by ESC Systems Audit and Investigation Unit as well as
individual QPS officers. [83]
Including search records and certifications.
[84] Under 67(1) of the IP Act
and section 47(3)(e) of the RTI Act.
[85] Section 67(1) of the IP Act
and section 47(3)(b) of the RTI
Act.[86] Section 67(1) of the IP
Act and sections 47(3)(e) and 52(1) of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Price and Department of Police [2009] QICmr 14 (27 February 2009) |
Price and Department of Police [2009] QICmr 14 (27 February 2009)
Office of the Information Commissioner
(Qld) Decision and Reasons for
Decision
Application
Number:
210548, 210553, 210554
Applicant:
Mr Ronald Price
Respondent:
Department of Police
Decision
Date:
27 February 2009
Catchwords:
FREEDOM OF INFORMATION – whether the Information Commissioner is
functus officio; s73- whether letters to the agency constitute FOI
applications that give rise to reviewable decisions; whether the Information
Commissioner will exercise a discretion to accept the applications for external
review; where there is a reviewable decision accepted
for review, what is the
correct and preferable
decision?
Contents
REASONS FOR
DECISION
Summary
1.
The applicant’s request for a review of the Information
Commissioner’s Delegate’s Decision is beyond
the power of the
Information Commissioner i.e. the Information Commissioner is ‘functus
officio’.
2. Of
the remaining seven letters sent by the applicant to the Department of
Police or the Queensland Police Service
(QPS), only the letters
dated 27 August 2007 and ‘2 November 2007 (Wrong date4 02.10.2007)’
are applications made under the
Freedom of Information Act 1992 which
give rise to reviewable decisions. Applications for external review were
accepted in respect of those letters.
3. In
relation to the letter dated 27 August 2007, I decline to deal with the
application on the basis that application
concerns access to documents that have
been the subject of an earlier application made by the same applicant to the
same agency.
The earlier applications made by the applicant, were not
withdrawn, the later application has not disclosed any reasonable basis
for
again seeking access to the documents and earlier agency decisions were the
subject of a completed review under part 5 of the Freedom of Information Act
1992.
4. In
relation to the letter dated ‘2 November 2007 (Wrong date4
02.10.2007)’, I decline to deal with the
application on the basis that the
application does not identify the documents to which access is being
sought. The applicant is
advised to make a fresh application to QPS which
sets out clearly the documents sought.
Background
5. By
letter dated 13 May 2005 the applicant applied to QPS for all documents related
to himself with respect to a lengthy
list of matters including a 1991 traffic
conviction, assault convictions, matters involving ‘McDonald v
Price’, ‘Smith
v Price’, the Department of Veteran’s
Affairs, the Nominal Defendant the Vietnam Veteran’s Counselling Service
etc. QPS failed to make a decision within the time frame prescribed by the
Freedom of Information Act 1992 (FOI Act).
6.
By letter dated 25 July 2005 the applicant sought external review of QPS’s
deemed decision to refuse access.
7. By
decision (the Delegate’s Decision) dated 29 June 2007, the Delegate
of the Information Commissioner decided that to the extent the application for
external review
sought review of QPS decisions which had been the subject of
previous reviews by the Information Commissioner, or to revisit issues
of
‘sufficiency of search’ which had been determined in previous
reviews, the application was vexatious. The delegate
found that the
majority of issues raised in the external review application dated 25 July 2005
had already been considered in 12
previous external reviews of QPS decisions and
that the applicant was seeking a re-hearing of the reviews.
8.
With regard to the balance of documents considered in the Delegate’s
Decision, it was essentially decided the
applicant:
• should be given access to a
number of documents including a tape recording of an interview with Constable
McDonald and
the typed summary of that interview;
• should not be given access to a
number of documents as he did not respond to the Delegate and was taken to no
longer
contest the refusal of access.
9. On
27 July 2007 QPS applied to the Supreme Court for a statutory order of review of
the Delegate’s Decision to
release the tape recording of an interview with
Constable McDonald and the associated summary.
10. By letter dated 27 June
2008 to the Information Commissioner the applicant requested a review of the
Delegate’s
Decision on the basis that it contained serious errors.
The applicant also asked that he be allowed an extension of time within
which to
make an external review application with respect to each FOI application he had
made to QPS since its application for a
statutory order of review.
Decision under review
11. Each letter forwarded by
the applicant to the Office of the Information Commissioner (the Office)
is analysed to ascertain whether the letters constitute an FOI application that
gives rise to a reviewable decision.
Steps taken in the external review process
12. By letter dated 30 June
2008 and with reference to the applicant’s request for a review of the
Delegate’s
Decision, the Acting Information Commissioner advised the
applicant of the avenues of appeal in circumstances where he was aggrieved
by a
decision of the Information Commissioner. The applicant was also asked to
provide copies of FOI applications in respect of
which he was seeking an
external review and the basis on which he sought any extension of time.
13. By letter dated 2 July
2008 the applicant referred the Office to ‘a deemed refusal of my FOI
applications contained in my enclosed copy of letters to the Queensland Police
Commissioner, through his
solicitors.’ Attached to the
applicant’s letter were eight letters dated 13 May 2005,
27 August 2007, 30 August 2007, 3 September 2007,
6 September 2007, 24 September 2007
“2 November 2007 (Wrong date4 02.10.2007)” and
18 March 2008. The applicant has sought an extension of time in
which to make an external review application, if necessary.
The letter
dated 13 May 2005 related to the applicant’s request for a review of the
Delegate’s Decision. The other
letters related to his application
for an external review concerning FOI applications made since 27 July
2007.
14. By letter dated 3 July
2008 the applicant was advised with respect to his request for a review of
Delegate’s Decision
that he had already been advised of his appeal avenues
and that as the function of the Information Commissioner had been discharged,
nothing remained to be done i.e. the Information Commissioner was functus
officio. With respect of his application for external review, the
applicant was advised that the Office had written to QPS seeking a status
report
on its processing of any FOI application.
15. By letter dated 3 July
2008 the Acting Information Commissioner wrote to QPS advising it that the
Office was functus officio with respect to the FOI application dated 13
May 2005 and seeking a status report on the FOI applications made since 27 July
2007.
16. QPS subsequently
telephoned the Office to clarify which of the applicant’s letters might
constitute FOI applications.
It was agreed that QPS focus any submissions
it made on the letters dated 27 August 2007 and
‘2 November 2007 (Wrong date4
02.10.2007)’.
17. On 16 July 2008 QPS
telephoned the Office to confer on QPS’s plans to proceed with the FOI
application made after
the application for statutory order of review by
identifying and processing those documents that were not considered previously
at
external review. The Acting Information Commissioner was not opposed to
QPS initiating that course of action.
18. By letter dated 28 July
2008 QPS wrote to the Office advising its views with respect to the letters
dated 27 August 2007
and ‘2 November 2007 (Wrong date4
02.10.2007)’.
19. The applicant submitted
that the reason of functus officio did not apply to his request for a
review of the Delegate’s Decision as administrative decisions can be
re-made in certain
circumstances.
20. A preliminary view dated
13 February 2009 was sent to the applicant and written submissions were
requested by 27 February
2009. A copy of the preliminary view was provided
to QPS on 16 February 2009. No further submissions were sought from
QPS.
21. No written submissions
were received from the applicant.
Matter in issue
22. With respect to the
letter dated 13 May 2005, the question is: Does the Information Commissioner
have the power to vary
or revoke an external review decision?
23. With respect to the
remaining seven letters, the questions to be answered are; which, if any,
constitute FOI applications
out of which reviewable decisions
arise?
24. In relation to any
reviewable decisions, will the Information Commissioner exercise a discretion to
accept the application
for external review out of time?
25. If an application for
external review is accepted, what is the correct and preferable view?
The law
26. Section 72 of the FOI Act
requires external review proceedings to be conducted with as little formality
and technicality,
and with as much expedition, as the requirements of the Act
and a proper consideration of the matters before the Commissioner permits.
As the applicant has requested a statement of reasons in relation to the
decision that the Information Commissioner is functus officio and has
stated that the Acts Interpretation Act gives the Information
Commissioner the power to amend or repeal external review decisions, some
consideration of the legal issue is
given in this decision.
27. Section 73 of the FOI Act
states:
73 Applications for review
(1) An application for review must-
(a) be in writing; and
(b) specify an address of the applicant to
which notices may be sent under this Act; and
(c) give particulars of the decision for
review; and
(d) be made within 28 days from the day on
which written notice of the decision is given to the applicant, or within the
longer
period the commissioner allows.
(2) The application may contain particulars of
the basis on which the applicant disputes the decision under review.
(3) A person is not entitled to apply to the
commissioner for review of a decision (other than a decision of a Minister or
the
principal officer of an agency) unless—
(a) an application has been made (whether by
the person or another person) under section 52 or 60 in relation to the
decision;
and
(b) the person has been informed of the
result of that review or the period of 28 days mentioned in section 52(6) or
60(6) has
ended.
Decision
28. The decisions with
respect to each of the eight letters attached to the applicant’s
application for external review
are set out in turn.
Letter dated 13 May 2005 – External Review Application No 210548
29.
The letter dated 13 May 2005 constitutes the FOI application made to QPS in 2005
and in respect of which a reviewable
decision was ‘deemed’ to have
been made by the statute. The QPS deemed decision to refuse access to
documents was subject
to external review and decision. The
Delegate’s Decision is presently the subject of an application for a
statutory order
of review before the Supreme Court.
30. By letter dated 27 June
2008 the applicant requested a review of the Delegate’s Decision on the
basis that it contained
serious errors. The applicant submits
administrative decisions can be re-made in certain circumstances.
31. My decision is that I
have no power to amend or repeal any external review decision. In
considering the bases for review
submitted by the applicant, I do not agree with
them. Reasons for these views follow.
32. The Delegate’s
Decision is a valid, final decision made in accordance with the requirements of
the FOI Act. The
requirements of section 89 of the FOI Act have been
met. Importantly, the decision was conveyed to both the applicant and the
respondent,
QPS. It was lawfully made, the Delegate holding the necessary
delegation and the conduct of the review conforming to the requirements
of
procedural fairness.
33. The applicant claims the
decision contains serious errors. In his letter dated 27 June 2008 the
applicant states:
I also request that you take an opportunity to review the improper
decision by the Delegate (my words) not to review the Police matter as
she amongst other serious errors claimed I was vexatious and all previous
decisions had been done
with fairness etc.
34. With respect to the
applicant’s claim that the Delegate “claimed he was
vexatious”, the Delegate did
not decide that the applicant was
vexatious. The Delegate decided that the application (not the applicant)
for external review was
vexatious given 12 previous applications for external
review had been made by the same applicant concerning the same documents.
The serious error upon which the applicant seeks a review of the
Delegate’s Decision can be characterised as no more than the
applicant not
agreeing with the Delegate’s Decision that his application was
vexatious. Such an issue provides no ground for
a review of the
Delegate’s Decision by me.
35. By letter dated 21 August
2006 the Information Commissioner’s Delegate afforded the applicant the
opportunity of
making submissions in relation to her preliminary view that part
of the external review application was vexatious.
36. In response to the
Delegate’s preliminary view that part of his application was vexatious, to
the extent it had
been the subject of previous decisions and should not be dealt
with further by the Information Commissioner, the applicant made two
submissions
dated 30 August 2006 and 7 September 2006. The applicant stated he
did not accept the preliminary view. The applicant’s
further
submissions were mere claims that the decision maker was biased, corrupt, dirty,
crooked and tainted etc. The decision that
that part of the application
was vexatious was subsequently made by the Delegate.
37. The applicant was given
ample opportunity to be heard. There was no procedural
error.
38. In his letter dated 3
July 2008 the applicant also states:
The Delegate (my words) and others believed the corruption
would continue with everything to be brushed over again. With respect,
there is a constitutional
right for me to have previous decisions looked at
again by the same judge if a decision has been corrupted by unlawful activity.
39. It appears that the other
form of serious error claimed by the applicant is that the Delegate’s
Decision was corrupted
by unlawful activity, and that the Delegate was complicit
in not allowing the corruption to be discovered by refusing to review a
matter
that had already been subjected to 12 previous reviews. No reasonable
person would expect a thirteenth external review of
achieving an outcome not
previously achieved by the applicant in the previous 12 reviews.
40. There is no information
or evidence of any corruption or criminal activity or unlawful conduct of any
kind in the exercise
of delegated powers. There is no information or
evidence that the Delegate’s Decision was corrupted by unlawful
activity.
The making of mere allegations of corruption without any form of
substantiation or credible information provides no basis for review
of the
Delegate’s Decision.
41. As the applicant has
already exercised his right to an external review with respect to his FOI
application dated 13 May
2005, and the review was finalised, the Office has
discharged its responsibility and has nothing left to do. There are no
errors
in the decision that may make it invalid.
42. Once a decision on an
external review is made, the only provision in the FOI Act authorising or
empowering the Commissioner
to alter a decision is found in section 89A which
allows the Commissioner at any time to correct an error in a decision if the
Commissioner
considers there is an obvious error and the error resulted from an
accidental slip or omission.
43. The applicant is not
seeking a correction of an obvious error in the Delegate’s Decision and it
follows that the
Commissioner has no power under the FOI Act to set aside, vary
or correct the Delegate’s Decision on the basis that it contained
some
serious error.
44. The applicant has
contended that section 24 AA of the Acts Interpretation Act 1954 (Qld)
permits the Commissioner to review, uphold, vary or set aside the
Delegate’s Decision.
45. Section 24AA of the
Acts Interpretation Act 1954 provides as follows:
24AA Power to make instrument or decision includes power to amend or
repeal
If an Act authorises or requires the making of an instrument or
decision—
(a) the power includes power to amend or repeal
the instrument or decision; and
(b) the power to amend or repeal the
instrument or decision is exercisable in the same way, and subject to the same
conditions,
as the power to make the instrument or decision.
46. The application of
section 24AA of the Acts must be considered in light of the Acts
Interpretation Act 1954 as a whole. Section 24AA may be displaced
wholly or partly, by a contrary intention appearing in any Act. (See section 4
of the Acts Interpretation Act 1954.)
47. The question is whether
or not there is a contrary intention in the FOI Act that displaces wholly or
partly the authority
provided by section 24AA to amend or repeal the
Delegate’s Decision.
48. In Queensland
Newspapers Pty Ltd v Stjernqvist [2007] 1 Qd R 171 Douglas J, without
deciding the point, doubted that any power conferred by section 24AA could be
used “as a substitute for
the appeal process or the power of review given
by the Judicial Review Act 1991” in respect of
orders made by the Magistrates Court under section 12 of the
Bail Act 1980 prohibiting the publication of evidence or
information decisions about a bail application. Because of the quasi
judicial nature of the Information Commissioner’s decisions, a similar
doubt must arise in the context of the FOI Act, with the decisions
of the
Information Commissioner being reviewable under the
Judicial Review Act 1991.
49. In Aurukun Shire
Council v CEO Office of Liquor Gaming and Racing (unreported) [2008] QSC
305, Jones J found that where a legislative scheme was directed to the making of
a determination such that it called for finality in
respect of any decision made
under the scheme, the legislation expressed a “contrary intention”
for the purposes of sections 4 and 24AA of the Acts Interpretation Act
1954, as it would “offend against the spirit of the legislation and
the clear intention of the legislature for a decision, once
made, to be the
subject of arbitrary reconsideration or repeal. Section 89 of the FOI Act
requires the Commissioner to make a written
decision at the end of a
review. As the FOI Act makes clear that a determination by the FOI
Commissioner calls for finality in respect
of any decision made under the
scheme, the FOI Act expresses the necessary “contrary intention” for
the purposes of sections 4 and 24AA of the
Acts Interpretation Act 1954.
50. The limitation of the
Commissioner’s powers to the express powers conferred by section 89A of
the FOI Act, the power
of review given by the Judicial Review Act 1991
provides a sufficient basis for me to form the view that the Commissioner does
not have any power to vary, revoke or affirm an external
review
decision.
51. This approach is
otherwise more generally supported by the common law. Gummow J considered
the history of similar provisions
in the
Acts Interpretation Act 1901 (Cth) in Minister for
Immigration and Ethnic Affairs v Kurtovic [1990] FCA 22; (1990) 21 FCR 193 where he
noted
...there was “an inconvenient common law doctrine of somewhat uncertain
extent to the effect that a power conferred by statute
was exhausted by its
first exercise”...however, s33(1) of the Acts Interpretation Act 1901
(Cth)...provides that where an Act confers a power or imposes a duty, then
unless the contrary intention appears, the power may be
exercised and the duty
shall be performed “from time to time as occasion requires”.
But in any given case, a discretionary
power reposed by statute in the decision
maker may, upon a proper construction, be of such a character that it is not
exercisable
from time to time and it will be spent by the taking of such steps
or the making of the statements or representations in question,
treating them as
a substantive exercise of the power. The result is that when the decision
maker attempts to resile from his earlier
position, he is prevented from doing
so not from any doctrine of estoppel, but because his power to do so is spent
and the proposed
second decision would be ultra vires. The matter is one
of interpretation of the statute conferring the particular power in issue.
52. Chesterman J considered a
number of authorities illustrating the application of similar provisions in
other Australian
jurisdictions and the United Kingdom in
Firearm Distributors Pty Ltd v Carson and Ors [2000] QSC 159; [2001]
2 Qd R 26. His Honour found at paragraph 32 an
“underlying reasoning”
that where a power is adjudicative in nature, affecting rights or
liabilities, it can only be exercised once, such a view would accord
with the
law relating to arbitrarial awards and judicial pronouncements. The common
law very early insisted that an arbitrator could
not vary or recall an
award. The rule was very strict.
53. Decisions of the
Information Commissioner are adjudicative in nature, and following Chesterman
J’s reasoning, this
provides a further basis on which to decline the
applicant’s request to review the Delegate’s Decision.
54. In Ping v
Medical Board of Queensland [2004] 1 Qd R 282 Moynihan J at 284 held that
where an Act required a statutory body to decide or elect to proceed by one of
two alternative courses,
then, having chosen one course, section 24AA could not
operate to authorise the statutory body to repeal the decision and elect to
proceed by the alternative course.
55. In the Court of Appeal
decision Re Petroulias [2004] QCA 261; [2005] 1 Qd R 643 McMurdo P at 655 thought it
arguable that the power found in section 24AA could be used by the Registrar of
the Court to review and
re-exercise a decision to register a solicitor, where
the decision had been based on mistaken facts. In expressing this view,
Her
Honour noted:
With very limited exceptions such as fraud or clear statutory statements,
administrative decisions, once given effect by communication
to the affected
party, are irrevocable: Goulding v Chief Executive, Ministry of Fisheries.[1] This
is because the decision-making power is spent.[2]
56. In light of all of the
above judicial authority it appears clear to me that once the decision making
power of the Commissioner
has been exercised, the power is spent. The
Commissioner may not amend or repeal an external review decision under section
24 AA
of the AIA.
57. My decision therefore is
that the applicant’s submission that section 24AA of the Acts
Interpretation Act 1954 cannot be accepted and I must conclude that his
request for a review of the Delegate’s Decision is beyond the power of the
Commissioner and that the Information Commissioner is functus officio in
these circumstances.
Letter dated 27 August 2007 – External Review Application number
210553
58. The applicant’s
letter dated 27 August 2007 is addressed to the ‘Commissioner of Police
c/- Mr Colin Strofield’,
the then QPS solicitor and requests ‘all
documents related to myself, and or my family and or my property and or also
related to other agencies such as the Department
of Veteran Affairs/Vietnam
Veterans Counselling Service etc to a proper record in your agency and documents
to myself.......I request
these documents under FOI and to be both viewed and
supplied on computer disc’.
59. In its submissions QPS
state that the applicant’s letter dated 27 August 2007 was not
dealt with by the FOI Unit
but directed to QPS solicitors in accordance with the
applicant’s address on the letter. QPS understood the letter to be
further
submissions in relation to his FOI application of 13 May 2005 and as
that matter had been the subject of an external review conducted
by the Office
of the Information Commissioner, it was not treated as a separate
‘fresh’ application. On a re-examination
of the letter, QPS
conceded that the letter was a fresh FOI application. QPS submitted that
as the letter dated 27 August 2007 sought
the same documents the applicant
sought in his FOI application dated 13 May 2005, it was open to it to refuse to
deal with this ‘application’
under s29B(4)(a)(ii) of the FOI
Act.
Does the letter constitute an FOI application out of which a reviewable
decision arises?
60. It is clear on its face
that the letter dated 27 August 2007 is an FOI application. As QPS did not
process the application
within the statutory time frames, QPS was deemed to have
refused access to documents on or about 12 October 2007. This is a
reviewable
decision.
Will the
Information Commissioner exercise a discretion to accept the external review
application out of time?
61. As QPS did not recognise
the FOI application as an application under the FOI Act, it did not process the
application or
give the applicant the required notice under section 27(5A) of
the FOI Act notifying him of the deemed decision and his right of
external
review. As the applicant did not receive the prescribed notice, the 28 day
statutory period within which he was required
to make an application for
external review did not commence. Section 73 of the FOI Act requires
applications for review to be made
within 28 days from the date an applicant is
given notice of the decision. It might be open to argue on a technical
reading of the
provision that because no notice had been given, the applicant is
not entitled to an external review of QPS’s decision. However,
a
procedural failure of this kind should not be used to disentitle an applicant,
only to cause the inconvenience of re-applying for
external review, once QPS had
been asked to meet its lawful requirements under the FOI Act. On this
basis, the external review application
is accepted.
What is the correct and preferable view?
62. Under section 29B of the
FOI Act an agency may refuse to deal with an application under section 29B if an
applicant applies
to an agency for access to documents that have been the
subject of an earlier application made by the same applicant to the same
agency. I am satisfied from an examination of the wording in the letters
dated 13 May 2005 and 27 August 2007 that:
• the applicant is requesting the
same documents subject of an earlier application made by the applicant
• the earlier application was not
withdrawn
• the later application has not
disclosed any reasonable basis for again seeking access to the documents and
• that the earlier agency decision
was the subject of a completed review under part 5 of the FOI Act. On that
basis I
have decided to set aside the agency’s deemed decision to refuse
access to documents and make a decision to refuse to deal
with the application
under section 29B.
Letter dated 30 August 2007
63. The letter dated 30
August 2007 is addressed to “The Commissioner of Police c/- Mr Colin
Strofield” and concerns
the QPS application for a statutory order of
review. In it the applicant states:
‘In this current matter (meaning the judicial review) on the
03.08.07, you will remember I attempted to make submissions to Justice
Daubney but was abruptly cut off. I was in fear of
his position, his
manner and demeanour at the time. I am not attempting to screw up a court
matter with unnecessary requests......
Do I have to make an FOI application
for such documents of your agency so that I may form an opinion as to what I may
do in this matter
before the Court. (my emphasis)
Does the letter constitute an FOI application out of which a reviewable
decision arises?
64. It is this last
statement, underlined by me, which makes it clear that this letter is not an FOI
application but a request
for documents in the context of the application for a
statutory order of review presently before the Supreme Court.
65. As the letter is not an
FOI application, no reviewable decision arises. No entitlement to an
external review under section
73 of the FOI Act arises in the absence of an FOI
application, internal review and/or a deemed decision by the
agency.
Letter dated 3 September 2007
66. The letter dated 3
September 2007 is addressed to “The Commissioner of Police c/- Mr Colin
Strofield” and
commences:
I am not willing to sign a document at the moment that states I am ready
for trial when I am clearly not ready. I am hoping parties
to this
matter will see sense and supply the requested documents etc.
Does the letter constitute an FOI application out of which a reviewable
decision arises?
67. The letter dated 3
September 2007 is a letter to the Commissioner of Police refusing to sign a
Readiness for Trial certificate
in relation to the QPS application for a
statutory order of review. While the letter makes a request for
information, the fact that
the letter is directed to QPS’s solicitor and
clearly canvasses procedural issues concerning the judicial review on foot, and
the requested information includes documents of the Information Commissioner to
which the applicant is aware the FOI Act does not
apply, the letter cannot be
considered to be an FOI application.
68. Consequently, my decision
is that there is no reviewable decision. The applicant is therefore not
entitled under section
73 of the FOI Act to an external review.
Letter dated 6 September 2007
69. The letter dated 6
September 2007 is addressed to “The Commissioner of Police c/- Mr Colin
Strofield” further
to the letter of 3 September 2007. It attaches a
copy of a letter the applicant sent to the solicitors for the Information
Commissioner
in the context of the judicial review.
Does the letter constitute an FOI application out of which a reviewable
decision arises?
70. On its face the letter
reveals no request for information and cannot be considered an FOI
application.
71. Consequently my decision
is that there is no reviewable decision. The applicant is therefore not
entitled under section
73 of the FOI Act to an external review.
Letter dated 24 September 2007
72. The letter dated 24
September 2007 is addressed to “The Commissioner of Police c/- Mr Colin
Strofield” asking:
Has my Freedom of Information application made in my letter dated the
27 August 2007 been overlooked?
Does the letter constitute an FOI application out of which a reviewable
decision arises?
73. The letter attaches a
copy of a letter the applicant wrote to solicitors for the Information
Commissioner concerning QPS’s
application for a statutory order of review
and an accusation that the Information Commissioner and staff had improperly
accessed
information from the Department of Veteran’s Affairs several
years ago.
74. On its face the letter is
not an FOI application but a follow up letter to the applicant’s FOI
application dated
27 August 2007. Consequently my decision is that there
is no reviewable decision. The applicant is therefore not entitled under
section 73 of the FOI Act to an external review.
Letter dated ‘2 November 2007 (Wrong date4 02.10.2007)’- External
Review No 210554
75. The letter dated ‘2
November 2007 (Wrong date4 02.10.2007)’ is addressed to “The
Commissioner of Police
c/- Mr Colin Strofield” and asks:
Has my Freedom of Information application made in my letter dated the
27.08.07 been overlooked?????
76. QPS in its submission has
stated:
An examination of the facsimile of 2 November 2007 indicates that it is
not a separate matter but is a follow up inquiry to the facsimile
dated 27August
2007.
Does the letter constitute an FOI application out of which a reviewable
decision arises?
77. The applicant is writing
to follow up the processing of his FOI application. However the applicant
also seeks to expand
the scope of his FOI application when he
states:
So that relevant documents and information is not left out, please adjust
the FOI application to this date and answer same. FOI Police catch up
02.10.2007.
In my view such an expansion of scope should have been treated as a fresh FOI
application by QPS as the applicant appears to be seeking
additional documents
to those requested by letter dated 27 August 2007. As QPS did not process
the application within the statutory
time frame, QPS was deemed to have refused
access to documents on or about 17 December 2007. This gives rise to a
reviewable decision.
Will the
Information Commissioner exercise a discretion to accept the external review
application out of time?
78. As QPS did not recognise
the FOI application as an application under the FOI Act, it did not process the
application or
give the applicant the required notice under section 27(5A) of
the FOI Act notifying him of the deemed decision and his right of
external
review. As the applicant did not receive the prescribed notice, the 28 day
statutory period within which he was required
to make an application for
external review did not commence. As the applicant did not receive the
prescribed notice, for reasons
similar to those given above, the discretion to
accept the application is not necessary to be exercised and the procedural error
of the prescribed notice not issuing will be overlooked so as not to
inconvenience the applicant.
What is the correct and preferable view?
79. It is not clear from the
applicant’s correspondence what additional documents he is seeking under
FOI. Section
25(2) of the FOI Act requires FOI applications to provide
sufficient information concerning the document to enable a responsible
officer
of the agency to identify the document/s sought. Additionally, section 73
of the FOI Act requires applicants to give particulars
of the decision for
review. As the application for external review does not contain the
required particulars, the application should
not be accepted. The
preferable course in my view is for the applicant to make a fresh FOI
application to QPS which clearly identifies
the documents he is seeking.
Letter dated 18 March 2008
80. The letter dated 18 March
2008 advises the Commissioner of Police that the letter dated
2 October 2007 should have been
the 2 November 2007. The
applicant also mentions an enclosed copy of documents which should be read by
QPS when viewing a DVD he
also sent.
Does the letter constitute an FOI application out of which a reviewable
decision arises?
81. On its face this letter
is not an FOI application. There is no reviewable decision giving rise to
any external review
rights.
________________________
Julie Kinross
Acting Information Commissioner
Date: 27 February 2009
[1] [2003] NZCA 244; [2004] 3] NZLR. 173, 182-83 [30],
185-186 [42]-[43][2] Minister for Immigration and Ethnic Affairs v Kurtovic
[1990] FCA 22; (1990) 21 FCR, 193, Gummow J at 211
|
queensland | court_judgement | Queensland Information Commissioner 1993- | P64 and Queensland Police Service [2019] QICmr 56 (6 December 2019) |
P64 and Queensland Police Service [2019] QICmr 56 (6 December 2019)
Last Updated: 9 January 2020
Decision and Reasons for Decision
Citation:
P64 and Queensland Police
Service [2019] QICmr 56 (6 December 2019)
Application Number:
314415
Applicant:
P64
Respondent:
Queensland Police Service
Decision Date:
6 December 2019
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION -
REFUSAL OF ACCESS - CONTRARY TO THE CHILD’S BEST INTERESTS - application
on behalf
of child for a transcript of the child’s interview with police -
section 93A of the Evidence Act 1977 (Qld) - section 67(1) of the
Information Privacy Act 2009 (Qld) - whether disclosure of the
information would not be in the child’s best interests - sections 47(3)(c)
and 50 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
An
application on behalf of a child[1]
was made, under the Information Privacy Act 2009 (Qld) (IP Act),
to Queensland Police Service (QPS) for access to documents relating to
the child’s interview with police.
QPS
located 26 pages and decided[2] to
refuse access some information on the basis that disclosure would, on balance,
be contrary to the public interest.
The
child’s mother applied on behalf of the child for external
review,[3] seeking a copy of the
transcript of the child’s interview with police. She submitted that
‘the child’s welfare and protection is the paramount
consideration’.
I
vary QPS’s decision and find that access to the information in issue may
be refused on the basis that its disclosure would
be contrary to the best
interests of the child.[4]
Background
Significant
procedural steps relating to the external review are set out in the Appendix.
The evidence, submissions, legislation and
other material I have considered in
reaching this decision are disclosed in these reasons (including the footnotes
and Appendix).
Reviewable decision
The
decision under review is QPS’s decision dated 2 May
2018.[5]
Information in issue
In
the application for external review, the applicant’s mother advised that
she was requesting a ‘copy of the transcript of
interview’ conducted under section 93A of the Evidence Act
1977 (Qld) (Evidence
Act)[6] between the child and QPS.
Therefore, the information in issue in this review is one-part page and one full
page of a QPRIME Occurrence
that comprises the Interview
Transcript.[7]
Issue for determination
The
issue for determination is whether disclosure of the Interview Transcript would
not be in the child’s best interests, under
section 47(3)(c) of the
RTI Act.
Relevant law
The
IP Act provides an individual a right to access documents of an agency to the
extent they contain the individual’s personal
information.[8] The right of access is
subject to certain limitations, including grounds for refusing
access.[9] Access to information may
be refused where:
the
information is sought under an application made by or for a child
the
information sought comprises the child’s personal information;
and
the
disclosure of that information would not be in the child’s best
interests.[10]
Personal
information is defined in section 12 of the IP Act as ‘information or
an opinion, including information or an opinion forming part of a database,
whether true or not, and whether recorded
in a material form or not, about an
individual whose identity is apparent, or can reasonably be ascertained, from
the information
or opinion.’
The
IP Act and RTI Act provide limited guidance as to what factors are to be
considered in deciding whether disclosure of the information
would not be in the
best interests of the child.[11]
The
‘best interests of the child’ principle is set out in the United
Nations’ Convention on the Rights of the Child
(1989),[12] and has since been
applied in Australia in a number of legal contexts, particularly in family
law[13] and administrative
law.[14]
In
the family law context, courts have recognised that the ‘best interests of
the child’ is not a straightforward test.
For example, in the High Court
decision of CDJ v VAJ[15] the
majority stated that:
It is a mistake to think that there is always only
one right answer to the question of what the best interests of a child require.
Each judge is duty bound to make the order which he or she thinks is in the best
interests of the child... Best interests are values,
not facts. They involve a
discretionary judgement in respect of which judges can come to opposite but
reasonable conclusions.
Determining
the best interests of the child is a multi-faceted test and includes
consideration of the wellbeing of the child, and
factors that will affect the
future of the child, the happiness of the child, immediate welfare and other
matters relevant to the
child’s healthy
development.[16]
In
Re Bradford and Director of Family Services; Commissioner, Australian Federal
Police,[17] the applicant sought
access under the Freedom of Information Act 1982 (Cth) to information
about her four children that were held by the Director of Family Services. In
that case, President Curtis noted
that if there are child protection issues,
disclosure of any information that undermines the relationship between the child
and the
agency charged with the protection of children may not be in the
child’s best interests.[18]
The
Information Commissioner has also previously recognised that it would not be in
a child’s best interests to disclose information
where that disclosure may
impact the child’s trust in a child protection agency or which may result
in damage to the relationship
between the child and the
agency.[19]
Findings and analysis
In
this case, I am satisfied that the information is sought under an application
made for a child.
The
Interview Transcript records a conversation between the child and QPS regarding
events involving the child and the child’s
recollection of the events. I
am therefore satisfied that this information comprises the child’s
personal information.
Contrary to the child’s best interests
In
considering whether the disclosure of the Interview Transcript would not be in
the child’s best interests, I acknowledge
that a parent is generally the
most appropriate person to judge what is in the best interests of their child.
The child’s mother
and representative is genuinely concerned about the
child’s best interests and I understand that she is seeking the Interview
Transcript for this reason. In considering the best interests of the child in
this case, particularly given the very young age of
the child, I have carefully
considered each of the submissions put forward by the child’s
mother.
The
applicant’s mother submits that the Interview Transcript should be
released to enable her to protect the
child.[20] I accept that protecting
the child and ensuring the child’s health and wellbeing is a paramount
consideration in determining
whether disclosure is in the child’s best
interests. While the specific information appearing in the Interview Transcript
has
not been released, the child has disclosed the nature of this information to
her mother,[21] police discussed the
subject matter of the interview with the child’s mother at the time of the
interview, and some information
has been released through the IP access process.
I acknowledge that release of the Interview Transcript would reveal specific
detail
about what the child said in the interview, however having considered the
content of the Interview Transcript as well as the information
already provided
to the child’s mother, I am satisfied that the mother is sufficiently
appraised of the relevant issues in
order to care for and protect her
child.
The
applicant’s mother submits that the child was ‘interrogated by
police without me being present and without informed consent. I only allowed my
child to be alone, without me with
the police officers on the understanding that
I would receive a copy of what was said. It is a serious offence to interrogate
a child
without her parent being
present.’[22] She further
submits that it is contrary to the public interest for police to interview
children without parental consent or a parent
being present, as this would deter
parents from encouraging their children to trust in the
police.[23] It has also been
submitted that refusing access to the Interview Transcript would discourage
parents from allowing children to be
interviewed by
police.[24]
I
acknowledge that police are generally not permitted to question a child
suspect[25] without a support person
present.[26] However, there is
nothing before me to suggest that the child was interviewed as a suspect.
Instead, it appears that the child was
interviewed as the victim of an alleged
crime. QPS’s Operational Procedures Manual states that a parent should not
be the support
person for the interview of a child who is the suspected victim
of an offence.[27] Further, it is an
offence for a person to have unauthorised possession of, or dealing with,
statements obtained under section 93A of the Evidence
Act.[28] The information
previously released to the applicant indicates that police gave a general report
regarding the interview to the applicant’s
mother shortly after its
completion. There is also no objective evidence before me to support the
assertion that the interview was
conducted without the informed consent of the
child’s parent or that there was a mutual understanding that a copy of the
interview
transcript would be provided to the child’s parent following the
interview.
I
consider that the presence of a parent may influence a child’s willingness
or ability to speak freely and frankly to police,
and for this reason, QPS
interviews of this nature are conducted without the presence of a parent. There
is no evidence before me
that QPS’s current practice has resulted in a
reluctance of parents to engage with police and I consider it unlikely that
parents
would avoid seeking police assistance where they suspect their child has
been harmed.
I
consider it is important for QPS officers to be able to conduct interviews and
communicate with very young children in confidence,
to obtain the relevant
evidence necessary to properly investigate a matter involving a child. I am
satisfied that the disclosure
of the specific information exchanged between QPS
and a child in an interview where that child’s parent is explicitly not
present,
could potentially undermine the relationship of confidence between the
child and QPS as the agency charged with the protection of
that child in this
circumstance.[29]
Where
a parent applies to access information under the IP Act on behalf of the
child,[30] the child is taken to be
the applicant. Practically though, disclosure of information through this
process will mean that the parent
accesses the information requested on behalf
of their child. Disclosure of the Interview Transcript in this way may impact
the child’s
willingness to speak freely with police officers in the future
if there are concerns about the contents being reported to their parent,
and in
turn, prejudice QPS’s ability to obtain information from the child. I am
satisfied that this would not be in the child’s
best interests.
The
child’s mother submits that disclosure of the Interview Transcript would
not prejudice QPS’s investigative processes
because there is no
investigation pending.[31] I am
satisfied that there does not have to be a current investigation for
prejudice to occur to an investigative process. Whilst the information
obtained in a particular interview may not, in itself, be enough to lead to a
successful prosecution, it
does not preclude this information being used in
support of any future proceedings, should they
arise.[32]
Disclosure
of the Interview Transcript through this process may have a negative bearing on
any future QPS investigation into similar
allegations by the child by reducing
the weight that can be attributed to the child’s past or future
statements. I am satisfied
that this outcome would also not be in the best
interests of the child.
The
applicant’s mother submits that the investigation information may be
destroyed if the child has to wait until she reaches
the age of majority to
obtain information, and destruction of the Interview Transcript would
‘deprive the child of her
rights.’[33] QPS’s
Retention and Disposal Schedule[34]
requires the retention of all investigation material relating to allegations of
child abuse for 75 years after the last action on
the matter. Given the
relatively recent date of the
interview,[35] I consider it
unlikely that the Interview Transcript will be destroyed prior to the child
reaching the age of majority.
The
applicant’s mother submits that police officers explained that the
interview information can be used as exploitation
material.[36] While I am unable to
disclose in these reasons the content of the Interview
Transcript,[37] I note that both the
Criminal Code Act 1995
(Cth)[38] and Criminal Code
Act 1849 (Qld)[39]
respectively define ‘child abuse material’ and
‘child exploitation material’ as including information that
‘describes’ a child in a specific context. On that basis and
taking into account the reason that the child was interviewed by police,
I
accept this submission and find that it weighs against disclosure. To be clear,
I do not consider that the applicant or her mother
will use the Interview
Transcript inappropriately, however, I consider that unintentional or
inadvertent further disclosure[40]
may result in the risk of this harm and it is relevant to consider this when
determining whether disclosure is in the best interests
of the
child.
In
the family law context, the benefit to a child having a meaningful relationship
with both parents is a primary consideration in
determining the child’s
best interests.[41] The provisions
of the Family Law Act dealing with the best interests of a child are intended to
provide a framework for determining
parenting
orders[42]. For the sake of
completeness here, I have turned my mind to this consideration
and acknowledge that the mother has parental responsibility
for the
child[43] and disclosure of the
Interview Transcript is unlikely to affect the child’s relationship with
either parent.[44]
The
applicant’s mother submits that ‘there is no basis in law, and it
is unethical to prioritise a (young) child’s right to privacy over
her right to be free and safe to disclose what she considers necessary to any
authority with
open communication with her
parents.’[45] Due to the
child’s very young age, I accept that the child has very little privacy
from her mother and, given this application
was made by the mother, on behalf of
the child, I have given no weight to the child’s privacy in determining
whether disclosure
would be contrary to the child’s best interests.
The
applicant’s mother submits that the Interview Transcript contains her own
personal information which she has a right to
access,[46] and at law, the
child’s private information, such as intellectual property, is owned by
her parents.[47] While the
applicant’s mother may have her own right to access personal information,
and a parent may own their minor child’s
intellectual property, I am not
persuaded that these arguments advance the proposition that disclosure of the
Interview Transcript
is in the child’s best interests.
The
applicant’s mother submits[48]
that the Interview Transcript can be disclosed with exempt, contrary to the
public interest and third party personal information
redacted. I have considered
this submission, however I am satisfied that partial redaction would not
sufficiently negate the potential
harm to the child that I have set out above
and even disclosure in this format would not be in the best interests of the
child.
Finally,
the applicant’s mother
submits[49] that the Information
Commissioner has the discretion to release the Interview
Transcript.[50] While an agency may
give access to a document even if a ground on which access may be refused
applies,[51] the Information
Commissioner has no such
discretion.[52]
Conclusion
I
acknowledge that the information in issue in this review is the information
provided by a very young child to QPS in relation to
an incident of concern. The
application is made by the child’s mother, on behalf of the child, for the
child’s personal
information and in these circumstances the IP Act allows
for access to be refused where disclosure would not be in the best interests
of
the child.
As
I have acknowledged previously, a child’s parent is often in the best
position to determine what is in the best interests
of a child and it is only in
exceptional cases that the disclosure of information about a young child, to
their parent acting on
their behalf, would not be in the best interests of that
child. I am satisfied that one of these exceptional circumstances is where
a
young child makes specific disclosures to QPS as part of an interview conducted
under section 93A of the Evidence Act, where the parent of that child is not
present.
In
identifying the relevant factors for my consideration, I note that determining
the best interests of a child is a multi-faceted
test and includes consideration
of the factors that will affect the future and immediate welfare and happiness
of the child.[53] In this case the
factors that I have identified are raised by the nature of the Interview
Transcript, being a record of a conversation
between the child and QPS in
circumstances where the child may potentially have been the victim of a criminal
offence, as well as
the factors raised in submissions made by the child’s
mother.
Having
considered each of the factors explained above, I am satisfied that disclosure
of the Interview Transcript may impact upon
the child’s willingness to
speak to QPS freely and prejudice the conduct of future investigations by QPS in
relation to that
child. I also consider that the possibility of the Interview
Transcript being recognised as child exploitation material adds further
weight
to the conclusion that disclosure, in these
circumstances,[54] would not be in
the best interest of the child.
On
this basis, I consider that disclosure of the Interview Transcript would not be
in the best interests of the child applicant and
access can be refused under
section 47(3)(c) of the RTI Act.DECISION
I
vary QPS’s decision and find that access to the Interview Transcript may
be refused under section 67(1) of the IP Act and
section 47(3)(c) of the RTI
Act.
I
have made this decision under section 123 of the IP Act, as a delegate of the
Information Commissioner under section 139 of the
IP
Act.Shiv Martin Assistant
Information Commissioner Date: 6 December 2019
APPENDIX
Significant procedural steps
Date
Event
25 January 2019
OIC received the external review application dated 24 January 2019.
29 January 2019
The applicant provided additional information in support of the
application.
31 January 2019
OIC notified the applicant and QPS that it had received the application for
external review and requested procedural documents.
4 February 2019
OIC received the requested procedural documents from QPS.
25 February 2019
OIC notified the applicant and QPS that it had accepted the application for
external review of QPS decision dated 11 January 2019
and requested additional
information from QPS.
12 March 2019
OIC received the requested information from QPS.
13 March 2019
OIC requested and received further information from QPS.
18 April 2019
OIC received submissions from the applicant by telephone and OIC clarified
that the applicant sought review of QPS decision dated
2 May 2018. OIC advised
the applicant that it was considering whether to accept out of time the
application for external review of
QPS decision dated 2 May 2018.
24 April 2019
OIC clarified with QPS that the decision under review was QPS decision
dated 2 May 2018 and requested additional information from
QPS.
17 May 2019
OIC received the requested information from QPS.
21 May 2019
OIC received additional information from QPS by telephone and received
submissions from the applicant by telephone.
23 May 2019
OIC requested and received additional information from QPS.
5 June 2019
OIC received additional submissions from the applicant.
6 June 2019
OIC received additional submissions from the applicant.
9 July 2019
OIC conveyed a preliminary view to the applicant and requested submissions
in response if the view was not accepted.
11 July 2019
OIC confirmed to QPS the decision under review was QPS’s decision
dated 2 May 2019 and conveyed a preliminary view that disclosure
of the
transcript of interview would be contrary to the best interests of the child.
9 August 2019
OIC received the submissions from the applicant dated 8 August 2019.
6 September 2019
OIC received additional submissions from the applicant by telephone. OIC
requested that QPS provide the previously released information
to the applicant
and sought to informally resolve the review with the applicant on this basis.
12 September 2019
OIC received notification from QPS that the previously released information
was again provided to the applicant.
30 September 2019
OIC received an additional submission from the applicant dated 26 September
2019.
17 October 2019
OIC requested additional information from QPS regarding its retention and
disposal of records.
18 October 2019
OIC received additional submissions from the applicant.
6 November 2019
OIC received submissions from QPS.
15 November 2019
OIC conveyed a preliminary view to the applicant.
[1] The application was dated 7
March 2018.[2] Decision notice
dated 2 May 2018. QPS also deleted some irrelevant
information.[3] External review
application received by the Office of the Information Commissioner (OIC)
on 25 January 2019. The application was accepted outside the statutory timeframe
under section 101(d) of the IP Act.
[4] Under section 67(1) of the IP
Act and section 47(3)(c) of the Right to Information Act 2009 (Qld)
(RTI Act). [5] The external
review application referred to several applications and decisions by QPS for
certain information. Following consultation
with the applicant’s mother,
the Information Commissioner decided to accept the application for external
review, outside of
the relevant timeframe, in relation to QPS’s first
decision of 2 May 2018. [6]
OIC confirmed the narrowed scope of the review in an email dated 17 October 2019
and telephone discussion with the applicant’s
mother on 18 October 2019.
[7] That is, pages 11 and 12 of
the partially released Occurrence. Certain information appearing on page 11 does
not comprise the transcript
of interview and therefore is not in issue in this
external review. [8] Section 40
of the IP Act. [9] Section 67(1)
of the IP Act sets out that an agency may refuse access to information in the
same way and to the same extent that
the agency could refuse access to the
document under section 47 of the RTI Act, were the document the subject of an
access application
under the RTI Act. Section 47(2) of the RTI Act states that
it is Parliament’s intention that the grounds on which access may
be
refused are to be interpreted narrowly.
[10] Sections 47(3)(c) and 50 of
the RTI Act. [11] Noting that
section 50(3) of the RTI Act sets out that an agency must have regard to whether
the child has the capacity to under
the information and the context in which it
was recorded and make a mature judgement as to what might be in his or her best
interests,
unless the access application was made for the child, as is
the case in this review. [12]
Ratified by Australia in December 1990. This convention provides that the best
interests of the child is a ‘primary consideration’
in decisions
concerning children and defines 'children' as everyone under 18
years.[13] For guidance, see
section 60CC of the Family Law Act 1975 (Cth) (Family Law Act) and
Australian Human Rights Commission, Human Rights Brief No. 1: The Best
Interests of the Child (March 1999) available at <https://www.humanrights.gov.au/our-work/human-rights-brief-no-1>
(accessed on 5 December
2019).[14] Minister of State
for Immigration and Ethnic Affairs v Ah Hin Teoh [1995] HCA 20; (1995) 183 CLR 273.
[15] (1998) 197 CLR 172 at
219.[16] See section 60CC of the
Family Law Act.[17] (1998) 52
ALD 455 (Re
Bradford).[18] Re
Bradford at 458-459.[19]
2YSV6N and the Department of Communities, Child Safety and Disability
Services [2014] QICmr 25 (5 June
2014).[20] External review
application dated 24 January 2019.
[21] This is clear from the
information that has been previously released to the applicant.
[22] Submissions dated 5 June
2019. Similar submissions were made in the external review application dated 24
January 2019 and submissions
dated 8 August
2019.[23] Applicant submissions
dated 6 June 2019.[24]
Submissions dated 8 August 2019 and similar submissions were made in a telephone
conversation on 21 May 2019.
[25] Section 415 of the
Police Powers and Responsibilities Act 2000 (Qld) (PPRA) provides
that part 3 applies to a person being questioned as a suspect of an indictable
offence.[26] Section 421 of the
PPRA. [27] QPS Operational
Procedures Manual, issue 70 (Public Edition) chapter
7.6.1.[28] Section 93AA of the
Evidence Act.[29] As
established in Re Bradford at
458-459.[30] Section 45 of the
IP Act.[31] Submissions dated 6
June 2019. [32] If used for
criminal proceedings, there are strict rules around access to and dissemination
of interviews under section 93 of the Evidence Act (described in section
93AA of the Evidence Act). [33]
Submissions dated 26 September 2019, received by OIC on 30 September 2019.
[34] In an unrelated review, OIC
previously obtained from QPS a copy of the Queensland Police Service
Retention and Disposal Schedule (12 September 2008), QDAN 561 version 7.
[35] The interview was conducted
in 2017.[36] Submissions
received in a telephone discussion between the applicant’s mother and OIC
on 6 September 2019.[37] Section
121(3) of the IP Act. [38]
Section 473.1.[39] Section
207A.[40] Noting that, once
information is disclosed under the RTI Act or IP Act there are no express
limitations on its further use or
disclosure.[41] Section 60CC of
the Family Law Act. [42]
Australian Law Reform Commission, The Best Interests Principle (29 July
2010) available at <https://www.alrc.gov.au/publication/seen-and-heard-priority-for-children-in-the-legal-process-alrc-report-84/16-childrens-involvement-in-family-law-proceedings/the-best-interests-principle/>
(accessed on 27 November
2019).[43] External review
application dated 24 January 2019.
[44] Submissions dated 8 August
2019. [45] Submissions dated 8
August 2019.[46] External review
application dated 24 January
2019.[47] Submissions dated 8
August 2019. [48] External
review application dated 24 January 2019.
[49] External review application
dated 24 January 2019.[50] Under
section 108 of the IP Act. [51]
Section 67(2) of the IP Act.
[52] Section 118 of the IP Act.
[53] For example, see section
60CC of the Family Law Act.[54]
As there are no express limitations on the further use or disclosure of
information disclosed under the RTI Act or IP Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | PDE and The University of Queensland [2009] QICmr 7 (9 February 2009) |
PDE and The University of Queensland [2009] QICmr 7 (9 February 2009)
Office of the Information Commissioner
(Qld) Decision and Reasons for
Decision
Application
Number:
210632
Applicant:
PDE
Respondent:
University of Queensland
Decision
Date:
9 February 2009
Catchwords:
FREEDOM OF INFORMATION – Section 28A(1) of the Freedom of Information
Act 1992 (Qld) – Refusal of Access – How Agency or Minister is
to be satisfied the document does not exist
Contents
REASONS FOR
DECISION
Summary
1. In
this external review the applicant seeks access to a document the University of
Queensland (UQ) contends does not exist.
2.
Having considered the parties’ submissions and evidence, relevant
legislation, case law and decisions, I am satisfied
that access to the document
sought can be refused under section 28A(1) of the Freedom of Information Act
1992 (Qld) (FOI Act) on the basis that the document sought does not
exist.
Background
3. By
application form dated 12 August 2008 (FOI Application) the applicant
lodged a freedom of information application with UQ seeking access to the
results form of a specified UQ course (Course).
4. By
letter dated 29 August 2008 (Original Decision), Mr Zgrajewski, Acting
Freedom of Information Officer, UQ, advised the applicant:
• that UQ had located 3 folios
responding to the FOI Application
• of his decision to release 2
folios in full and 1 folio with information comprising the name and results of
another
student deleted.
5. By
letter dated 3 September 2008 the applicant sought internal review of the
Original Decision (Internal Review Application) and raised procedural
issues in relation to the finalisation of marks for the Course.
6. Mr
Zgrajewski contacted the applicant upon receipt of the Internal Review
Application to explain the difference between
an access application and an
application for amendment under the FOI Act. The applicant confirmed that
he wished to pursue the access
application on the grounds of sufficiency of
search.
7. By
letter dated 19 September 2008 Mr Porter, Secretary and Registrar, UQ:
• indicated that, in accordance
with the FOI request, a copy of the final form of the results for the Course was
provided
to the applicant with the Original Decision
• provided two additional documents
‘which relate to the marks for the course before they were
finalised,’ one of which was a Request to Amend Result After Results
Release form which was signed by the Chief Examiner, UQ, on 4 August
2008
(Request Form 1)
• decided that all documents
responding to the FOI Application had been provided (Internal Review
Decision).
8. On
6 October 2008 the Office of the Information Commissioner (the Office)
received an application for external review of the Internal Review Decision
(External Review Application) stating:
Could you please release complete form of Request to Amend Result after
Results Release from University of Queensland [Request Form 1] after FOI
and internal review failed to release complete form with signature of course
coordinator [course specified] and signature
of (Executive Dean/Academic
Registrar) BACS ...
9.
Attached to the External Review Application is a copy of Request Form 1 with the
word ‘signature’ highlighted
in the signing blocks for the Course
Coordinator and the Executive Dean/Academic Registrar, and the query ‘?
missing why’
handwritten near the word ‘signature’ in each
instance.
10. In the conduct of a
review the Information Commissioner has the power to review any decision that
has been made by an
agency in relation to the FOI application concerned and to
decide any matter in relation to the application that could, under the
FOI Act
have been decided by an agency. [1]
Decision under review
11. The decision under review
is the Internal Review Decision referred to at paragraph 7 above in which UQ
decided that all
documents responding to the FOI Application had been released
to the applicant.
Steps taken in the external review process
12. By facsimile dated 8
October 2008 the Office asked UQ to provide copies of documents relevant to this
external review.
13. In a telephone
conversation on 8 October 2008 the Office notified UQ that the External Review
Application had been accepted.
14. Under cover of a letter
dated 10 October 2008 UQ provided copies of the FOI Application, Original
Decision, Internal Review
Application and Internal Review
Decision.
15. By letter dated 10
October 2008 I informed the applicant that the External Review Application had
been accepted and expressed
a preliminary view that UQ appeared to have located
and released all documents within the scope of the FOI Application on the bases
that the applicant had indicated on his FOI application form that the document
was located in Dr Pemberton’s office; and UQ
advised that the applicant
had been adamant that UQ confine its searches to Dr Pemberton’s
Office. I invited the applicant
to make a written submission if he did not
accept my preliminary view.
16. On 13 October 2008 the
applicant telephoned the Office and submitted that as some signatures were
missing from Request
Form 1, the procedure and the document are illegal.
He outlined his expectation that the Office would address that issue for
him.
17. By e-mail dated 14
October 2008 I explained to the applicant my role, the external review process,
rights of review in
the event he was aggrieved by a decision and reiterated that
my letter of 10 October 2008 invited his submissions to the review.
18. By email dated 14 October
2008 the applicant provided further submissions in support of his application.
19. On 15 October 2008 the
applicant telephoned the Office to confirm receipt of his e-mails and spoke with
me. During the
conversation he reiterated:
• his view that the unsigned
document provided by UQ was illegal
• that it was my role to
investigate UQ. His rights under the FOI Act were explained to him
again.
20. By email dated 16 October
2008 the applicant expressed his intention to seek review of this matter by the
Supreme Court.
21. On 20 October 2008 the
Office conveyed to UQ my view that UQ could not narrow the scope of searches
required in response
to an FOI application to those locations indicated on an
FOI application form by the applicant, i.e. in answer to the requests in
the
form “Please indicate any area in which you do not wish a search to be
made” and “Please specify any other
location that you think may hold
relevant documents:....” UQ accepted this view and agreed to conduct
further searches for
the document sought by the applicant.
22. On 28 October 2008 UQ
advised the Office that another version of Request Form 1 was on file within the
Faculty of Natural
Resources, Agriculture and Veterinary Science (Faculty of
NRAVS) (Request Form 2).
23. By letter dated 28
October 2008 UQ provided a copy of Request Form 2, noting that it did not
contain the signatures sought
by the applicant.
24. On 10 December 2008 the
Office contacted Ms Parke, Freedom of Information Officer, UQ, to request
further information
regarding the absence of Associate Professor
Pemberton’s signature on Request Form 1.
25. By letter dated 7 January
2009, Ms Parke provided submissions concerning Faculty processes, enclosing a
memorandum from
Ms Morgan of the Faculty of NRAVS.
26. On 28 January 2009 the
Office contacted Ms Power of the School of Chemistry and Molecular Biosciences
(School) for further specific information on the change of grade
process.
27. On 29 January 2009 the
Office contacted Ms Logan of the Faculty of NRAVS for additional information
about the process
of amending results.
28. In making my decision in
this review, I have taken into account the following:
• FOI Application
• Original Decision
• Internal Review Application
• Internal Review Decision
• External Review Application
• extract of advice from the School
enclosed as “Attachment 1” to the Internal Review Decision
• UQ’s submissions dated 10
October 2008
• telephone conversation with
applicant on 13 October 2008
• email submission from applicant
dated 14 October 2008
• email submission from applicant
dated 16 October 2008
• file note of telephone
conversation with Ms Parke on 20 October 2008
• file note of telephone
conversation with Ms Parke on 29 October 2008
• file note of telephone
conversation with Mr Zgrajewski on 10 November 2008
• email correspondence from Ms
Parke dated 10 November 2008
• UQ’s letter of 28 October
2008, received 1 December 2008
• file note of telephone
conversation with Ms Parke on 10 December 2008
• UQ’s submissions dated 7
January 2009 and enclosed memorandum from Ms Morgan of the Faculty of NRAVS, UQ
dated
23 December 2008 and Associate Professor Pemberton’s email dated 29
July 2008
• file note of telephone
conversation with Ms Power of the School on 28 January 2009
• file note of telephone
conversation with Ms Logan of the Faculty of NRAVS on 29 January 2009
• Ms Power’s email dated 30
July 2008 to Associate Professor Pemberton
• the Grade Change Report for the
period 4 August 2008 to 8 August 2008
• relevant provisions of the FOI
Act and Acts Interpretation Act 1954 (Qld) (AI Act) as referred to
in this decision
• Explanatory Notes to the Freedom
of Information and Other Legislation Amendment Bill 2005 (Qld)
• case law as cited in this
decision
• decisions of this Office as
referred to in this decision.
Issue in the Review
29. The applicant seeks a
copy of Request Form 1 bearing the signatures of the Chief Examiner, the Course
Coordinator and
the Executive Dean/Academic Registrar.
30. UQ maintains that the
document sought by the applicant was never created and therefore does not
exist.
31. The applicant contends
that the document must exist and that UQ’s search efforts have been
insufficient.
32. In this review the issue
to be determined is whether there are reasonable grounds for UQ to be satisfied
that the document
sought by the applicant does not exist and accordingly,
whether access can be refused under section 28A(1) of the FOI Act.
The law
33.
Sections 28A(1) and (2) of the FOI Act provide:
28A Refusal of access—documents nonexistent or
unlocatable
(1) An agency or Minister may refuse access
to a document if the agency or Minister is satisfied the document does not
exist.
Example—
documents that have not been created
(2) An agency or Minister may refuse access
to a document if—
(a) the
agency or Minister is satisfied the document has been or should be in the
agency’s or Minister’s possession;
and
(b) all
reasonable steps have been taken to find the document but the document can not
be found.
Examples—
• documents that have been
lost
• documents that have been
disposed of under an authority given by the State Archivist.
34. Sections 28A(1) and (2)
of the FOI Act address two different scenarios faced by agencies and Ministers
from time to time
in dealing with FOI applications: circumstances where the
document sought does not exist and circumstances where a document sought
exists
(to the extent it has been or should be in the agency’s possession) but
cannot be located. In the former circumstance,
an agency or Minister is
required to satisfy itself that the document does not exist. If so
satisfied, the agency or Minister is
not required by the FOI Act to carry out
all reasonable steps to find the document. In the latter circumstance an
agency or Minister
is required to satisfy itself that the document sought exists
(to the extent that it has been or should be in the agency’s
possession)
and carry out all reasonable steps to find the document
before refusing access.
35. Section 28A of the FOI
Act is silent on how an agency or Minister satisfies itself about the existence
of a document.
The further requirement in section 28A(2) of the FOI Act of
taking all reasonable steps to find the document (typically searches)
makes it
clear that such steps are not required if the agency is satisfied that a
document does not exist. The construction of section
28A of the FOI Act
does not preclude an agency or Minister from using searches as a means to
satisfy itself that a document does
not exist. Indiscriminate searches
alone however cannot form a reasonable basis on which to decide a document does
not exist.
36. In discussing the
equivalent (though differently constructed) provision, section 24A,[2] in the
Freedom of Information Act 1982 (Cth) Justice Finn
stated the following:
Turning to the scheme of the FOI Act more generally, it is fair to say
that at many places it requires evaluative judgements to be
made and interests
to be balanced (particularly in the exemption provisions)...; and on occasion it
employs “reasonableness”
as a judgemental yardstick of action taken
or to be taken or of anticipated consequences of action... Nonetheless, it is
equally
fair to say that the Act is somewhat indiscriminate in its use of
formulae such as “is satisfied” to indicate explicitly
that the
particular evaluation or judgement required to be made is that of the Minister
or agency and that it is not one ultimately
for a court...
However, what the scheme of the Act does suggest in general terms is that
in a matter: (i) in which the Minister or agency is expected
to balance the
general right of access to documents against another designated public interest;
and (ii) in respect of which that
Minister or agency is to be taken by virtue of
function or responsibility to possess the necessary particular knowledge or
experience
to make the required judgement, then (whether or not the judgement to
be made is circumscribed by other requirements, e.g. designated
relevant
considerations) the judgement will be that of the Minister or agency and not of
the Court. Given the inquiry posed by s24A’s
“all reasonable
steps” requirement this provides some-albeit slight- support for the view
that the requirement being
one tied to intradepartmental or agency structures,
practices and record keeping policies and practices, its fulfilment is one of
which the Minister or agency is to be the judge.[3]
37. What is inferred by this
statement is that to be satisfied that a document does not exist, it is
necessary for the Minister
or agency to rely upon a number of key factors,
including the Minister/agency’s particular knowledge or experience with
respect
to the administrative arrangements of government, the agency structure,
the Minister/agency’s functions and responsibilities
(particularly with
respect to the legislation for which it has administrative responsibility and
the other legal obligations that
fall to it), relevant administrative practices
and procedures including but not exclusively information management
approaches. The
knowledge and experience required will vary from agency to
agency, Minister to Minister and from one FOI application to another.
The
knowledge and experience required in particular cases will not always rest with
individual FOI decision makers alone.
38. What follows is that
neither an agency/Minister nor an external merits review body can be satisfied
that a document does
not exist through a process where an agency/Minister
indiscriminately sends out search traces to particular locations in the
agency/Office
and relies on a nil response. There must be some reference
to those key factors listed in paragraph 37 together with key factors
within the
FOI application or factors reasonably inferred from any other information
supplied by the applicant. Those key factors
will include the nature and
age of the document sought and the nature of the government activity the FOI
request relates to. Searches
undertaken in the context of section 28A(1)
of the FOI Act will be directed by these key factors and those searches
undertaken on
behalf of FOI units by individual business units must include all
reasonable steps to locate the document.
39. This approach, implicit
in FOI practices adopted by many agencies, prevents section 28A of the FOI Act
from providing
a level of protection to those agencies with poor information
management practices or low thresholds in the searches required to
assist FOI
applicants. In such agencies, searches alone may not disclose the
existence of a document that should be or has been
in the agency’s
possession.
40. In applying section
28A(1) of the FOI Act, the following two questions from Shepherd and
Department of Housing, Local Government and Planning[4] have been considered relevant:
(i)
are there reasonable grounds to believe that the requested documents exist and
are documents of the agency as that term is
defined in section 7 of the FOI Act
and if so
(ii) have the search efforts made by
the agency to locate such documents been reasonable in all the circumstances of
the review.[5]
41. Shepherd was not a
review decided with respect to section 28A of the FOI Act. It was a review
in which documents had been located by the
agency however the applicant
submitted that further documents existed. This type of review is commonly
referred to as a ‘sufficiency
of search’ matter. In deciding
whether or not the documents existed, the Information Commissioner took evidence
from both
the applicant and the officer named, weighed the evidence before him
and decided that it was unlikely that further documents existed,
and in any
event, that the agency’s search efforts ‘had fulfilled the
obligation to make all reasonable searches and inquiries to locate requested
documents’.[6]
42. Section 28A was inserted
into the FOI Act after the decision in Shepherd and it specifically
addresses the circumstances addressed in Shepherd—documents that
are nonexistent or unlocatable. It is therefore preferable that general
guidance provided in Shepherd and a number of the earlier review
decisions be aligned with the approach taken in section 28A(1), section 28A(2)
and that the approach
now reflect the ordinary meaning conveyed by the text of
the provision of the FOI Act, taking into account the purpose or object
underlying the Act. Section 4 of the FOI Act
states:
4 Object of Act and its
achievement
(1) The object of this Act is to extend as far as
possible the right of the community to have access to information held by
Queensland
government.
43. Section 28A of the FOI
Act now requires an agency to be ‘satisfied’ as to the existence of
a document. Justice
Finn referred to the test of ‘being
satisfied’ as an evaluative judgement based on the knowledge and
experience of the
agency. Such a judgement requires that the decision be
made on reasonable grounds. In the context of applying section 28A(1) of
the FOI Act the preferred question then is:
Are there reasonable grounds for the agency/Minister to be satisfied that the
requested document does not exist?
44. In the context of
applying section 28A(2) of the FOI Act, the preferred question is then:
Are there reasonable grounds for the agency/Minister to be satisfied that the
requested document has been or should be in the agency’s
or
Minister’s possession?
45. In practice these
questions may be two sides of the same coin and in answering one question, the
other question is answered
in the opposite. The provision however requires
the agency to satisfy itself of either one or the other. Section 28A of
the FOI
Act should now be applied when a question of the sufficiency of searches
otherwise arises.
46. The second question in
Shepherd is presently used in the application of section 28A(1) of the
FOI Act and in sufficiency of search reviews:
Have the search efforts made by the agency to locate the document been
reasonable in all the circumstances of the review?
47. This question now needs
to be brought into line with the test used in section 28A(2)(b) of the FOI Act
to read:
Have all reasonable steps been taken to find the document but the document
can not be found?
In the context of
applying s28A(1) of the FOI Act this question only needs to be asked if an
agency or Minister relies in
part on searches to satisfy itself that the
document does not exist.
48. Section 28A(2) was
inserted into the FOI Act at the same time as section 28A(1) through the
Freedom of Information and Other Legislation Amendment Act 2005
(Qld). Section 28A(2) of the FOI Act provides that in circumstances
where the agency or Minister have satisfied themselves that a
document has been
or should be in their possession, the agency or Minister may only refuse access
to a document if ‘all reasonable steps have been taken to find the
document but the document can not be found.’
49. While the FOI Act is
silent in relation to the requirements of searches undertaken in relation to
section 28A(1), it is
preferable that the ‘all reasonable steps’
test in subsection (2) also be applied should searches be required in relation
to section 28A(1) of the FOI Act. This is because of the proximity of the
sub-sections and of the fact that the existence (or not)
of a document are
mutually exclusive propositions, with the answer to one question providing an
equally certain answer to the opposite
question. If the agency is to be
satisfied on reasonable grounds as to the existence of a document and searches
are required, in
the context of the achievement of the object of the Act, then
an agency or Minister must take ‘all reasonable steps to find the
document’ to locate a document in every circumstance such a question
arises.
50. Confirmation of the
interpretation conveyed by the ordinary meaning of a provision through the
consideration of extrinsic
material is permitted by section 14B of the Acts
Interpretation Act 1954 (Qld). The explanatory notes to the amending
Bill provide that the amendment addresses Finding 96 in the Parliament’s
Legal
and Constitutional Administrative Review Committee’s Report No
32. The preceding discussion to Finding 96 cites section 24A
of the
Commonwealth FOI Act and recommends that an equivalent provision be inserted
into the FOI Act. Section 24A is quoted at footnote
3.
51. The relevant note in the
Explanatory Notes to the Bill, provides:
Clause 18 inserts new s28B which addresses the situation where applications
are made for documents which do not exist or cannot be
found. At present,
the FOI Act does not contain a provision to enable an agency or Minister to
refuse such an application. The
new section provides that an agency or
minister may refuse access to a document if all reasonable steps have been taken
to find the
document and the agency or Minister is satisfied the
document:
• has been, or should be, in the
agency’s or Minister’s possession but cannot be found; or
• does not exist.
The clause addresses LCARC finding 96.
This explanation quite
unambiguously asserts the intention to adopt the approach of section 24A of the
Commonwealth FOI
Act but the intention remains unexpressed by the Queensland
statute. The course of action to be taken by the Office in these
circumstances
is made clear in the joint judgement of Mason CJ and Dawson
JJ:
The speech
(second-reading speech of the Minister when introducing a Bill for the Act
into the House of Representatives) while deserving serious consideration,
cannot be determinative: it is available as an aid to interpretation. The
words of a Minister
must not be substituted for the text of the law.
Particularly is this so when the intention stated by the Minister but
unexpressed
in the law is restrictive of the liberty of the individual. It
is always possible that through oversight or inadvertence the clear
intention of
the Parliament fails to be translated into the text of the law. However
unfortunate it may be when that happens, the
task of the court remains
clear. The function of the court is to give effect to the will of
Parliament as expressed in the law.[7]
52. Section 28A of the FOI
Act is the law which reflects the will of the Parliament. Section 28A of
the FOI Act differs materially
from section 24A of the Commonwealth FOI
Act. This means that the full intentions as expressed in the Explanatory
Notes cannot be
given effect to. However the extrinsic material does
provide support for the approach to the interpretation of the plain meaning
of
the text of section 28A of the FOI Act proposed in paragraphs 42 to 49
above.
53. It is therefore more
appropriate in the context of section 28A of the FOI Act for agencies and
Ministers, when relying
on searches to satisfy themselves that a document does
not exist, to demonstrate that they have taken all reasonable steps to find
the
document, rather than the current approach of ‘reasonable search efforts
in all the circumstances of the review’
following
Shepherd.
54. Adopting this reasoning,
the question to be addressed in this current review is:
Are there
reasonable grounds for UQ to be satisfied that the requested document does not
exist?
If searches are necessary to substantiate a conclusion that the document
sought does not exist, it is appropriate in reviewing the
searches undertaken to
also ask:
Have all reasonable steps been taken to find the document?
55. To be satisfied that the
requested document does not exist, UQ must have reference to the key factors
that arise in this
particular matter including relevant knowledge and experience
of assessment recording processes as they relate to the particular
document
sought by the applicant.
Applicant’s Submissions
56. The applicant has made
the following submissions to this review.
• You did not consider on
10/10/2008 document is illegal according to your department website “In
Queensland, the Freedom of Information
Act 1992 (Qld) gives you a legally
enforceable right... to amend information about your personal affairs that is
inaccurate, incomplete,
out of date or misleading” you need to read your
department website and understand the nature of external review.
• [Ms] Power was surprise when
she knows that I received final grade [for the Course] via mySI.net. [Ms]
Power said your results should
take more time before release it because Dr
Pemberton was just an e-mail her today?
• Because of a missing signature
on a document of the university, the procedure and the document are
illegal
• You had said please remember
that they are not obligated to provide you with an answer on this point you need
to look again to your
department website “The FOI Act also requires
agencies to make available information about
o how they are
organised
o what their functions
are
o what kinds of
decisions they make
o what arrangements
they have for public involvement in their work
o what kind of
documents they hold and how the public can see them
o what rules and
practices they use to make decisions affecting the public.
• You think signed document is
not important and role of FOI UQ is not make sure the document completed but you
send e-mail with your
singe?
UQ’s Submissions
57.
Upon receipt of the FOI Application UQ conducted searches for the document
sought within the School and in the Course
Coordinator’s office. The
relevant documents located were released to the applicant.
58. In the Internal Review
Decision, the decision-maker states ‘I have made further inquiries with
[the School] ... an extract of the advice received from [the School] is enclosed
as Attachment
A’ (Advice). The Advice states in part:
a) All assessment items
are submitted to the School office via ‘iMark’ database... Once the
final assessment has
been uploaded, the Course Coordinator is provided with a
final course summary form for review and signing. This summary constitutes
a list of all students with all assessment results, final percentages and
assigned grade.
b) The Course Coordinator
attends the SMMS Examiners’ meeting held after the end of the exam
period... At the completion
(of the meeting), the Course Coordinator and
appropriate Chief Examiner both endorse the summary form by signing.
c) The course results are
then submitted for approval (via iMark) to the Associate Dean, Teaching &
Learning, Faculty
of BACS...
...
Obviously time constraints do not allow for a repeat of this process
following supplementary and special exam marking. However, a
ratification process occurs via the Request to Amend Results After Release form
process. In this case, the final results
for the student were submitted to
the School office via email. The special exam result was entered
into iMark and a new final percentage was calculated. A new grade was assigned
based on the
course cut-offs. iMark was used to produce the Request to
Amend Results After Release form. The form was signed by the appropriate
Chief Examiner and sent to the student’s Faculty of NRAVS for approval.
[my emphasis]
59. In response to inquiries
from the Office regarding the absence of Dr Pemberton’s signature, under
cover of a letter
dated 7 January 2009, UQ provided a memorandum from Ms Morgan,
Acting Faculty Executive Officer, Faculty of NRAVS. Ms Morgan explains
the
procedure for processing grades using the iMark system (Memo) in
circumstances where the results are amended. The Memo provides, in
part:
The Course Coordinator, in this case Associate Professor John Pemberton,
submits the results (grades) for students in his course by email to the
staff member in the School responsible for uploading all student results, in
this case Ms Cheryl Power... Associate Professor
Pemberton’s email is
recognised by the School and Faculty as his authority in respect of the
results he submitted for [the Course] and the subsequent Request to Amend Result
form. [my emphasis]
60. In a telephone discussion
with the Office on 28 January 2009 Ms Power indicated that her recollection of
events relating
to the administrative processing of the applicant’s
results is as follows:
• Associate Professor Pemberton
emailed her the results of the applicant’s special exam for uploading into
iMark
• iMark automatically calculated
the result in accordance with the cut-offs and a Request to Amend Results After
Release
form was generated
• she printed the Request to Amend
Results After Release form that day and took it to Ms Ward, Chief Examiner, who
signed
the form
• Ms Power then faxed the signed
form, Request Form 1, to the Faculty of NRAVS.
61. On 28 January 2009, Ms
Power provided a copy of Dr Pemberton’s email to her dated 29 July 2008
indicating that he
attached the results for the special exam for the Course as
well as a copy of her email to Dr Pemberton dated 30 July 2008 indicating
that
she had now entered the marks into iMark.
62. Ms Power also indicated
that once the steps outlined in paragraph 60 are completed she would expect the
form to be uploaded
in SI-net (student database) particularly for straight
forward changes such as an SP to a number result. Ms Power would not
anticipate
dealing with the Request to Amend Results After Release form
again.
63. In a telephone discussion
with the Office on 29 January 2009, Ms Logan of the Faculty of NRAVS indicated
that the Executive
Dean does not necessarily sign off result amendments of this
nature as some change of result is implicit when a special exam is
approved.
Ms Logan indicated that once she receives results such as
Request Form 1:
• she checks that the Course
Coordinator and Chief Examiner have approved the new result (Ms Logan noted that
a Course
Coordinator’s approval is implicit if the results have been
entered into iMark)
• if it is a change that is
classified as straight forward such as a Special to a number result (as in this
instance)
she then uploads the information into SI-net.
64. Ms Logan explained that
the Executive Dean’s approval is not required for a straight forward
change of result.
However, at the end of each week, SI-net generates a
Grade Change Report that includes all the changes she has uploaded for the
week.
The Executive Dean signs the Grade Change Report and it is sent to
Central Records.
65. On 29 January 2009, Ms
Logan provided a copy of the Change of Grade Report for the period 4 August 2008
to 8 August 2008.
In line with the information provided by Ms Logan, the
Change of Grade Report was signed by the Executive Dean, Faculty of NRAVS
and
dated 12 August 2008.
66. In summary, UQ submits
that:
• the process adopted by the
Faculty explains the absence of the Course Coordinator and Executive
Dean’s signatures
on Request Form 1
• search efforts have been
fruitless and support the view that the document sought was never created
• all reasonable steps have been
taken to locate the document sought by the applicant but the document cannot be
located
because it was never created.
Findings on material questions of fact
67. Having considered the
parties’ submissions, I make the following findings of fact:
• on 29 July 2008 Associate
Professor Pemberton sent an email to Ms Power which constituted his
authorisation, as Course
Coordinator for the results of the special exam for the
Course for Semester 1 2008
• the results provided by Associate
Professor Pemberton for the special exam undertaken by the applicant were
uploaded
to iMark by Ms Power
• iMark computed a new final
percentage for the applicant and a new grade was calculated based on
pre-determined cut-offs
for the Course
• iMark generated a Request to
Amend Results After Release form in respect of the applicant
• Ms Power printed this form on 4
August 2008 and took it to the Chief Examiner for signature
• the Chief Examiner signed the
form on 4 August 2008
• Ms Power faxed Request Form 1 to
the Faculty of NRAVS to be processed
• on or after 4 August 2008 Ms
Logan received Request Form 1 and uploaded the amended grade into SI-net
(student portal)
without consulting the Executive Dean as Request Form 1
constituted a ‘straight forward’ amendment following an approved
special exam
• Ms Logan signed Request Form 1 on
8 August 2008, indicating that the results were ‘updated in
SI-net’
• the Change of Grade Report was
generated in SI-net and signed off by the Executive Dean on 12 August 2008
• UQ conducted searches for a
version of the Request Form signed by the Chief Examiner, Course Coordinator and
Executive
Dean/Academic Registrar upon receipt of the FOI Application, on
receipt of the Internal Review Application and again during this
external review
and was unable to locate a document fitting this description.
Analysis
68.
The applicant appears to submit that Request Form 1 is illegal because the FOI
Act gives a person a legally enforceable
right to amend certain documents.
Part 4 of the FOI Act is concerned with amendment. The FOI Application
concerns access to documents,
not amendment of documents. Accordingly,
this submission is not relevant to the issues in this review.
69. The applicant also
submits that agencies are required to make information about, for example, how
they are organised and
the kinds of decisions they make, available to the
public. This appears to be a reference to Part 2 of the FOI Act which is
concerned
with requirements on agencies to publish particular information.
This is not a relevant consideration in this external review which
is concerned
with access to documents.
70. Although the applicant
seems to suggest in his submissions that UQ should be required to provide him
with a copy of Request
Form 1 with the signatures he is seeking, the FOI Act
does not require an agency to create a document in response to an FOI
application.
The legal right of access is subject to the FOI Act and
applies only to ‘documents that are or may be, in existence on the day
the application is received’.[8]
71. The applicant submits
that Request Form 1 and the procedure connected with Request Form 1 render
Request Form 1 illegal.
In this external review the applicant contends
that UQ’s searches for the document requested in the FOI Application are
insufficient.
Accordingly, the external review raises the issue of whether
the applicant has been refused access to the document he is seeking.
The
legality or otherwise of Request Form 1 is not a relevant consideration in this
review.
72. On the Request to Amend
Result After Results Release form attached to the External Review Application,
the applicant highlights
the places on the form where he believes the signatures
of the Course Coordinator and the Executive Dean/Academic Registrar are missing
and includes a notation ‘?missing why’. The FOI Act does not
confer a right to obtain answers to questions from Government
agencies or to
require agencies to extract answers from any documents held.[9] This does not mean that an
agency is prohibited by the FOI Act from answering questions, but it means that
the FOI Act does not
require UQ to answer to the applicant’s questions in
this instance.
73. Nonetheless, the
applicant’s questions point to his expectation that because the form
includes signing blocks for
the Course Coordinator and the Executive
Dean/Academic Registrar these individuals would have signed Request Form 1
before the results
were uploaded into Si-Net. Given the layout of Request
Form 1, which provides for the signatures of the Course Coordinator and
Executive
Dean/Academic Registrar, the applicant’s expectation that
Request Form 1 would have been signed by these individuals as well
as the Chief
Examiner is understandable.
Determining whether the document sought was created
74. The applicant raised
sufficiency of search issues when seeking internal review of the Original
Decision. In addressing
this issue it would have been appropriate for the
decision-maker to have reference to the key factors that arise in this
particular
matter including relevant agency knowledge and experience of
assessment recording processes as they relate to the particular document
sought
by the applicant. However, this task was not straight forward because the
framing of the FOI Application made the documents
sought unclear. A version of
the document actually sought by the Applicant was only released on internal
review. It appears from
the Internal Review Decision that the decision-maker was
not aware that this was the particular document sought by the applicant
as he
comments that the document sought by the applicant had already been released
with the Original Decision and Request Form 1
related to the marks for the
Course before they were finalised. Accordingly, the
applicant’s view that another, more complete version of Request Form 1
must be held
by UQ seems only to have emerged on external review.
75. In this review, in order
to be satisfied that access to the document sought can be refused under section
28A(1) of the
FOI Act, it is necessary to:
• identify the process for creating
and processing the document sought
• identify UQ’s usual
administrative process for authorising amended student results for special exams
prior to
the results being uploaded into Si-net and therefore finalised
• ascertain whether there is any
evidence to suggest that there has been any deviation from the usual process and
if so,
investigate the matter further with relevant personnel and possibly
undertake relevant searches.
Are there reasonable grounds to be satisfied that the requested document does
not exist?
76. The answer to this
question is ‘yes’.
77. UQ’s usual process
for amending results after a special exam is initiated by an email from the
Course Coordinator,
which is taken as the Coordinator’s authority as to
the correctness of the results provided with the email. The results are
uploaded into iMark at which time a new final percentage and grade is
calculated. A Request to Amend Results After Release form
is generated for
the particular student. This form is printed and then signed by the Chief
Examiner. The form is then faxed to
the Faculty of NRAVS, where the
results are uploaded into Si-net.
78. In the case of the
applicant’ special exam results:
• on 29 July 2008 the Course
Coordinator emailed the applicant’s results for the special exam to Ms
Power
• on 4 August 2008 Ms Power
uploaded the results into iMark and a Request to Amend Results After Release
form was generated
in respect of the applicant
• Ms Power printed the Request to
Amend Results After Release form and took it to the Chief Examiner to have it
signed
• Ms Power faxed the signed form,
that is, Request Form 1, to the Faculty of NRAVS to be processed
• on or after 4 August 2008 Ms
Logan received Request Form 1 and uploaded the amended grade into SI-net
(student portal)
without consulting the Course Coordinator or the Executive
Dean/Academic Registrar as Request Form 1 constituted a ‘straight
forward’ amendment following an approved special exam
• Ms Logan then signed Request Form
1, indicating that the results were ‘updated in SI-net’
• the Change of Grade Report was
generated and signed off by the Executive Dean on 12 August 2008.
79. In this instance it
is clear that the applicant’s special exam results were processed in
accordance with UQ’s
usual processes for amending results after a special
exam. As explained above, this process does not require the Request
to Amend
Results After Release form to be signed by the Course Coordinator
and/or the Executive Dean/Academic Registrar. Accordingly, there
are
reasonable grounds to be satisfied that the document sought by the applicant
does not exist because it was not created. If so
satisfied, it is
unnecessary for an agency to conduct searches to locate a requested
document.
80. However, had there
been evidence that UQ may have deviated from its usual processes for amending
results after a special
exam, targeted searches and further inquiries with
relevant personnel would have been necessary to establish that all reasonable
steps had been taken to locate the document sought by the
applicant.
81. In this external review I
am satisfied that:
• there are reasonable grounds to
be satisfied that the document sought by the applicant does not exist because it
was
not created
• access to the document can be
refused under section 28A(1) of the FOI Act.
DECISION
82. I vary the decision under
review by finding that UQ was entitled to refuse access to the document sought
in the FOI Application
under section 28A(1) of the FOI Act on the basis that the
document sought does not exist.
________________________
J Kinross
Acting Information Commissioner
Date: 9 February 2009
[1] Section
88(1) of the FOI Act provides:Powers of commissioner on
review
(1) In the conduct of a review, the commissioner has, in addition to any
other power, power to –
(a) review any decision that has been
made by an agency or Minister in relation to the application concerned;
and
(b) decide any matter in relation to the
application that could, under this Act, have been decided by an agency or
Minister...[2] Section 24A of the Commonwealth FOI Act
reads: 24A Requests may be refused if
documents cannot be found or do not exist
An agency
or Minister may refuse a request
for access to a document
if:
(a) all reasonable steps have been
taken to find the document;
and
(c) the agency
or Minister is satisfied that the document:
(i) is in the agency's
or Minister's possession but cannot be found; or
(ii) does not exist.
[3] Chu v
Telstra Corp Ltd [2005] FCA 1730 (Unreported, Finn J, 1 December 2005) at
paragraphs 10 and 11.[4] [1994] QICmr 7; (1994) 1 QAR 464
(Shepherd).[5] Shepherd at paragraphs 18 and
19.[6] Shepherd at paragraph 23.[7] R v Bolton; Ex parte Beane
[1987] HCA 12; (1987) 162 CLR 514, 517-8.[8] Section 25(3) of the FOI Act.
[9] Hearl
and Mulgrave Shire Council [1994] QICmr 12; (1994) 1 QAR 557 at paragraph 30.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Winchester and Queensland Police Service [2017] QICmr 56 (4 December 2017) |
Winchester and Queensland Police Service [2017] QICmr 56 (4 December 2017)
Last Updated: 11 December 2017
Decision and Reasons for Decision
Citation:
Winchester and Queensland Police Service [2017] QICmr 56
(4 December 2017)
Application Number:
313454
Applicant:
Winchester
Respondent:
Queensland Police Service
Decision Date:
4 December 2017
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - NEITHER
CONFIRM NOR DENY - request for documents about a specified
agency officer -
whether the existence of responsive information can be neither confirmed nor
denied - section 55 of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Queensland Police Service (QPS) under the
Right to Information Act 2009 (Qld) (RTI Act) for documents
recording a complaint made, between 8 August 2008 and
24 December 2010, by individuals other than himself about a
specified
officer.[1]
QPS
neither confirmed nor denied the existence of the information sought by the
applicant pursuant to section 55 of the
RTI Act.[2]
The
applicant applied[3] to the Office of
the Information Commissioner (OIC) for external review of the decision.
For
the reasons set out below, I affirm QPS’s decision that section 55 of
the RTI Act applies to the access application.
Background
Significant
procedural steps taken by OIC in conducting the external review are set out in
the Appendix to these reasons.
Reviewable decision
The
decision under review is QPS’s decision dated 3 August 2017.
Evidence considered
Evidence,
submissions, legislation and other material that I have considered in reaching
this decision are disclosed in these reasons
(including footnotes and Appendix).
The
applicant provided OIC with a number of
submissions.[4] While I have
carefully reviewed all of those submissions, including the supporting material
the applicant provided with those submissions,
certain concerns the applicant
has raised are not matters which the Information Commissioner has jurisdiction
to consider in conducting
an external review under the RTI
Act.[5] Accordingly, in reaching this
decision, I have only considered and addressed the applicant’s submissions
to the extent they
are relevant to the issue for determination on external
review.
Relevant law
Under
section 23 of the RTI Act, a person has a right to be given access to
documents of an agency. However, this right is subject
to a number of
exclusions and limitations.
Section
55 of the RTI Act allows a decision-maker to neither confirm nor deny the
existence of a document which, if it exists, would
contain prescribed
information. This provision is intended to apply in situations where revealing
that the agency does or does not
have documents in response to an application,
due to the specific wording of the request, would reveal information to which an
agency
would normally be entitled to refuse access.
‘Prescribed
information’ is defined[6]
as including ‘personal information the disclosure of which would, on
balance, be contrary to the public interest under section 47(3)(b)’ of
the RTI Act.
‘Personal
information’ is defined[7]
as:
‘...information or an opinion, including information or an opinion
forming part of a database, whether true or not, and whether
recorded in a
material form or not, about an individual whose identity is apparent, or can
reasonably be ascertained, from the information
or opinion’.
The
term ‘public interest’ refers to considerations affecting the
good order and functioning of the community and government affairs for the
well-being
of citizens. This means that, in general, a public interest
consideration is one which is common to all members of, or a substantial
segment
of the community, as distinct from matters that concern purely private or
personal interests. However, there are some recognised
public interest
considerations that may apply for the benefit of an individual.
In
assessing whether disclosure of information would, on balance, be contrary to
the public interest, a decision-maker
must:[8]
identify factors
irrelevant to the public interest and disregard
them[9]
identify factors
in favour of disclosure of information
identify factors
in favour of nondisclosure of information; and
decide whether,
on balance, disclosure of the information would be contrary to the public
interest.
Findings
Although
the applicant submits that the requested documents exist ‘as the
complaint was mentioned in [his]
trial’,[10] there is
nothing in the material provided by the applicant in support of his submissions
which independently confirms that any complaint
of the nature sought in the
access application was made. Further, nothing in these reasons should be taken
to confirm or deny that
any complaint was made against the specified officer or
that the requested documents exist.
The
applicant seeks access to documents recording a complaint which he believes was
made about a specified officer. If the documents
did exist, they would identify
and contain information about an individual or individuals who made an
allegation to QPS and the individual
who is the subject of an allegation.
I
consider there are strong public interest factors favouring the nondisclosure of
the type of information sought by the applicant—including
those relating
to the personal information and privacy of a
complainant,[11] the fact that
disclosing a complainant’s identifying details could reasonably be
expected to prejudice the flow of information
to
QPS[12] and disclosing details of a
complaint against a police officer may prejudice QPS’s management function
or its conduct of industrial
relations.[13] If the documents
requested by the applicant did exist, I consider their nature requires that
substantial weight be afforded to each
of these public interest factors
favouring nondisclosure.
The
applicant submits that:
he requires this
information to prove his
innocence;[14] and
as the complaint
was mentioned in his trial ‘it is [his] right to be informed
what the complaint was and the outcome
was’.[15]
Public
interest factors favouring disclosure will arise where disclosing information
could reasonably be expected to:
advance the fair
treatment of individuals and other entities in accordance with the law in their
dealings with agencies[16]
contribute to
the administration of justice generally, including procedural
fairness;[17] and
contribute to
the administration of justice for a
person.[18]
The
fundamental requirements of procedural fairness (that is, a fair hearing and a
decision-maker free from bias) should be afforded
to the person who is the
subject of a decision. Here, the applicant seeks details of a complaint he says
was made by persons other
than himself, about a person other than himself.
While
the applicant considers he requires the requested information to ‘prove
[his] innocence’, I note that:
the applicant
appealed his conviction and sentence to the Court of Appeal
the Court of
Appeal allowed the appeal against the applicant’s conviction on certain
charges[19]
the applicant
was not retried in respect of those
charges;[20] and
the applicant
subsequently made further applications to the Court of
Appeal,[21] however, the
applicant’s further appeals against conviction and sentence were
refused.[22]
In
these circumstances, it is unclear how disclosure of the requested information,
if it existed, would advance the applicant’s
fair treatment in his
dealings with QPS or contribute to administration of justice or procedural
fairness for the applicant. Further,
it is unclear how disclosure of the
requested information, if it existed, would contribute to the administration of
justice, including
procedural fairness, for any other
individual.
For
these reasons, I consider that the factors favouring disclosure relating to fair
treatment and the administration of justice
generally[23] do not apply.
However, for the sake of completeness, I note that even if I were incorrect in
this regard, and these factors could
be said to apply, I consider they
nonetheless warrant low to no weight in favour of disclosure given the nature of
the requested
information and the applicant’s completed appeal processes.
The
applicant has not raised any specific public interest factors favouring
disclosure. As noted above, the applicant seeks documents
recording a
complaint, which he believes was made by an individual or individuals other than
himself, against a police officer.
Factors favouring disclosure relating to
QPS’s accountability[24] and
allowing or assisting inquiry into, or revealing or substantiating, deficiencies
in an official’s conduct[25]
may arise in respect of information of this nature, if it existed. Generally,
there is a public interest in disclosing information
that demonstrates actions
taken by QPS in investigating and dealing with complaints it receives concerning
its officers. However,
in this case, the applicant has not sought information
that demonstrates the actions taken or inquiries made by QPS. He is seeking
only ‘a detailed copy’ of a complaint which he did not make.
Further, the applicant has not identified the nature or subject matter of the
complaint
he believes was made and I do not have any objective evidence before
me to support a reasonable expectation that disclosing the requested
information, if it existed, would allow or assist inquiry into, or reveal or
substantiate, deficiencies in an officer’s conduct.
For these reasons, to
the extent that these factors favouring disclosure may arise, I do not consider
that they would carry sufficient
weight to override the public interest factors
favouring nondisclosure identified above.
I
have carefully considered all factors listed in schedule 4, part 2 of the RTI
Act, and can identify no public interest considerations
telling in favour of
disclosure of the requested
information.[26]
In
balancing the public interest, I consider that, to the extent that any factors
exist which may favour disclosure of the requested
information, those factors do
not carry sufficient weight to override the public interest factors favouring
nondisclosure.
For
these reasons, I am satisfied that the type of information requested by the
applicant, if it exists, would include the personal
information of individuals
other than the applicant and its disclosure would, on balance, be contrary to
the public interest. Accordingly,
I find that the requested information, if it
exists, would contain prescribed information, and QPS is entitled to neither
confirm
nor deny the existence of that information under section 55 of the
RTI Act. DECISION
For
the reasons set out above, I affirm QPS’s decision that the existence of
documents sought by the applicant is neither confirmed
nor denied under section
55 of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act. Assistant
Information Commissioner CorbyDate: 4 December 2017
APPENDIX
Significant procedural steps
Date
Event
17 August 2017
OIC received the external review application.
5 September 2017
OIC notified the applicant and QPS that the external review application had
been accepted and conveyed a preliminary view to the applicant
that QPS was
entitled to neither confirm nor deny the existence of the requested documents.
OIC invited the applicant to provide
submissions if he did not accept the
preliminary view.
7 September 2017
In a conversation with an OIC staff member, OIC received the
applicant’s submissions.
15 September 2017
OIC received further submissions from the applicant.
20 September 2017
OIC received further submissions from the applicant.
21 September 2017
OIC conveyed a further preliminary view to the applicant.
22 September 2017
In a conversation with an OIC staff member, OIC received the
applicant’s further submissions.
26 September 2017
OIC received further submissions from the applicant.
[1] The application dated
7 June 2017 was received by QPS on 13 June 2017.
[2] By decision dated
3 August 2017. [3] The
application dated 10 August 2017 was received by OIC on
17 August 2017. [4] As
set out in the Appendix. [5] Such
as his concerns regarding certain evidence considered at his trial and that the
complainant in that trial was not cross examined
by his legal representative.
Additionally, the applicant’s submissions received on
15 September 2017 include a series of questions
that OIC does not have
jurisdiction to address. [6]
Schedule 5 of the RTI Act.
[7] Schedule 5 of the RTI Act, and
section 12 of the Information Privacy Act 2009 (Qld).
[8] Section 49(3) of the
RTI Act. [9] I have not taken
any irrelevant factors into account in this review.
[10] Submissions received
26 September 2017.
[11] Schedule 4, part 3, item 3
and schedule 4, part 4, section 6(1) of the RTI Act. See Marshall
and Department of Police (Unreported, Queensland Information Commissioner,
25 February 2011) at [27]-[28].
[12] Schedule 4, part 3, item 13
of the RTI Act. See P6Y4SX and Department of Police
(Unreported, Queensland Information Commissioner, 31 January 2012) at
[35]-[40]. [13] Schedule 4, part
3, item 19 of the RTI Act.
[14] External review
application. [15] Submissions
received 26 September 2017. However, I note that the access
application seeks ‘a detailed copy of the complaint’ the
applicant believes was made and does not seek outcome documents or investigation
documents. [16] Schedule 4, part
2, item 10 of the RTI Act.
[17] Schedule 4, part 2, item 16
of the RTI Act. [18]
Schedule 4, part 2, item 17 of the RTI Act.
[19] R v Winchester
[2011] QCA 374. The Court of Appeal also allowed the appeal against the
applicant’s sentence in respect of one charge.
[20] External review
application. Refer also to R v Winchester [2013] QCA 166. I note that
the applicant was resentenced in respect of one charge on 17 October 2012.
[21] Seeking extensions of time
within which to appeal against conviction and sentence, leave to appeal against
sentence and leave to
adduce evidence.
[22] R v Winchester
[2013] QCA 166. [23] Schedule 4,
part 2, items 10, 16 and 17 of the RTI Act.
[24] Schedule 4, part 2, item 1
of the RTI Act. [25]
Schedule 4, part 2, items 5 and 6 of the RTI Act.
[26] Taking into consideration
the nature of the requested information I cannot see how disclosure of the
requested information could,
for example, reasonably be expected to reveal the
reason for a QPS decision (Schedule 4, part 2, item 11 of the RTI Act).
|
queensland | court_judgement | Queensland Information Commissioner 1993- | James and Queensland Police Sevice [2018] QICmr 8 (22 February 2018) |
James and Queensland Police Sevice [2018] QICmr 8 (22 February 2018)
Last Updated: 21 March 2018
Decision and Reasons for Decision
Citation:
James and Queensland Police Service [2018] QICmr 8
(22 February 2018)
Application Numbers:
313460 and 313530
Applicant:
James
Respondent:
Queensland Police Service
Decision Date:
22 February 2018
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST - personal information of another individual
recorded in a
police officer’s notebook - information provided by the applicant to the
police officer - personal information
and privacy - whether disclosure would, on
balance, be contrary to the public interest - section 67(1) of the
Information Privacy Act 2009 (Qld) and sections 47(3)(b) and 49 of the
Right to Information Act 2009 (Qld)ADMINISTRATIVE LAW -
RIGHT TO INFORMATION - REFUSAL OF ACCESS - NONEXISTENT DOCUMENTS - applicant
believes further documents should
exist in relation to her interactions with a
police officer - whether agency has taken all reasonable steps to locate
additional
documents - whether access may be refused on the basis the documents
do not exist - section 67(1) of the Information Privacy Act 2009 (Qld)
and sections 47(3)(e) and 52(1)(a) of the Right to Information Act 2009
(Qld) ADMINISTRATIVE LAW - RIGHT TO INFORMATION - IRRELEVANT
INFORMATION - entries in a police officer’s notebook unrelated to the
applicant or her interactions with police - whether information has any bearing
on, or is pertinent to, the terms of the access application
- whether section 88
of the Information Privacy Act 2009 (Qld) applies
REASONS FOR DECISION
Summary
The
applicant made two separate access applications to Queensland Police Service
(QPS) under the Information Privacy Act 2009 (Qld) (IP Act)
seeking access to the following:
On 15 September 2015 I attended Roma St Police HQ for the purpose of
complaining about what I believed at the time was police harassment.
I was
interviewed by S/Sgt Col Giles who recorded the interview. I request a copy of
S/S Giles report and a list of all agencies
it was sent
to.[1]
and,
All recordings, electronic files, police notebook entries, correspondence,
emails and reports made at and subsequent to an interview
with Senior Sergeant
Col Giles at Police Headquarters Roma Street Brisbane on 15 September 2015
related to Christine James nee
Reynolds.[2]
In
response to the first application, QPS identified two pages of a police
officer’s notebook (Notebook) as containing relevant information
and released these to the applicant in part, subject to the removal of another
individual’s
personal information, and some information QPS considered to
be irrelevant.[3] In response to the
second application, QPS was unable to locate any information and issued a
decision refusing access to information
on the basis that it did not
exist.[4]
The
applicant applied to OIC for external review of both QPS
decisions.[5] The applicant believes
that she should be entitled to an unredacted copy of the Notebook and that QPS
should hold far more documentation
regarding her interactions with Senior
Sergeant Giles such as reports, call records and related correspondence.
For
the reasons set out below, I affirm the decision made by QPS on both
applications.
Background
Significant
procedural steps taken by OIC in conducting these external reviews are set out
in the Appendix to these reasons.
While
considering External Review No. 313460, OIC advised the applicant that, due to
the wording of the access application, the scope
of the review would be limited
to considering whether she was entitled to access the
Notebook.[6] The applicant then made
a second, broader application to QPS to capture any other documents created at
or after the time of the
applicant’s conversation with the QPS officer.
Reviewable decision
The
decisions under review are:
External Review
No. 313460 – the decision deemed to have been made by QPS refusing access
to information in the Notebook;[7]
and
External Review
No. 313530 – the decision dated 3 October 2017 refusing access to
information under section 67(1) of the IP
Act and 47(3)(e) of the Right to
Information Act 2009 (Qld) (RTI Act).
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and
Appendix).
The
applicant provided OIC with extensive written and oral
submissions.[8] I have carefully
reviewed all of those submissions, however, some concerns the applicant has
raised are not matters which the Information
Commissioner has jurisdiction to
consider in conducting an external review under the IP Act and this was conveyed
to the applicant
during the review
process.[9] For example, the
applicant seeks redress for her complaints of police harassment. Accordingly,
in reaching this decision, I have
only considered the applicant’s
submissions to the extent they are relevant to the issues for determination on
external review.
The
applicant emphasised to OIC that her two access applications were interrelated
and in External Review No. 313530, asked OIC to
also consider the submissions
she had provided in External Review No.
313460.[10]
Information in issue
In
External Review No. 313460, the information in issue appears on Page 2 of the
Notebook and comprises:
two handwritten
lines containing the name and address of another individual (Third Party
Information); and
information
pertaining to other QPS matters (Irrelevant Information).
As
QPS did not locate any documents in response to the second application, there is
no information in issue in External Review No.
313530—that review solely
concerns the issue of nonexistent documents, as set out below.
Issues for determination
In
External Review No. 313460, the issues for determination are
whether:
access to the
Third Party Information may be refused on the basis that its disclosure would,
on balance, be contrary to the public
interest; and
section 88 of
the IP Act applies to the Irrelevant Information.
In
External Review No. 313530, the issue for determination is whether there are
reasonable grounds to be satisfied that no documents
exist in response to the
terms of the access application. In examining this issue, it is also necessary
to determine whether QPS
has taken all reasonable steps to locate documents
responding to the application.
Relevant law
Section
40 of the IP Act gives an individual a right to access documents of an agency to
the extent they contain the individual’s
personal
information.[11] However, this
right of access is subject to some limitations, including grounds on which an
agency may refuse access.[12]
The
IP Act is to be administered with a pro-disclosure bias, meaning that access to
information should be provided unless doing so
would, on balance, be contrary to
the public interest.[13] Access may
therefore be refused to information which would, on balance, be contrary to the
public interest to disclose.[14] To
assist in determining whether disclosure of information would, on balance, be
contrary to the public interest, the RTI Act identifies
various factors that may
be relevant to deciding the balance of the public
interest,[15] and explains the steps
that a decision-maker must take in doing so:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to the public
interest. [16]
An
agency may also refuse access to documents which do not
exist.[17] A document is
nonexistent if there are reasonable grounds for the agency or Minister to be
satisfied that the requested document
does not exist. A decision maker must
rely on their particular knowledge and experience to be satisfied that documents
are nonexistent,
and must have regard to a number of key
factors:
administrative
arrangements of government
agency
structure, functions and responsibilities
agency
recordkeeping practices and procedures; and
other factors
including the nature and age of the requested documents and the nature of the
government activity to which the requested
information
relates.[18]
After
considering these factors, an agency may determine that a particular document
was not created because, for example, its processes
do not involve creating the
specific document. Where an agency can adequately explain the relevant
circumstances accounting for
nonexistent documents, it would not be necessary
for the agency to conduct searches. If searches are undertaken, an agency must
demonstrate that all reasonable steps have been taken to locate responsive
documents, prior to deciding that the documents are nonexistent.
In determining
whether all reasonable steps have been taken, the key factors must be considered
together with the circumstances
of the case.
Section
88 of the IP Act permits deletion of information that is not relevant to the
terms of the access application. Section 88
is not a ground for refusing access
to information but a mechanism to allow removal of irrelevant information from
documents identified
for disclosure. To determine if information is irrelevant
under section 88 of the IP Act, it is relevant to consider whether the
information has any bearing upon, or is pertinent to, the terms of the access
application.[19]
Findings
External Review No. 313460
Third Party Information
No
irrelevant factors arise in the circumstances of this review, and I have not
taken any into account in making my decision.
I
accept that there is a general public interest in disclosing information held by
a government agency. I also consider that providing
access to the Third Party
Information would allow increased transparency in the contemporaneous records
made by a police officer,
following interaction with a member of the public, and
thereby enhance the accountability of QPS, to some
extent.[20] However, given the
limited nature of the Third Party Information, I afford this factor only low
weight in favour of disclosure.
The
applicant argues that full disclosure of the information in issue would support
her beliefs about corruption and collusion within
and among various government
agencies, including QPS.[21] The
RTI Act recognises that there is a public interest in disclosing information
that would reveal that an agency or official has
engaged in misconduct or
negligent, improper or unlawful
conduct.[22] However, given the
limited nature of the Third Party Information, I do not consider that this
factor applies. In the circumstances
of this case, I am unable to identify any
other relevant factors favouring disclosure of the Third Party
Information.
I
am satisfied that the Third Party Information comprises the personal
information[23] of another
individual.[24] Given the Third
Party Information appears in an official QPS record, I am also satisfied that
disclosure of that individual’s
details could reasonably be expected to
prejudice the protection of their right to
privacy.[25]
It
is not contested that the applicant provided the Third Party Information to QPS
and I accept that the applicant’s direct
involvement serves to diminish
the weight of the relevant factors favouring nondisclosure. However, they are
not entirely negated.
While the RTI Act does not support an assumption that
release of documents to an applicant is necessarily release to the world at
large,[26] once the information is
disclosed, there is no control over how information may be further disseminated.
Therefore, I consider that
disclosing the Third Party Information in the
particular context of the Notebook, an official record created by a QPS officer,
would
cause a moderate level of harm to that individual’s personal sphere
and moderately infringe upon their privacy.
On
balance, I find that the weight of the factors which seek to safeguard the
personal information and privacy of another individual
is sufficient to outweigh
the public interest in promoting access to information held by government and
enhancing the transparency
and accountability of QPS. Accordingly, I find that
disclosure of the Third Party Information would be contrary to the public
interest
and access to it may therefore be refused under section 67 of the IP
Act and section 47(3)(b) of the RTI Act.
Irrelevant Information
This
information appears on page 2 of the Notebook. The applicant has questioned
the deletion of irrelevant information and generally
submits that full
disclosure is necessary to expose, what she believes is, police corruption and
harassment.[27]
The
terms of the access application are quoted above at paragraph 1 of these reasons. The scope was limited
to a request for information relating to the applicant’s interview with
the relevant
officer.
Due
to the wide range of matters which a police officer is required to attend to in
any given day, a police officer’s notebook
will inevitably record
information relating to various inquiries, individuals and investigations and it
is reasonable to expect that
information about separate QPS matters will appear
on the same page of a notebook.
I
have carefully considered the Irrelevant Information and am satisfied that it
comprises information about QPS matters/activities
that are unrelated to the
applicant’s interactions with police, and therefore, the information is
not pertinent to the terms
of the access application. Accordingly, I am
satisfied that section 88(2) of the IP Act applies to the Irrelevant Information
and
it can be deleted on that basis.
External Review No. 313530
The
applicant has submitted that QPS should hold additional documents in relation to
her interaction with the relevant officer on
15 September 2015, beyond the
Notebook.[28] As set out above, the
applicant specifically made the second application which is the subject of
External Review No. 313530, framed
in broader terms than the first application,
with the expectation that it would elicit further information from QPS. The
applicant
believes a recording of her interaction with QPS should exist, and
that QPS would have created other documents eg. reports, correspondence
and
records of telephone calls.
QPS
provided OIC with emails from the relevant police officer confirming that he had
a conversation with the applicant on 15 September
2015 in which he provided her
with his contact details and some advice. While he subsequently had a telephone
conversation with
the applicant, his recollection is that he did not make a
record of that call. The police officer emphasised that the only record
he
created in relation to his interaction with the applicant was the entry in the
Notebook.[29]
QPS
confirmed that upon receiving the access application, it conducted searches of
the QPRIME database,[30] as is
common practice in response to access applications of this nature; however, no
entries were located in QPRIME.[31]
QPS provided OIC with records certifying those searches had been
conducted.[32]
QPS
submitted to OIC that the applicant’s interactions with the relevant
officer were not treated as a formal complaint, and
therefore, a QPRIME report
was not produced. As a QPRIME report was not created, there was no
incident/matter against which to record
the subsequent telephone conversation.
QPS also submitted to OIC that the discussions with the applicant did not
constitute an interview,
and therefore, an audio recording had not been created.
I
acknowledge that the applicant’s interaction with QPS on 15 September 2015
related to a matter of serious concern to her.
However, I consider it is
reasonable to conclude, from the evidence available to OIC, that QPS did not
treat it as a formal complaint
and as a result, very limited records were
created in relation to it—this approach appears consistent with QPS
recordkeeping
practices. I consider the explanation provided by QPS as to the
nonexistence of further documents is reasonable and is supported
by its searches
and the relevant officer’s response. Also, the entry in the Notebook is
very limited in nature and is therefore,
congruent with QPS’ submissions
that the matter was not treated as a formal complaint, and did not trigger a
QPRIME reporting
requirement.
For
these reasons, I am satisfied that QPS has taken all reasonable steps to locate
documents in response to the access application
and access may be refused to the
requested documents on the basis they do not
exist.[33]DECISION
In
External Review No. 313460, I affirm QPS’ decision to:
refuse access to
the Third Party Information in the Notebook under section 67(1) of the IP Act
and section 47(3)(b) of the RTI Act
on the basis that its disclosure would, on
balance, be contrary to the public interest; and
remove
Irrelevant Information from the Notebook under section 88 of the IP
Act.
In
External Review No. 313530, I affirm QPS’ decision to refuse access to
information under section 67(1) of the IP Act and
section 47(3)(e) of the RTI
Act on the basis that documents responding to the application do not
exist.
I
have made this decision under section 123 of the IP Act, as a delegate of the
Information Commissioner, under section 139 of the
IP
Act.K Shepherd Assistant Information
CommissionerDate: 22 February 2018
APPENDIX
Significant procedural steps
External Review No. 313460
Date
Event
21 August 2017
OIC received the external review application.
22 August 2017
OIC notified QPS and the applicant that the external review application had
been received and requested relevant procedural documents
from QPS.
28 August 2017
OIC received the procedural documents from QPS.
1 September 2017
OIC received submissions from the applicant.
4 September 2017
OIC notified QPS and the applicant that the external review application had
been accepted and requested further information from QPS.
21 September 2017
OIC received the requested documents from QPS. OIC conveyed a preliminary
view to the applicant that access to the information may
be refused under
section 67 of the IP Act and section 47 of the RTI Act. The applicant provided
submissions to OIC, contesting the
preliminary view.
22 September 2017
OIC received submissions from the applicant.
27 September 2017
OIC provided the applicant with an update on the status of the
review.
28 September 2017
OIC received submissions from the applicant.
9 October 2017
OIC wrote to the applicant confirming the preliminary view that access to
the information may be refused under section 67 of the IP
Act and section 47 of
the RTI Act. OIC received further submissions from the applicant.
10, 12 and 13 October 2017, and 1 November 2017
OIC received further submissions from the applicant.
2 November 2017
OIC provided the applicant with an update on the status of the review and
received submissions from the applicant.
4 January 2018
OIC provided the applicant with an update on the status of the
review.
22 January 2018
OIC received submissions from the applicant.
24 January 2018
OIC provided the applicant with an update on the status of the
review.
External Review No. 313530
Date
Event
10 October 2017
OIC received the application for external review.
11 October 2017
OIC notified QPS and the applicant that the external review application had
been received and requested relevant procedural documents.
12 and 13 October 2017
OIC received submissions from the applicant.
17 October 2017
OIC received the procedural documents from QPS.
18 October 2017
OIC notified QPS and the applicant that the external review application had
been accepted and requested search records from QPS.
24 October 2017
OIC received search records from QPS.
1 and 2 November 2017
OIC provided the applicant with an update on the status of the review and
received submissions from the applicant.
1 December 2017
OIC requested further search information from QPS.
12 December 2017
OIC provided QPS with an update on the status of the review and received
submissions from QPS.
4 January 2018
OIC provided the applicant with an update on the status of the
review.
5 January 2018
OIC conveyed a preliminary view to the applicant that access to any further
information may be refused under section 67 of the IP
Act and section 47(3)(e)
of the RTI Act.
8 January 2018
OIC provided QPS with an update on the status of the review.
22 January 2018
OIC received submissions from the applicant contesting the preliminary
view.
24 January 2018
OIC provided the applicant with an update on the status of the
review.
9 February 2018
OIC provided the applicant with an update on the status of the review.
[1] Access application dated 26 May
2017. The date range specified was 15 September 2015 - 31 December
2015.[2] Access application dated
4 September 2017. The date range specified was 15 September 2015 to the date of
the application. [3] Purported
internal review decision dated 7 August 2017. However, the original decision
was technically a deemed decision –
see footnote 7
below.[4] Decision dated 3 October
2017.[5] External review
applications dated 21 August 2017 and 10 October
2017.[6] OIC’s letter to the
applicant dated 4 September
2017.[7] Due to an administrative
oversight involving receipt of the applicant’s identification, QPS did not
provide written notice
of its decision by the end of the processing period and
therefore, under section 66(1) of the IP Act, QPS was taken to have made
a
decision refusing access to the requested information. However, QPS provided the
applicant with a statement of reasons dated 7
August 2017 which was considered
by OIC as submissions on the external review.
[8] Including the
applicant’s external review applications dated 21 August 2017 and 10
October 2017, email submissions to OIC on
1, 21, 22 and 28 September 2017, 9, 12
and 13 October 2017, 1 and 2 November 2017, and 22 January 2018, and by
telephone to OIC on
3 October
2017.[9] In email correspondence
dated 4 September 2017 and 21 September
2017.[10] Applicant submissions
dated 22 January 2018.[11]
Section 12 of the IP Act defines ‘personal information’ as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or
opinion’.[12] Section
67 of the IP Act provides that an agency may refuse access to a document in the
same way and to the same extent the agency
could refuse access to the document
under section 47 of the RTI Act.
[13] Section 64 of the IP
Act.[14] Section 67(1) and
sections 47(3)(b) and 49 of the RTI
Act.[15] Schedule 4 of the RTI
Act, Parts 1 to 4 set out the factors for deciding where the balance of the
public interest lies in making
a finding on whether granting access to
information is contrary to the public interest. The lists are not exhaustive
meaning that
factors that are not included in any of the lists may also be
considered in a particular
case.[16] In section 49(3) of
the RTI Act.[17] Section 67(1)
of the IP Act and sections 47(3)(e) and 52(1)(a) of the RTI
Act.[18] See Lester and
Department of Justice and Attorney-General [2017] QICmr 17 (16 May 2017) at
[11] which adopted the Information Commissioner’s comments in PDE and
University of Queensland (Unreported, Queensland Information Commissioner,
9 February 2009) (PDE) at [37]-[38]. The decision in PDE
concerned the application of section 28A of the now repealed Freedom of
Information Act 1992 (Qld). Section 52 of the RTI Act is drafted in
substantially the same terms as the provision considered in PDE and,
therefore, the Information Commissioner’s findings in PDE are
relevant here.[19] See O80PCE
and Department of Education and Training (Unreported, Queensland Information
Commissioner, 15 February 2010) at [52]. This decision was made in the context
of section 27(3)
of the repealed Freedom of Information Act 1992 (Qld)
which is equivalent to section 88 of the IP Act.
[20] Schedule 4, part 2,
item 1 of the RTI Act. [21]
Application for external review dated 21 August
2017.[22] Schedule 4, part 2,
item 6 of the RTI Act[23] As
defined in section 12 of the IP Act.
[24] Giving rise to the public
interest harm factor in schedule 4, part 4, section 6 of the RTI
Act.[25] Schedule 4, part 3,
item 3 of the RTI Act. [26]
FG and National Archives of Australia [2015] AICmr 26 at [32]- [44], which in
turn was considered in FH and National Archives of Australia [2015] AICmr
27 at [20]- [28]. See also, Bowmaker Realty and Department of Justice and
Attorney-General; Andrews [2015] QICmr 19 (17 August 2015), at
[36].[27] Email from the
applicant to OIC dated 10 October
2017.[28] Application for
external review dated 21 August 2017 and submissions dated 28 September 2017, 9,
12 and 13 October 2017 and 22 January
2018.[29] QPS submissions dated
24 October 2017 and 12 December 2017, attaching emails from the relevant police
officer dated 22 September
2017 and 11 December 2017,
respectively.[30] The QPRIME
database is used to record complaints, investigations and various other dealings
with members of the public.[31]
QPS submissions dated 12 December
2017.[32] QPS submissions dated
24 October 2017.[33] Section
67(1) of the IP Act and sections 47(3)(e) and 52(1)(a) of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | VA6Q6J and Sunshine Coast Hospital and Health Service [2015] QICmr 18 (14 August 2015) |
VA6Q6J and Sunshine Coast Hospital and Health Service [2015] QICmr 18 (14 August 2015)
Last Updated: 19 January 2017
Decision and Reasons for Decision
Citation: VA6Q6J and Sunshine Coast Hospital and Health Service
[2015] QICmr 18 (14 August 2015)
Application Number: 312339
Applicant: VA6Q6J
Respondent: Sunshine Coast Hospital and Health Service
Decision Date: 14 August 2015
Catchwords: ADMINISTRATIVE LAW - INFORMATION PRIVACY ACT - REFUSAL OF
ACCESS - EXEMPT INFORMATION - LAW ENFORCEMENT OR PUBLIC SAFETY
INFORMATION -
information relating to a justices examination order - whether disclosure could
reasonably be expected to prejudice
a system or procedure for the protection of
persons, property or the environment - section 67(1) of the Information
Privacy Act 2009 (Qld) and sections 47(3)(a) and 48 and schedule 3, section
10(1)(i) of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - INFORMATION PRIVACY ACT - REFUSAL OF ACCESS -
CONTRARY TO PUBLIC INTEREST INFORMATION - information provided
by other
individuals in relation to the applicant’s medical treatment - whether
disclosure would, on balance, be contrary to
the public interest - section 67(1)
of the Information Privacy Act 2009 (Qld) and sections 47(3)(b) and 49 of
the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to Sunshine Coast Hospital and Health Service (SCHHS)
under the Information Privacy Act 2009 (Qld) (IP Act) for access
to all inpatient hospital notes, outpatient notes, community health notes and
laboratory reports at the Sunshine Coast
Hospital from 2011 to 1 October
2014[1].
SCHHS
located 1,054 pages relevant to the access application. It released all of them,
except for 23 full pages and 40 part pages.
It refused access to this
information on the ground that it comprised exempt information (as its
disclosure could reasonably be expected
to prejudice a system or procedure for
the protection of persons or would found an action for breach of confidence)
and/or its disclosure
would, on balance, be contrary to the public
interest.[2]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of SCHHS’s decision to refuse access to the requested
information.
Some
additional information was released to the applicant on external review with
SCHHS’s
agreement.[3] The
remaining information in issue comprises 23 full pages and 33 part pages. It
relates to a justices examination order (JEO) about the applicant and
information provided by other individuals to SCHHS for the purpose of the
applicant’s treatment and
assessment. For the reasons set out below, I
find that access to the remaining information may be refused on the grounds that
disclosure
of information on:
23 full pages
and 14 part pages could reasonably be expected to prejudice a system or
procedure for the protection of persons, property
or the
environment,[4] and
accordingly that information is exempt
information;[5] and
29 part
pages[6] would, on
balance, be contrary to the public
interest.[7]
Background
Significant
procedural steps relating to the external review are set out in the Appendix to
this decision.
Reviewable decision
The
decision under review is SCHHS’s decision dated 5 December 2014.
Evidence considered
The
evidence, submissions, legislation and other material I have considered in this
decision are disclosed in these reasons (including
footnotes and Appendix).
The
applicant provided submissions to OIC supporting her case. Whilst I have
carefully considered all of the applicant’s submissions,
not all matters
raised are relevant to the issues for determination. I have summarised and
addressed the applicant’s submissions
below to the extent they are
relevant to the issues for determination.
JEO Information
The
JEO Information appears in 23 full pages and 14 part pages and comprises
information relating to a JEO made under the Mental Health Act 2000 (Qld)
(MH Act) concerning the
applicant.[8] The JEO
Information identifies the JEO applicant/s and the information supplied in
support of the JEO
application.[9]
Relevant law
Under
the IP Act, an individual has a right to access documents of an agency to the
extent the documents contain the individual’s
personal
information.[10]
However, this right of access is subject to certain limitations, including the
grounds for refusal of access set out in the RTI
Act.[11]
An
agency may refuse access to documents to the extent they comprise exempt
information.[12]
Schedule 3 of the RTI Act sets out information which Parliament considers is
exempt information on the basis that disclosure would,
on balance, be contrary
to the public
interest.[13]
Information
is exempt if its disclosure could reasonably be expected
to[14] prejudice a
system or procedure for the protection of persons, property or the
environment.[15] This
exemption will apply if each of the following requirements are
met:[16]
(a) there
exists an identifiable system or procedure
(b) it is a
system or procedure for the protection of persons, property or environment;
and
(c) disclosing
the information in issue could reasonably be expected to prejudice that system
or procedure.
Findings
Is there an identifiable system or procedure?
Yes.
The
objective of a JEO is to allow a person in the community to request a
non-urgent, involuntary mental health assessment for a person
they believe may
be experiencing mental health
problems.[17]
Chapter
2, part 3, division 2 of the MH Act relevantly provides:
a person may
apply to a Magistrate or Justice of the Peace for a JEO for another
person[18]
the Magistrate
or Justice of the Peace may issue a JEO if he/she reasonably believes that the
relevant person has a mental illness
and should be
examined[19]
once a JEO has
been issued and sent to the administrator of an authorised mental health
service, a doctor or authorised mental health
practitioner may conduct the
examination[20]
the JEO
authorises a doctor or authorised mental health practitioner to examine the
person to decide whether a recommendation for
assessment for the person should
be made;[21] and
if a
recommendation for assessment for the person is not made after the
person’s examination under the JEO, the examining doctor
or authorised
mental health practitioner must give notice to the
director.[22]
In
view of the above, I am satisfied that the JEO procedure prescribed by the MH
Act is a system or procedure for the purpose of schedule
3 section 10(1)(i) of
the RTI Act.
Is the system or procedure for the protection of persons, property or
environment?
Yes.
The
Information Commissioner has previously decided that the JEO procedure is an
identifiable procedure for the protection of
persons.[23]
In
74KDLG,[24] the
Right to Information Commissioner relevantly explained that the JEO process is
an important mechanism by which persons in need
of appropriate mental health
care may be removed from the community for the purposes of assessment and
treatment, thereby minimising
the potential for harm to themselves and
others.
I
am satisfied that the procedure for making a JEO application is a procedure for
the protection of persons.
Could disclosing the JEO Information reasonably be expected to prejudice the
system or procedure?
Yes.
The
Information Commissioner has previously explained that people applying for a JEO
provide information on the understanding that
it is confidential and will only
be used for the limited purpose of ensuring the proper administration of the MH
Act.[25] I
agree with that view and consider that confidentiality is integral to the JEO
process. I consider that the prospect of disclosure
of information about a JEO
could render future JEO applicants reluctant to supply information that might
lead to their identification
and, as a consequence, diminish the quality of
information upon which JEO assessments and decisions are made. Also, some
potential
JEO applicants may be deterred from using the JEO process at all.
As
noted above, the JEO Information in this review identifies the JEO applicant/s
and the information supplied in support of the JEO
application. I am satisfied
that disclosing the JEO Information in this review could reasonably be expected
to prejudice the JEO
procedure prescribed in the MH Act.
The
applicant’s
submissions[26]
indicate that she:
has great
concerns about the JEO process, which has caused her significant distress
believes the JEO
application was made dishonestly and that there are discrepancies within it
is concerned
about the contents of the JEO Information and the way she has been treated as a
result of the JEO
believes she
should have full access to her personal records held by SCHHS on the grounds
they were funded by tax payers; and
considers the
JEO process should be truthful and transparent.
I
have carefully considered the applicant’s submissions. I acknowledge that
the JEO process and treatment following it have
caused the applicant great
distress. However, the applicant’s submissions explain the reasons for her
request and provide background
information about her interactions with SCHHS.
While I recognise the importance of these matters to the applicant, they do not
relate
to the application of the exemption to the JEO Information, and I am
unable to take them into account in the
circumstances.[27]
Conclusion
For
the reasons set out above, I am satisfied that the JEO Information meets each of
the requirements of schedule 3, section 10(1)(i)
of the RTI Act. As a result, I
find that access to the JEO Information can be refused.
Healthcare Information
The
relevant information appears in 29 part pages and comprises information provided
by other individuals to SCHHS for the purpose
of the applicant’s
assessment and treatment (Healthcare
Information).[28]
It comprises specific information provided by multiple third parties, including
but not limited to their names, telephone numbers,
experiences, concerns and
general comments that, if released, would identify the person/s.
Relevant law
An
agency may refuse access to documents to the extent they comprise information
where its disclosure would, on balance, be contrary
to the public
interest.[29] The RTI
Act identifies many factors that may be relevant to deciding the balance of the
public interest[30]
and explains the steps that a decision-maker must
take[31] in deciding
the public interest as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to the public
interest.
Findings
No
irrelevant factors arise in the circumstances of this case and I have not taken
any into account. I will now address the relevant
factors favouring disclosure
and nondisclosure of this information.
Accountability and transparency
I
have considered whether disclosing the information could reasonably be expected
to:
promote open
discussion of public affairs and enhance the Government’s
accountability[32]
advance the fair
treatment of individuals and other entities in accordance with the law in their
dealings with
agencies;[33] and
reveal the
reason for a government decision and any background or contextual information
that informed the
decision.[34]
I
am satisfied that disclosing the Healthcare Information would provide the
applicant with a better understanding of her medical treatment
and the reasons
for certain treatment actions taken by her doctors, by giving her access to the
background information that the doctors
had before them.
However,
I note that, of the 1,054 pages identified by SCHHS as falling within the scope
of the applicant’s application, 998
have been released in full, and 33 in
part.[35] I also note
that the substance of the 33 part pages is, in the majority of cases, clear. In
these circumstances, I consider the
information already disclosed to the
applicant provides her with a comprehensive understanding of the actions taken
by SCHHS in treating
her, and largely satisfies the public interest factors
identified above. Also, given the relatively small amount of the information
that comprises the Healthcare Information and its nature, I do not consider its
disclosure would advance these public interest factors
to any significant
degree. Accordingly, while I find the factors mentioned above are relevant,
they warrant limited weight. Personal information and
privacy
The
Healthcare Information was provided by other individuals to SCHHS for the
purpose of the applicant’s assessment and treatment.
The majority of it
is about the applicant and her health, and I am satisfied that this information
comprises the applicant’s
personal
information.[36] The
RTI Act recognises that, generally, it is in the public interest for individuals
to access their personal information that is
held by government
agencies.[37] More
particularly, it is in the public interest for individuals to access such
information so that they can ensure its accuracy.
I acknowledge the importance
of providing individuals with access to their personal information held by
public authorities, and note
that the Healthcare Information forms part of the
applicant’s medical records. In these circumstances, I afford significant
weight to this factor favouring disclosure.
However,
the Healthcare Information also comprises the names, contact details, thoughts
and opinions of the individuals who provided
it. Accordingly, I consider that
the Healthcare Information is the other individuals’ personal information
as well.
In
this regard, the RTI Act recognises that:
a factor
favouring nondisclosure will arise where disclosing information could reasonably
be expected to prejudice the protection
of an individual’s right to
privacy;[38] and
disclosing
information could reasonably be expected to cause a public interest harm if it
would disclose personal information of a
person, whether living or
dead.[39]
I
am unable to separate the Healthcare Information from the applicant’s
personal information. It is therefore relevant to consider
the extent of the
harm that could result from disclosing the personal information of other
individuals under the IP Act. I am satisfied
that the information is personal
and sensitive in nature, given the context in which it was provided, and given
that much of it comprises
the opinions, thoughts, feelings and concerns of
individuals other than the applicant. I consider that disclosure of the
Healthcare
Information under the IP Act would be a significant intrusion into
the privacy of these individuals and the extent of the public
interest harm that
could be anticipated from disclosure is significant. As a result, I attribute
this factor favouring nondisclosure
significant weight.
Prejudice future supply of confidential
information
The
Healthcare Information was provided by other individuals to the
applicant’s treating doctors to assist them with her treatment
during
times that she was perceived to be in need of medical assistance.
The
RTI Act recognises:
a factor
favouring nondisclosure will arise where disclosing information could reasonably
be expected to prejudice an agency’s
ability to obtain confidential
information;[40]
and
disclosing
information could reasonably be expected to cause a public interest harm if:
the
information consists of information of a confidential nature that was
communicated in confidence; and
disclosing
it could reasonably be expected to prejudice the future supply of information of
this type.[41]
Healthcare
agencies such as SCHHS frequently rely on information provided by third parties
to inform patient care and treatment. In
some instances, the information is
sought from the third party by the healthcare agency, and in other instances it
is provided voluntarily.
In both instances, it is reasonable to expect that, in
the future, third parties may be deterred from providing this type of
information
if they are aware that it would be disclosed to the patient under
the IP Act. This, in turn, could prejudice the ability of healthcare
providers
to effectively treat patients, by reducing the likelihood that they have all
relevant information about the patient before
them.
Taking
into account the sensitivity of the information provided to SCHHS and the
importance of this type of information for treating
healthcare providers (so
that they may, after assessing its accuracy and relevance, act on it where
necessary), I consider the public
interest harm arising from disclosure of the
Healthcare Information would be significant and accordingly afford the factor
favouring
nondisclosure significant weight.
Other factors favouring disclosure
I
have carefully considered the applicant’s submissions which are summarised
at paragraph 24 above. I am unable to
consider or comment on the appropriateness of the JEO process, or the
applicant’s concerns about the
treatment provided to her by SCHHS, as
these issues are beyond OIC’s jurisdiction. In terms of the question of
whether access
to the Healthcare Information can be granted under the IP Act,
the issues raised by the applicant in her submissions require my consideration
of whether the following public interest factors favouring disclosure apply to
the Healthcare Information:
disclosure could
reasonably be expected to allow or assist inquiry into possible deficiencies in
the conduct or administration of
an agency or
official[42]
disclosure could
reasonably be expected to reveal or substantiate that an agency or official has
engaged in misconduct or negligent,
improper or unlawful
conduct;[43] and
disclosure could
reasonably be expected to reveal that the information was
incorrect[44] or
misleading.[45]
While
I acknowledge the applicant’s concerns, on careful consideration of all
material before me (including the applicant’s
submissions and the
Healthcare Information), there is no evidence available to me to support the
application of these public interest
factors, and I find that they do not apply
in the circumstances of this review.
Balancing the public interest
I
consider there is a significant public interest in the applicant having access
to those parts of the Healthcare Information that
comprise her personal
information, particularly given that the information forms part of her medical
records. However, the Healthcare
Information also comprises the personal
information of other individuals, and its disclosure would be a significant
intrusion into
the privacy of these individuals, given its personal and
sensitive nature. Both of these factors favouring nondisclosure carry
significant
weight.
I
afford limited weight to the factors relating to accountability and
transparency. These factors have been advanced substantially
by the large amount
of information released to the applicant. Given the small amount and nature of
the Healthcare Information, I
do not consider that its disclosure would further
enhance these factors to any significant degree.
I
am satisfied the Healthcare Information was provided by other individuals
specifically for the purpose of the applicant’s
treatment, and in
circumstances where they would reasonably expect that the information would be
treated confidentially. I am also
satisfied that disclosing the Healthcare
Information could reasonably be expected to prejudice the free flow of
information by individuals
to health care providers in the circumstances of
someone needing medical treatment. In these circumstances, I afford significant
weight to these factors favouring nondisclosure.
Balancing
the weight of these factors against one another, I find that the factors
favouring nondisclosure of the Healthcare Information
outweigh the factors
favoring its disclosure. Accordingly, I find that access to the Healthcare
Information can be refused under
section 47(3)(b) of the RTI Act as its
disclosure would, on balance, be contrary to the public
interest.[46]
DECISION
For
the reasons set out above, I vary SCHHS’s decision and find that:
access to the
JEO Information can be refused on the ground that it comprises exempt
information because its disclosure could reasonably
be expected to prejudice a
system or procedure for the protection of persons, property or the
environment;[47] and
access to the
Healthcare Information can be refused on the ground that its disclosure would,
on balance, be contrary to the public
interest.[48]
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.
________________________A
RickardActing Assistant Information Commissioner
Date: 14 August 2015APPENDIX
Significant procedural steps
Date
Event
1 October 2014
SCHHS received the access application.
5 December 2014
SCHHS issued its decision on the access application.
8 January 2015
OIC received the application for external review of SCHHS’s decision.
OIC notified SCHHS the external review application had
been received and
requested relevant procedural documents.
15 January 2015
OIC received the requested located documents from SCHHS.
19 February 2015
OIC notified the applicant and SCHHS that it had accepted the external
review application.
OIC provided SCHHS with a preliminary view regarding seven full pages and
three part pages (additional information) that OIC considered could be
released.
4 March 2015
OIC received SCHHS’s submissions. SCHHS advised OIC it did not agree
to release the additional information to the applicant.An OIC staff
member spoke with a SCHHS staff member in relation to its preliminary
view.
5 March 2015
A SCHHS staff member advised an OIC staff member by telephone that SCHHS
agreed the additional information could be released to the
applicant.
OIC asked SCHHS to release the additional information to the
applicant.
8 April 2015
OIC conveyed its preliminary to the applicant and invited her to provide
submissions supporting her case by 22 April 2015 if she did
not accept the
preliminary view.
4 May 2015
The applicant provided OIC with written submissions supporting her
case.
29 May 2015
OIC conveyed a second preliminary to the applicant and invited her to
provide submissions supporting her case by 12 June 2015 if she
did not accept
the second preliminary view.
22 June 2015
OIC received correspondence from the applicant contesting its preliminary
view with submissions and requesting a written decision.
24 June 2015
SCHHS sent the additional information to the applicant.
7 August 2015
OIC wrote to the applicant to confirm its preliminary view in relation to
the 23 full pages and 33 part pages remaining in issue following
release of the
additional information.
[1] The applicant
initially specified a period ending at September 2014, but on 13 October 2014
requested that SCHHS extend the period
to include October 2014. As the
applicant’s access application was received by SCHHS on 1 October 2014, it
is taken to apply
to all relevant documents in existence on that date –
section 47(1) of the IP
Act.[2] SCHHS
decided that nine part pages contained both exempt information and information
that would, on balance, be contrary to the public
interest to
disclose.[3] That
is, seven full pages and three part
pages.[4] Schedule
3, section 10(1)(i) of the Right to Information Act 2009 (Qld) (RTI
Act).[5] Section
67(1) of the IP Act and section 47(3)(a) of the RTI
Act.[6] Ten of which
also contain exempt
information.[7]
Section 67(1) of the IP Act and section 47(3)(b) of the RTI
Act.[8] Community
Mental Health Records – pages 35-42, 73-74 and 79 and parts of pages 58,
67, 77-78, 92, 97 and 102; Nambour General
Hospital Records Vol 2. – parts
of pages 21 and 87; and Nambour General Hospital Records Vol 3 – pages
113-122 and 308-309
and parts of pages 262, 270, 280 and
306-307.[9] Section
121 of the IP Act prevents me from revealing information that is claimed to be
exempt information or contrary to the public
interest information and I am
unable to describe the JEO Information in more detail.
[10] Section 40 of
the IP Act. [11]
Section 47 of the RTI Act. Section 67(1) of the IP Act provides that an agency
may refuse access to a document in the same way and
to the same extent the
agency could refuse access to a document under section 47 of the RTI Act if the
application had been made
under the RTI Act.
[12] Under section
47(3)(a) and section 48 of the RTI Act.
[13] Section 48(2)
of the RTI Act.
[14] The term
‘could reasonably be expected to’ requires that the
expectation be reasonably based, that it is neither irrational, absurd or
ridiculous, nor merely a possibility.
The expectation must arise as a result of
disclosure, rather than from other circumstances. Whether the expected
consequence is reasonable
requires an objective examination of the relevant
evidence. It is not necessary for a decision-maker to be satisfied upon a
balance
of probabilities that disclosing the document will produce the
anticipated prejudice. See Nine Network Australia Pty Ltd and Department of
Justice and Attorney-General (Unreported, Queensland Information
Commissioner, 14 February 2012) at
[31].[15] Schedule
3, section 10(1)(i) of the RTI
Act.[16]
Ferrier and Queensland Police Service [1996] QICmr 16; (1996) 3 QAR 350 at [27]- [36]
regarding section 42(1)(h) of the repealed Freedom of Information Act 1992
(Qld) (FOI Act), which preceded and is replicated in schedule 3,
section 10(1)(i) of the RTI
Act.[17] Page 2 of
Queensland Government (Queensland Health), Information about Justice
Examination Orders at
<http://www.health.qld.gov.au/mha2000/documents/jeo_brochure.pdf>
.
[18] Section 27 of
the MH Act.[19]
Section 28 of the MH
Act.[20] Section
29 and 30 of the MH
Act.[21] Section
30 of the MH
Act.[22] Section
32 of the MH
Act.[23] See for
example ROSK and Brisbane North Regional Health Authority; Others (Third
Parties) [1996] QICmr 19; (1996) 3 QAR 393 (ROSK) at [13]–[15] and VHL
and Department of Health (Unreported, Queensland Information Commissioner,
20 February 2009) at [49] and QPF and Department of Health (Unreported,
Queensland Information Commissioner, 29 June 2009) at [26] regarding section
42(1)(h) of the repealed FOI Act; and SQD and Department of Justice and
Attorney-General (Unreported, Queensland Information Commissioner, 2
September 2010) (SQD) at [16], 74KDLG and Department of
Health (Unreported, Queensland Information Commissioner, 25 February 2011)
(74KDLG) at [15] and B7TG4G and Gold Coast Hospital and
Health Service (Unreported, Queensland Information Commissioner, 1 May 2015)
at [20] regarding schedule 3, section 10(1)(i) of the RTI
Act.[24] At [17];
see also ROSK at [15].
[25] SQD
at [17]; see also ROSK at
[21].[26] The
applicant’s submissions were provided in her external review application
dated 5 January 2015 and letters to OIC received
on 4 May 2015 and 22 June
2015.[27] Schedule
3 of the RTI Act sets out the types of information the disclosure of which
Parliament has decided would, on balance, be
contrary to the public interest:
section 48(2) of the RTI Act. If the information meets the requirements of one
of the exemptions
in schedule 3 of the RTI Act, access can be refused and there
is no scope for a decision-maker to take into account any public interest
considerations or an applicant’s reasons for seeking access to the
information, no matter how compelling they may
be.[28] Community
Mental Health Records – parts of pages 33, 58, 67, 84-85, 92, 97, 102,
111, 121, 128, 141, 149, 151-152 and 162;
Nambour General Hospital Records Vol
2. – parts of pages 14, 16, 21, 28, 87 and 130; and Nambour General
Hospital Records Vol
3. – parts of pages 131, 262, 270, 280 and 301-303.
As noted at paragraph 26 of this decision, I consider that ten of these
part
pages contain portions of JEO Information (that is, Community Mental Health
Records – parts of pages 58, 67, 92, 97 and
102; Nambour General Hospital
Records Vol 2. – parts of pages 21 and 87; and Nambour General Hospital
Records Vol 3. –
parts of pages 262, 270 and 280).
[29] Section
47(3)(b) and 49 of the RTI Act. The term public interest refers to
considerations affecting the good order and functioning of the community and
government affairs for the well-being of citizens.
This means that in general,
a public interest consideration is one which is common to all members of, or a
substantial segment of,
the community, as distinct from matters that concern
purely private or personal interests. However, there are some recognised public
interest considerations that may apply for the benefit of an individual.
[30] Schedule 4 of
the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest. However, this list of
factors is not exhaustive. In other words, factors that are not listed may also
be relevant.[31]
Section 49(3) of the RTI
Act.[32] Schedule
4, part 2, item 1 of the RTI
Act.[33] Schedule
4, part 2, item 10 of the RTI
Act.[34] Schedule
4, part 2, item 11 of the RTI
Act.[35]
Considering both the information released pursuant to SCHHS’s decision and
the information released as a result of informal
resolution processes during the
external
review.[36]
‘Personal information’ is defined in section 12 of the IP Act
as ‘information or an opinion, including information or an opinion
forming part of a database, whether true or not, and whether
recorded in a
material form or not, about an individual whose identity is apparent, or can
reasonably be ascertained, from the information
or
opinion’.[37]
Schedule 4, part 2, item 7 of the
RTI Act[38]
Schedule 4, part 3, item 3 of the RTI
Act.[39] Schedule
4, part 4, item 6(1) of the RTI
Act.[40] Schedule
4, part 3, item 16 of the RTI
Act.[41] Schedule
4, part 4, item 8(1) of the RTI
Act.[42] Schedule
4, part 2, item 5 of the RTI Act.
[43] Schedule 4,
part 2, item 6 of the RTI Act.
[44] Schedule 4,
part 2, item 12(a) of the RTI Act.
[45] Schedule 4,
part 2, item 12(c) of the RTI Act.
[46] Note: SCHHS
decided that two of the part pages that comprise the Healthcare Information
(Community Mental Health Records –
parts of pages 121 and 141) comprised
exempt information on the ground that disclosure of the information would found
an action for
breach of confidence – however, I prefer the ground that
disclosure would, on balance, be contrary to the public interest.
Also,
SCHHS decided that nine part pages contained portions of Healthcare Information
and portions of JEO information (Community Mental
Health Records – parts
of pages 58, 92, 97 and 102; Nambour General Hospital Records Vol 2. –
parts of pages 21 and 87;
and Nambour General Hospital Records Vol 3. –
parts of pages 262, 270 and 280). I agree with this – however, I find that
one additional page (Community Mental Health Records – part of page 67)
also contains portions of Healthcare Information as
well as portions of JEO
Information.[47]
Section 67(1) of the IP Act and section 47(3)(a) and schedule 3, section
10(1)(i) of the RTI
Act.[48] Section
67(1) of the IP Act and sections 47(3)(b) of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Chambers, Alan and Department of Families Youth and Community Care and Gribaudo (Third Party) [1999] QICmr 1; (1999) 5 QAR 16 (7 April 1999) |
Chambers, Alan and Department of Families Youth and Community Care and Gribaudo (Third Party) [1999] QICmr 1; (1999) 5 QAR 16 (7 April 1999)
Last Updated: 20 February 2001
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 99001Application S
160/96 Participants: ALAN
CHAMBERS Applicant DEPARTMENT OF FAMILIES, YOUTH AND
COMMUNITY CARE Respondent JENNY GRIBAUDO Third
Party
DECISION AND REASONS FOR DECISION
FREEDOM OF INFORMATION - refusal of access - formal grievance lodged
against applicant and others - applicant seeking access to record
of interview
between grievance investigators and union officer - promise of confidential
treatment given in respect of information
supplied to grievance investigators by
union officer - whether that information qualifies for exemption from disclosure
to the applicant
under s.46(1)(a) or s.46(1)(b) of the Freedom of Information
Act 1992 Qld - whether promise of confidential treatment overridden to the
extent required to comply with s.99 of the Public Service Management and
Employment Regulation 1988 Qld, as then in force - whether matter in
issue comprised information of a confidential nature as against the applicant -
whether
disclosure of the matter in issue could reasonably be expected to
prejudice the future supply of like information.FREEDOM OF
INFORMATION - refusal of access - whether disclosure could reasonably be
expected to have a substantial adverse effect
on the management by an agency of
its personnel - application of s.40(c) of the Freedom of Information Act 1992
Qld.FREEDOM OF INFORMATION - refusal of access - whether matter
in issue can properly be characterised as information concerning the personal
affairs of a person other than the applicant - application of s.44(1) of the
Freedom of Information Act 1992 Qld.
ii
Freedom of Information Act 1992 Qld s.21, s.25, s.40(c), s.44(1),
s.46(1), s.46(1)(a), s.46(1)(b)Freedom of Information Act 1982
Vic s.33(1)Public Service Regulation 1997 Qld s.15,
s.16(2)Public Service Management and Employment Regulation 1988
Qld s.99, s.99(1)"B" and Brisbane North Regional Health
Authority, Re [1994] QICmr 1; (1994) 1 QAR 279Cairns Port Authority and Department of
Lands, Re [1994] QICmr 17; (1994) 1 QAR 663Holt & Reeves and Department of
Education; Ors, Re (Information Commissioner Qld, Decision No. 98004,
20 April 1998, unreported)McCann and Queensland Police Service, Re
[1997] QICmr 10; (1997) 4 QAR 30Murphy and Queensland Treasury & Ors, Re [1995] QICmr 23; (1995) 2
QAR 744Pemberton and The University of Queensland, Re (1994) 2 QAR
293 Pope and Queensland Health, Re [1994] QICmr 16; (1994) 1 QAR 616Shaw and
The University of Queensland, Re [1995] QICmr 32; (1995) 3 QAR 107State of Queensland
v Albietz [1996] 1 Qd R 215Stewart and Department of Transport, Re
[1993] QICmr 6; (1993) 1 QAR 227University of Melbourne v Robinson [1993] VicRp 67; [1993] 2 VR
177
DECISION
I set aside the decision under review (being the decision made by
Mr D A C Smith on behalf of the Department dated 19 September 1996).
In
substitution for it, I find that the matter in issue is not exempt from
disclosure to the applicant under the Freedom of Information Act 1992
Qld.Date of decision: 7 April
1999.........................................................F
N ALBIETZINFORMATION COMMISSIONER
TABLE OF CONTENTS
Page
Background 1External review
process 2Application of s.46(1) of the FOI Act
3Application of s.40(c) of the FOI Act
10 Substantial adverse effect 11Application of
s.44(1) of the FOI Act 13Conclusion
15
OFFICE OF THE INFORMATION COMMISSIONER
(QLD)
Decision No. 99001Application S
160/96 Participants: ALAN
CHAMBERS Applicant DEPARTMENT OF FAMILIES, YOUTH AND
COMMUNITY CARE Respondent JENNY GRIBAUDO Third
Party
REASONS FOR DECISION
Background1. The applicant seeks review of a
decision of the Department of Families, Youth and Community Care (the
Department) to refuse him
access, under the Freedom of Information Act 1992
Qld (the FOI Act), to a record of interview with the third party, prepared
by the appointed investigators of a formal grievance lodged
against the
applicant and two other persons. The grievance was lodged by an employee
(hereinafter referred to as "the complainant")
of the Public Trust Office,
where, at the relevant time, the applicant was employed as Deputy Director,
Human Resource Management.2. By letter dated 21 March 1996, the
applicant sought access, under the FOI Act, to a large number of documents
concerning the grievance
investigation. By letter dated 31 May 1996, Mr V
Jeppesen of the Department decided to grant access in full to 170 folios.
However,
Mr Jeppesen decided that the whole of 155 folios, and parts of a
further 10 folios, were exempt matter under s.40(c) of the FOI
Act.3. The applicant sought internal review of one aspect only of Mr
Jeppesen's decision, namely, his decision to refuse access to the
record of
interview between the grievance investigators and the third party, Ms Gribaudo,
who was an industrial officer with the
public sector union of which the
complainant was a member. The internal review decision (made by Mr D A C Smith
on behalf of the
Department on 19 September 1996) affirmed Mr Jeppesen's
decision to refuse access to the record of interview with Ms Gribaudo on
the
basis that it was exempt matter under s.40(c) of the FOI Act. By letter dated
14 October 1996, the applicant applied to me for
review, under Part 5 of the FOI
Act, of Mr Smith's decision.External review
process4. A copy of the document in issue was obtained and
examined. It is a two page record of an interview conducted with Ms Gribaudo
on
6 October 1995. It forms an attachment to the grievance report prepared by Ms C
Ahern and Mr K Gall of the Department, following
their investigation of the
complainant's grievance. It sets out Ms Gribaudo's views which were critical of
the management of the
Public Trust Office (including the applicant) with respect
to the handling of the concerns raised with management by the complainant,
and
by Ms Gribaudo on behalf of the complainant.5. When Ms Gribaudo was
informed of my review, she wrote to me objecting to disclosure of the document
in issue, and providing a statutory
declaration dated 28 April 1997. She was
subsequently granted status as a participant in this review.6. In order
to better understand the circumstances surrounding the interview with Ms
Gribaudo, I requested that the Department provide me with additional
information. It did so by letter dated 12 May 1997, attaching a number
of
documents including a copy of the relevant grievance procedures for the
Department, and a copy of the grievance report.7. By letter dated 17
February 1998, Assistant Information Commissioner Sammon suggested to the
applicant that he might apply to the
Department for access to the record of
interview with Ms Gribaudo pursuant to s.16(2) of the Public Service
Regulation 1997 Qld, a provision which appeared to confer on officers of the
public service (like the applicant) a right of access to information
of the kind
in issue, but a right that was unqualified by any specific exceptions (unlike
the extensive exceptions to the right of
access conferred by s.21 of the FOI Act
that are contained in the exemption provisions in Part 3, Division 2 of the FOI
Act). Section
16(2) of the Public Service Regulation
provides:Access to employee's record
... (2) A public service employee may, at a time
and place convenient to the relevant department-- (a) inspect any
departmental record about the employee; and (b) take extracts
from, or obtain a copy of details in, the record.8. By letter dated
27 February 1998, the applicant applied to the Department, under s.16(2) of the
Public Service Regulation, for access to the record of interview with Ms
Gribaudo. The applicant provided me with a copy of the Department's response
dated
16 March 1998, which said: "... the material in issue is not
specifically a 'departmental record about (yourself)'. Rather, it is a record
of an interview with
a Union official representing a member other than yourself.
It is not material which would be placed on a file relating to yourself.
Accordingly, there is some question as to the applicability of s.16 of the
Public Service Regulation to the documents.". The Department
suggested to the applicant that dealing with the matter under the FOI Act would
seem the most appropriate course
to adopt.9. With all due respect to
the Department, it is clear that the document in issue contains information
about the applicant's work
performance, and that it answers the description of a
"departmental record about the employee" (a point which the Department appeared
to acknowledge and accept in the third and fourth paragraphs on p.3 of its
subsequent written submission dated 9 September 1998,
lodged with me for the
purposes of my review). Nor is it in any way relevant, according to the
language used in s.16(2) of the Public Service Regulation, that the
document in issue might not be placed on a file relating to the
applicant.(In any event, I have difficulty in seeing how a file on the
investigation of a grievance lodged against the applicant, as well as
two other
persons, could be characterised as something other than a file relating to the
applicant.) However, the applicant elected
not to take steps to enforce the
right of access conferred by s.16 of the Public Service Regulation,
indicating instead that he wished to have me proceed to deal with his
application for review under Part 5 of the FOI Act. (I should
point out that
s.16 of the Public Service Regulation, and the provisions of the
FOI Act, create distinct rights. The fact that an FOI application is being
processed is no basis for refusal
to comply with a valid application under s.16
of the Public Service Regulation.)10. Thereafter, I wrote to the
Department, and to Ms Gribaudo, conveying my preliminary view (and my reasons
for forming it) that
the document in issue did not qualify for exemption from
disclosure to the applicant under s.40(c) of the FOI Act, and inviting them
to
lodge evidence and submissions in support of their respective cases for
exemption. Ms Gribaudo replied on 2 July 1998, stating
that she had no further
submissions to make, but that she continued to oppose disclosure of the document
in issue because it concerned
the personal affairs of the complainant. The
Department provided a written submission dated 9 September 1998 in support of
its case
for exemption. Having regard to the submissions made by the Department
and Ms Gribaudo, I will consider below whether any part of
the document in issue
qualifies for exemption under s.40(c), s.44(1) or s.46(1) of the FOI
Act.Application of s.46(1) of the FOI
Act11. Section 46(1) of the FOI Act provides:
46.(1) Matter is exempt if-- (a) its disclosure would
found an action for breach of confidence; or (b) it consists of
information of a confidential nature that was communicated in confidence, the
disclosure of which could reasonably
be expected to prejudice the future supply
of such information, unless its disclosure would, on balance, be in the public
interest.12. I discussed the requirements to establish exemption
under s.46(1)(a) in Re "B" and Brisbane North Regional Health Authority
[1994] QICmr 1; (1994) 1 QAR 279. The test for exemption is to be evaluated by reference to a
hypothetical legal action in which there is a clearly identifiable plaintiff,
possessed of appropriate standing to bring a suit to enforce an obligation of
confidence said to be owed to that plaintiff, in respect
of information in the
possession or control of the agency faced with an application, under s.25 of the
FOI Act, for access to the
information in issue. I am satisfied that there is
an identifiable plaintiff (Ms Gribaudo) who would have standing to bring an
action
for breach of confidence.13. In Re "B", I indicated that there
are five cumulative criteria that must be satisfied in order to establish a case
for protection in equity
of allegedly confidential information:(a) it
must be possible to specifically identify the information in issue, in order to
establish that it is secret, rather than generally
available information (see
Re "B" at pp.303-304, paragraphs 60-63); (b) the information in
issue must possess "the necessary quality of confidence"; i.e., the information
must not be trivial or useless
information, and it must possess a degree of
secrecy sufficient for it to be the subject of an obligation of conscience,
arising
from the circumstances in or through which the information was
communicated or obtained (see Re "B" at pp.304-310, paragraphs 64-75);
(c) the information in issue must have been communicated in such
circumstances as to fix the recipient with an equitable obligation
of conscience
not to use the confidential information in a way that is not authorised by the
confider of it (see Re "B" at pp.311-322, paragraphs 76-102);
(d) it must be established that disclosure to the applicant for access
under the FOI Act would constitute a misuse, or unauthorised
use, of the
confidential information in issue (see Re "B" at pp.322-324, paragraphs
103-106); and (e) it must be established that detriment is likely to be
occasioned to the original confider of the confidential information in issue
if
that information were to be disclosed (see Re "B" at pp.325-330,
paragraphs 107-118). 14. In Re "B" (at pp.337-341; paragraphs
144-161), I considered in detail the elements which must be established in order
for matter to qualify
for exemption under s.46(1)(b) of the FOI Act. In order
to satisfy the test for prima facie exemption under s.46(1)(b), three
cumulative requirements must be established:(a) the matter in issue must
consist of information of a confidential nature;(b) that was
communicated in confidence; and(c) the disclosure of which could
reasonably be expected to prejudice the future supply of such
information.If the prima facie ground of exemption is
established, it must then be determined whether the prima facie ground is
displaced by the weight of identifiable public interest considerations which
favour the disclosure of the particular information
in issue.15. In her
statutory declaration, Ms Gribaudo made the following statements that are
relevant to a consideration of the application
of s.46(1) of the FOI
Act:... [T]he information in question was material obtained in
confidence, being information provided to the grievance investigators
confidentially
and on condition that it was to be used only for the limited
purpose of the grievance proceedings. ... I and my employer Union are
particularly concerned that if this material is released members would be
reluctant to participate in future proceedings thereby
seriously hindering the
proper functioning of grievance processes. ... As to the question of
whether any of the information contained in the record of interview was raised
regularly either with Mr Martin
[another person against whom the grievance
was lodged] or Mr Chambers in meetings or conferences convened during the
course of the grievance process, I say:
during the course of the grievance process the information and the issues
resulting from that information were raised with Mr Martin
and Mr
Chambers.
the document in question nevertheless has the necessary quality of
confidentiality being received in circumstances which imported
an obligation of
confidence and, as such, it is unnecessary for the provider and the recipient of
the information to be the only
ones with knowledge of
it.16. For its part, the Department relied on a statement
made to a member of my staff by one of the grievance investigators (Ms Ahern),
as follows:... we had given a verbal undertaking to all persons
interviewed that we would be recording the information they gave us and that
we,
the investigators, would not be sharing the information with any other parties -
the records of interview would form part of
the report to the
Director-General.17. In my view, it is not ordinarily a wise
practice for an investigator to give witnesses a blanket promise of
confidentiality, since
the common law requirements of procedural fairness may
dictate that the crucial evidence (and, apart from exceptional circumstances,
the identity of its provider(s)) on which a finding adverse to a party to the
grievance may turn, be disclosed to that party in order
to afford that party an
effective opportunity to respond. I do not see how it could ordinarily be
practicable to promise confidential
treatment for relevant information supplied
by the parties to a grievance procedure (i.e., the complainant(s) and the
subject(s)
of complaint) who should ordinarily expect their respective accounts
of relevant events to be disclosed to the opposite party (and
perhaps also to
relevant third party witnesses) for response. Sometimes investigators may be
tempted to promise confidentiality
to secure the co-operation of third party
witnesses, in the hope of obtaining an independent, unbiased account of relevant
events.
Even then, however, procedural fairness may require disclosure in the
circumstances adverted to in the opening sentence of this
paragraph.18. Moreover, in my view, the assurances of confidentiality
given by the grievance investigators in this case were not only potentially
in
conflict with a common law duty to accord procedural fairness, but were in
actual conflict with principles stated in the published
procedures of the
Department for handling grievance investigations (see paragraphs 27-29 below),
and with the Department's obligations
under s.99 of the now superseded Public
Service Management and Employment Regulation 1988 Qld (the PSME Regulation),
which was in force at the time of the grievance investigation, and which
provided:Reports to be noted by
officers 99.(1)
A report, item of correspondence or
other document concerning the performance of an officer which could reasonably
be considered to
be detrimental to the interests of that officer, shall not be
placed on any official files or records relating to that officer unless
the
officer has initialled the document and has been provided
with-- (a) a copy of the document;
and (b) the opportunity to
respond in writing to the contents of the document within 14 days of receipt of
the copy. (2)
When an officer responds in writing, the response shall also be
placed on the official file or
record. (3)
Where an officer refuses to initial a document, it may nevertheless
be placed on the file or record but the refusal shall be
noted.19. In Re Holt & Reeves and Department of
Education; Ors (Information Commissioner Qld, Decision No. 98004, 20 April
1998, unreported), I said (at paragraphs 49 and
50):49. It is well established that an
obligation of confidence, whether equitable or contractual, can be overridden by
compulsion of
law, in particular by a statutory provision compelling disclosure
of information: see, for example, Smorgon v ANZ, FCT v Smorgon [1976] HCA 53; (1976) 134
CLR 475 at pp.486-490. The existence of a provision like s.99 of the PSME
Regulation could arguably forestall the recognition and enforcement
of an
equitable obligation of confidence in respect of information that would be (or
would inevitably become) subject to disclosure
pursuant to an obligation imposed
by statute or delegated legislation.
...50. Section 99 and s.103 of
the PSME Regulation required the interpretation and application of some rather
vague terms such as "official
files or records relating to the officer" and
"departmental file or record held on the officer". Moreover, under s.99 of the
PSME
Regulation, the obligation to disclose adverse information to an officer
arose only at the point prior to placement of the adverse
information on any
official files or records relating to the officer. ... An equitable obligation
binding the Department not to
disclose certain information may subsist until
such time as it is overridden by the application of a provision in a statute or
delegated
legislation obliging disclosure. ...20. In its
letter to me dated 12 May 1997, the Department advised that a separate file was
created in relation to the grievance and
was held in a secure area in the
Department's industrial section. The Department indicated that copies were not
held on personnel
files relating to individual officers. While I indicated in
Re Holt & Reeves that there could be some difficulties in delineating
the precise scope of the phrase "any official files or records relating to that
officer", I have no doubt that a file or record relating to the investigation of
a formal grievance against a named officer falls
squarely within the natural and
ordinary meaning of that phrase. I do not consider that a reasonable
construction of that phrase
involves limiting its sphere of application to the
main personnel file on a particular officer.I do not consider it appropriate
to construe a provision that was obviously intended to confer a substantial
entitlement on public
service officers (i.e., to be informed of information
concerning their performance which could reasonably be considered to be
detrimental
to their interests) in such a way that the entitlement could be
negated simply by strategic placement of a document on a particular
file.
21. Nor can I see any justification for construing the relevant phrase as if
it read "any official files or records relating exclusively
to that officer".
It would be highly artificial, and subversive of the obvious intent of the
provision, to construe it as though
information detrimental to the interests of
two officers was not to be disclosed to either because it was not placed on an
official
file or record relating exclusively to either one of them, or that it
was not to be disclosed to one of them because it was placed
on an official file
or record relating to the other. In this case, the applicant was one of three
subjects of a grievance lodged
by the complainant. A separate file was created
in relation to that grievance, and I consider that it was an official file
relating
to the applicant. Likewise, the record of interview with Ms
Gribaudo was an official record relating to the applicant.22. Further,
from my examination of the record of interview with Ms Gribaudo, I am satisfied
that it answers the description of a
"document concerning the performance of an
officer [the applicant]". It addresses issues concerning the way in which the
applicant,
as a manager, dealt with issues/complaints raised by, or on behalf
of, the complainant. In its written submission dated 9 September
1998, the
Department argued that the record of interview with Ms Gribaudo could not
reasonably be considered to be detrimental to
the applicant's interests (within
the terms of s.99(1) of the PSME Regulation) because:
no disciplinary proceedings will be taken against Mr Chambers in respect
of the matters referred to in the document;
the document is not to be placed on Mr Chambers' personnel file;
the document will not be taken into account in assessing Mr Chambers'
suitability for promotion, or for the purpose of taking some
action adverse to
Mr Chambers (e.g., an involuntary transfer).23. However, I
cannot accept, in the context which the language of s.99 contemplates, that the
requirements of s.99 were intended
to apply according to an assessment of
whether or not some formal action adverse to a particular officer would
ultimately be taken.
Section 99 required an assessment of the situation prior
to a document being placed on an official file or record relating to a
particular officer. The provision required an assessment of whether information
concerning the performance of a particular officer
could reasonably be expected
to be detrimental to his/her interests. The obvious intent of the provision was
to allow an officer
to be made aware of criticism or other detrimental
information concerning his/her performance, and to afford the officer an
opportunity
to respond to it, prior to that information being placed on an
official file or record relating to the officer. Giving the words
of s.99(1) of
the PSME Regulation their natural and ordinary meaning, I consider that the
Department was obliged to provide the applicant
with a copy of the record of
interview with Ms Gribaudo for initialing, prior to it being placed on the file
relating to the investigation
of the formal grievance lodged against the
applicant and two other persons.24. I should note that I have formed
that conclusion as a step in the process of applying exemption provisions in the
FOI Act to the
matter in issue before me. I am not in a position to make a
substantive ruling as to compliance or non-compliance with s.99(1) for
any
purpose other than considering the application of the FOI Act. I do so in this
case merely to determine whether, in the terms
I discussed in paragraph 49 of
Re Holt & Reeves, there was a legislative provision compelling
disclosure of the document in issue, so as to override, by compulsion of law,
any equitable
obligation of confidence that might be thought to have been
created by the conduct of the grievance investigators in promising confidential
treatment of information supplied to them by witnesses. In my view, both the
Departmental grievance investigators and Ms Gribaudo,
as a union officer, ought
reasonably to have known of theexistence of s.99(1) of the PSME Regulation.
The touchstone in assessing whether criterion (c) to found an action in equity
for breach
of confidence (see paragraph 13 above) has been satisfied, lies in
determining what conscionable conduct requires of an agency in
its treatment of
information claimed to have been imparted to the agency in confidence. In my
view, conscionable conduct on the
part of an agency requires compliance with
applicable legislative provisions. In the circumstances of this case, I
consider that
any understanding of confidential treatment, on which a case for
exemption under s.46(1)(a) or s.46(1)(b) of the FOI Act could be
based, was
necessarily subject to the condition/exception that, or was necessarily
overridden to the extent that, the information
given to the grievance
investigators by Ms Gribaudo could not be treated in confidence as against the
applicant (nor the other subjects
of the grievance, although that is not
relevant for present purposes) beyond the time when disclosure to the applicant,
in accordance
with s.99(1) of the PSME Regulation, was required.25. I
should note that, on pages 5 and 6 of its written submission dated 9 September
1998, the Department endeavoured to put an argument
(albeit in somewhat
equivocal terms) to the effect that legislative provisions comparable to s.99 of
the PSME Regulation should not
be construed as though they were intended to
override equitable obligations of confidence (such as the Department contended
had accrued
with the promise by the grievance investigators to treat in
confidence information provided to them by Ms Gribaudo). I consider
that it is
well established on the authorities (Smorgon's case, cited in the extract
from Re Holt and Reeves which is reproduced at paragraph 19 above, is but
one example) that legislative provisions requiring disclosure of particular
information
will, to the extent required for compliance with the particular
legislative provision, override any equitable or contractual obligation
of
confidence attaching to information that is caught by the terms of the
legislative provision (see also F. Gurry, Breach of Confidence, Clarendon
Press, 1984, at p.359 and the cases there cited). I do not accept that any
considerations relevant to the importance,
for the efficacy of grievance
investigations, of honouring promises of confidential treatment, warrant any
reading down of the natural
and ordinary meaning of the language used in s.99 of
the PSME Regulation (or the provisions which superseded it), and I am reinforced
in that view by the matters addressed in paragraphs 27-29 below.26. It
is possible to think of examples where the application of the natural and
ordinary meaning of the language of s.99 of the PSME
Regulation (and its
successor provision) could lead to inappropriate consequences (such as the
example given in the last sentence
of the extract from the Department's
submission quoted at paragraph 41 below; i.e., the suggestion that an officer of
the public
service must be informed of allegations of serious wrongdoing
received by a Department against the officer, when or before the allegations
are
referred to the Criminal Justice Commission or the police for investigation -
which could allow time for destroying evidence,
tampering with witnesses, or
otherwise prejudicing the investigation).But that is not the present case,
which, in my view, involves no absurd or unreasonable result, but rather falls
squarely within the
core of the purpose or object which those provisions were
intended to achieve. In my view, it could prove a difficult exercise to
place
on the language used in the current provisions (namely, s.15 and s.16 of the
Public Service Regulation 1997) an interpretation which the words
are capable of bearing, and which could avoid inappropriate consequences of the
kind adverted
to above. Rather, there seems to me to be a case for careful
consideration of whether amendments are necessary to introduce
qualifications/exceptions
to the rights and obligations that have been provided
for in broad and unqualified terms in the current provisions.27. Even if
s.99 of the PSME Regulation had not required disclosure to the applicant of the
document in issue, it appears that the
applicable written policies and
procedures of the Department would have required the same result. With its
letter dated 12 May 1997,
the Department provided me with a copy of Policy
Practice and Procedure Memorandum 91/9, dated 27 September 1991, which applied
at
the relevant time. In addition to the statutory provisions referred to
above, there are provisions in the memorandum and supporting
documentation which
suggest that the management practices of the Department at the time envisaged
disclosure of adverse material
to staff in the position of the applicant. For
example, clause 2.5 of the memorandum states:Documents relating to
the grievance and its investigation will be placed on the file of the officer
who has made the grievance. If
the documents contain material that could be
considered detrimental to the interests of the employee making the grievance,
or to any other employee, then the provisions of Regulation 46 [which
became s.99] of the Public Service Management and Employment
Regulations must be complied with. [my underlining]28. This, at
the very least, suggests that the Department gave the words "files or records
relating to that officer" in the former
Regulation 46 (which became s.99 of the
PSME Regulation) a broad interpretation, viz., as potentially requiring
disclosure to persons other than the officer on whose personnel file the
material was placed.29. I also note that clause 3.3 of the memorandum
draws the attention of investigating officers to the Public Sector Management
Commission
(PSMC) Guidelines for Investigating Officers.I set out below
relevant extracts from the version of those Guidelines dated December
1991:Explain that any complaints will be put to other parties to the
dispute and that any document likely to be detrimental to another
employee
(including the notice of grievance) will have to be shown to the person/s
concerned.Apart from this, however, the process is confidential.
[This appears in a section headed "Interviewing the aggrieved
employee".]...Where documents exist (such as the
notice of grievance) that could reasonably be considered to be detrimental to
the interests of
the employee, these should be provided to the employee. The
procedure for formally responding to these documents should also be
explained.
(See the comments below about respondent to reports). [This appears in a
section headed "Interviewing other employees party to the
grievance".]...Public Servants are to be shown any
document which could reasonably be considered to be detrimental to their
interests and given a
chance to respond.(See Appendix B.) PSMC
recommends that a similar practice be adopted for other Public Sector employees.
[This appears in a section headed "Responding to reports".]30. The
record of interview with Ms Gribaudo includes negative comments about the
performance of the applicant as a manager. In my
view, a document which
contains comments of that kind could reasonably be considered to be detrimental
to the interests of the applicant,
and therefore was required to be disclosed to
the applicant under the terms of s.99 of the PSME Regulation, under the
applicable
published procedures of the Department, and under the PSMC Guidelines
for Investigating Officers. In such circumstances, I am not
satisfied that the
third criterion for exemption under s.46(1)(a) of the FOI Act (see paragraph 13
above), nor the second requirement
for exemption under s.46(1)(b) of the FOI Act
(see paragraph 14 above), can be established in respect of the matter in
issue.31. Further, I note that Ms Gribaudo has conceded in her statutory
declaration that the information and issues addressed in her record
of interview
with the grievance investigators were raised with the applicant in meetings and
conferences during the performance of
her duties as a union officer (see
paragraph 15 above). I consider that the matter in issue lacks the necessary
quality of confidence,
as against the applicant, to qualify for exemption from
disclosure to the applicant under either s.46(1)(a) or s.46(1)(b) of the
FOI
Act.32. Further, I do not consider that disclosure of the matter in
issue could reasonably be expected to prejudice the future supply
of like
information to the Department. The matter in issue consists of comments by a
union officer about the management of the Public
Trust Office.I am not
satisfied that union officers would in future be dissuaded from expressing
concerns about management's handling of staff
grievances, merely because the
document in issue was disclosed to the applicant. Raising concerns with, and
about, management is
one of the key roles of unions, and nothing before me
suggests that any union officer would be less likely to do their job in this
regard, if the document in issue is disclosed. I therefore find that the third
requirement for exemption under s.46(1)(b) of the
FOI Act (see paragraph 14
above) is not satisfied, with respect to the matter in issue.33. I find
that the matter in issue does not qualify for exemption from disclosure to the
applicant under s.46(1)(a) or s.46(1)(b)
of the FOI
Act.Application of s.40(c) of the FOI
Act34. Section 40(c) of the FOI Act provides:
40. Matter is exempt matter if its disclosure could reasonably be
expected to-- ... (c) have a substantial adverse
effect on the management or assessment by an agency of the agency's personnel;
... ...unless its disclosure would, on balance, be
in the public interest.35. I have considered the application of
s.40(c) of the FOI Act in Re Pemberton and The University of Queensland
(1994) 2 QAR 293, Re Murphy and Queensland Treasury & Ors [1995] QICmr 23; (1995)
2 QAR 744, Re Shaw and The University of Queensland [1995] QICmr 32; (1995) 3 QAR 107, and
Re McCann and Queensland Police Service [1997] QICmr 10; (1997) 4 QAR 30. The focus
of this exemption provision is on the management or assessment by an agency of
the agency's personnel. The exemption
will be made out if it is established
that disclosure of the matter in issue could reasonably be expected to have
a substantial adverse effect on the management or assessment by an agency of its
personnel, unless
disclosure of the matter in issue would, on balance, be in the
public interest.36. I analysed the meaning of the phrase "could
reasonably be expected to", by reference to relevant Federal Court decisions
interpreting the identical phrase as used in exemption provisions of the
Freedom of Information Act 1982 Cth, in Re "B" at pp.339-341,
paragraphs 154-160. In particular, I said in Re "B" (at pp.340-341,
paragraph 160):The words call for the decision-maker ... to
discriminate between unreasonable expectations and reasonable expectations,
between what
is merely possible (e.g. merely speculative/conjectural
"expectations") and expectations which are reasonably based, i.e. expectations
for the occurrence
of which real and substantial grounds exist. The
ordinary meaning of the word "expect" which is appropriate to its context in the
phrase "could reasonably be expected to" accords
with these dictionary meanings:
"to regard as probable or likely" (Collins English Dictionary, Third Aust. ed);
"regard as likely
to happen; anticipate the occurrence ... of" (Macquarie
Dictionary, 2nd ed); "Regard as ... likely to happen; ... Believe that it
will
prove to be the case that ..." (The New Shorter Oxford English Dictionary,
1993).37. If I am satisfied that any adverse effects could reasonably be
expected to follow from disclosure of the matter in issue, I must
then determine
whether those adverse effects, either individually or in aggregate, constitute a
substantial adverse effect on the
management or assessment by an agency of its
personnel. For reasons explained in Re Cairns Port Authority and Department
of Lands [1994] QICmr 17; (1994) 1 QAR 663 (at pp.724-725, paragraphs 148-150), I
consider that, where the Queensland Parliament has employed the phrase
"substantial adverse effect" in s.40(c) of the FOI Act, it
must have intended
the adjective "substantial" to be used in the sense of grave, weighty,
significant or serious.38. If I find that disclosure of the whole or any
part of the matter in issue could reasonably be expected to have a substantial
adverse
effect on the management or assessment by an agency of its personnel, I
must then consider whether disclosure of that matter would
nevertheless, on
balance, be in the public interest.Substantial adverse
effect39. In Mr Jeppesen's initial decision on behalf of the
Department, he stated in part: The Public Sector Management
Commission (the PSMC) standard issued in June 1991 concerning grievances places
an obligation on the
Department to provide a fair and equitable working
environment for all of its employees.To ensure that this result is
achieved and maintained, the Department is obligated to thoroughly investigate
all grievances.To enable the Department to conduct such
investigations in an effective and unbiased fashion, it is essential that the
investigating
officer be able to apprise him or herself of all relevant
information. Often this information will be extremely sensitive. Accordingly,
the process would be undermined if potential complainants, witnesses and parties
to the grievance were not offered some confidentiality
regarding their
sensibilities and information they had provided.Further, it is my
view that should the documents concerned be released, there is a strong
likelihood that parties to a grievance procedure
would be reluctant to provide
information to the Department, thus having a substantial adverse effect on the
management of the Department's
personnel.40. Ms Gribaudo has
informed me that the information disclosed during the course of her discussions
with the grievance investigators,
as recorded in the document in issue, was
provided to her in confidence by the complainant. Ms Gribaudo has stated that
much of
that information, some of which came from the complainant's personnel
file, was to be used only for the limited purpose of the grievance
proceeding.
In essence, Ms Gribaudo claims the information contained in the document in
issue is confidential in nature and was
disclosed to the grievance investigators
for the sole purpose of the grievance investigation. 41. The
substantial adverse effects claimed by the Department are the loss of
confidentiality, diminished confidence in, and general
undermining of, the
grievance process. In its submission dated 9 September 1998, the Department
stated:It is the view of the Department that there are serious
organisational implications if officers of the public service are unable to
lodge grievances or provide information to investigators in relation to
grievances particularly when express undertakings of confidentiality
have been
given to all parties involved. Of particular concern is where the aggrieved
person is junior in status to the person subject
to the
grievance.Furthermore the document in issue which relates to an
interview with Ms Gribaudo of the State Public Service Federation
Queensland raises issues relating to membership and representation by trade
unions.
[The] preliminary view also raises concerns as to whether there
are industrial/legal implications of the proposed
decision.Consultations with Ms Gribaudo have indicated that if
such a decision was to be made the Union's position would be that grievance
procedures would be inevitably undermined and they may advise members not to
participate.The preliminary view also raises the question as to
whether any exemption provided under the FOI Act could ever apply if the
documents
are to the detriment of the applicant who is an officer of the public
service. For example, if this was the case, material relating
to current CJC
and police referrals would have to be provided to the alleged perpetrators if
[such person is] an officer of the public service.42. The
major concern of both the Department and Ms Gribaudo appears to be directed
towards the potential for disclosure of information
provided by staff members in
general, and junior officers who have grievances in particular. However, the
source of information
in this case was a union officer. The document in issue
does not support Ms Gribaudo's claim that the information in it was provided
to
her in confidence by the complainant. The document in issue contains concerns
raised by Ms Gribaudo about Ms Gribaudo's interactions
with management,
including the applicant. 43. As I indicated at paragraph 32 above, it is
only to be expected that in dealing with grievances by staff members there will,
from
time to time, be disagreements between union officials and management as to
how a grievance should be dealt with. It is not surprising
that a union
official, when providing information to grievance investigators, may be critical
of aspects of the performance of managers.
I do not consider that disclosure of
the information provided by Ms Gribaudo to the applicant would be likely to make
her, or any
other union officer, less likely to perform their duties by
highlighting areas in which they consider that management performance
has been
lacking. Nor do I consider that disclosure of the document in issue, which
merely highlights a union officer's concerns
about the way in which management
has dealt with an employee's grievances, could reasonably be expected to cause
officers of the
Department, or of the Public Trust Office, to refrain from
making grievances or providing information to grievance investigators
in the
future.44. Given the nature of the information in issue, and the fact
that it comes from a union officer, I am not satisfied that its disclosure
could reasonably be expected to have a substantial adverse effect on the
management or assessment
by an agency (whether it be the Department or the
Public Trust Office) of its personnel. I therefore find that the matter in
issue
is not exempt from disclosure to the applicant under s.40(c) of the FOI
Act.Application of s.44(1) of the FOI
Act45. Section 44(1) of the FOI Act provides:
44.(1) Matter is exempt matter if its disclosure would disclose
information concerning the personal affairs of a person, whether living
or dead,
unless its disclosure would, on balance, be in the public
interest.46. In applying s.44(1) of the FOI Act, one must first
consider whether disclosure of the matter in issue would disclose information
that is properly to be characterised as information concerning the personal
affairs of a person. If that requirement is satisfied,
a prima facie
public interest favouring non-disclosure is established, and the matter in issue
will be exempt, unless there exist public interest
considerations favouring
disclosure which outweigh all identifiable public interest considerations
favouring non-disclosure, so as
to warrant a finding that disclosure of the
matter in issue would, on balance, be in the public interest.47. In my
reasons for decision in Re Stewart and Department of Transport [1993] QICmr 6; (1993) 1
QAR 227, I identified the various provisions of the FOI Act which employ the
term "personal affairs", and discussed in detail the meaning of
the phrase
"personal affairs of a person" (and relevant variations thereof) as it appears
in the FOI Act (see pp.256-257, paragraphs
79-114, of Re Stewart).
In particular, I said that information concerns the "personal affairs of a
person" if it concerns the private aspects of a person's
life and that, while
there may be a substantial grey area within the ambit of the phrase "personal
affairs", that phrase has a well
accepted core meaning which includes:
family and marital relationships;
health or ill health;
relationships and emotional ties with other people; and
domestic responsibilities or financial obligations.Whether or
not matter contained in a document comprises information concerning an
individual's personal affairs is essentially a question
of fact, to be
determined according to the proper characterisation of the information in
question.48. Although she did not make any detailed submissions on the
point, Ms Gribaudo submitted that the matter in issue concerned the
personal
affairs of the complainant, and should not be disclosed.49. In Re
Stewart, I indicated that, ordinarily, information which concerns an
individual's work performance or other work-related matters does not
concern
that individual's personal affairs (see pp.261-264, paragraphs 91-102). In
Re Pope and Queensland Health [1994] QICmr 16; (1994) 1 QAR 616, after reviewing relevant
authorities (at pp.658-660), I expressed the following conclusion at p.660
(paragraph 116):Based on the authorities to which I have referred, I
consider that it should now be accepted in Queensland that information which
merely concerns the performance by a government employee of his or her
employment duties (i.e., which does not stray into the realm
of personal affairs
in the manner contemplated in the Dyrenfurth case) is ordinarily
incapable of being properly characterised as information concerning the
employee's "personal affairs" for the
purposes of the FOI Act.The
general approach evidenced in this passage was endorsed by de Jersey J (as he
then was) of the Supreme Court of Queensland in
State of Queensland v
Albietz [1996] 1 Qd R 215, at pp.221-222. 50. Also, in Re
Pope, I specifically endorsed the following observations, concerning s.33(1)
(the personal affairs exemption) of the Freedom of Information Act 1982
Vic, made by Eames J of the Supreme Court of Victoria in University of
Melbourne v Robinson [1993] VicRp 67; [1993] 2 VR 177, at p.187:The reference to
the "personal affairs of any person" suggests to me that a distinction
has been drawn by the legislature between those aspects of an individual's life
which might be
said to be of a private character and those relating to or
arising from any position, office or public activity with which the person
occupies his or her time. [emphasis added]51. From my examination
of the matter in issue, I am not satisfied that any of it can be properly
characterised as information concerning
the complainant's personal affairs. The
interview mainly addressed the performance of management in the handling of the
complainant's
concerns about her treatment. I find that the matter in issue
does not qualify for exemption under s.44(1) of the FOI
Act.Conclusion52. For the foregoing reasons, I set
aside the decision under review (being the decision made by Mr D A C Smith on
behalf of the Department,
and dated 19 September 1996). In substitution for it,
I find that the matter in issue is not exempt from disclosure to the applicant
under the FOI
Act..........................................................F
N ALBIETZINFORMATION COMMISSIONER
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Shaw and Kilcoy Shire Council [2008] QICmr 3 (9 January 2008) |
Shaw and Kilcoy Shire Council [2008] QICmr 3 (9 January 2008)
Office of the Information
Commissioner Decision and Reasons for
Decision
Application
Number: 210390
Applicant:
Mr P Shaw
Respondent:
Kilcoy Shire Council
Decision
Date:
9 January 2008
Catchwords:
FREEDOM OF INFORMATION – section 44(1) of the Freedom of Information
Act 1992 (Qld) – matter in issue concerns the terms of settlement of
proceedings commenced by a third party against the respondent –
whether
matter in issue contains information concerning the personal affairs of the
third party – whether disclosure of the
matter in issue would, on balance,
be in the public interest
FREEDOM OF INFORMATION – section 22(a) of the Freedom of
Information Act 1992 (Qld) – matter in issue comprises court documents
filed with the Supreme Court of Queensland – whether applicant can
reasonably get access to documents under another access scheme
Contents
Summary.......................................................................................................................
2
Background
.................................................................................................................
2
Decision under
review...................................................................................................
2
Steps taken in the external review process
................................................................
3
Matter in issue
.............................................................................................................
3
Findings.........................................................................................................................
4
.... Section 44(1) of the FOI Act
....................................................................................
4
......... Personal Affairs
..................................................................................................
4
............. Commencement and conduct of legal proceedings
.....................................
4
......... Public interest balancing test
.............................................................................
5
............. Public interest considerations favouring disclosure
......................................
6
Public interest considerations favouring non-disclosure
...............................
6
............. Where does the balance of public interest consideration lie?
.......................
7
.... Section 22(a) of the FOI Act
....................................................................................
7
.... Conclusion
..............................................................................................................
7
Decision
......................................................................................................................
8
REASONS FOR DECISION
Summary
1.
The three folios which relate to the relevant terms of settlement are exempt
from disclosure under section 44(1) of
the Freedom of Information Act
1992 (Qld) (FOI Act) as they concern the personal affairs of a person and
their disclosure, on balance, is not in the public interest.
2.
The remaining six folios which are responsive to the applicant’s freedom
of information application (FOI Application)
are matters of public record and
are reasonably available to the applicant from the Supreme Court of Queensland.
On this basis,
access to these folios is refused under section 22(a) of
the FOI Act. Background
3. By
application dated 22 August 2007, the applicant applied to the Kilcoy Shire
Council (Council) under the FOI Act
for access to:
all documents relating to Local Council Mutual Minute No 12/06B/07 (J.
Lougheed vs Council)
4. By
letter dated 23 August 2007, Council consulted a third party under section 51 of
the FOI Act in relation to the
release of the relevant information.
5.
The third party objected to the release of the information and provided reasons
for the objection.
6. By
letter dated 7 September 2007, Ms C Gaedtke, FOI Co-ordinator, decided that the
information sought could not be
released to the applicant and explained that:
I have been unable to offer you confirmation of the amount that was
settled in the matter of Lougheed vs. Council as I have been advised
by
Council’s public liability insurer that the settlement is subject to a
confidentiality clause, which prohibits public release
of the information. The
claim was settled out of Court and therefore there are no court transcripts
which can be referred to.
7. By
email dated 8 October 2007, the applicant sought internal review of Ms
Gaedtke’s decision.
8. By
letter dated 30 October 2007, KL Timms, FOI Decision Maker, affirmed
Ms Gaedtke’s decision.
9. By
email dated 26 November 2007, the applicant sought external review of KL
Timms’ decision. Decision under review
10. The decision under review
is the internal review decision of KL Timms dated 30 October 2007.
Steps taken in the external review process
11. By letters dated 28
November 2007 and 3 December 2007 this Office asked Council to provide copies of
all documentation
relevant to the review and the documents responsive to the FOI
Application.
12. By letters dated 29
November 2007 and 12 December 2007, Council provided this Office with the
requested documents.
13. On 19 December 2007, a
staff member of this Office contacted the applicant and advised the preliminary
view that:
• three of the folios were exempt
from disclosure under section 44(1) of the FOI Act
• access should be refused to the
remaining 6 folios under section 22(a) of the FOI Act.
14. By letter dated 2 January
2008, I communicated the preliminary view to the applicant in writing and
invited the applicant,
if he did not accept the preliminary view, to make
written submissions in support of his case by 18 January 2008.
15. By email dated 5 January
2008, the applicant advised that he did not accept the preliminary view and
provided submissions
in support of his case.
16. In making this decision,
I have taken the following into account:
• the applicant’s FOI
Application dated 22 August 2007
• Council’s letter to the
third party under section 51 of the FOI Act dated 23 August 2007
• the third party’s response
to that letter dated 31 August 2007
• Council’s initial decision
dated 7 September 2007
• the applicant’s internal
review application dated 8 October 2007
• Council’s internal review
decision dated 30 October 2007
• the applicant’s external
review application dated 26 November 2007
• the applicant’s submissions
dated 5 January 2008
• relevant cases and
legislation
• the matter in issue.
Matter in issue
17. The matter in issue in
this review comprises nine folios that can be categorised in the following
manner:
• three folios which relate to the
terms of settlement of the relevant legal proceedings
• six folios which comprise court
documents filed in the Supreme Court of Queensland which relate to the relevant
legal
proceedings.
Findings Section 44(1) of the FOI
Act
18. Section 44(1) of the FOI
Act provides
that:
44 Matter affecting personal affairs
(1)
Matter is exempt matter if its disclosure would disclose information concerning
the personal affairs of a person, whether
living or dead, unless its disclosure
would, on balance, be in the public interest.
19. Section 44(1) of the FOI
Act requires consideration of the following issues:
• Would disclosure of the matter in
issue reveal information concerning a person’s personal affairs?
• If it would, the matter in issue
is exempt[1]
from disclosure unless there are public interest considerations favouring
disclosure, which, on balance, outweigh the public interest
considerations
against disclosure.
20. I will examine each of
these requirements below. Personal affairs
21. In Stewart and
Department of Transport[2], the Information Commissioner decided that information concerns
the ‘personal affairs of a person’ if it concerns the
private
aspects of a person's life and that, while there may be a substantial grey area
within the ambit of the phrase ‘personal
affairs’, that phrase has a
well accepted core meaning which includes:
• family and marital
relationships
• health or ill health
• relationships and emotional ties
with other people
• domestic responsibilities or
financial obligations.
22. Whether or not matter
contained in a document comprises information concerning an individual's
personal affairs is a question
of fact, to be determined according to the proper
characterisation of the information in question. Commencement
and conduct of legal proceedings
23. The matter in issue
contains details about the terms of settlement reached between Council and the
relevant individual.
24. The Information
Commissioner considered whether such information constitutes an
individual’s personal affairs in
the decision of Rees and Queensland
Generation Corporation trading as Austa Electric.[3]
25. In that case, the
Information Commissioner decided that the commencement and conduct of an action
for damages for personal
injuries, by an individual acting in a purely personal
capacity, must properly be characterised as the personal affairs of the
individual.[4]
26. The Information
Commissioner went on to comment that:[5]
20. Nor do I mean to
convey that, where litigation or the pursuit of a legal remedy is properly to be
characterised as being
an individual's personal affair, any document or
information connected with the litigation (or the pursuit of the legal remedy)
is
necessarily information which concerns the individual's personal affairs. The
primary issue in the application of s.44(1) of the
FOI Act is always the proper
characterisation of the particular information in issue, i.e., what is the
information about?
21. In the
present case, the information in issue is about the settlement of the
proceedings in the Commission, brought by the third party,
in a purely personal
capacity, to pursue a legal remedy, including the third party's choices as to
the basis on which he was prepared
to compromise his rights to pursue that legal
remedy to the full extent permitted by the law. I consider that the documents in
issue
comprise information which is properly to be characterised as information
concerning the personal affairs of the third party, and
which is therefore prima
facie exempt from disclosure, under s.44(1) of the FOI Act, subject to the
application of the public interest
balancing test incorporated in s.44(1).
[my emphasis]
27. After carefully reviewing
the matter in issue, I am satisfied that the matter in issue:
• relates to the terms of
settlement of legal proceedings brought by an individual in a purely personal
capacity
• reveals the basis on which that
individual was prepared to compromise his rights to pursue that remedy
• comprises information that is
properly characterised as the personal affairs of that individual and is
prima facie exempt from disclosure under section 44(1) of the FOI Act
subject to the public interest balancing test.
Public interest balancing test
28. A public interest
consideration favouring non-disclosure, that is, the public interest in the
protection of personal privacy,
is inherent in circumstances where matter is
prima facie exempt from disclosure under section 44(1) of the FOI Act.
The mere finding that disclosure of the matter in issue would disclose
information concerning the personal affairs of a person other than the applicant
must always tip the scales against disclosure of
that matter. The extent to
which the scales are tipped varies from case to case according to the relative
weight of the privacy interests
attaching to the particular information that
disclosure of the matter in issue would disclose.
29. On this basis, I must:
• consider any public interest
considerations favouring disclosure of the relevant matter in issue
• determine whether those public
interest considerations outweigh the public interest in the protection of
personal privacy
and any other public interest considerations favouring
non-disclosure of the matter in issue.
Public interest considerations favouring
disclosure
30. I am of the view that the
public interest considerations favouring disclosure of the matter in issue are:
• the public interest in promoting
openness and transparency in relation to the operations of government
agencies
• the public interest in government
agencies being accountable for the conduct of their operations and the
expenditure
of their funds.
31. I note that the applicant
submits that:
Reference is made to public interest and it is purely this issue that
concerns me.
My understanding is that Councillor Lougheed is intending to stand in the
upcoming re zoned council elections.
If this is the case I believe the constituents involved should be aware of
the fact that this claim was made and the circumstances
surrounding it. This
would allow the voters to make their decision knowing these facts.
32. After careful review of
these issues, it is my view that the considerations favouring disclosure of the
matter in issue
should be afforded considerable weight in this instance.
Against these I must balance the public interest considerations favouring
non-disclosure. Public interest considerations favouring
non-disclosure
33. A public interest in the
protection of personal privacy is inherent in circumstances where matter is
prima facie exempt from disclosure under section 44(1) of the FOI
Act.
34. In some instances where
legal proceedings have commenced, information that would ordinarily be
characterised as an individual’s
personal affairs can become a matter of
public record. Where information becomes a matter of public record, the
public interest
in the protection of personal privacy is likely to be
significantly diminished.
35. In this case, there is
some relevant information on the public record (as discussed below). However, on
the information
available to me, I am satisfied that information relating to the
terms of settlement of the matter is not a matter of public record
and is not
recorded in any public document. As was the case in Rees[6], the settlement of relevant
proceedings was achieved through negotiation outside the formal court process
and set out in an agreement
between the parties, the terms of which include that
details of the settlement are to remain confidential.
36. Taking into account the
factors set out above, I am of the view that:
• disclosure of the matter in issue
would constitute a significant incursion into the personal privacy of the
individual
whose personal affairs are contained in the relevant folios.
• the public interest in the
protection of personal privacy is a highly significant consideration that should
be accorded
very substantial weight.
Where does the balance of public interest
consideration lie?
37. After careful
deliberation, I am satisfied that:
• the public interest
considerations favouring disclosure of the matter in issue do not outweigh the
public interest in
the protection of personal privacy
• the matter in issue qualifies for
exemption under section 44(1) of the FOI Act.
Section 22(a) of the FOI Act
38. Section 22(a) of the FOI
Act
provides: 22
Documents to which access may be
refused
An agency or Minister may refuse access under this Act
to—
(a) a
document the applicant can reasonably get access to under another enactment, or
under arrangements made by an agency,
whether or not the access is subject to a
fee or charge; or
39. A staff member of this
Office contacted the Civil Registry at the Supreme Court of Queensland and
confirmed that, as a
non-party to the proceedings and a general member of the
public, the applicant is entitled to view and request a copy of court documents
filed in the relevant legal proceedings. As the applicant was not a party
to these proceedings, there will be a small fee involved.
40. As the six remaining
folios are reasonably available to the applicant from the Supreme Court of
Queensland, I am of the
view that the applicant should be refused access to
these folios in accordance with section 22(a) of the FOI Act.
Conclusion
41. For the reasons explained
above, I am satisfied that:
a) The three folios which relate to
the relevant terms of settlement are exempt from disclosure under section 44(1)
of the
FOI Act as they concern the personal affairs of a person and their
disclosure is, on balance, not in the public interest.
b) The remaining six folios are
matters of public record and are reasonably available to the applicant from the
Supreme Court
of Queensland. On this basis, access to these folios is
refused under section 22(a) of the FOI
Act. DECISION
42. For the reasons set out
above, I vary the internal review decision of KL Timms dated 30 October 2007.
43. I have made this decision
as a delegate of the Information Commissioner, under section 90 of the
Freedom of Information Act 1992 (Qld).
________________________
F Henry
Assistant Commissioner
Date: 9 January 2008 [1] Though
it is not exempt merely because it concerns the personal affairs of the
applicant (section 44(2) of the FOI Act). [2] [1993] QICmr 6; (1993) 1 QAR
227.[3]
[1996] QICmr 10; (1996) 3 QAR 277 (Rees). [4] Rees at paragraph 18.
[5]
Rees at paragraphs 20 - 21. [6] Rees at paragraphs 22-23.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Geary and Australian Health Practitioner Regulation Agency [2011] QICmr 36 (12 September 2011) |
Geary and Australian Health Practitioner Regulation Agency [2011] QICmr 36 (12 September 2011)
Last Updated: 21 October 2011
Decision and Reasons for Decision
Application Number: 310392
Applicant: Geary
Respondent: Australian Health Practitioner Regulation
Agency
Decision Date: 12 September 2011
Catchwords: INFORMATION PRIVACY ACT – REFUSAL OF ACCESS –
applicant sought access to information related to concerns about
the
applicant’s conduct and a copy of relevant CCTV footage – whether
disclosure of information would, on balance, be
contrary to public interest
– section 67(1) of the Information Privacy Act 2009 (Qld) and
sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld)
Contents
REASONS FOR DECISION
Summary
The
applicant applied to the Queensland Nurses’ Council (QNC) for
information “which raises concerns about ...” the
applicant’s health and conduct.
QNC
released all documents on the applicant’s professional standards file to
the applicant except for a two page file note and
a copy of relevant CCTV
footage.[1]
On
behalf of the applicant, the Queensland Nurses’ Union (QNU) applied
to the Australian Health Practitioner Regulation Agency
(AHPRA)[2] for
internal review of QNC’s decision.
On
internal review, AHPRA upheld QNC’s
decision[3] refusing
access to the file note and CCTV footage on the basis that their disclosure
would, on balance, be contrary to the public
interest.
QNU
applied for external review of AHPRA’s internal review decision.
During
the course of this external review, AHPRA
agreed[4] to release
some routine personal work information contained in the file
note[5] to the
applicant. However, AHPRA maintains that disclosure of the remaining
information in the file note and the CCTV footage would,
on balance, be contrary
to public interest.
Accordingly,
the information under consideration in this external review (Information in
Issue) comprises:
the remaining
information[6] in the
file note which is limited to:
information
relating to the identity of the notifier
personal
opinions held by the author of the file note regarding collateral issues
(including staffing); and
relevant CCTV
footage.
After
carefully considering all of the relevant information before me, I am satisfied
that:
the file note is
not the relevant ‘complaint’ and contains no information about the
actual incident involving the applicant
disclosure of
the Information in Issue:
would
disclose personal information of third parties (which is not routine personal
work information) and could reasonably be expected
to cause a public interest
harm
could
reasonably be expected to prejudice the protection of those third parties’
rights to privacy; and
is, on
balance, contrary to public interest under sections 47(3)(b) and 49 of the RTI
Act.
Reviewable decision
The
decision under review is AHPRA’s internal review decision dated 12 August
2010.
Background
Significant
procedural steps are set out in the appendix to this decision.
Evidence considered
In
making this decision, I have taken the following into account:
the
applicant’s applications to QNC, AHPRA and the Office of the Information
Commissioner (OIC)
QNC’s
initial decision and AHPRA’s internal review decision
the submissions
made by QNU on the applicant’s behalf to OIC
file notes of
telephone conversations between OIC staff and QNU staff
file notes of
telephone conversations between OIC staff and AHPRA staff
the Information
in Issue; and
relevant
provisions of the Right to Information Act 2009 (Qld) (RTI Act)
and the Information Privacy Act 2009 (Qld) (IP Act).
Issue for determination
The
issue for determination in this review is whether AHPRA is entitled to refuse
access to the Information in Issue on the basis
that its disclosure would, on
balance, be contrary to public interest under section 67(1) of the IP Act and
sections 47(3)(b) and
49 of the RTI Act.
Applicant’s submissions
QNU
makes extensive submissions in support of its member’s
case[7] including
that:
in relation to
the remaining information in the file note:
it must
have been in the reasonable contemplation of Queensland Health (QH) that
the file note would need to be provided to the applicant pursuant to the rules
of natural justice
the
Nursing and Midwifery Board of Australia recently determined to refer the
applicant’s matter to the Queensland Civil and
Administrative Tribunal
the
documents sought are key to the applicant’s disciplinary matter and
disclosure is in the public interest so that the applicant
is in a position to
know the evidence which may be put against him
all of
the information contained in the file note would be “deliberative
process information”, and thus should not be considered exempt
information or information favouring nondisclosure
how can
any “personal opinions, beliefs or comments” contained in a
file note prepared in relation to an employment matter place it outside what
would otherwise be regarded as work information,
rather than personal
information
how can
information conveyed by a staff member or members to their supervisors regarding
an incident that they witnessed properly
be considered information of a
confidential nature that was communicated in confidence
it is
unlikely that the file note was disclosed to QNC on a confidential basis - any
possible claim to confidentiality was lost at
the point the information was
given to QNC
In relation to
the relevant CCTV footage:
it is
disputed that many of the individuals, if any, are truly identifiable from the
footage, given the poor quality of the footage
it is
anticipated that the CCTV footage will be a key piece of evidence in
disciplinary proceedings against the applicant
counsel
and/or external solicitors will be engaged to represent the applicant in
disciplinary proceedings and they will need to view
the footage
it is
not reasonable to expect a barrister to attend QH offices simply for the purpose
of viewing this footage, and
the
applicant is entitled to know the case which may be put against him, and obtain
full and informed advice from his legal representatives
in relation to this
matter.
QNC/AHPRA submissions
As
set out in their decisions, QNC and AHPRA relevantly state that:
portions of the
file note would reveal the identity of the person who made the initial
notification
QH contends that
the notifier is a confidential source of information, in relation to the
enforcement or administration of the law
(namely, the provisions of the
Nursing Act 1992 (Qld) regarding the investigation of complaints against
registrants)
the factors
relevant to the flow of information to AHPRA (as the organisation replacing the
QNC) should be afforded considerable weight,
given that the success of
AHPRA’s notification program relies on the receipt of this kind of
information
as AHPRA’s
ability to respond to such complaints exists for the protection of the public,
AHPRA does not wish to place this
system in jeopardy
the file note
also contains the personal views of the author regarding how the matter was
managed
the CCTV footage
records the personal information of not only the applicant but also a number of
other identifiable individuals, including
staff and patients
as neither QNC
nor QH has the technical equipment necessary to obscure (pixelate) the
identities of those other persons, release would
result in the disclosure of
personal information of all persons captured on the tape, including individuals
who were at the relevant
time patients receiving mental health treatment
once released,
the QNC would not be able to place any conditions on the future disclosure/use
of the information, resulting in a breach
of the privacy of the patients
concerned, and
natural justice
has been afforded to the applicant by the communication of relevant information
and the decision to give the applicant
access to all of the other documents in
his professional standards file.
Relevant law
Section
67(1) of the IP Act provides that access to a document may be refused on the
same basis upon which access to a document could
be refused under section 47 of
the RTI Act.
Relevantly,
sections 47(3)(b) and 49 of the RTI Act provide a ground for refusal of access
where disclosure of information would,
on balance, be contrary to public
interest.
The
term ‘public interest’ is not defined in the RTI Act. Instead the
RTI Act recognises that many factors can be relevant
to the concept of the
public interest. The public interest refers to considerations affecting
the good order and functioning of the community and governmental affairs for the
well-being of
citizens. The notion of the public interest is usually treated as
separate from matters of purely private or personal interest.
Usually, a public
interest consideration is one that is available to all members or a substantial
segment of the community should
they choose to access it. Although, in some
circumstances public interest considerations can apply for the benefit of
particular
individuals.
In
determining whether disclosure of the Information in Issue would, on balance, be
contrary to public interest, I
must:[8]
identify and
disregard irrelevant factors
identify factors
favouring disclosure of the information in the public interest
identify factors
favouring non-disclosure of the information in the public interest
balance the
relevant factors favouring disclosure and non-disclosure; and
decide whether
disclosure of the information would, on balance, be contrary to public
interest.
Irrelevant factors
QNU
identifies the following factor as irrelevant to deciding the public interest -
disclosure of the information could reasonably
be expected to cause
embarrassment to the Government or cause a loss of confidence in the
Government.[9]
I
agree that this factor is irrelevant and should be disregarded in accordance
with section 49(3)(d) of the RTI Act.
Factors favouring disclosure
On
the basis of the information before me, I am satisfied that the factors
favouring disclosure of the Information in Issue include
that disclosure could
reasonably be expected to:
promote open
discussion of public affairs and enhance the Government’s
accountability[10]
advance the fair
treatment of individuals and other entities in accordance with the law in their
dealings with
agencies;[11] and
contribute to
the administration of justice (both generally and for a person), including
procedural
fairness.[12]
Factors favouring nondisclosure
On
the basis of the information before me, I am satisfied that the factors
favouring nondisclosure of the Information in Issue include
that disclosure:
could reasonably
be expected to prejudice an individual’s right to
privacy[13]
may cause a
public interest harm as it would disclose an individual’s personal
information;[14]
and
could reasonably
be expected to prejudice an agency’s ability to obtain confidential
information.[15]
Balancing the public interest
I
note that personal information is ‘information or an opinion... whether
true or not ... about an individual whose identity is apparent, or can
reasonably be ascertained,
from the information or
opinion’.[16]
CCTV footage
With
respect to the relevant CCTV footage, I note:
QNC’s
statement that neither QNC nor QH have the technology to enable pixilation of
the third parties’ images to prevent
disclosure of the third
parties’ personal
information,[17] and
that the
applicant and two QNU officials have already viewed the CCTV
footage[18] and have
been advised that the CCTV footage may be viewed again.
After
carefully considering the CCTV footage and all of the relevant information
before me, I am satisfied that:
the footage
contains the personal information of third parties including patients receiving
mental health treatment
the images are
sufficiently clear for the persons recorded to be identified
the applicant
and his representatives have viewed the footage and are able to view the footage
again at QH’s offices if they
wish to do so, and
while there is a
clear public interest in the accountability of agencies and in individuals being
afforded procedural fairness, on
balance, the factors favouring nondisclosure of
the CCTV footage (including the protection of an individual’s right to
privacy,
particularly where some of those individuals are patients receiving
mental health treatment) significantly outweigh the factors favouring
disclosure
in the circumstances of this review.
Remaining information in file note
After
carefully considering the remaining information in the file note and all of the
relevant information before me, I am satisfied
that:
the file note is
not the relevant ‘complaint’ and contains no information about the
actual incident involving the applicant
the remaining
information in the file note:
comprises
information relating to the identity of the notifier and personal opinions held
by the author of the file note regarding
collateral issues (including
staffing)
comprises
the personal information of third parties
does
not comprise the routine personal work information of a public
servant,[19] and
is not
adverse to the applicant.
Procedural fairness and administration of justice
QNU
submits that procedural fairness requires the file note to be provided to the
applicant so that he knows the evidence which may
be put to him, particularly
now that the matter has been referred to QCAT.
Given
my findings that the file note is not the relevant ‘complaint’, that
the remaining information in the file note
contains no information about the
relevant incident, is not adverse to the applicant and where the applicant has
been provided with
all other documents on his professional standards file, I am
satisfied that little or no weight should be afforded to these submissions
in
support of factors favouring disclosure including the administration of justice
and procedural fairness.
Deliberative process information and routine work information
QNU
also submits that the information in the file note would be
“deliberative process information” and questions how any
“personal opinions, beliefs or comments” contained in a file
note prepared in relation to an employment matter place it outside what would
otherwise be regarded as work information.
Given
my findings that the remaining information in the file note comprises the
personal information of third parties (being information
relating to the
identity of the notifier and personal opinions held by the author of the file
note regarding collateral issues including
staffing), I am satisfied that:
this information
is properly characterised as the non-routine personal work information of the
file note’s author as it comprises
an individual’s personal views
regarding collateral issues including
staffing[20]
this information
does not comprise deliberative process
matter,[21]
little or no
weight should be afforded to these submissions in support of factors favouring
disclosure.
Confidentiality
QNU
further submits that:
information
conveyed by a staff member or members to their supervisors regarding an incident
that they witnessed cannot properly be
considered information of a confidential
nature that was communicated in confidence, and
it is unlikely
that the file note was disclosed to QNC on a confidential basis, therefore, any
possible claim to confidentiality was
lost at the point the information was
given to QNC.
Given
my finding that the remaining information in the file note does not concern
“information conveyed by a staff member ... to their supervisor...
regarding an incident that they witnessed” and the relevant
confidentiality provisions of the Nursing Act 1992 (Qld) and the
Health Practitioner Regulation National Law Act 2009
(Qld),[22] I am
satisfied that little or no weight should be afforded to these submissions in
support of factors favouring disclosure.
In
summary, after carefully considering the remaining information in the file note,
QNU’s submissions and all of the relevant
information before me, I am
satisfied that:
while
acknowledging the importance of agency accountability generally and the
applicant being provided with sufficient information
to enable him to properly
respond to allegations made against him, little weight should be afforded to the
public interest factors
favouring disclosure, given that:
the
applicant has been provided with all other information on his professional
standards file
the
remaining information in the file note contains no information about the actual
incident and is not adverse to the applicant
significant
weight should be afforded to the factors favouring nondisclosure, as disclosure
could reasonably be expected to:
cause a
public interest harm as it would disclose third parties’ personal
information (including information regarding the identity
of the notifier and
the author’s personal opinions about collateral issues which do not
comprise routine personal work information
and do not relate to the
applicant’s relevant conduct)
prejudice
the third parties’ rights to privacy, and
on balance, the
factors favouring nondisclosure of the remaining information in the file note
outweigh the factors favouring disclosure
in the circumstances of this
review.
In
summary and based on the matters set out above, I am satisfied that disclosure
of the Information in Issue is, on balance, contrary
to public interest.
DECISION
I
vary the decision under review by finding that AHPRA:
was
not entitled to refuse access to the routine personal work information contained
in the file note; and
is
entitled to refuse access to the Information in Issue under section 67(1) of the
IP Act and sections 47(3)(b) and 49 of the RTI
Act on the basis that disclosure
would, on balance, be contrary to public interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the Information Privacy Act 2009 (Qld).
________________________
Jenny Mead
Right to Information Commissioner
Date: 12 September
2011APPENDIX
Significant procedural steps
Date
Event
26 May 2010
The applicant lodges an application with the Queensland Nursing Council
(QNC) seeking information under the Information Privacy Act 2009
(IP Act).
30 June 2010
QNC issues its initial decision.
1 July 2010
QNC merges with the Australian Health Practitioner Regulation Agency
(AHPRA).
19 July 2010
Queensland Nurses’ Union (QNU), on behalf of the applicant,
applies to AHPRA for internal review of QNC’s decision.
12 August 2010
AHPRA issues its internal review decision.
9 September 2010
QNU applies to the Office of the Information Commissioner (OIC) for
external review of AHPRA’s internal review decision and provides copies of
relevant documents.
6 October 2010
OIC accepts the external review application. OIC requests AHPRA provide
copies of the documents to which access was refused.
11 October 2010
AHPRA provides OIC with copies of the relevant information.
23 June 2011
OIC:
conveys a
written preliminary view to AHPRA; and
consults with
Queensland Health (QH), advising of the preliminary view to AHPRA and
asking whether QH wishes to become a participant in the external
review.
7 July 2011
AHPRA accepts OIC’s preliminary view, agreeing to release further
information to the applicant. QH confirms that it has no objection
to the
preliminary view conveyed to AHPRA and, on that basis, does not wish to apply to
participate in the external review.
13 July 2011
OIC conveys a preliminary view to QNU and asks AHPRA to release additional
information to the applicant.
26 July 2011
AHPRA releases the additional information to the applicant/QNU.
2 August 2011
QNU provides a submission to OIC.
[1] Dated 30 June
2010.[2] QNC (being
a state health registration board) merged with the Australian Health
Practitioner Regulation Agency (AHPRA) on 1 July 2010 following the
commencement of the Health Practitioner Regulation National Law 2009
(Cth) which came into effect on that
date.[3] Internal
review decision dated 12 August
2010.[4] Following
consultation with Queensland Health
(QH).[5]
Routine personal work information is information that is solely and wholly
related to the routine day to day work duties and responsibilities
of a public
service officer. While the routine personal work information of public service
officers is personal information, on balance,
the infringement of a public
service officer’s right to privacy would, generally, be minimal or
non-existent, as would any
public interest harm caused by its disclosure. See
OIC’s guideline, Routine personal work information of public
servants.[6]
Which I note contains no details of the incident involving the applicant which
led to the relevant notification.
[7] In their request
for internal review dated 19 July 2010, request for external review dated 9
September 2010 and submissions dated
2 August
2011.[8] Section 49
of the RTI Act. This section must be read in conjunction with the public
interest factors listed in schedule 4 of the
RTI
Act.[9] Schedule 4,
Part 1, Factor 1 of the RTI
Act.[10] Schedule
4, Part 2, Factor 1 of the RTI
Act.[11] Schedule
4, Part 2, Factor 10 of the RTI
Act.[12] Schedule
4, Part 2, Factor 16 and 17 of the RTI
Act.[13] Schedule
4, Part 3, Factor 3 of the RTI
Act.[14] Schedule
4, Part 4, section 6(1) of the RTI
Act.[15] Schedule
4, Part 3, Factor 16 of the RTI
Act.[16] See
section 12 of the Information Privacy Act 2009
(Qld).[17] Page 2
of QNC’s decision dated 30 June
2010.[18] As
advised by QNU in their submission dated 2 August
2011.[19] As set
out in this Office’s guideline, non-routine personal work information
includes complaints made by or about a public
service officer and opinions about
another public service officer including about how well an officer performs
their duties.[20]
See the OIC’s Guideline “Routine personal work information of
public servants” which explains that the type of information which is
not considered to be routine includes complaints made by or about a public
service officer and an officer’s opinions about other public service
officers.[21] As
it does not comprise a relevant opinion, advice, recommendation, consultation or
deliberation that has taken place, been obtained,
prepared or recorded in the
course of, or for the purposes of, the deliberative processes of
government.[22]
See for example section 216 of the Health Practitioner Regulation National
Law Act 2009 (Qld) “Duty of confidentiality” and section 139 of
the Nursing Act 1992 (Qld) “Confidentiality of documents and
information”.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Matthews and Gold Coast City Council [2011] QICmr 30 (23 June 2011) |
Matthews and Gold Coast City Council [2011] QICmr 30 (23 June 2011)
Last Updated: 8 September 2011
Decision and Reasons for Decision
Application Number: 310314
Applicant: Matthews
Respondent: Gold Coast City Council
Decision Date: 23 June 2011
Catchwords: INFORMATION PRIVACY ACT – Grounds on which access may
be refused – section 67(1) of the Information Privacy Act 2009
(Qld) – sections 47(3)(b) and 49 of the Right to Information Act
2009 (Qld) – whether document comprises information the disclosure of
which would, on balance, be contrary to the public interest
Contents
REASONS FOR DECISION
Summary
The
applicant applied to the Gold Coast City Council (Council) under the
Information Privacy Act 2009 (Qld) (IP Act) for access to a
complaint made about him.
Council
identified six pages responding to the applicant’s access application.
After consultation with a third party, Council
provided the applicant with full
access to four pages, partial access to two pages (the letter of complaint) and
refused access to
the remaining information on the basis that its disclosure
would, on balance, be contrary to the public
interest.[1]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of Council’s decision.
In
support of his case for access, the applicant made submissions including that:
the opinions,
thoughts and assumptions to which he has been denied access are about him and he
has reason to believe they:
are of a
malicious nature
are not relevant
to the facts of the complaint
are exaggerated,
misleading and false; and
are
defamatory
he is being
denied natural justice and the right to defend himself
he should be
permitted to know comments made about him so that he can defend himself and have
the information corrected under the
IP Act.
After
carefully considering all of the information before me, I am satisfied that
access to the information in issue can be refused
under section 67 of the IP Act
and section 47(3)(b) of the Right to Information Act 2009 (Qld) (RTI
Act) on the basis that its disclosure would, on balance, be contrary to the
public interest under section 49 of the RTI Act.
Background
Significant
procedural steps relating to the application, internal review and external
review are set out in the Appendix.
Reviewable decision
The
decision under review is Council’s internal review decision dated 15 July
2010 refusing access to parts of two pages under
section 47(3)(b) of the RTI
Act, on the basis that disclosure of this information would, on balance, be
contrary to the public interest.
Evidence considered
In
making this decision, I have taken the following into account:
applicant’s
access application dated 21 April 2010
Council’s
decision dated 9 June 2010
applicant’s
internal review application dated 21 June 2010
Council’s
internal review decision dated 15 July 2010
applicant’s
external review application dated 26 July 2010
file notes of
telephone conversations held between OIC staff members and the applicant, the
third party and officers of the Council
during the external review
the information
in issue and the information already released to the applicant
submissions
provided by the applicant to the OIC dated 21 March 2011
previous
decisions of the Information Commissioner as referred to in these reasons; and
relevant
provisions of the RTI and IP Acts.
Information in issue
The
information in issue in this review comprises parts of two pages to which the
applicant was refused access (Information in Issue), except for any
personal contact information of the complainant to which the applicant does not
seek access.[2]
Relevant law
Access
must be given to a document unless disclosure would, on balance, be contrary to
the public interest.[3]
To
decide whether disclosure of the Information in Issue would, on balance, be
contrary to the public interest, I must:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to the public
interest.[4]
Findings
No
irrelevant factors arise in this case.
Next,
I will consider which public interest factors favouring disclosure and
nondisclosure of the Information in Issue arise in this
case.
Factors favouring disclosure
Taking
into account all of the information before me, I am satisfied that the factors
favouring disclosure of the Information in Issue
include:
some of
the Information in Issue comprises the applicant’s personal information,
(notably his name and references to events to which
he was a
party)[5]
disclosure could
reasonably be expected to promote open discussion of public affairs and enhance
Council’s
accountability;[6]
and
disclosure could
reasonably be expected to reveal that the Information in Issue was incorrect,
out of date, misleading, gratuitous,
unfairly subjective or irrelevant, given
the applicant’s submission that disclosure would reveal defamatory
allegations made
by the
complainant.[7]
Shared personal information and
accountability
With
respect to the relevant personal information, I note that it comprises the
shared personal information of both the applicant
and the complainant and that
in a practical sense, it is not able to be separated.
I
also note that Council:
has provided the
applicant with the substance of the relevant complaint; and
did not rely on
the Information in Issue in reaching its decision.
Content of complaint information
With
respect to the applicant’s concern that the Information in Issue may
contain defamatory allegations to which he should
be able to respond, I am
mindful that complaint information is by its very nature, an individual’s
particular version of events
which is shaped by factors including the
individual’s memory and subjective impressions.
In
my view, this inherent subjectivity does not necessarily mean that the resulting
account or statement is incorrect, out of date,
misleading, gratuitous, unfairly
subjective or irrelevant. Rather, it means that complaint information comprises
a personal interpretation
of relevant events, which an investigator must balance
against other (often competing) statements and evidence in reaching a conclusion
in a particular case.
In
this respect, I note Council’s statement on internal review:
With respect to personal opinions, thoughts and assumptions...
Council does not underestimate the potential for exaggerated, misleading
or
false allegations or information... A report to Council may only be a trigger
for inspection or investigation. Once Council’s
attention is drawn to a
matter, Council makes its own investigations, inspections and interviews of
people who may be, or may be
offered as, a potential witness of fact or a person
who can provide assistance.
After
carefully considering all of the matters set out above, I am satisfied that
little or no weight should be afforded to the public
interest factors favouring
disclosure. Factors favouring non-disclosure
Taking
into account all of the information before me, I am satisfied that the factors
favouring non-disclosure of the Information
in Issue include, that disclosure of
the information could reasonably be expected to:
prejudice the
protection of an individual’s right to
privacy[8]
cause a public
interest harm if disclosure would disclose personal information of a
person;[9] and
prejudice an
agency’s ability to obtain confidential
information.[10]
Personal information and privacy
The
concept of ‘privacy’ is not defined in the IP Act or RTI Act. It
can, however, be viewed as the right of an individual
to preserve their personal
sphere free from interference from
others.[11]
Taking
into account all of the information before me, I consider that:
when an
individual provides information to Council about their thoughts and opinions
related to a complaint, this comprises a private
action falling within an
individual’s ‘personal sphere’; and
disclosure of
this information could reasonably be expected to prejudice the protection of an
individual’s right to privacy.
I
am also satisfied that as the Information in Issue comprises the personal
information of someone other than the applicant, its disclosure
could reasonably
be expected to cause a public interest harm under part 4, schedule 4 of the RTI
Act.
Prejudice agency’s ability to obtain confidential
information
Council
relies heavily on information provided by members of the community on a
confidential basis to enable it to effectively administer
and enforce local
laws.
I
consider that there is a strong public interest in protecting Council’s
ongoing ability to obtain this information.
In
the circumstances, I am satisfied that disclosure of the Information in Issue
could reasonably be expected to have a detrimental
impact[12] on the
ability of Council to obtain confidential information in
future.Balancing relevant public interest factors
Having
identified and carefully considered the public interest factors for and against
disclosure, I consider that the public interest
in:
safeguarding
personal information
protecting an
individual’s right to privacy and avoiding public interest harm; and
protecting
Council’s ability to obtain confidential information,
outweighs those factors favouring disclosure of the Information in Issue in
the circumstances of this review.
While
I accept the importance of ensuring that agencies conduct investigations
transparently and accountably, and that individuals
have access to information
allowing them to determine how complaints have been managed, I am satisfied in
the circumstances of this
case that:
these public
interests have been adequately served by disclosure to the applicant of the bulk
of the letter of complaint; and
Council has
provided the applicant with sufficient information to demonstrate the reasoning
behind its ultimate response to the complaint.
I
also confirm that while some of the Information in Issue is the
applicant’s personal information, it is not possible to separate
this
personal information from the personal information of others. Disclosing it
would therefore require disclosure of the personal
information of a person other
than the applicant, and would prejudice that individual’s right to privacy
and could reasonably
be expected to cause a public interest harm.
In
the circumstances of this case, I am satisfied that the public interest in
safeguarding personal information and privacy outweighs
the public interest in
disclosing to the applicant their own personal information, particularly given
that Council did not rely on
the Information in Issue in reaching its
decision.
DECISION
I
affirm the reviewable decision and find that access to the Information in Issue
can be refused under section 67(1) of the IP Act
and section 47(3)(b) of the RTI
Act on the basis that disclosure of this information would, on balance, be
contrary to the public
interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.
________________________
Jenny Mead
Right to Information Commissioner
Date: 23 June 2011
APPENDIX
Significant procedural steps
Date
Event
21 April 2010
Council receives access application
May 2010
Council consults with third party
9 June 2010
Council issues initial decision
21 June 2010
Applicant applies for internal review
15 July 2010
Council issues internal review decision
26 July 2010
Applicant applies for external review
28 July 2010
OIC receives external review application
1 October 2010
OIC provides oral preliminary view to applicant
18 February 2011
OIC provides written preliminary view to applicant
28 February 2011
Applicant applies for extension to provide submissions
2 March 2011
OIC grants extension until 21 March 2011 for applicant to provide
submissions
21 March 2011
OIC receives submissions from applicant objecting to preliminary view
[1] Section 67 of the
IP Act provides that Council may refuse access to a document in the same way and
to the same extent that Council
could refuse access to the document under
section 47 of the RTI Act, were the document to be the subject of an access
application
under that
Act.[2] Letter from
the applicant dated 21 March
2011.[3] Sections 64
(Pro disclosure bias) and 67 (Grounds on which access may be refused) of the IP
Act and section 47(3)(b) of the RTI
Act.[4] Section
49(3) of the RTI
Act.[5] Schedule 4,
part 2, item 7 of the RTI Act.
[6] Schedule 4, part
2, item 1 of the RTI
Act.[7] Schedule 4,
part 2, item 12 of the RTI Act.
[8] Schedule 4, part
3, item 3 of the RTI Act
[9] Schedule 4, part
4, item 6 of the RTI Act.
[10] Schedule 4,
part 3, item 16 of the RTI Act.
[11] Paraphrasing
the Australian Law Reform Commission’s definition of the concept in
“For your information: Australian Privacy
Law and Practice”
Australian Law Reform Commission Report No. 108 released 11 August 2008,
at paragraph
1.56.[12] Adopting
the ordinary meaning of the term ‘prejudice’: see Daw and
Queensland Rail (220020, 24 November 2010) at paragraph 16 for a succinct
exposition of the meaning of ‘prejudice’ as used throughout
the RTI
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Jackson and Department of Health [2010] QICmr 1 (10 February 2010) |
Jackson and Department of Health [2010] QICmr 1 (10 February 2010)
Office of the Information
Commissioner Decision and Reasons for
Decision
Application
Number:
210820
Applicant:
Mr P Jackson
Respondent:
Department of Health
Decision
Date:
10 February 2010
Catchwords:
ADMINISTRATIVE LAW – FREEDOM OF INFORMATION –REFUSAL OF ACCESS
– EXEMPT MATTER
– MATTER CONCERNING CERTAIN OPERATIONS OF AGENCIES
– applicant sought access to findings of an investigation into grievances
lodged by him – whether disclosure of the matter in issue could reasonably
be expected to have a substantial adverse effect
on the management or assessment
by an agency of the agency’s personnel – whether disclosure would,
on balance, be in
the public interest
Contents
REASONS
FOR DECISION
Summary
1.
The applicant, an employee of the Department of Health (also known as Queensland
Health) (QH), seeks access to information concerning six categories of
documents related to his employment.
2.
For the reasons set out below, I find that the relevant matter in issue does not
qualify for exemption from disclosure
under section 40(c) of the Freedom of
Information Act 1992 (Qld) (FOI Act).
Background
3. By
letter dated 12 November 2008 (FOI Application), the applicant requested
access to six categories of documents under the FOI Act.
4. By
letter dated 8 January 2009 (Initial Decision), QH advised the applicant
that it had located a number of documents relating to the FOI Application and
had decided to:
• grant access to a range of
documents
• refuse access to some documents
in accordance with section 44(1) of the FOI Act.
5. By
letter dated 30 January 2009, the applicant applied for internal review of the
Initial Decision.
6.
By letter dated 5 March 2009 (Internal Review Decision), QH advised the
applicant that it had decided to vary the Initial Decision by releasing further
documents to him but affirmed the
Initial Decision in relation to the remainder
of the relevant documents.
7. By
letter dated 29 March 2009, the applicant applied to the Office of the
Information Commissioner (Office) for external review of the Internal
Review Decision.
Decision under review
8.
The decision under review is the Internal Review Decision dated 5 March 2009
which is referred to at paragraph 6 above.
Steps taken in the external review process
9. By
email on 2 April 2009, the Office requested that QH provide a number of
initiating documents relevant to the review.
10. By letter dated 3 April
2009, the Office advised the applicant that the Internal Review Decision would
be reviewed.
11. By letter dated 3 April
2009, the Office advised QH that the Internal Review Decision would be reviewed
and requested
that it also provide a copy of the documents responsive to the FOI
Application.
12. By letter dated 9 April
2009, QH provided the requested documents.
13. During the course of this
external review, Mr Ex of the Office contacted the applicant and QH on various
occasions in
an attempt to informally resolve the issues on external
review. Both parties provided information to the Office during that
process.
14. By letter dated 11 May
2009, the applicant provided submissions in support of his case.
15. By letter dated 12 May
2009, a third party advised the Office that they did not object to disclosure of
the matter in
issue which related to their involvement in the grievance
process.
16. By email on 26 May 2009,
QH provided information in support of its case.
17. By letters dated 14
August 2009, the parties were advised that the review would proceed to formal
determination and both
parties were invited to provide written submissions to
the Office on the application of section 40(c) of the FOI Act to the matter
in
issue.
18. By letter dated 27
September 2009, QH provided submissions in support of its case that the matter
in issue in this review
is exempt from disclosure under section 40(c) of the FOI
Act.
19. The applicant did not
provide any further submissions in support of his case in relation to the
application of section
40(c) of the FOI Act.
20. On 27 November 2009, a
staff member of this Office contacted the third party to confirm that they had
no objection to
disclosure of the matter in issue as it related to their
involvement in the grievance process. The third party confirmed that they
did
not object to disclosure of that information to the applicant.
21. By letter dated 30
November 2009, I advised QH of the preliminary view that the relevant documents
are exempt from disclosure
under section 44(1) and section 40(c) of the FOI Act
with the exception of:
• a brief summary of the outcome of
the grievance initiated by the applicant
• information relating to the third
party’s involvement in the grievance process.
I invited QH to provide submissions in support of its case by 15 December
2009 if it did not accept the preliminary view.
22. By letter dated 21
December 2009, I advised the applicant of the preliminary view and asked him to
provide submissions
in support of his case by 8 January 2010 if the view was not
accepted.
23. By email dated 21
December 2009, QH advised that:
• it accepted the preliminary view
in relation to information relating to the third party’s involvement in
the grievance
process
• it maintained its objection to
disclosure of information relating to the outcome of the grievance initiated by
the applicant
for the reasons previously provided to the Office.
24. By letter dated 13
January 2010, I wrote to QH to:
• reiterate the reasons for my
preliminary view concerning the findings in relation to the applicant’s
grievance
• invite QH to specifically address
those reasons and to provide any additional submissions on those issues by 20
January
2010.
25. QH did not provide any
further submissions in support of its case.
26. In making my decision in
this review, I have considered the following:
• the terms of the FOI Application
• the Initial Decision and Internal
Review Decision
• the applicant’s internal
review application and external review application
• information the applicant
provided by telephone on 6 May 2009, 11 May 2009, 28 July 2009 and 7 September
2009
• information QH provided by
telephone on 6 May 2009, 26 May 2009, 16 June 2009, 21 July 2009, 12 August
2009, 17 September
2009 and 18 November 2009
• the applicant’s written
submissions dated 11 May 2009
• QH’s written submissions
dated 9 April 2009, 21 May 2009, 26 May 2009, 29 June 2009, 27 September
2009 and 21
December 2009
• the matter in issue
• previous decisions of the
Information Commissioner
• the relevant provisions of the
FOI Act.
Matter in issue
27. A number of issues in
this review have been informally resolved. The remaining issue for determination
is whether the
matter in issue is exempt from disclosure under section 40(c) of
the FOI Act.
28. The matter in issue in
this review (Matter in Issue) can be described as a summary of findings
made in respect of a grievance lodged by the applicant as it appears in folios
14 and
47 of the relevant investigation report (Investigation Report).[1]
Relevant submissions
The applicant’s submissions
29. By letter dated 11 May
2009, the applicant made the following general submissions in support of his
case:
I repeat that I was given no outcomes to my official Grievance complaint.
... There are problems with the way managers handle complaints
in the public
health arena, the way investigations are carried out and the way those targeted
by harassment are given little support.
The system needs to be changed and
managers held accountable for their actions. ... At a bare minimum I believe in
the interests
of natural justice I would be allowed to have the conclusion of
the investigation and parts related to me. I think I would be entitled
to
know the recommendations of the [Investigation Report] in regard to my
complaints. I would like to know if the investigator substantiated my
complaints. To provide some closure I would
like to know that QH acted as a
responsible employer to ensure such harassment does not occur again to staff or
enacted methods to
minimise it.
The agency’s submissions
30. I have summarised
QH’s relevant submissions on the general application of section 40(c) of
the FOI Act to the Matter
in Issue in the following manner:
Substantial adverse effect on the management of QH’s personnel
• The Matter in Issue consists of
information gathered or prepared as part of an investigation into numerous
allegations
made by certain staff members about several of their colleagues from
a particular unit. These allegations covered a wide range of
both personal and
work-related issues.
• The Matter in Issue contains
information communicated in confidence by a number of staff members from the
unit, in which
they expressed concerns about certain clinical practices, staff
relationships and administration practices that were negatively affecting
the
facility. This information was provided on the basis that it would remain
confidential and would not be disclosed to any other
employee either involved in
this investigation or from the unit.
• As a result of these allegations,
a hostile work environment developed together with a number of acrimonious
relationships
between certain employees. As the unit is a small Aged and
Residential Care Centre, any further animosity between staff would create
enormous disruption within the facility which may in turn affect the clinical
care that is provided to residents.
• The other employees who were
involved in the investigation have a genuine expectation that the information
that they
provided will not be disclosed to any other person (especially someone
who does not have any direct involvement in the matter).
• Release of the information would
have a substantial effect on QH’s ability to effectively manage staff at
the
unit in particular and more generally within the district in which that
facility is located for the following reasons:
o It would significantly impact on
employees’ willingness to fully cooperate and participate in the necessary
human resource
processes and therefore would affect QH’s ability to manage
and resolve such situations in the future.
o It would have a significant and unsettling
effect on workplace harmony within the unit and on the relationships amongst
employees
which in turn would affect management’s ability to successfully
manage staff within the facility.
• Other considerations include:
o QH is required to manage its workforce
effectively to ensure the efficient working of numerous health care facilities
and services.
o It is critical (especially in small health
care facilities) that staff have confidence in the processes established to
facilitate
the management and assessment of staff and their
operations.
o Staff must be able to freely seek, receive
and document advice relating to staff management issues in order to ensure that
appropriate
and necessary remedial action can be taken when
required.
o Any release of documents generated with
the express understanding of confidential treatment of matters reported on by
individual
staff members could reasonably be expected to have a substantial
adverse effect on the management or assessment by QH of its personnel.
o The ability of QH to manage workplace
issues, including cooperation in ongoing investigations would be compromised if
staff (including
management) felt that their duty to report, provide comment on
and / or follow up on matters of importance would be circumvented
by the later
release of any statements, reports or comments initially provided in an
atmosphere of expected confidentiality.
o Disclosure has the potential to provoke
further hostility in an already volatile work environment which is presently
showing
gradual signs of settling.
o All staff involved in the workplace
matters to which the Matter in Issue relates continue to work within the same
health service
district.
Public interest considerations
• There is a general right to seek
access to documents under the FOI Act held by QH and there is also a public
interest
in maintaining the integrity of QH’s decision making processes
particularly in relation to the management of staff and the
resolution of
disputes.
• There is a substantial public
interest in ensuring that QH conducts its human resource management
responsibilities in
an appropriate way, consistent with ‘best
practice’ in the broader community, however, weighed against that interest
is the public interest in ensuring that the privacy interests of the individual
staff members involved are adequately respected.
• Given the above and the fact that
the staff members involved in this matter continue to work within the same
health
service district, the greater public interest lies in ensuring, as far as
possible, the confidentiality arising from the personal
disclosures by the staff
as well as the preservation of the integrity and effectiveness of the methods
and processes employed by
QH for managing its large workforce.
• Disclosure of the Matter in Issue
would undermine the public interest in maintaining the continued supply of
information
about the competencies and workplace behaviour of employees via the
relevant channels within the department.
• Other considerations
include:
o In the interests of procedural fairness
and natural justice, the applicant has already been provided with information
relating
to the allegation that was made against him.
o The documents to which the applicant have
been refused access relate to the other allegations that formed part of the
investigation.
o The other employees who were involved in
this investigation have a genuine expectation that the information that they
provided
will not be disclosed to any other person.
The law
31. Section 40(c) of the FOI
Act
provides:
40 Matter concerning certain operations of
agencies
Matter is exempt matter if its disclosure could reasonably be expected
to—
...
(c)
have a substantial adverse effect on the management or
assessment by an agency of the agency’s personnel;
or
...
unless its disclosure would, on balance, be in the public
interest.
32. The focus of this
exemption provision is on the management or assessment by an agency of the
agency's personnel. The exemption
will be made out if it is established that
disclosure of the matter in issue could reasonably be expected to have a
substantial adverse
effect on the management or assessment by the respondent of
its personnel, unless disclosure of the matter in issue would, on balance,
be in
the public interest.
‘Could reasonably be expected to’
33. In Attorney-General v
Cockcroft,[2] the Federal Court interpreted the
phrase ‘could reasonably be expected to prejudice the future supply of
information’ in the context of the equivalent business affairs
exemption in the Commonwealth FOI Act.[3] In Cockroft, Bowen CJ and
Beaumont J provided the following guidance on interpretation of that
phrase: [4]
In our opinion, in the present context, the words "could reasonably be
expected to prejudice the future supply of information" were
intended to receive
their ordinary meaning. That is to say, they require a judgment to be made by
the decision-maker as to whether
it is reasonable, as distinct from something
that is irrational, absurd or ridiculous, to expect that those who would
otherwise supply
information of the prescribed kind to the Commonwealth or any
agency would decline to do so if the document in question were disclosed
under
the Act. It is undesirable to attempt any paraphrase of these words. In
particular, it is undesirable to consider the operation
of the provision in
terms of probabilities or possibilities or the like. To construe s.43(1)(c)(ii)
as depending in its application
upon the occurrence of certain events in terms
of any specific degree of likelihood or probability is, in our view, to place an
unwarranted
gloss upon the relatively plain words of the Act. It is preferable
to confine the inquiry to whether the expectation claimed was
reasonably based
(see Jason Kioa v. The Honourable Stewart John West, High Court, unreported, 18
December 1985 per Mason, J. at p
36; see also per Gibbs, C.J. at p 12).
34. The Justices’
interpretation of the phrase ‘could reasonably be expected to’
and the proposed line of inquiry, while made in the context of the
Commonwealth FOI Act, is relevant to the interpretation of section
40(c) of the
FOI Act. Shepherd J also noted in Cockcroft that it is not
necessary for a decision-maker ‘to be satisfied upon a balance of
probabilities’ that disclosing the document will produce the
anticipated prejudice.
35. Accordingly, the phrase
‘could reasonably be expected to’ in section 40(c) of the FOI
Act requires a consideration of whether the expectation that disclosure of the
matter in issue could have
a substantial adverse effect on the management or
assessment by an agency of the agency’s personnel is reasonably based.
‘Substantial adverse effect’
36. In Cairns Port
Authority and Department of Lands[5] the Information Commissioner
considered the phrase ‘substantial adverse effect’ as it appears in
the various provisions
of the FOI Act and said:[6]
In my opinion, no such doubt attends the correct interpretation of the
phrase "substantial adverse effect" where it appears in the
Queensland FOI Act
(notably in s.49, s.40(c), s.40(d) and s.47(1)(a)). Its meaning is made clear by
its contrast with the phrase
"adverse effect" in s.45(1)(c), where the adjective
"substantial" does not appear. The legislature must have intended an adverse
effect under s.45(1)(c) to be one that is "real" or "actual" or "having
substance, not illusory". Thus, where the legislature has
employed the phrase
"substantial adverse effect", it must in my opinion have intended the adjective
"substantial" to be used in the
sense of grave, weighty, significant or serious.
Public interest considerations
37. The words ‘public
interest’ are not specifically defined and generally refer to
considerations affecting the
good order and functioning of community and the
well-being of citizens. In general, a public interest consideration is one
which
is common to all members of the community, or a substantial segment of
them, and for their benefit. The public interest is usually
treated as distinct
from matters of purely private or personal interest. However, some
recognised public interest considerations
may apply for the benefit of
individuals in a particular case.
Findings
Substantial adverse effect
38. I acknowledge that QH is
primarily concerned that disclosure of the Matter in Issue will:
• provoke further hostility in an
already volatile work environment which is presently showing gradual signs of
settling
• make staff reluctant to cooperate
in future investigations and/or compromise their duty to report, provide comment
on
and / or follow up on matters of importance
• make staff lose confidence in the
processes for the investigation and resolution of grievances.
39. While I accept that the
work environment of the unit has previously been volatile and QH is concerned
about staff cooperation
in future investigations, I consider the following
considerations are relevant:
• The applicant no longer works in
the unit.
• The relevant events which led to
the hostile working environment occurred some time ago (i.e. in 2007 and early
2008).
• The Matter in Issue is not
detailed and does not reveal information provided by other employees during the
course of
the investigation, nor does it relate to grievances lodged by other
employees.
• The Matter in Issue is limited to
a summary of outcomes in respect of the five allegations made by the applicant.
40. In light of the matters
set out immediately above, I am not satisfied that disclosure of the Matter in
Issue to the applicant
could reasonably be expected to:
• provoke further hostility in the
relevant unit or make staff reluctant to cooperate in future investigations
• have an adverse effect on its
management or assessment of its personnel is reasonably based.
Public interest considerations
41. Whilst not strictly
necessary (given my findings set out above), I will briefly address the public
interest considerations
favouring disclosure.
42. In Pemberton and The
University of Queensland[7] the
Information Commissioner noted that a legitimate category of public interest is
the public interest in the fair treatment of
persons and corporations in
accordance with the law in their dealings with government agencies and explained
that:
In an appropriate case, it means that a particular applicant's interest in
obtaining access to particular documents is capable of
being recognised as a
facet of the public interest, which may justify giving a particular applicant
access to documents that will
enable the applicant to assess whether or not fair
treatment has been received and, if not, to pursue any available means of
redress,
including any available legal remedy.
43. Also of relevance is the
decision of Villanueva and Queensland Nursing Council; A Midwife (Third
Party); Talbot (Fourth Party); Gordon (Fifth Party)[8] concerned a complaint about a
midwife's conduct in delivering the applicant's baby. The matter was
investigated by the Queensland
Nursing Council
(QNC) but no disciplinary action was taken.
In that case the Information Commissioner noted that as the complainant, the
applicant had
a special interest in scrutinising the investigation and the
information gathered by the QNC, upon which the QNC's decision to take
no action
was based. The Information Commissioner said:[9]
It remains the case that the applicant's complaint against the midwife
was, in effect, dismissed by the QNC, and that she has not
been provided with a
sufficient explanation as to why that decision was reached. The extent of the
detail that is offered by way
of explanation in such circumstances will
necessarily vary from case to case, depending on the need to respect any
applicable obligations
or understandings of confidence, or applicable privacy
considerations. Subject to any such constraints, I consider that there is
a
legitimate public interest in a complainant being given sufficient information
to be satisfied that the investigating body has
conducted a thorough
investigation and reached a fair and realistic decision about whether the
available evidence was sufficient
or insufficient to justify any formal action
being taken in respect of the complaint.
42. In accordance with the
principles set out in Pemberton and Villanueva, I consider that in
this case there is significant public interest in the complainant being given an
adequate explanation of the
outcome of the grievance which he initiated.
43. During the course of this
external review, QH advised that it had written to the applicant about the
investigation of
his grievance and provided me with a copy of that letter.
44. I have carefully
considered the content of this letter and note that it does not provide the
applicant with the grievance
investigation findings, decision or reasons for
decision.
45. I note the
applicant’s submission that he:
• is unaware of whether any parts
of his grievance were substantiated
• has not been advised of the
outcome of the investigation into his grievance.
46. I also note clause 7.3.7
of QH’s Integrated (HR / IR) Resource Manual IRM 3.5 - ‘Grievance
Resolution and EB6 Grievance Settling; and Industrial Disputes’
(Grievance Resolution Policy) which provides:
7.3. Action required by
delegate upon receipt of a formal grievance
...
7.3.7.
At the end of an investigation,
the authorised delegate must provide the parties to the grievance
with a written
copy of the grievance investigation findings, decision and reasons for the
decisions.
...
47. On the information
currently before me, I consider that the public interest favours the applicant
being provided with
sufficient detail about the outcome of the investigation
into the grievance lodged by him, which I note is wholly consistent with
clause
7.3.7 of the relevant QH Grievance Resolution
Policy. DECISION
48. For the reasons set out
above, I find that the Matter in Issue is not exempt from disclosure under
section 40(c) of the
FOI Act.
49. I have made this decision
as a delegate of the Information Commissioner, under section 90 of the FOI Act.
________________________Assistant
Commissioner Henry
Date: 10 February 2010
[1] I have provided QH with a copy of
the Matter in Issue in this review. [2] [1986] FCA 35; (1986) 64 ALR 97
(Cockcroft).[3] Section 43(1)(c)(ii) of the Freedom of Information Act 1982
(Cth)[4]
Cockcroft at 106. [5] [1994] QICmr 17; (1994) 1 QAR 663.[6] At paragraph
150.[7]
(1994) 2 QAR 293 (Pemberton) at paragraph 190.
[8] (2000) 5
QAR 363 (Villanueva). [9] At paragraph 141.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | W83 and Cairns and Hinterland Hospital and Health Service [2021] QICmr 8 (5 March 2021) |
W83 and Cairns and Hinterland Hospital and Health Service [2021] QICmr 8 (5 March 2021)
Last Updated: 19 August 2021
Decision and Reasons for Decision
Citation:
W83 and Cairns and Hinterland Hospital and Health Service [2021]
QICmr 8 (5 March 2021)
Application Number:
315220
Applicant:
W83
Respondent:
Cairns and Hinterland Hospital and Health Service
Decision Date:
5 March 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS -
HEALTHCARE INFORMATION - application for medical records - whether
disclosure
might be prejudicial to the physical or mental health of wellbeing of the
applicant - whether disclosure is contrary
to the applicant’s best
interests under section 67(1) of the Information Privacy Act 2009 (Qld)
and sections 47(3)(d) and 51 of the Right to Information Act 2009
(Qld).
REASONS FOR DECISION
Summary
1. The applicant applied to Cairns and Hinterland
Hospital and Health Service (the Health Service) under the Information
Privacy Act 2009 (Qld) (IP Act) for ‘All files contained in
Queensland Health Service’s records on any subject [related] to my
health.’[1]
2. The Health Service located 886 pages in response to the application.
Access to this information was refused by the Health Service’s
appointed
healthcare professional (referred to in these reasons as Dr A) on the
basis that disclosure might be prejudicial to the physical or mental health or
wellbeing of the applicant.[2]
3. The applicant applied to the Office of the Information Commissioner
(OIC) for external review of the Health Service’s decision. The
applicant submits that the appointed healthcare professional is
not his treating
doctor and therefore is not able to determine what is in his best interests.
Further, the applicant submits disclosure
of his medical records would not be
harmful to his health, but instead, improve his mental
health.[3]
4. For the reasons set out below, I affirm the Health Service’s
decision to refuse access to the requested information under
section 67(1) of
the IP Act and sections 47(3)(d) and 51 of the Right to Information Act
2009 (Qld) (RTI Act) as disclosure might be prejudicial to the
physical or mental health or wellbeing of the applicant.
Background
5. The decision under review is the Health
Service’s decision dated 26 February 2020.
6. Significant procedural steps taken during the external review are set out
in the Appendix to this decision.
7. Evidence, submissions, legislation and other material I have considered in
reaching this decision are identified in these reasons,
including the Appendix.
8. I have also had regard to the Human Rights Act 2019 (Qld) (HR
Act),[4] particularly the right to
seek and receive information as recognised in section 21 of the HR Act. I
consider that a decision maker
will, when observing and applying the law
prescribed in the IP and RTI Acts, be ‘respecting’ and
‘acting compatibly with’ this right and others prescribed in
the HR Act.[5] I further consider
that, having done so when reaching my decision, I have acted compatibly with and
given proper consideration to
relevant human rights, as required under section
58(1) of the HR Act. I also note the observations made by Bell J on the
interaction
between the Victorian equivalents of Queensland’s IP and RTI
Acts and HR Act: ‘it is perfectly compatible with the scope of that
positive right in the Charter for it to be observed by reference to the scheme
of,
and principles in, the Freedom of Information
Act.’[6]
Information in issue
9. The information is issue is 886
pages[7] comprising the
applicant’s medical records (Information in Issue).
Issue for determination
10. The issue for determination is whether access to
the Information in Issue may be refused on the ground that disclosure might be
prejudicial to the physical or mental health or wellbeing of the applicant under
67(1) of the IP Act and sections 47(3)(d) and 51
of the RTI Act.
Relevant law
11. The IP Act provides an individual with the right
to access documents of an agency to the extent they contain the
individual’s
personal
information.[8] However, this right
of access is subject to certain limitations, including grounds for refusing
access.[9]
12. An ‘appropriately qualified healthcare professional’
appointed by the agency[10] may
decide to refuse access to a document under the IP Act if:
the information
comprises the applicant's ‘relevant healthcare information’;
and
disclosure might
be prejudicial to the physical or mental health or wellbeing of the
applicant.[11]13. A
‘healthcare professional’ means a person who carries on, and
is entitled to carry on, an occupation involving the provision of care for a
person's physical
or mental health or wellbeing, including, for example:
a doctor,
including a psychiatrist
a
psychologist
a social worker;
or
a registered
nurse.[12]
14. ‘Appropriately qualified’, in relation to a healthcare
professional, means having the qualifications and experience appropriate to
assess relevant healthcare
information.[13]
15. ‘Relevant healthcare information’ means healthcare
information given by a healthcare
professional.[14]
16. Despite an agency refusing access to the healthcare information, the
agency may direct that access to the information is to be
given instead to an
appropriately qualified healthcare professional nominated by the applicant and
approved by the agency.[15] The
nominated and approved healthcare professional may decide whether or not to
disclose all or part of the information to the applicant,
as well as the way in
which to disclose the information to the
applicant.[16]
17. The Information
Commissioner[17] has the power to
decide any matter in relation to an access application that could have been
decided by an agency.[18]
The applicant’s submissions
18. During the external review, the applicant made the following
submissions:
He has not been
treated by Dr A and is not currently treated by Queensland Health, therefore,
they are not well positioned to determine
that allowing access will have any
prejudicial effect on his physical or mental health or
wellbeing.[19]
He asserted that
he was engaged in ‘mediation before court action’ with the
Health Service and the opinions of the Health Service employees were therefore
not reliable.[20]
Refusing access
to the Information in Issue will prejudice his health, whereas, there will be no
harm to his health by releasing the
Information in Issue. Disclosure will help
him to understand that period of time better and improve his mental
health.[21]
The Health
Service has relied on false and misleading information in making decisions
relating to him and his
treatment.[22]
The applicant
accused the Health Service of
malpractice[23] and refusing access
to the records to cover this up.[24]
19. In support of his submissions, the applicant provided a letter
from his own doctor, (referred to in these reasons as Dr B) simply
stating that the applicant attends his practice and disclosure of his hospital
medical records to him would not be prejudicial
to his mental or physical
health.[25]
The Health Service’s submissions
20. The Health Service
submits the Information in Issue is healthcare
information.[26] A healthcare
provider, other than Dr A, from the Health Service who has been directly
involved in the applicant’s treatment
expressed concerns regarding the
applicant’s mental health[27]
and is of the view that direct disclosure would be prejudicial to his health and
wellbeing.[28]
21. The Health Service also explained that the Information in Issue was
provided to Dr A, Clinical Director of the Integrated Mental
Health Service, a
qualified medical practitioner appointed by the Director-General of Health to
assess.[29]
22. Following an assessment of the Information in Issue, Dr A formed the
opinion that disclosure of the Information in Issue directly
to the applicant
would be prejudicial to his health and wellbeing and made a healthcare decision
to refuse access to the
documents.[30] Dr A directed that
access to the Information in Issue should be given through an appropriately
qualified healthcare professional,
nominated by the applicant and approved by
the Health Service. This is because it is in the applicant’s best
interests that
access be given via an appropriately qualified healthcare
professional to provide the applicant with the opportunity to discuss the
contents of the documents in a therapeutic and supportive environment and ask
questions about the information.[31]
23. On external review, the Health Service also confirmed that the
applicant’s doctor can obtain information directly from the
Health Service
under the Hospital and Health Boards Act 2011
(Qld).[32]
Analysis and findings
24. Dr A is a registered
Psychiatrist,[33] the Clinical
Director of a Mental Health Service, and appointed by the Director-General of
Health to make healthcare decisions.
Therefore, I am satisfied that Dr A
possesses qualifications and experience appropriate to assess relevant
healthcare information
and the decision to refuse access was made by an
appropriately qualified healthcare professional appointed by the Health Service.
25. Having reviewed the Information in Issue, and taking into account the
Health Service’s submission that the applicant’s
health records
comprise healthcare information provided by healthcare professionals, I am
satisfied that the information is relevant
healthcare
information.[34]
26. It is Dr A’s opinion that disclosure of
the Information in Issue directly to the applicant would have a negative impact
on the applicant’s health and wellbeing. Contradicting this position is
the evidence from Dr B, provided by the applicant,
stating that disclosure of
the applicant’s medical records would not be prejudicial to his mental and
physical health.
27. I accept that Dr B has explained that the applicant attends his practice
and I also accept the applicant’s submission that
Dr A is not his treating
doctor. However, there is nothing before me to indicate that Dr B has
reviewed the Information in Issue,
whereas Dr A has had an opportunity to review
it and consider the contents. I also note that Dr A is the Clinical
Director of the
Health Service’s Mental Health Service and a specialist in
this field while it is unclear whether Dr B specialises in mental
health.
Finally, I note the Health Service’s submission that a healthcare provider
who has had direct care of the applicant
also felt that disclosure would be
prejudicial to his health and wellbeing and this supports Dr A’s
opinion.
28. I also acknowledge the allegations made by the applicant regarding his
treatment and related court action, however, he has not
provided any evidence to
support his assertions or undermine the Health Service’s submissions and
Dr A’s opinion that
giving direct access to the documents would be
prejudicial to his mental health and wellbeing.
29. Having weighed up the considerations set out above, I consider that the
evidence of the Health Service’s Dr A is to be given
greater weight than
the evidence of the applicant’s doctor, Dr B. On that basis, I am
satisfied that access may refused to
the Information in Issue as its disclosure
might be prejudicial to the applicant’s physical or mental health or
wellbeing.[35]
30. A direction was made that the Information in Issue could be disclosed to
the applicant through an appropriately qualified healthcare
professional
nominated by the applicant and approved by the Health
Service.[36] The applicant declined
this opportunity and did not pursue this avenue on external review, and rather,
maintained that he sought
direct access to the Information in
Issue.[37] As such, I have not
addressed this issue further. Should the applicant seek to pursue this avenue in
the future, I consider that
the direction made by the Health Service’s
appointed healthcare
professional,[38] remains an option
available to the applicant. DECISION
31. Pursuant to section 123 of the IP Act, I
affirm[39] the Health
Service’s decision to refuse access to the requested information under
section 67(1) of the IP Act and sections
47(3)(d) and 51 of the RTI Act as
disclosure might be prejudicial to the physical or mental health or wellbeing of
the applicant.
S MartinAssistant Information
CommissionerDate: 5 March 2021
APPENDIX
Significant procedural steps
Date
Event
28 February 2020
OIC received the external review application.
4 March 2020
OIC requested initial documents and preliminary information from the Cairns
Hinterland Hospital and Health Service (the Health Service).
13 March 2020
The Health Service provided the initial documents and preliminary
information.
30 March 2020
The Health Service confirmed it would release the Information in Issue to a
healthcare professional nominated by the applicant and
approved by the Health
Service.
1 April 2020
OIC notified the applicant and the Health Service that the external review
application had been accepted and requested information
from the Health
Service.
15 April 2020
The Health Service provided the requested information and confirmed it
would be agreeable to informal resolution by way of releasing
the documents to a
health care professional nominated by the applicant and approved by the Health
Service.
16 April 2020
The applicant provided submissions by telephone.
22 April 2020
The Health Service provided information requested by OIC and also provided
submissions by telephone.
23 April 2020
OIC contacted the applicant by telephone to propose informal resolution by
releasing the documents to a healthcare professional nominated
by the applicant
and approved by the Health Service. The applicant refused. The applicant also
provided submissions by telephone.
20 May 2020
The Health Service provided the Information in Issue to OIC.
26 May 2020
The applicant provided a letter from his doctor in support of his access
application.
10 June 2020
OIC requested the Health Service’s submission in response to the
applicant’s submission.
2 July 2020
The Health Service provided submissions in response to the
applicant’s submission.
22 July 2020
OIC conveyed a preliminary view to the applicant and the Health Service.
OIC invited the applicant to provide submissions in response
by 5 August
2020.
13 August 2020
OIC notified the parties of the completion of the external review on the
basis that the applicant had not responded to the preliminary
view. The
applicant asserted that he had responded to the preliminary view prior to the
due date and also provided a short submission.
19 August 2020
The applicant forwarded his email to OIC, dated 25 July 2020, containing
submissions in response to the preliminary view.
26 August 2020
OIC notified the applicant the external review had been re-opened.
31 August 2020
OIC notified the agency the external review had been re-opened.
28 October 2020
OIC confirmed the preliminary view to the applicant and the Health Service.
OIC also confirmed the Health Service’s submission
provided by
telephone.
29 October 2020
The applicant provided an emailed submission.
12 November 2020
OIC advised the applicant that OIC will not request assessment or a report
from an independent doctor and invited any further submissions
by 26 November
2020.
13 November 2020
The applicant provided an emailed submission, indicating that he intended
to provide further submissions and evidence.
20 November 2020
OIC advised the applicant by email that further submissions in support of
his application should be provided by 22 January 2021, after
which date OIC
would proceed to a formal written decision.
23 November 2020
The applicant provided an emailed submission and indicated he would provide
further scanned information the following week.
5 February 2021
OIC contacted the applicant by email to advise that no further submissions
had been received. The applicant was advised that further
submissions should be
provided by 12 February 2021, after which date OIC would proceed to a formal
written decision.
9 February 2021
The applicant provided an emailed submission.
[1] Access application dated 21
January 2020.[2] Decision dated 26
February 2020.[3] Application for
external review dated 28 February
2020.[4] Relevant provisions of
which commenced on 1 January
2020.[5] See XYZ v Victoria
Police (General) [2010] VCAT 255 (16 March 2010) (XYZ) at
[573]; and Horrocks v Department of Justice (General) [2012] VCAT 241 (2
March 2012) at [111].[6] XYZ
at [573].[7] The Health
Service provided 885 pages to OIC and explained, in writing, that this
discrepancy was due to removing one blank page
from the file before sending to
OIC.[8] Section 40 of the IP
Act.[9] Section 67(1) of the
IP Act states that an agency may refuse access to a document in the same way and
to the same extent the agency
could refuse access under section 47 of the RTI
Act, had the document been the subject of an access application under the RTI
Act.[10] Under section 50(5)(b)
of the IP Act. See also section 50(6) of the IP Act which defines healthcare
decision as including decisions
under sections 47(3)(d) and 51 of the RTI Act,
as applied under the IP Act.
[11] Sections 47(3)(d) and 51 of
the RTI Act. [12] See definition
in schedule 5 of the IP Act.[13]
See definition in schedule 5 of the IP
Act.[14] See definition in
schedule 5 of the IP Act.[15]
Section 92(2) of the IP Act.[16]
Section 92(3) of the IP Act.[17]
Or her delegate under section 139 of the IP
Act.[18] Section 118(1)(b) of
the IP Act.[19] External review
application dated 28 February 2020, telephone discussion on 23 April 2020, and
emailed submissions received 13 August
2020, 13 November 2020 and 23 November
2020.[20] Applicant’s
emailed submissions dated 13 November
2020.[21] External review
application dated 28 February 2020 and emailed submission dated 29 October
2020.[22] Applicant’s
emailed submissions dated 25 July 2020 (received by OIC on 19 August 2020), 13
August 2020, 29 October 2020, 23
November 2020, and 9 February
2021.[23] Applicant’s
emailed submissions dated 25 July 2020 (received by OIC on 19 August 2020), 13
August 2020, 29 October 2020, 13
November 2020 and 23 November
2020.[24] Applicant’s
emailed submissions dated 29 October 2020 and 13 November
2020.[25] Letter dated 25 May
2020, submitted by the applicant by email on 26 May
2020.[26] Decision dated 26
February 2020, attachment 1 (statement of reasons), page
1.[27] Submissions dated 15
April 2020.[28] Submission dated
2 July 2020. It is my view that describing this evidence in any greater detail
is likely to impact the applicant’s
willingness to engage with essential
health services.[29] Decision
dated 26 February 2020, attachment 1 (statement of reasons), page
2.[30] Submissions dated 15
April 2020 and 2 July 2020 and as outlined in the decision dated 26 February
2020.[31] Decision dated 26
February 2020, attachment 1 (statement of reasons), page
2.[32] Health Service’s
submissions in a phone call on 22 April 2020 and confirmed by OIC’s email
to the Health Service dated
28 October
2020.[33] Registered in the
specialty of Psychiatry, according to details obtained from the Australian
Health Practitioner Regulation Agency’s
Register of Practitioners,
available at <https://www.ahpra.gov.au/Registration/Registers-of-Practitioners.aspx>,
accessed on 5 February 2021.[34]
As defined in schedule 5 of the IP
Act.[35]
Section 47(3)(d) of the RTI
Act.[36] In the Health
Service’s decision dated 26 February
2020.[37] Telephone discussion
with the applicant on 23 April
2020.[38] Directing that the
Health Service give the Information in Issue to an appropriately qualified
healthcare professional nominated by
the applicant and approved by the Health
Service pursuant to section 92(2) of the IP
Act.[39] As a delegate of the
Information Commissioner under section 139 of the IP Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | C01MAA and The Public Trustee of Queensland [2012] QICmr 23 (8 May 2012) |
C01MAA and The Public Trustee of Queensland [2012] QICmr 23 (8 May 2012)
C01MAA and The Public Trustee of Queensland [2012] QICmr 23 (8 May 2012)
Last Updated: 17 July 2012
Decision and Reasons for Decision
Application Number: 310878
Applicant: C01MAA
Respondent: The Public Trustee of Queensland
Decision Date: 8 May 2012
Catchwords: ADMINISTRATIVE LAW - INFORMATION PRIVACY ACT - REFUSAL OF
ACCESS - EXEMPT INFORMATION - LEGAL PROFESSIONAL PRIVILEGE
- applicant seeking
personal information - access refused to correspondence exchanged between
officers of the Public Trustee and
its Official Solicitor in relation to legal
proceedings involving the applicant - whether communications are exempt under
schedule
3, section 7 of the
Right to Information
Act 2009 (Qld) due to legal professional privilege - whether access
to information may be refused under section 67(1) of the Information Privacy
Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
The
applicant applied to the Public Trustee of Queensland (Public Trustee)
under the Information Privacy Act 2009 (Qld) (IP Act) for access
to documents containing the applicant’s personal information, created on
or after 1 January
2006.[1] The Public
Trustee delegated the power to deal with the application to the principal
officer of the Department of Justice and Attorney-General
(Department).[2]
The
majority of documents located by the Department were released to the applicant
in full.[3] However,
the Department refused to grant the applicant
access[4] to three
pages[5] on the basis
that they were exempt from disclosure due to legal professional
privilege.[6]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of the decision to refuse access to the three pages.
For
the reasons set out below, I affirm the Department’s decision to refuse
access to information on the basis that it is subject
to legal professional
privilege and is therefore exempt under schedule 3, section 7 of the RTI
Act.
Significant procedural steps
These
are set out in the Appendix to these reasons.
Reviewable decision
The
decision under review is the Department’s internal review decision dated
18 November 2011, made under delegation by the
Public Trustee.
Material considered
Evidence,
submissions, legislation and other material I have considered in reaching this
decision are referred to in these reasons
(including footnotes and Appendix).
Information in issue
The
three pages to which access was refused (Information in Issue) comprise
correspondence between a Principal Legal Officer of the Official
Solicitor’s
Office[7], the Acting
Official Solicitor and an officer of the Public Trustee in relation to a
proceeding in the Guardianship and Administration
Tribunal (GAAT)
involving the
applicant.[8] The
Information in Issue can be described as follows:
page 346 –
email sent by Principal Legal Officer, Official Solicitor’s Office to the
Acting Official Solicitor; and
pages 349-350
– memorandum prepared by the Principal Legal Officer, Official
Solicitor’s Office and sent to the Acting
Official Solicitor and a
non-legal officer of the Public Trustee.
Section
121(3) of the IP Act prohibits the Information Commissioner from including, in
reasons for a decision on an external review,
information that is claimed to be
exempt information. This prevents me from describing the actual content of the
Information in
Issue in these reasons.
Relevant law
Under
the IP Act, a person has a right to be given access to documents of an agency to
the extent they contain the individual’s
personal
information.[9] This
right is subject to some limitations, including grounds for refusal of
access.[10] One of
the grounds for refusal of access is where information is exempt under schedule
3 of the RTI Act.[11]
Legal professional privilege
Schedule
3, section 7 of the RTI Act sets out that information will be exempt if it would
be privileged from production in a legal
proceeding on the ground of legal
professional privilege (LPP). This section reflects the common law
requirements for establishing
LPP.[12]
The
general principles of LPP were summarised by the High Court of Australia in
Daniels Corporation International Pty Ltd v Australian Competition and
Consumer
Commission[13] as
follows:
It is now settled that legal professional privilege is a rule of
substantive law which may be availed of by a person to resist the
giving of
information or the production of documents which would reveal communications
between a client and his or her lawyer made
for the dominant purpose of giving
or obtaining legal advice or the provision of legal services, including
representation in legal
proceedings.
The
dominant purpose is ‘the ruling, prevailing, paramount or most
influential
purpose’[14]
and is to be determined objectively, having regard to the evidence, the nature
of the document and the parties’
submissions.[15]
LPP
is generally divided into two categories, advice and litigation
privilege.[16] Advice
privilege attaches to confidential communications between a legal adviser and
client or third party which are made for the
dominant purpose of obtaining or
providing legal
advice.[17]
Litigation privilege attaches to confidential communications between a legal
adviser and client in relation to current or reasonably
anticipated litigation.
Government legal officers
The
High Court of Australia has established that LPP may protect communications
between salaried employee legal advisers of a government
department or statutory
authority and his/her employer as client (including communications through other
employees of the same employer)
provided there is a professional relationship of
legal adviser and client, which secures to the advice an independent character
notwithstanding
the
employment.[18]
In
Osland v Secretary to the Department of Justice
(Vic)[19] the
limits of LPP, as it applies to communications by government lawyers, were
explained as follows:
It would be a mistake to assume that all communications with
government lawyers, no matter what their origins, purpose and subject
matter,
fall within the ambit of the State's legal professional privilege. Advice taken
from lawyers on issues of law reform and
public policy does not necessarily
attract the
privilege.[20]
The
Information Commissioner has previously decided, under the repealed FOI Act,
that communications with government legal officers
will attract LPP, provided
the legal adviser is an appropriately qualified legal practitioner conducting
their practice with a requisite
degree of
independence.[21]
Recently, in Hillier and Redland Shire
Council[22], the
Right to Information Commissioner found that legal advice communicated by a
Council legal officer to a Council employee by email,
had the necessary
character of independence to attract
LPP.[23]
Findings
As
set out in paragraph 8 of these
reasons, there are two pieces of correspondence in issue in this review, both of
which were prepared by a Principal Legal
Officer of the Official
Solicitor’s Office in relation to a GAAT proceeding involving the
applicant and the Public Trustee.
I
am satisfied that both pieces of correspondence were prepared by the Principal
Legal Officer for the dominant purpose of providing
independent legal services
to its client, the Public Trustee, in relation to a legal proceeding in GAAT
which was current at the
time. I am also satisfied that the communications were
made confidentially between the relevant officers of the Public Trustee and
Official Solicitor’s Office. I therefore find that the Information in
Issue satisfies the requirements for litigation privilege.
As
stated in paragraph 8 of these reasons,
the Public Trustee was later appointed by GAAT to act as administrator for the
applicant in relation to specific
litigation matters. I do not consider that
this has any effect on the legally privileged nature of the communications. I
recognise
that the applicant was a party to the GAAT proceeding, however, I am
satisfied that the Official Solicitor was acting as legal representative
for the
Public Trustee, not the applicant, in preparing the communications. I am also
satisfied that there is no available information
to indicate that LPP has been
waived.
Based
on the above, I am satisfied that the Information in Issue attracts LPP and is
therefore exempt under schedule 3, section 7
of the RTI Act.
DECISION
I
affirm the Department’s decision to refuse access to the Information in
Issue under section 67 of the IP Act and section 47(3)(a)
of the RTI Act.
I
have made this decision as a delegate of the Information Commissioner under
section 139 of the IP Act.
________________________
J Mead
Right to Information Commissioner
Date: 8 May
2012APPENDIX
Significant procedural steps
Date
Step taken
21 August 2011
The applicant sent an email to the Department requesting his/her personal
information held by the Public Trustee ‘that post dates my 2006 FOI
application to the Public Trustee’.
10 October 2011
The Department wrote to the applicant to confirm that the Public Trustee
had delegated its power to process the application to the
Department under
section 50(3) of the IP Act.
28 October 2011
The Department located 1538 pages in response to the application and
decided to:
release 1521
pages in full
refuse access to
13 pages on the basis that they were outside the scope of the application
(Out of Scope Documents)
refuse access to
the Information in Issue on the basis that it was subject to LPP; and
refuse access to
parts of one page on the basis that disclosure would, on balance, be contrary to
the public interest under section
49 of the RTI Act.
15 November 2011
The applicant requested internal review of the Department’s decision
in relation to the Information in Issue and certain Out
of Scope
Documents.
18 November 2011
The Department issued its internal review decision which released the Out
of Scope Documents and affirmed the decision refusing access
to the Information
in Issue.
15 December 2011
The applicant applied to OIC for an external review of the
Department’s decision.
16 December 2011
The Department provided OIC with a copy of the documents to which the
applicant was refused assess.
23 December 2011
OIC conveyed a written preliminary view to the applicant that the
Information in Issue was subject to LPP and that access may therefore
be refused
under the IP Act. OIC invited the applicant to provide submissions in response
to the preliminary view by 20 January
2012.
20 January 2012
The applicant sent an email to OIC, contesting the preliminary view.
[1] The applicant
specifically requested “information that post-dates my 2006 FOI
application to the Public Trustee”.
[2] Under
section 50(3) of the IP Act. Under section 50(4) of the IP Act, the principal
officer of the other agency may subdelegate
a power delegated to him or her
under section 50(3) of the IP
Act.[3] In excess of
1500 pages.[4] Under
section 67(1) of the IP Act and sections 47(3)(a) and 48 of the Right to
Information Act 2009 (Qld) (RTI Act).
[5] Folio numbers
346, 349 and 350.
[6] Under schedule
3, section 7 of the RTI Act.
[7] The Office of
the Official Solicitor forms part of the Public Trustee. It is established by
the Public Trustee Act 1978 (Qld) and delivers legal services to both the
Public Trustee of Queensland and the Queensland Government generally. See http://www.pt.qld.gov.au/official-solicitor/index.html.[8]
One of the orders made by GAAT in the proceeding was to appoint the Public
Trustee as administrator for the applicant in the management
of particular
litigation proceedings. See Re SE [2005] QGAAT 66, 5 September 2005.
[9] Section 40 of
the IP Act.[10]
Section 67 of the IP Act provides that the grounds for refusal of access set out
in section 47 of the RTI Act apply in the same way,
and to the same extent,
under the IP Act.
[11] Section
47(3)(b) and 48 of the RTI
Act.[12] The
Electoral and Administrative Review Commission Report on Freedom of Information
(1990) stated, in the context of the equivalent
exemption in section 43 of the
repealed Freedom of Information Act 1992 (Qld) (FOI Act), 'the
exemption incorporates the common law concept of legal professional
privilege'. This approach was recently confirmed in Ozcare and
Department of Justice and Attorney-General (Unreported, Information
Commissioner of Queensland, 13 May 2011) [12].
[13] [2002] HCA 49; (2002) 213
CLR 543 [9].[14]
Federal Commissioner of Taxation v Spotless Services Ltd [1996] HCA 34; (1996) 186 CLR
404 [416], see also AWB v Cole (No. 1) (2005) 152 FCR 382
[411].[15]
Grant v Downs [1976] HCA 63; (1976) 135 CLR 674
[692].[16]
Mitsubishi Electric Australia Pty Ltd v Victorian Workcover Authority
(2002) 4 VR 322 [8]-[9].
[17] AWB v Cole
(No.5) [2006] FCA 1234; (2006) 155 FCR 30, 44 [41]; Waterford v Commonwealth [1987] HCA 25; (1986)
163 CLR 54, 95; Pratt Holdings Pty Ltd v Federal Commissioner of Taxation
[2004] FCAFC 122; (2004) 136 FCR 357.
[18] Waterford
v Commonwealth [1987] HCA 25; (1986) 163 CLR 54 [95] per Mason and Wilson
JJ.[19] [2008] HCA
37.[20] Osland
v Secretary to the Department of Justice (Vic) [2008] HCA 37 [89].
[21] Potter and
Brisbane City Council (1994) QAR 37; Smith and Administrative Services
Department [1993] QICmr 3; (1993) 1 QAR 22 [88-90]; Harris and Department of Justice and
Attorney-General (Unreported, Queensland Information Commissioner, 21
January 2009).[22]
Unreported, Queensland Information Commissioner, 9 June 2011
(Hillier).
[23] See
Hillier [51-58].
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Abbot and The University of Queensland [2012] QICmr 50 (16 October 2012) |
Abbot and The University of Queensland [2012] QICmr 50 (16 October 2012)
Last Updated: 28 May 2013
Decision and Reasons for Decision
Application Number: 310954
Applicant: Abbot
Respondent: The University of Queensland
Decision Date: 16 October 2012
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF
ACCESS - CONTRARY TO PUBLIC INTEREST INFORMATION - application
for information
relating to an irregularity in a university admission process - whether
disclosure of university senate meeting minutes
and draft public statements
would prejudice relevant deliberative processes - whether access may be refused
to information on the
basis that disclosure would, on balance, be contrary to
the public interest - sections 47(3)(b) and 49 of the Right to Information
Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to The University of Queensland (UQ) under the Right
to Information Act 2009 (Qld) (RTI Act) for access to information
relating to an irregularity in an admission process at UQ, including an
investigation report.
UQ
released some information to the applicant and refused access to other
information on the basis that it was subject to legal professional
privilege or
its disclosure would, on balance, be contrary to the public interest. The
applicant applied to the Office of the Information
Commissioner (OIC) for
external review of UQ’s refusal of access decision.
On
external review, UQ agreed to release further information to the applicant and
the applicant elected not to pursue access to information
(including the
investigation report) which OIC considered to be
exempt[1] on the basis
of a related investigation by the Crime and Misconduct Commission
(CMC)[2].
The
information remaining in issue, which is the subject of this decision, comprises
parts of (i) the minutes of a UQ Senate meeting
(ii) a draft message from the
Chancellor to the UQ community and (iii) a draft media statement. UQ contends
that disclosure of this
information would, on balance, be contrary to the public
interest primarily due to the resulting prejudice UQ’s relevant
deliberative
processes.
For
the reasons set out below, disclosure of the information remaining in issue
would not, on balance, be contrary to the public interest
and therefore, access
to it may not be refused under section 47(3)(b) of the RTI Act.
Background
Significant
procedural steps relating to the application and external review are set out in
the Appendix to these reasons.
Reviewable decision
The
decision under review is UQ’s decision dated 23 January 2012 to refuse
access to information under sections 47(3)(a) and
47(3)(b) of the RTI
Act.[3]
Evidence considered
Evidence,
submissions, legislation and other material I have considered in reaching this
decision are disclosed in these reasons (including
footnotes and Appendix).
Information in issue
The
information remaining in issue in this review comprises:
parts of the
minutes of a UQ Senate meeting (Senate
Minutes);[4] and
parts of a draft
message from the Chancellor to the UQ community and parts of a draft media
statement (Draft Public
Statements).[5]
Relevant law
Under
the RTI Act, an individual has a right to be given access to documents of an
agency.[6] Access
should be given to a document unless disclosure would, on balance, be contrary
to the public
interest.[7]
The
right of access is subject to some limitations, including the grounds on which
access may be
refused.[8] One ground
for refusing access is where disclosure would, on balance, be contrary to the
public interest.[9] The
RTI Act lists various public interest factors for and against
disclosure[10] and
explains the steps to
take[11] in deciding
where the public interest lies, as follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information in issue would, on balance, be contrary to the
public interest.
On
external review, the agency has the onus of establishing that its decision was
justified or that the Information Commissioner should
give a decision adverse to
the applicant.[12]
Findings
In
this review, UQ has the onus of establishing that access to the Senate Minutes
and Draft Public Statements should be refused on
the basis that disclosure
would, on balance, be contrary to the public interest.
For
the reasons set out below, I find that disclosure of the Senate Minutes and
Draft Public Statements would not, on balance, be
contrary to the public
interest. I am satisfied that no irrelevant factors arise in the circumstances
of this case.
Factors favouring disclosure
Accountability and transparency in decision-making
The
subject matter of the information in issue, that is, the irregularity in an
admission process at UQ, has been the subject of wide
media
coverage.[13] To the
extent the Senate Minutes and Draft Public Statements reveal how UQ handled the
irregularity, I consider the following public
interest factors apply in favour
of disclosure:
promote
open discussion of public affairs and enhance
accountability;[14]
and
reveal the
reason for a government decision and any background or contextual information
that informed the
decision.[15]
Given
that the admission irregularity was internally investigated, referred to the CMC
and resulted in the resignation of two senior
UQ staff members, I am satisfied
that the public interest in enhancing accountability and increasing transparency
in decision-making
carries very significant weight in favour of disclosure.
UQ
submits[16] that the
amount of information already published by UQ and other organisations and the
actions of the CMC reduce the weight to be
attributed to the public interest
factors favouring disclosure relating to accountability and transparency in
decision-making.
I
acknowledge that UQ has published information about the admission
irregularity.[17]
The publications show that UQ responded to the allegations by retaining a
barrister to investigate the matter and then referring
it to the CMC. I
consider that the information already released by UQ, either through published
statements or under the RTI Act
on this application, has served to enhance its
accountability and reveal some of the reasons for or background/contextual
information
that informed its decision. On this basis, I find that the weight
of these public interest factors is somewhat reduced.
However,
the fact that the CMC is investigating the admission irregularity matter does
not, in my view, further reduce the weight
of these public interest factors. As
noted above, these factors are relevant to the extent the Senate Minutes and
Draft Public Statements
show how UQ internally handled the irregularity and in
disclosing the reasons for and/or background/contextual information that
informed
UQ’s decision-making on the matter, whereas the CMC investigation
commenced after UQ internally dealt with the
irregularity.[18]
For
the above reasons, I find that the public interest factors set out in paragraph
15 above should be afforded significant
weight in favour of disclosure.
Factors favouring nondisclosure
Deliberative process
UQ
submits that disclosure of the Senate Minutes and Draft Public Statements would
be prejudicial and/or harmful to the deliberative
processes of the Senate at its
meetings, and UQ generally in deciding how to communicate information regarding
internal matters,
such as the admission irregularity, to the wider
community.[19]
The
RTI Act recognises that that the public interest will favour nondisclosure of
information where disclosure could reasonably be
expected to:
prejudice a
deliberative process of government (Nondisclosure
Factor);[20] and
cause a public
interest harm through disclosure of a consultation or deliberation that has
taken place in the course of, or for, the
deliberative processes involved in the
functions of government (Harm
Factor).[21]
Deliberative
processes involved in the functions of government have been defined as
‘...thinking processes – the processes of reflection, for
example, upon the wisdom and expediency of a proposal, a particular
decision or
a course of
action’.[22]
For
the above factors to apply, the information in issue must constitute
deliberative process information. Once this is established,
the Harm Factor
will apply and it is then relevant to consider the nature and extent of the
public interest harm that may result
through
disclosure.[23] For
the Nondisclosure Factor to apply, a reasonable expectation of prejudice to the
relevant deliberative process must be established.
(i) Senate Minutes
The
Senate Minutes list certain matters discussed at a meeting concerning the
admission irregularity and related investigation report.
They also set out the
Senate’s assessment of the relevant measures taken and identify potential
further actions required.
I am satisfied that this information constitutes
deliberative process information.
In
support of its submission that disclosing the Senate Minutes would prejudice
and/or cause harm to its deliberative processes, UQ
submits[24] that:
the Senate
members present at the meeting were encouraged to speak fairly and frankly on
this matter and members would consider what
they said in a closed meeting would
be kept out of the public arena
the deliberative
part of any meeting will cause robust debate as members express their views and
not everything which is said in this
process will find its way to the final
decisions as members change their minds and compromises are made; and
if the relevant
information is disclosed, members will be less inclined to speak frankly and the
minutes will record less detail and
this would be detrimental to UQ’s
governance, given that the Senate is UQ’s ultimate governing body.
In
Eccleston[25]
the Information Commissioner considered whether disclosure would inhibit candour
and frankness in future communications and found
that:
such claims
should be disregarded unless a very particular factual basis is laid for the
claim and tangible harm to the public interest
will result from that
inhibition;[26] and
even if some
diminution in candour and frankness caused by the prospect of disclosure is
conceded, the real issue is whether the efficiency
and quality of a deliberative
process is thereby likely to suffer to an extent which is contrary to the public
interest.[27]
UQ
submits[28] that this
case can be distinguished from Eccleston as it concerns different types
of documents. While I acknowledge that the nature of the information in issue
in this review is different
to what was considered in
Eccleston[29],
I consider the Information Commissioner’s comments in paragraph 27 above are relevant to the extent that
they provide guidance on assessing whether disclosure would generally inhibit
candour and frankness
in future communications within an agency.
UQ
further submits[30]
that:
the Senate
Minutes reveal matters considered by the Senate when considering the
investigation report and are inherently sensitive
as they raise various issues
of concern to members of the Senate arising out of the investigation report and
the options available
to deal with the investigation report
UQ has made
numerous public statements about the investigation report to explain the
Senate’s decisions but at no time has UQ
or the Senate published
information about the actual decision-making process and the specific factors
that the Senate took into account
when deciding how to deal with the
investigation report; and
disclosure could
lead to harm to the Vice-Chancellor and Senior Deputy Vice-Chancellor, harm to
the Senate by disclosing its deliberations
publicly and potential harm to the
student at the centre of the enrolment irregularity.
UQ
has also made various submissions about how disclosing the role of particular
individuals in the deliberations would prejudice
the Senate’s deliberative
processes.[31]
I
have carefully reviewed the content of the Senate Minutes in the context of
UQ’s above submissions. In my view, the Senate
Minutes are set out in
general terms, akin to a list of discussion items, with some items having been
published in comparative terms
in public statements. For these reasons, I do
not consider the Senate Minutes can be described as particularly sensitive in
nature.
I am also satisfied that the Senate Minutes do not reveal the personal
views of individual members or show that members changed
their minds or made
compromises on particular matters. Further, I do not consider that there is any
evidence of ‘robust debate’ within the Senate Minutes, as UQ
has submitted. For these reasons, I am not persuaded that disclosure of the
Senate Minutes would
reveal internal thinking processes of the Senate, or that
the substance or quality of future deliberations would be prejudiced by
disclosure.[32]
Various
public statements refer directly to the Senate as having reviewed the admission
irregularity matter, initiated an independent
investigation and taken
corresponding action in relation to the resignations of the relevant staff
members.[33] In my
view, this confirms that the Senate’s decision-making role in relation to
the admission irregularity matter is publicly
known. I consider it is
reasonable to expect that this governing body would be required to consider
matters, such as those set out
in the Senate Minutes, to ensure an issue of this
nature was dealt with thoroughly and appropriately. Therefore, I am not
persuaded
that the efficiency of quality of Senate deliberations in the future
would be likely to suffer to such an extent that would be contrary
to the public
interest, if the Senate Minutes were disclosed.
In
the circumstances, I am unable to identify how the potential harm to particular
individuals, as submitted by UQ, could reasonably
be expected to be prejudicial
and/or harmful to the Senate’s deliberative processes.
For
the reasons set out above, I find that, in relation to the Senate Minutes:
the Harm Factor
applies but there is no specific or tangible harm to the relevant deliberative
processes of the Senate that could
reasonably be expected to be caused by
disclosure and therefore, this factor carries only minimal weight in favour of
nondisclosure;
and
the
Nondisclosure Factor does not apply as disclosure could not reasonably be
expected to prejudice the Senate’s deliberative
processes.
(ii) Draft Public Statements
UQ
submits that the Draft Public Statements reflect the deliberative process of UQ
in deciding how to communicate the outcomes of
the investigation report to the
wider community and that, due to the sensitivity of the report, numerous press
releases were
drafted.[34]
I
consider that the Draft Public Statements comprise deliberations that occurred
to decide upon the appropriate form of public statement
for UQ to make in
relation to the admission irregularity and related matters. I am satisfied that
these documents constitute deliberative
process information.
In
Criminal Justice Commission and Director of Public Prosecutions; Harris
(Third Party)
(Harris)[35]
the Information Commissioner considered whether a draft public statement
satisfied the requirements of the deliberative process exemption
under the
repealed Freedom of Information Act 1992
(Qld).[36] In
Harris, the Information Commissioner
found[37] that while
the draft statement constituted deliberative process information, there could be
no public interest factor weighing against
release of any parts of the statement
which had already been made public. In considering the parts of the draft
statement which
had not formed part of the final public statement, the
Information Commissioner stated:
I am confident that members of the public are sufficiently aware
of the procedures adopted by government organisations to be able
to distinguish
the significance of draft documents from final expressions of the approach of an
organisation. Documents prepared
to express the position of an organisation on
matters of public importance may go through many stages of development before
being
finally adopted by an agency. Often there will be input from numerous
officers of an agency ... I do not consider that disclosure
of draft documents
to the public must be assumed in every case to represent a danger to this
process.
On the contrary, I consider that there may be significant
benefits to the public in obtaining access to draft material, so as to further
the accountability, and public understanding of, the operations of government
organisations... In my view, disclosure of this type
of material allows members
of the public to examine the processes by which an agency has come to its final
conclusion ...
... I consider that public access to pre-decisional processes of agencies,
even well after the event, may, in appropriate cases, be
valuable in furthering
accountability, and public understanding, of the operations of government
agencies.[38]
During
the review, UQ agreed to release certain parts of the Draft Public Statements
which it considered reflected the content of
the final published statements.
However, UQ has maintained that the Draft Public Statements contain some
information which does
not appear in the final versions and considers that its
disclosure would prejudice and/or cause harm to, its deliberative processes.
In
relation to the parts of the Draft Public Statements which remain in issue, I am
unable to identify any specific harm or prejudice
which disclosure could
reasonably be expected to cause to the deliberative processes of UQ. In
contrast, I consider that disclosure
would further public understanding of
UQ’s handling of the matter, thereby reducing the weight to be attributed
to this factor.
On
the basis of the above, I find that, in relation to the Draft Public
Statements:
the Harm Factor
applies but there is no specific or tangible harm to the relevant deliberative
processes of UQ that could reasonably
be expected to be caused by disclosure and
therefore, this factor carries only minimal weight in favour of nondisclosure;
and
the
Nondisclosure Factor does not apply as disclosure could not reasonably be
expected to prejudice the relevant deliberative processes
of UQ.
Confidentiality
UQ
has submitted that the Senate Minutes are
confidential.[39] To
support this submission, UQ referred to provisions of the University of
Queensland Act 1998 (Qld) concerning the operation of the Senate,
particularly the provision which entitles the Senate to ‘regulate its
proceedings in meetings as it considers
appropriate’.[40]
UQ further
explained[41] that:
Pursuant to section 29 of the UQ Act, the Senate has passed
standing orders, which deals specifically with the handling of confidential
information, and requires these confidential minutes to be kept separately to
other minutes. The University is of the view that
the corporate structure of
the University and the role of Senate is analogous to that of a board of a
private corporation, and accordingly,
the general presumption that board minutes
are confidential should also apply to confidential minutes of Senate.
The
relevant standing
order[42] relied on by
UQ in the above submission states that ‘The minutes of those
proceedings or classes of proceedings that Senate or the Vice-Chancellor decides
are confidential, must
be kept separately’.
The
RTI Act recognises that the public interest will favour nondisclosure of
information where disclosure could reasonably be expected
to:
prejudice an
agency’s ability to obtain confidential information (Nondisclosure
Factor);[43]
or
cause a public
interest harm (Harm Factor) if:
○ the
information consists of information of a confidential nature that was
communicated in confidence; and
○ disclosure
could reasonably be expected to prejudice the future supply of information of
this type.[44]
Information
will have a necessary quality of confidence if it is not trivial or useless and
has a sufficient degree of
secrecy.[45]
The
Senate Minutes are marked as ‘confidential’. I acknowledge that
this indicates that the Senate intended for them
to be dealt with under the
relevant standing order. However, I do not consider that being subject to the
standing order assigns
confidentiality to the Senate Minutes—the standing
order simply concerns appropriate storage measures for Senate Minutes.
In my
view, this is not relevant to the issue of confidentiality.
In
view of the subject matter of the Senate Minutes, I find that they are not
trivial in nature. I also accept that the Senate Minutes
have not been
published, at least not in their entirety. There are however, some parts
of the Senate Minutes which appear, in comparative terms, in public statements
made by UQ in relation to the admission irregularity
matter. Accordingly, while
I acknowledge that the Senate Minutes were marked as ‘confidential’,
I find that those parts
which appear in publications in similar terms, are no
longer sufficiently secret to attract confidentiality. However, in view of
my
findings below in relation to the other elements of the Harm Factor, I have not
specifically identified in these reasons, the
parts which I am satisfied are of
a confidential
nature.[46]
For
the Harm Factor to apply, the information must have been communicated in
confidence. For information to be communicated in confidence
it must be
imparted in circumstances where the information supplier’s need or desire
for confidential treatment has been expressly
or implicitly conveyed (or
otherwise apparent to the recipient) and has been understood or accepted by the
recipient, giving rise
to an express or implicit mutual understanding that the
relevant information would be treated in
confidence.[47]
I
am not satisfied that UQ’s submissions demonstrate that members of the
Senate participated in the meeting on the understanding
that matters discussed
would be treated in confidence. I have considered the fact that the Senate
Minutes are marked as ‘confidential’
however, the Information
Commissioner has previously found that it is not possible to unilaterally impose
confidentiality through
labelling information as
such.[48] For these
reasons, I find that the Senate Minutes were not communicated in confidence.
Even
if I had been satisfied that the Senate Minutes were communicated in confidence,
for the reasons set out at paragraphs 31-32 above, I do not consider that
disclosure of the Senate Minutes could reasonably be expected to prejudice the
future supply of thi[49]type of
information.49 I also rely on the reasons at
paragraphs 31-32 above to explain why I am satisfied
that UQ’s ability to obtain confidential information from Senate members
at its meetings
would similarly, not be prejudiced through disclosure.
For
the reasons set out above, I find that the requirements of the Harm Factor and
Nondisclosure Factor have not been established
in this case and therefore, I am
satisfied that these factors do not apply to disclosure of the Senate Minutes.
Personal information and privacy
UQ
submits that the information in issue contains personal information of UQ staff
including allegations of possible
wrongdoing.[50]
The
RTI Act recognises that protecting other people’s personal
information[51] raises
a public interest factor favouring nondisclosure due to the public interest harm
in disclosure.[52]
Where disclosure could reasonably be expected to prejudice the protection of an
individual’s right to privacy, this will also
raise a public interest
favouring
nondisclosure.[53]
As
the information in issue names several UQ staff members in the context of issues
relating to their employment, I am satisfied that
this constitutes their
personal
information.[54] The
information relates to the staff members’ involvement in the admission
irregularity and resulting resignations and therefore,
I am satisfied that this
is not routine personal work
information[55]
and that there is a level of privacy associated with it. However, I consider
that similar, and in some cases, identical information
about the staff members
has been published by UQ in online news
articles.[56]
I consider that this significantly reduces the privacy interest attaching to the
information and similarly, any harm that may result
from disclosing the personal
information would be negligible.
For
the reasons set out above, I afford the public interest factors identified at
paragraph 51 very low weight in favour
of nondisclosure.
Balancing the public interest
As
the information in issue concerns an irregularity in a university admission
process which was internally investigated, referred
to the CMC and resulted in
the resignation of two university staff members, the public interest in
enhancing accountability and increasing
transparency in decision-making is
particularly high in this case. However, the weight of these factors is
somewhat reduced as UQ
has already released/published information which reveals
some of the measures it took to handle the matter.
While
I accept that the Senate Minutes and Draft Public Statements comprise
deliberative process information, I do not consider that
disclosing the
information could reasonably be expected to cause a specific and tangible harm
to the relevant deliberative processes
and therefore, attribute only minimal
weight to this factor in favour of nondisclosure. I also give only very low
weight to the
public interest in protecting the personal information and privacy
of individuals concerned, due to the significant amount of publicly
available
information relating to the staffing matters connected with the admission
irregularity.
For
the above reasons and taking into account the pro-disclosure bias in deciding
access to information under the RTI Act, I am satisfied
that the public interest
factors favouring nondisclosure are outweighed by the factors favouring
disclosure and that therefore, disclosure
of the information in issue would not,
on balance, be contrary to the public interest.
DECISION
For
the reasons set out above, I set aside UQ’s decision to refuse access to
information under section 47(3)(b) of the RTI Act.
In substitution, I find that
disclosure of the Senate Minutes and Draft Public Statements remaining in issue
in this review would
not, on balance, be contrary to the public interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.
_________________________
K Shepherd
Assistant Information Commissioner
Date: 16 October 2012
APPENDIX
Significant procedural steps
Date
Event
25 November 2011
UQ received the access application.
23 January 2012
UQ issued its decision, granting access to some information and refusing
access to other information under sections 47(3)(a) and (b)
of the RTI
Act.
17 February 2012
OIC received the external review application and asked UQ to provide
relevant preliminary documents to OIC.
1 March 2012
OIC notified the applicant and UQ that the application had been accepted
for review. OIC asked UQ for a copy of the documents to which
it had refused
access and a further submission supporting its reasons for refusing access to
information, particularly in relation
to schedule 3, section 10(4) of the RTI
Act.
19 March 2012
UQ provided OIC with a copy of the documents to which it had refused
access.
21 March 2012
The applicant asked OIC for an update on the progress of the review.
27 March 2012
OIC provided the applicant with an update on the status of the external
review.
30 March 2012
OIC received UQ’s further submissions. OIC asked UQ for further
information in relation to the related CMC investigation.
31 March 2012
The applicant asked OIC to provide a response to procedural issues relating
to the application.
2 April 2012
OIC responded to the applicant’s procedural inquiries and provided an
update on the status of the external review.
16 April 2012
OIC asked UQ to provide further submissions in relation to schedule 3,
section 10(4) of the RTI Act.
27 April 2012
OIC received UQ’s submissions and provided the applicant with an
update on the status of the external review.
28 April 2012
The applicant provided submissions to OIC regarding the review
timeframe.
1 May 2012
OIC directed UQ to provide further submissions in relation to schedule 3,
section 10(4) of the RTI Act.
8 May 2012
OIC received further submissions from UQ.
22 May 2012
OIC received correspondence from the CMC in relation to its
investigation.
29 May 2012
OIC issued a written preliminary view to the applicant that some of the
documents in issue were exempt under schedule 3, section 10(4)
of the RTI Act
due to the related CMC investigation. OIC invited the applicant to provide
submissions supporting his case if he did
not accept the preliminary view.
30 May 2012
OIC conveyed a preliminary view to UQ that certain documents in issue were
not exempt under schedule 3, section 10(4) of the RTI Act.
OIC invited UQ to
provide submissions supporting its decision to refuse access to information if
it did not accept the preliminary
view.
4 June 2012
The applicant contacted OIC by telephone in relation to the preliminary
view and external review timeframes. OIC confirmed to the
applicant the due
date for written submissions, if he wished to contest the preliminary view.
13 June 2012
OIC received submissions from UQ in which it agreed to release some
information to the applicant.
25 June 2012
OIC asked UQ to release the additional information to the applicant. OIC
confirmed, by letter to the applicant, the outstanding issues
in the review, in
view of UQ’s agreement to release information and the absence of any
submissions from the applicant in response
to the preliminary view.
27 June and 31 July 2012
OIC provided the applicant with an update on the status of the external
review.
10 August 2012
OIC conveyed a further preliminary view to UQ on the remaining information
in issue and invited UQ to provide submissions if it did
not accept the view.
24 August 2012
OIC received UQ’s submissions in response to the preliminary view.
UQ agreed to release some additional information to the
applicant which OIC
asked UQ to send to the applicant.
OIC provided the applicant with an update on the status of the external
review and asked the applicant if, in view of the additional
information
released to him by UQ, he wished to pursue access to the remaining information
in issue.
31 August 2012
The applicant confirmed that he wished to pursue access to the remaining
information in issue and asked OIC to clarify a procedural
issue.
3 September 2012
UQ confirmed to OIC that it had sent the additional information to the
applicant. OIC provided the applicant with an update on the
status of the
external review and information regarding external review procedures.
7 September 2012
The applicant confirmed to OIC that he had received the additional
information from UQ and wished to proceed with the formal review
process.
10 October 2012
OIC provided the applicant with an update on the status of the external
review.
[1] Under schedule 3,
section 10(4) of the RTI Act.
[2] See http://www.cmc.qld.gov.au/news-and-media/media-releases/cmc-to-prepare-public-report-on-university-of-queensland-investigation-2014-28.05.2012.
[3] The information
to which access was refused under section 47(3)(a) of the RTI Act is not dealt
with in this decision as the applicant
accepted the Office of the Information
Commissioner’s (OIC) preliminary view that access to that
information may be refused – see the Appendix.
[4] Document 2
(folios 32 - 33).
[5] Document 7
(folios 15 - 16 and 23 - 24).
[6] Section 23(1) of
the RTI Act. [7]
Section 44(1) of the RTI Act. This is referred to as the pro-disclosure
bias in deciding access to documents.
[8] Listed in
section 47(3)(b) of the RTI Act. Section 47(2) of the RTI Act provides that
these grounds are to be interpreted narrowly
and an agency may give access to a
document even if a ground for refusal of access applies.
[9] Section 47(3)(b)
and 49 of the RTI Act. The term public interest refers to considerations
affecting the good order and functioning of the community and government affairs
for the well-being of citizens.
This means that in general, a public interest
consideration is one which is common to all members of, or a substantial segment
of,
the community, as distinct from matters that concern purely private or
personal interests.
[10] In schedule 4
of the RTI Act. This list is not exhaustive and therefore, other factors may be
relevant in a particular
case.[11] Section
49(3) of the RTI
Act.[12] Section
87(1) of the RTI Act.
[13] See for
example http://www.couriermail.com.au/news/queensland/favouritism-probe-at-uq/story-e6freoof-1226186284276.
[14] Schedule 4,
part 2, item 1 of the RTI Act.
[15] Schedule 4,
part 2, item 11 of the RTI Act.
[16] UQ’s
submission to OIC dated 23 August 2012.
[17] See for
example http://www.uq.edu.au/news/?article=24023;
http://www.uq.edu.au/news/?article=24189;
and http://www.uq.edu.au/news/?article=24033.
[18] I also note
that UQ’s submission to OIC dated 13 June 2012 confirmed that the Senate
Minutes and Draft Public Statements were
not obtained, used or prepared by the
CMC for the purpose of its investigation and for this reason, UQ did not
maintain its claim
that the documents were subject to the exemption in schedule
3, section 10(4) of the RTI Act.
[19] UQ’s
submission to OIC dated 23 August 2012.
[20] Schedule 4,
part 3, item 20 of the RTI Act.
[21] Schedule 4,
part 4, item 4 of the RTI Act. This public interest harm factor is
similar to the previous exemption in section 41(1) of the repealed Freedom of
Information Act 1992 (Qld) (FOI Act).
[22] Eccleston
and Department of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993)
1 QAR 60 (Eccleston) at [28-30] citing with approval the
definition given in Re Waterford and Department of Treasury (No.2) [1984] AATA 67; (1984)
5 ALD 588 at [606].
[23] In
Trustees of the De La Salle Brothers and Queensland Corrective Services
Commission [1996] QICmr 4; (1996) 3 QAR 206 at [14] the Information Commissioner considered,
in the context of the equivalent FOI Act exemption, that ‘specific and
tangible harm to an identifiable public interest would result from
disclosure’. I consider that this is a relevant consideration when
applying the Harm Factor under the RTI Act.
[24] UQ’s
submission to OIC dated 13 June 2012.
[25] This case
considered the application of the deliberative process exemption in
section 41(1) of the repealed FOI Act and ultimately found that the exemption
did not apply as disclosure would not
be contrary to the public interest –
at [185]. The Information Commissioner’s reasoning in Eccleston was
later followed in Hewitt and Queensland Law Society [1998] QICmr 23; (1998) 4 QAR 328
where the Information Commissioner stated that he was not satisfied that
‘the substance or quality of advice prepared by staff ... would be
materially altered for the worse, by the threat of disclosure under
the FOI
Act.’ at [139].
[26] At [132].
[27] At [134].
[28] UQ’s
submission to OIC dated 23 August 2012.
[29] The documents
in issue in Eccleston comprised internal memoranda, letters to another
agency and a brief for the Minister relating to advice on the consequences of a
High Court decision for the Queensland Government, at [2] and [76].
[30] UQ’s
submission to OIC dated 23 August 2012.
[31] UQ’s
submissions to OIC dated 23 August 2012. Section 108(3) of the RTI Act prevents
me from setting out these submissions
in detail.
[32] I acknowledge
that there may be cases in which minutes of UQ Senate meetings may be of
sufficiently sensitive nature which, if disclosed,
could reasonably be expected
to prejudice future deliberations of the Senate. However, in this case, I am
not satisfied that the
Senate Minutes are of such a nature.
[33] See UQ online
news articles dated 9 November and 9 December 2011 referred to at footnote 17 above. For example, the
9 December article states that “The Senate has acted decisively
and promptly every step of the way and has not shirked from making some
extremely tough decisions”.
[34] UQ’s
submission to OIC dated 23 August 2012.
[35] [1996] QICmr 12; (1996) 3 QAR
299 (28 June 1996).
[36] Section 41 of
the repealed FOI
Act.[37] At [25
and 27].[38] At
[36 – 38].
[39] UQ’s
submission to OIC dated 23 August 2012. I have addressed UQ’s submissions
on confidentiality in the context of
public interest factors favouring
nondisclosure. As UQ did not make any submissions on the application of the
breach of confidence
exemption in schedule 3, section 8 of the RTI Act, I have
not considered that exemption in these reasons for decision.
[40] Section 29 of
the University of Queensland Act 1998 (Qld).
[41] UQ’s
submission to OIC dated 23 August 2012.
[42] Number
9.5.[43] Schedule
4, part 3, item 16 of the RTI Act.
[44] Schedule 4,
part 4, item 8 of the RTI Act.
[45] This test was
set out in Re B and Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR
279 (Re B) in the context of section 46(1)(a) of the repealed FOI
Act. In Re B, at [71], the Information Commissioner considered
the requirement that information be of a confidential nature under an equitable
action
in breach of confidence, is the same as in section 46(1)(b) of the
repealed FOI Act. The Harm Factor is framed in equivalent terms
to section
46(1)(b) of the repealed FOI Act and therefore, I am satisfied that this test
can be applied under the RTI Act. See also
Macrossan & Amiet Solicitors
and Queensland Health (Unreported, Queensland Information Commissioner, 27
February 2002) (Macrossan) at [60].
[46] I am also
prevented from disclosing, in these reasons for decision, information which UQ
claims is contrary to the public interest
– see section 108(3) of the RTI
Act. [47] Re
McCann and Queensland Police Service [1997] QICmr 10; (1997) 4 QAR 30 at [34]. This test was
set out in the context of section 46(1)(b) of the repealed FOI Act which is
framed in equivalent terms to the Harm
Factor and therefore, the same approach
can be
applied.[48] Re
B at [91]. I also note that in Macrossan at [51], the Information
Commissioner found that delivering documents to a government agency in boxes
marked “Private &
Confidential” was not sufficient to impose an
obligation of confidence on the recipient of the
documents.[49] In
view of my finding that the requirements of the Harm Factor have not been
established, I have not considered whether the exception
in schedule 4, part 4,
item 8(2) of the RTI Act applies. I note however that the information in issue
is deliberative process information
to which the exception relates.
[50] UQ’s
submissions to OIC dated 13 June 2012 and 23 August 2012.
[51] Section 12 of
the Information Privacy Act 2009 (Qld) defines ‘personal
information’ as information or an opinion, including information or an
opinion forming part of a database, whether true or not, and whether recorded
in
a material form or not, about an individual whose identity is apparent, or can
reasonably be ascertained, from the information
or
opinion.[52]
Schedule 4, part 4, item 6 of the RTI
Act.[53] Schedule
4, part 3, item 3 of the RTI Act.
[54] However, I do
not consider that any personal information of UQ students appears in the
information in issue as no students are specifically
named. I am also satisfied
that student identities could not reasonably be ascertained from disclosure of
the information in
issue.[55] As
discussed in the OIC guideline Routine Personal Work Information and Public
Sector Employees available at http://www.oic.qld.gov.au/information-and-resources/guidelines-ip/routine-personal-work-information-public-sector-employees.
[56] UQ news
articles available at http://www.uq.edu.au/news dated 9 and 11
November and 9 December 2011.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | J2P8MT and Department of Health [2012] QICmr 22 (11 May 2012) |
J2P8MT and Department of Health [2012] QICmr 22 (11 May 2012)
J2P8MT and Department of Health [2012] QICmr 22 (11 May 2012)
Last Updated: 17 July 2012
Decision and Reasons for Decision
Application Number: 310418
Review Applicant: J2P8MT
Respondent: Department of Health
Decision Date: 11 May 2012
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION – DECISION
GRANTING ACCESS – Objection to disclosing information
about property sale
– whether exempt from disclosure – sections 47(3)(a) and 48 of the
Right to Information Act 2009 (Qld) – whether disclosure would, on
balance, be contrary to the public interest – sections 47(3)(b) and 49 of
the Right to Information Act 2009 (Qld)
Contents
REASONS FOR DECISION
Summary
As
part of a hospital development project, the Department of Health, also known as
Queensland Health (QH), had purchased a property from the review
applicants. The access applicant sought access to documents relating to the
hospital
project (Project Documents) under the Right to Information
Act 2009 (RTI
Act).[1]
Following
consultation with the review
applicants,[2] QH
refused access to some information and granted access to the remaining
information on the basis that its disclosure would not,
on balance, be contrary
to the public interest
(Decision).[3]
The
review applicants applied to the Office of the Information Commissioner
(OIC) for external review of the Decision, objecting to disclosure of
information relating to the sale of their property.
During
the external review, the access applicant indicated that they no longer sought
access to some information in the Project
Documents.[4]
Having
considered all submissions and the relevant law, I am satisfied the information
remaining in issue (Information in Issue) is not exempt from
disclosure[5] and that
its disclosure would not, on balance, be contrary to the public
interest.[6]
Accordingly the access applicant is entitled to access the Information in Issue.
Background
Significant
procedural steps relating to the external review application are set out in the
Appendix.
Reviewable decision
The
decision under review is QH’s Decision of 30 September 2010 to disclose
information in the Three Attachments contrary to
the views of the external
review applicant.[7]
Information in issue
The
Information in Issue comprises the Three Attachments and the Additional
Information, but does not include information which QH
refused access to in its
access decision[8]
(including some personal information of the external review applicants) nor
personal information concerning the impact of the sale
on the review
applicants’
family.[9]
Material considered
Evidence,
submissions, legislation and other material I have considered in reaching my
decision are disclosed in these reasons (including
footnotes and Appendix).
Onus
As
the decision being reviewed is a disclosure
decision,[10] the
review applicants bear the onus of establishing that a decision to not disclose
the Information in Issue is justified or that
the Information Commissioner
should give a decision adverse to the access
applicant.[11]
Issues in this review
The
review applicants submit that disclosing the Information in Issue would:
breach their
agreement with the Legal Services Commission (LSC) and their former
solicitors prohibiting them from disclosing information regarding the property
sale and related issues; and
invade the
privacy of the review applicants and their family.
The
relevant issues in this review are whether disclosure of the Information in
Issue:
would found an
action for a breach of
confidence;[12]and/or
would, on
balance, be contrary to the public
interest.[13]
Is the Information in Issue exempt information?
No,
for the reasons that follow.
Relevant law
Under
the RTI Act, a person has a right to be given access to documents of an
agency.[14] However,
this right is subject to other provisions of the RTI Act including the
grounds on which an agency may refuse access to
documents.[15]
Relevantly, access may be refused where information is exempt
information[16] or
disclosure would, on balance, be contrary to the public
interest.[17]
Under
section 47(3)(a) of the RTI Act, access can be refused to information
on the basis that it is exempt information. Information
will be exempt
information if its disclosure would found an action for breach of
confidence.[18]
Disclosing
information will found an action for breach of confidence if five cumulative
requirements are
satisfied.[19]
Relevantly, the information must have been communicated in such circumstances as
to fix the recipient – in this case, QH –
with an equitable
obligation of conscience not to use the confidential information in a way that
is not authorised by the information’s
confider.[20]
Review applicants’ submissions
The
review applicants contend that:
in resolution of
a dispute with their former solicitors, arising from the sale of the property,
the review applicants agreed with
the solicitors and the LSC to keep information
regarding the sale of the property (settlement agreement) confidential;
and
accordingly,
they are obliged to keep the Information in Issue confidential and cannot
consent to its disclosure, as to do so will
breach the settlement agreement,
thereby making them liable to the LSC and their former solicitors.
Findings
For
the breach of confidence exemption to apply in this case the review applicants
must demonstrate that they communicated the Information
in Issue to QH in
circumstances where both either expressly or impliedly agreed to keep that
information
confidential.[21]
There is no evidence before me that that was the case.
The
review applicants’ reference to their obligations under the settlement
agreement is, in this context, irrelevant. This
is because QH is not a party to
that agreement, nor to any confidentiality obligations it may impose as between
the review applicants
and other third parties.
I
understand that the review applicants may feel concerned that any disclosure of
information they believe they are obliged to hold
confidentially may constitute
a possible breach by them of those obligations. The review applicants may be
assured, however, that
this not the case in the present circumstances.
Disclosure
will not be disclosure by the review applicants in breach of any obligation of
confidence, but disclosure by a government
agency in satisfaction of its
statutory obligations under the RTI Act.
I
am satisfied that the Information in Issue:
was not
communicated to QH subject to any conditions of confidentiality or in
circumstances where such conditions may be implied
was not received
by QH in circumstances that import an obligation of confidence; and
does not satisfy
one of the five cumulative elements necessary to found an action for breach of
confidence.
As
disclosure would not found an action for breach of confidence, the Information
in Issue is not exempt
information.[22]
Would disclosing the Information in Issue, on balance, be contrary to the public
interest?
No,
for the reasons that follow.
Relevant law
Under
the RTI Act, access to a document can be refused to the extent that its
disclosure would, on balance, be contrary to the public
interest.[23]
The
term ‘public interest’ refers to considerations affecting the
good order and functioning of the community and government affairs and for the
wellbeing
of citizens generally. This means that ordinarily, a public interest
consideration is one which is common to all members of, or
a substantial segment
of, the community as distinct from matters that concern purely private or
personal interests. However, there
are some recognised public interest
considerations that may apply for the benefit of an individual.
The
RTI Act identifies many factors that may be relevant to deciding the
balance of the public interest. It also explains the steps
that a
decision-maker must take in deciding the public interest. To decide whether
disclosing the Information in Issue would be
contrary to the public interest, I
must:[24]
identify any
irrelevant factors and disregard them;
identify
relevant public interest factors favouring disclosure and nondisclosure;
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosing the information would, on balance, be contrary to the public
interest.
Findings
I
am satisfied that disclosing the Information in Issue would not, on balance, be
contrary to the public interest, for the reasons
that follow.
Irrelevant factors, factors favouring disclosure and nondisclosure
I
have examined the irrelevant factors in schedule 4 of the RTI Act and
am satisfied I have not taken into account any irrelevant
factors in reaching my
decision.
There
are a number of factors favouring disclosure and nondisclosure in this case. I
discuss these and their relative weight below.
Factors favouring disclosure
Accountability and positive and informed debate
The
RTI Act recognises public interest in disclosure of information where such
disclosure could reasonably be expected to promote
open discussion of public
affairs and enhance the Government’s
accountability.[25]
The
Information in Issue includes information identifying the location and
nature/condition of the property, valuation amounts, purchase
price, QH’s
reasons and authority for acquiring the property and steps in the
negotiation.
Disclosing
the Information in Issue would reveal the matters QH considered, and the
legislation and guidelines under which it operated,
in negotiating the
acquisition of the property. Such disclosure could reasonably be expected
to:
increase public
knowledge and understanding of processes adopted by government in acquiring land
from private individuals for public
purposes, using public funds; and
enhance
QH’s accountability for its decision to acquire private land with public
funds.
I
am satisfied these factors favouring disclosure arise for consideration in this
case.
Reveal reasons for a decision
A
further public interest factor favouring disclosure arises if disclosing the
Information in Issue could reasonably be expected to
reveal the reason for a
government
decision.[26]
Disclosing the Information in Issue would do so in this case, by providing the
public with information about QH’s reasons
for deciding to purchase the
property. I am satisfied this factor arises for consideration in this case.
Factors favouring nondisclosure
Prejudice the protection of an individual’s right to privacy
A
public interest factor favouring nondisclosure arises if disclosing the
Information in Issue could reasonably be expected to prejudice
the protection of
an individual’s right to
privacy.[27] Further,
if disclosing the relevant information would disclose an individual’s
personal information, a public interest harm
factor will arise. The extent of
the harm will therefore need to be
considered.[28]
The
Information in Issue includes some personal information of the review
applicants. Disclosing such information could reasonably
be expected to impact
the review applicants’ privacy. In this case, however, the strength of
that privacy interest is substantially
diminished. This is because much of the
detail of the transaction is publicly available.
The
Government’s scheme for ensuring transparent dealings with land,
established through the Land Valuation Act 2010 (Qld) (LVA) and
the Land Title Act 1994 (Qld) (LTA), promotes public access to
property transaction
information.[29]
Payment of a small fee entitles any member of the public to obtain land dealing
information such as location of the land, the names
of owners and vendors,
valuation amount and sale price.
The
access applicant is aware that the property was acquired for the proposed
relocation of a particular medical foundation. Internet
searches of the term
using the foundation’s name show the address of the relocated foundation.
This provides the information
necessary for an LVA or LTA search. In these
circumstances, I am satisfied that relevant personal information – the
location
and price paid for the land – is publicly available through the
process established under the LVA and the LTA.
While
the public accessibility of this information does not alter its character as
personal information, its availability does significantly,
if not entirely,
reduce the privacy interests that would ordinarily attach to it.
Although
aspects of the personal information are not publicly available, for example,
information relating to the steps in the negotiation,
the information of this
type which remains in issue is essentially of a non-sensitive commercial nature,
rather than personal in
character, and the privacy interests are relatively low.
Balancing the public interest factors
In
this case, I consider the factors favouring disclosure discussed above warrant
considerable weight. There is a clear public interest
in ensuring that agencies
acquiring private property with public monies do so transparently and
accountably. There is also a strong
public interest in making available for
scrutiny and public discussion information evidencing the reasons behind
purchasing and acquisition
decisions of this kind, including, importantly, the
final price agreed between a public agency and a private vendor.
Weighing
against these significant public interests is the public interest in protecting
an individual’s right to privacy and
the public interest harm in
disclosure of personal information. As explained above, much of this personal
information is, however,
publicly available or is primarily of a non-sensitive
commercial nature, diminishing significantly, if not entirely the privacy
interests
these nondisclosure/harm factors are intended to protect. In these
circumstances, I attribute minimal weight to the nondisclosure
factor and
consider that the public interest harm presumed to arise would be minimal at
best. I find that the factors favouring
disclosure of the Information in Issue
outweigh the factor favouring nondisclosure and the public interest harm.
DECISION
The
decision under review was made in respect of the Three Attachments. I am
satisfied that.
the Information
in Issue in this review is as described in paragraph eight of this
decision;
it does not
comprise exempt information under section 47(3)(a) of the RTI Act; and
its disclosure
would not, on balance, be contrary to the public interest under section 47(3)(b)
of the RTI Act.
Accordingly, I vary QH’s decision by finding that
QH is entitled to disclose the Information in Issue.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the Right to Information Act
2009 (Qld).
________________________
Suzette Jefferies
Assistant Information Commissioner
Date: 11 May 2012
APPENDIX
Significant procedural steps
Date[30]
Event
22 June 2010
Access applicant applied to QH for access to information about the Hospital
Project.
16 July 2010
Access applicant narrowed the scope of the access
application.[31]
7 September 2010
Access applicant further narrowed the scope of the access
application.[32]
9 September 2010
QH consulted with relevant third parties and sought the review
applicants’ views regarding disclosure of Three Attachments
18 September 2010
Review applicants objected to disclosure of the Three Attachments.
22 September 2010
QH sought the review applicants’ views on disclosure of a reduced
amount of information in the Three Attachments.
22 September 2010
Review applicants objected to QH’s revised disclosure proposal.
30 September 2010
QH issued its decision.
15 October 2010[33]
Review applicants applied to OIC for external review of QH’s
decision.
2 November 2010
OIC notified QH and the review applicants that the application had been
accepted for external review.
6 November 2010
Review applicants provided a submission to OIC.
22 August 2011
Review applicants provided a further submission to OIC.
13 December 2011
OIC sought the review applicants’ views regarding disclosure of the
Additional Information and conveyed a preliminary view to
the review
applicants.[34]
24 January 2012
Access applicant withdrew the access application in respect of some of the
information in the Project Documents.
24 January 2012
OIC informed the review applicants of the access applicant’s
withdrawal of part of the access application.
5 February 2012
Review applicants objected to disclosure of the Project Documents and made
submissions to OIC in response to OIC’s preliminary
view.
[1] Access
application dated 22 June 2010.
[2] Under section 37
of the RTI Act.[3]
Decision dated
30 September 2010.[4]
In a telephone conversation with OIC and a subsequent email dated
24 January 2012.
[5] Under section
47(3)(a), section 48 and schedule 3 section 8 of the RTI
Act.[6] Under
section 47(3)(b), section 49, schedule 4 part 3 item 3 and schedule 4 part 4
section 6 of the RTI
Act.[7] QH had
consulted the review applicants regarding pages 7-28, that is, attachments two,
three and four to a memorandum of the Project
Documents (Three
Attachments). On external review, QH indicated to OIC that, given the
concerns raised by the external review applicants about disclosing information
in the Three Attachments, the review applicants would likely also object to
disclosure of parts of pages 1 to 6 of the Project Documents
on the same basis
because this information essentially replicates the relevant information in the
Three Attachments. By letter
dated 13 December 2011, OIC consulted the review
applicants regarding some information contained in pages 1-6 of the Project
Documents,
the disclosure of which might reasonably be expected to be of concern
to the review applicants (Additional Information). By letter in response
dated 5 February 2012, the review applicants objected to disclosure of any
information in the Project
Documents.[8] Also
dated 30 September
2010.[9] Which the
access applicant agreed in a telephone conversation with OIC and a subsequent
email dated 24 January 2012 that they did
not seek to access and which
comprises information redacted from pages two, three and fifteen. Redacted
copies of these pages have
been provided to
QH.[10]
‘Disclosure decision’ is defined in section 87(3) of the
RTI Act as a decision to disclose a document or information contrary to the
views of a
relevant third party obtained under section 37 of the
RTI Act. [11]
Section 87(2) of the
RTI Act.[12]
Therefore rendering the Information in issue ‘exempt information’ to
which access may be refused under section 47(3)(a)
of the RTI
Act.[13] Under
section 47(3)(b) of the RTI Act, and in accordance with the public interest
balancing exercise set out in section 49 of the
RTI
Act.[14]
Section 23 of the
RTI Act.[15]
Section 47 of the
RTI Act.[16]
Section 47(3)(a) of the RTI Act.
[17] Section 47(3)(b) of the
RTI Act.
[18] Schedule 3
section 8 of the
RTI Act.[19]
As identified in B and Brisbane North Regional Health Authority [1994] QICmr 1; [1994] 1
QAR 279 (B) at paragraphs 57-58; and Callejo v Department of
Immigration and Citizenship [2010] AATA 244 at paragraphs 163-171 and
176.[20]
Requirement (c), B, paragraphs 76-102.
[21] It must also
be shown that information claimed to be confidential actually is confidential:
requirement (b), B, paragraphs 76-102. As detailed in paragraphs 38-39,
much of the Information in Issue comprises publicly available land valuation
information. It is therefore arguable this information does not possess the
required quality of
confidence.[22]
Under section 47(3)(a), section 48 and schedule 3 section 8 of the RTI
Act.[23]
Section 47(3)(b) of the
RTI Act.[24]
Section 49(3) of the RTI
Act.[25] Schedule
4 part 2 items 1 and 2 of the
RTI Act.[26]
Schedule 4 part 2 item 11 of the
RTI Act.[27]
Schedule 4 part 3 item 3 of the
RTI Act.[28]
Schedule 4 part 4 section 6 of the
RTI Act.[29]
Under section 181 and section 183 of the LVA, on payment of the prescribed fee,
a person may obtain from the valuer-general details
of the:
identity number,
area, location and description of land
owner’s
name and address
valuation date
and amount; and
other
information the valuer-general considers appropriate.Such
information is available to members of the public, together with information
identifying the previous sale price and vendor,
as part of the Queensland
Valuation And Sales data collected by the Department of Natural Resources and
Mines. Similarly, under
section 35 of the LTA, a person may, on payment of the
prescribed fee, obtain from the registrar of titles details of instruments
lodged and information kept under the LTA. Information available to members of
the public under the LTA includes information identifying
the previous sale
price and vendor.
[30] Of
correspondence or relevant communication unless otherwise stated.
[31] Noted in
QH’s letter to access applicant dated 30 September
2010.[32] Noted in
QH’s letter to access applicant dated 30 September
2010.[33] External
review application dated 10 October 2010 received by
OIC.[34] Australia
Post was unable to deliver the letter to the review applicants and it was
returned unopened to OIC. OIC provided a copy
of the letter to the review
applicants on 24 January 2012 together with notification of the access
applicant’s withdrawal of
part of the access application.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Hill Mac Pty Ltd and Department of Justice and Attorney-General [2012] QICmr 56 (29 October 2012) |
Hill Mac Pty Ltd and Department of Justice and Attorney-General [2012] QICmr 56 (29 October 2012)
Last Updated: 27 August 2013
Decision and Reasons for Decision
Application Number: 310913
Applicant: Hill Mac Pty Ltd
Respondent: Department of Justice and Attorney-General
Decision Date: 29 October 2012
Catchwords: ADMINISTRATIVE LAW - RIGHT TO
INFORMATION - EXEMPT INFORMATION - application for correspondence between the
Office of
Liquor and Gaming Regulation and Queensland Police Service in relation
to licensed venues - objections to disclosure raised by owner
of a venue on the
basis that information is exempt under schedule 3, of the Right to
Information Act 2009 (Qld) - whether access to information may be refused
under sections 47(3)(a) and 48 of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - CONTRARY TO PUBLIC INTEREST -
information concerning liquor-related incidents - issues
of public safety,
accountability and regulation of licensed venues - impact of disclosure on the
business affairs of a licensed venue
- whether disclosure of the information
would, on balance, be contrary to the public interest - whether access to
information may
be refused under sections 47(3)(b) and 49 of the Right to
Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - DISCLOSURE DECISION - ONUS ON
EXTERNAL REVIEW - whether objecting participant has established
that a decision
not to disclose information is justified or that the Information Commissioner
should give a decision adverse to the
access applicant - section 87(2) of the
Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
An
application was made to the Department of Justice and Attorney-General
(Department) under the Right to Information Act 2009 (Qld) (RTI
Act) for access to correspondence between the Office of Liquor and Gaming
Regulation
(OLGR)[1] and the
Liquor Enforcement and Proactive Strategy (LEAPS) coordinator at the
Queensland Police Service (QPS) in relation to certain licensed venues.
The
Department contacted the owners of the relevant venues, including the external
review applicant (Applicant), to seek their views on disclosure of the
information it had located in response to the application. The Applicant
objected to
information about its venue being disclosed. The Department decided
to grant access to the information on the basis that it was
not exempt or
contrary to the public interest to disclose under the RTI
Act.[2]
The
Applicant applied to the Office of the Information Commissioner (OIC) for
external review of the Department’s decision to disclose information. The
Applicant submitted that information relating
to its venue is exempt and/or
contrary to the public interest to disclose and therefore, should not be
released under the RTI Act.
On external review, the Applicant emphasised that
disclosing information about ‘alleged incidents’ at its venue
would be unlikely to advance government accountability and would instead,
significantly prejudice its business affairs
by damaging the venue’s
reputation.
For
the reasons set out below, the Department’s decision to disclose
information relating to the Applicant’s venue is
affirmed as the
information is not exempt and nor would its disclosure, on balance, be contrary
to the public interest under the
RTI Act.
Background
LEAPS
is a program which involves QPS working with OLGR with a view to ensuring
compliance with legislation and regulations concerning
licensed venues. QPS
officers who attend or become aware of liquor-related incidents involving
licensed venues create a report and
forward this to the QPS LEAPS Coordinator.
The LEAPS Coordinator then sends the information to OLGR which assesses it as
part of
its regulatory
activities.[3]
Significant
procedural steps relating to the application and external review are set out in
the Appendix to these reasons
Reviewable decision
The
decision under review is the Department’s internal review decision dated
21 December 2011 granting access to information
under the RTI Act.
Material considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and Appendix).
Information in Issue
The
information in issue in this review (Information in Issue) consists of
two spreadsheets, prepared by the QPS LEAPS Coordinator and sent to OLGR, in
accordance with LEAPS
processes.[4] The
spreadsheets set out:
date, time and
location of incidents recorded by QPS officers as having occurred at, or in the
vicinity of, the Applicant’s
venue
a summary of the
facts relating to the incidents, including nature of any offence(s), any
resulting arrests and/or description of
any injuries sustained; and
an indication as
to any substance(s) the involved individuals were observed as having been
affected by, and level of intoxication
(where applicable).
The
Information in Issue does not include the names of any individuals involved in
the incidents.
Issues for determination
In
this review the Applicant has the onus of establishing that access to the
Information in Issue should be
refused.[5] The
Applicant has raised the following grounds for refusal of access in its
submissions:
(i) the
Information in Issue is exempt
information;[6] or
(ii) disclosure
of the Information in Issue would, on balance, be contrary to the public
interest.[7]
The
Applicant made extensive submissions to OIC in support of its view that the
Information in Issue should not be
disclosed[8] and in
making my decision in this review, I have carefully considered all of the
submissions. Some submissions did not relate directly
to the issues for
determination in this review, for example, they did not go to the requirements
for establishing the exemptions
claimed or were unrelated to the test for
applying particular public interest factors. Accordingly, such submissions are
not referred
to in these reasons for decision as they do not relate to the
issues for determination, as set out above.
To
support a number of its exemption claims and public interest arguments, the
Applicant contends that individuals involved in the
incidents can be identified
from the Information in Issue. As this issue arises for consideration
throughout these reasons, I have
made a preliminary finding on whether
individuals are identifiable from the Information in Issue and have then
referred to this finding,
throughout the reasons, where applicable.
Findings
The
Applicant generally submitted that the RTI Act does not intend for all
information which government possesses to be made publicly
available and
therefore, disclosure of the Information in Issue would be in conflict with the
purpose and objects of the
legislation.[9] The RTI
Act provides a general right of access to information in the possession or under
the control of Queensland government
agencies.[10] While
the legislation excludes certain documents and entities from the application of
the RTI Act[11], I am
satisfied that the Information in Issue is not subject to any of these
exclusions. Accordingly, I find that the Information
in Issue is in the
possession of the Department and is therefore, subject to the RTI Act access
scheme.
Are individuals identifiable from the Information in
Issue?
No,
for the reasons that follow.
As
set out in paragraph 10 above, the
Information in Issue does not name any individuals involved in the incidents.
The Information in Issue only refers to
individuals in generic terms, eg.
‘victim’ or ‘suspect’. Having carefully reviewed the
Information in Issue,
I am also satisfied that any personal details of
individuals which appear in the Information in Issue, eg. descriptions of
injuries
sustained, are not of such a unique nature that they could reasonably
be expected to be used to ascertain the identity of any individuals
involved in
the incidents.
The
Applicant contends that media articles could be used in conjunction with the
Information in Issue to identify individuals. The
Applicant points to a
particular incident referred to in the Information in Issue which it considers
would identify the victim and
suspect.[12]
I acknowledge that incidents occurring at the Applicant’s venue may have
been the subject of media reports and that some reported
incidents may have
similarities to those referred to in the Information in Issue. However, given
the absence of individual names
and/or other uniquely personal details from the
Information in Issue, I do not consider the identity of individuals could
reasonably
be ascertained using media reports.
For
the above reasons, I am satisfied that any individuals involved in the incidents
cannot be identified from the Information in
Issue and also, that it is not
reasonable to expect that individuals’ identities could be ascertained
using the Information
in Issue and/or other publicly available material.
Is the Information in Issue exempt information?
No,
for the reasons that follow.
Relevant law
Access
should be given to a document unless disclosure would, on balance, be contrary
to the public
interest.[13] The
right of access is subject to some limitations, including grounds on which
access may be
refused.[14] One
ground for refusing access is where a document comprises exempt
information.[15]
Schedule 3 of the RTI Act sets out the type of information which Parliament has
considered to be exempt as its disclosure would,
on balance, be contrary to the
public interest.
Analysis
The
exemptions raised by the Applicant in this review are set out in the Appendix to
these reasons.
Schedule 3, section 6(a) - contempt of court
The
Information Commissioner has previously
explained[16] that
the:
concept of
contempt of court is based on the protection and maintenance of public
confidence in the effective administration of justice;
and
public
disclosure of matter that has the tendency to interfere, or is intended to
interfere, with the pending fair trial of a criminal
or civil proceeding will
amount to a contempt of court.
The
Applicant submits that the Information in Issue:
easily
identifies suspected offenders and victims and would therefore, jeopardise a
fair trial for potential suspects
contains
unsubstantiated allegations which have not been determined by a court and the
series of events described is only one source’s
account of events; and
identifies
incidents of a criminal nature which may be subject to criminal proceedings, and
if disclosed, there is a reasonable expectation
that it would adversely affect
the impartiality of jurors and/or judicial officers.
I
acknowledge that the Information in Issue contains allegations which may have
not yet been determined by a court. However, as I
have found that individuals
could not reasonably be identified from the Information in Issue, I consider
that any pending criminal
or civil proceedings associated with the incidents
could not be connected to the Information in Issue with any level of certainty.
For this reason, I am not satisfied that disclosure could interfere with any
such proceeding to constitute contempt of court.
I
therefore find that the Information in Issue is not exempt under schedule 3,
section 6(a) of the RTI Act.
Schedule 3, section 6(b) - contrary to an order or
direction
The
Applicant submits that:
there is a real
possibility that an order has been made or direction given by a royal commission
or commission of inquiry or a person
or body having power taking evidence on
oath to which public disclosure would be contrary; and
the
decision-maker is compelled to check and ensure that no such orders have been
made or directions given prior to any disclosure
being contemplated.
The
Applicant has not provided any supporting evidence to show that there has been
an order made or direction given by a royal commission
or commission of inquiry,
or by a person or body having power to take evidence on oath, not to disclose
the Information in Issue.
As the onus is on the Applicant to establish that a
decision not to disclose the Information in Issue on the basis of this exemption
is justified[17] and
in the absence of any available evidence to support its submission, I find that
the Information in Issue is not exempt under
schedule 3, section 6(b) of the RTI
Act.
Schedule 3, section 10(1)(a) - prejudice to an investigation
The
Applicant submits that:
all of the
Information in Issue relates to contraventions or possible contraventions of the
law, largely of an allegedly criminal
nature, some or all of which are likely to
be subject to investigation and/or court proceedings
the Information
in Issue arguably allows for the identification of suspects and victims and
contains a significant number of unsubstantiated
allegations; and
if the
Information in Issue is disclosed, it could reasonably be expected to impact
adversely on the ability of QPS to discharge its
duties.
For
this exemption to apply, there must be evidence of an investigation. The
Applicant has not, however, provided any evidence to
show that investigations
are currently being conducted by QPS (or any other law enforcement agency) in
relation to the incidents.
I acknowledge that some of the incidents may
be the subject of QPS investigations into alleged criminal offences. However,
in the absence of any evidence as to specific investigations
and in view of my
findings at paragraphs 15-18 above, I am satisfied that the
Applicant has not established the requisite level of prejudice to satisfy this
exemption.
I
therefore find that the Information in Issue is not exempt under schedule 3
section 10(1)(a) of the RTI Act.
Schedule 3, section 10(1)(b) - reveal a confidential source
The
Applicant submits that the Information in Issue identifies a number of officers
and could enable the identity of victims, suspects,
security personnel,
employees of the Applicant and witnesses to be ascertained, many of which are
likely to be confidential sources
of information.
For
this exemption to apply, a confidential source of information must exist in
relation to the enforcement or administration of the
law.[18] There is no
evidence available to OIC to demonstrate that any individuals involved in the
incidents provided information to QPS
officers confidentially. Even if I had
been satisfied on this point, for the reasons set out at paragraphs 15-18 above, I do not consider that
disclosure of the Information in Issue could reasonably be expected to enable
the identity of any individuals
to be ascertained.
I
therefore find that the Information in Issue is not exempt under schedule 3
section 10(1)(b) of the RTI Act.
Schedule 3, section 10(1)(c) - endanger a person’s life or physical
safetySchedule 3, section 10(1)(d) - serious act of harassment or
intimidation
The
Applicant submits that it could reasonably be expected that a person who has
divulged information or taken action against a person
of interest, whose
identity is reasonably determinable from this information, may reasonably fear
their physical safety is in danger.
For the same reasons, the Applicant submits
that disclosure of the Information in Issue could reasonably be expected to
result in
a person being subjected to a serious act of harassment or
intimidation.
I
acknowledge that there may be cases in which witnesses to, and/or victims of,
criminal offences, may have well-founded concerns
of the nature submitted by the
Applicant. However, in view of my findings at paragraphs 15-18 above that individuals are not
identifiable from the Information in Issue, I do not consider that the
Information in Issue could
be used for the purpose of committing acts which may
endanger a person’s life or physical safety and/or constitute serious
harassment or intimidation. Accordingly, I do not consider that the outcomes
contemplated by these exemptions could
rea[19]nably be expected
to19 occur through disclosure of the Information in
Issue.
I
therefore find that the Information in Issue is not exempt under schedule 3
section 10(1)(c) or (d) of the RTI Act.
Schedule 3, section 10(1)(e) - prejudice a fair trial
The
Applicant submits that disclosure would impact adversely on the impartiality of
jurors and/or judicial officers as the Information
in Issue identifies suspects
and victims and discloses incidents of an allegedly criminal nature in the
context of unsubstantiated
accounts which have not been determined by a court.
A
‘person’s fair trial’ only refers to a criminal trial
and does not extend to civil
proceedings.[20] The
phrase ‘impartial adjudication of a case’ is wide enough to
extend to civil proceedings or any case that is formally adjudicated by a
decision
maker.[21]
For
the reasons set out at paragraph 24
above, I am satisfied that the Information in Issue could not reasonably be
expected to prejudice any criminal or civil proceedings
relating to the
incidents and is therefore, not exempt under schedule 3 section 10(1)(e) of the
RTI Act.
Schedule 3, section 10(1)(f) and (i) - prejudice methods,
systems or procedures
The
Applicant submits that releasing the Information in Issue will:
negatively
impact the important relationship between licensees, their staff and QPS, as
licensees would be less likely to contact
QPS in relation to liquor-related
incidents; and
prejudice the
effectiveness of the LEAPS project because voluntary participants would no
longer cooperate to as full an extent, thereby
decreasing the accuracy of the
information obtained by LEAPS and the effectiveness of its efforts to address
liquor-related issues
or predict trends.
The
Information in Issue records suspected offences which have occurred at, or in
the vicinity of the Applicant’s venue. I
am satisfied that the attendance
of QPS officers at licensed venues, either at the request of the venue, or
through other intelligence
sources, constitutes (i) a lawful method for
preventing, detecting and dealing with contraventions or possible contraventions
of
the law and/or (ii) a system for the protection of persons and
property.[22]
The
Liquor Act 1992 (Qld) (Liquor Act) places a number of obligations
on licensed venues in relation to safety and security, for example:
licensees are
required to maintain a safe environment for their patrons and
staff[23]
licensees must
ensure liquor is served, supplied and promoted in a way that is compatible with
minimising harm from the use of liquor
and preserving the peace and good order
of the neighbourhood of the
premises;[24] and
venues must keep
a register about each incident at the licensed venue (i) in which a person is
injured or (ii) requiring a person
to be removed from the
venue.[25]
In
view of the above legislative requirements and the regulatory environment in
which licensed premises operate, I consider it is
reasonable to expect that
licensees would notify QPS of any incidents at their venue requiring QPS
attention to ensure the safety
of their venue, staff and patrons. In my view,
maintaining open and regular communication with a law enforcement agency would
be
advantageous to a licensee as it would support the venue in managing and
responding to liquor-related incidents, provide an added
level of protection for
staff and patrons and generally, enhance venue safety. For these reasons, I am
not persuaded that the disclosure
of information under the RTI Act would lead to
licensees being reluctant to contact QPS about liquor-related
incidents.[26]
For
the above reasons, I am not satisfied that it is reasonable to expect that the
relevant methods, systems and/or procedures could
be prejudiced through
disclosure of the Information in Issue. Accordingly, I find that the
Information in Issue is not exempt under
schedule 3, section 10(f) or (i) of the
RTI Act.
Would disclosure, on balance, be contrary to the public interest?
No,
for the reasons that follow.
Relevant law
An
agency may refuse access to information under the RTI Act where its disclosure
would, on balance, be contrary to the public
interest.[27] The RTI
Act identifies many factors that may be relevant to deciding the balance of the
public interest[28]
and explains the steps that a decision-maker must
take[29] in deciding
the public interest as follows:
(i) identify
any irrelevant factors and disregard them
(ii) identify
relevant public interest factors favouring disclosure and nondisclosure
(iii) balance
the relevant factors favouring disclosure and nondisclosure; and
(iv) decide
whether disclosure of the information in issue would, on balance, be contrary to
the public interest.
Analysis
(i) Irrelevant factors
The
Applicant has questioned the intentions of the access applicant for seeking
access to the Information in Issue and the use to
which the Information in Issue
may be put once released.
[30]
The
RTI Act provides that the conduct of the access applicant which may result from
disclosure is an irrelevant factor in deciding
the public
interest.[31] I also
consider that the access applicant’s reasons for requesting information
under the RTI Act are irrelevant when assessing
the public
interest.[32]
For
the above reasons, I have not taken the Applicant’s submissions on this
issue into account. I do not consider any other
irrelevant factors arise in
this case.
(ii) Factors favouring disclosure
The
RTI Act recognises that the public interest will favour disclosure of
information where disclosure could reasonably be expected
to:
promote open
discussion of public affairs and enhance the government’s
accountability[33]
contribute to
positive and informed debate on important issues or matters of serious
interest;[34] and
reveal
environmental or health risks or measures relating to public health and
safety.[35]
OLGR
is responsible for regulating Queensland’s liquor industry and its
development, within a socially responsible framework,
and in a way that is
compatible with minimising harm caused by alcohol
abuse.[36] As part of
its regulatory role, OLGR records liquor-related incidents as reported by QPS
officers, whether or not breach action
against the licensee/venue has been
taken, to enable OLGR to identify any trends at licensed premises that may
require proactive
negotiations with the licensee and to reduce the likelihood of
significant incidents in the
future.[37] OLGR
performs this part of its functions with the cooperation of QPS officers,
through the LEAPS program.
The
Information Commissioner has previously recognised that it is essential for the
public to have confidence in the way a regulatory
agency performs its
functions.[38] Given
the nature of the Information in Issue, as described at paragraph 9 above, I consider that disclosure would
allow the community to scrutinise QPS’ response to liquor-related
incidents and the
way such incidents are communicated to OLGR, for the purpose
of it performing its regulatory activities relating to liquor and licensed
venues. For these reasons, I am satisfied that disclosure would enhance
government accountability and promote open discussion of
public affairs.
The
occurrence of liquor-related incidents at licensed premises is an issue of
serious interest and the impact this issue has on the
community is
well-recognised.[39]
I consider that disclosure of the Information in Issue would allow members of
the public to scrutinise the nature and frequency
of liquor-related incidents
reported by QPS in relation to the Applicant’s venue and the actions taken
by QPS at the time of
the incident. I am satisfied that this would reveal
measures relating to public safety and would contribute to positive and informed
debate on matters of serious interest to the community.
The
Applicant argues strongly against the weight to be given to the above public
interest factors on the basis that the Information
in Issue describes alleged
incidents which occurred some time ago and does not discuss the role of OLGR or
QPS, or measures taken,
to ensure safety or contribute to
accountability.[40]
The Applicant also
submits that because the venue has a low incident rate in comparison to the
number of patrons who attend the venue,
the weight of these factors should be
further reduced.[41]
I
acknowledge that the age of the information potentially reduces its utility for
the purpose of public discussion. However, OLGR
remains the regulating body for
licensed premises and OLGR has confirmed that information about liquor-related
incidents continues
to be communicated between QPS and OLGR in the context of
the LEAPS program, to assist OLGR in performing its regulatory functions.
Accordingly, I am satisfied that disclosure of the Information in Issue, despite
its date range, could still reasonably be expected
to enhance government
accountability, contribute to discussion and debate within the community on
matters of serious interest and
reveal measures relating to public safety.
In
my view, whether the number of liquor-related incidents reported in relation to
a licensed venue is high or low, disclosure will
still allow the public to see
the way in which incidents are reported by QPS and communicated to OLGR.
Accordingly, I am satisfied
that a venue’s incident rate does not decrease
the public interest in enhancing the accountability of the law enforcement
agency
and regulatory body in relation to their responsibilities concerning
liquor-related incidents and licensed premises.
For
the reasons set out above, I afford the public interest factors identified at
paragraph 50 significant weight in favour of disclosure.
(iii) Factors favouring nondisclosure
The
Applicant has raised numerous public interest factors in schedule 4 of the RTI
Act which it considers favour nondisclosure of
the Information in
Issue.[42] The
Applicant’s primary concern is that disclosure of the Information in Issue
will prejudice its business affairs and damage
its reputation.
[43] The Applicant submits that
disclosure would lead to decreased patronage and financial implications for the
venue.
The
Information in Issue describes liquor-related incidents recorded by QPS as
having occurred at, or in the vicinity of the Applicant’s
venue. While I
am prevented from describing the particular nature of the Information in Issue
in these reasons[44],
the information refers generally to the behaviour of venue patrons and their
level of intoxication, any suspected criminal offences
and any violence involved
in the incident.
I
consider that it is reasonable to expect that the Applicant’s business
and/or financial affairs could suffer some level of
prejudice through disclosure
of this type of information as some members of the public may be less inclined
to patronise the Applicant’s
venue to avoid exposure to such incidents.
Accordingly, I find that this public interest factor applies in this case.
However,
I afford this factor only moderate weight on that basis that members of
the public are generally aware that liquor-related incidents
occur in many
licensed venues and still choose to attend the venues. I also consider that a
venue’s history of liquor-related
incidents is only one factor considered
by potential patrons in selecting a venue to attend.
I
acknowledge that the Information in Issue is about allegations of criminal
conduct which at the time of recording had not been tested
in court. However,
as no individuals are identified in the Information in Issue, I find that the
public interest factor in schedule
4, part 3, item 6 of the RTI Act does not
apply in this case.
For
the reasons set out at paragraph 24
above, I find that disclosure of the Information in Issue could not reasonably
be expected to impede the administration of justice
for a person, or generally
and therefore find that the public interest factors in schedule 4, part 3, items
8 and 9 of the RTI Act
do not apply in this case.
For
the reasons set out at paragraph 43
above, I find that disclosure could not reasonably be expected to prejudice the
flow of information to a law enforcement or regulatory
agency and that
therefore, the public interest factor in schedule 4, part 3, item 13 of the RTI
Act does not apply in this case.
There
is no evidence available to indicate that the Information in Issue was
communicated confidentially, either to QPS by persons
involved in the incidents
or between QPS and OLGR. I am therefore not satisfied the Information in Issue
is confidential and accordingly,
find that the public interest in schedule 4,
part 3, item 16 does not apply in this case.
For
the reasons set out in paragraphs 15-18 above, I am not satisfied that the
Information in Issue identifies individuals or that any identities could
reasonably be ascertained
from the Information in Issue. Accordingly, I find
that disclosure of the Information in Issue would not reveal
th[45]personal
information45 of any individual and that therefore, the
public interest factor in schedule 4, part 4, item 6 of the RTI Act does not
apply in this
case.
The
Applicant did not make any specific submissions to support the application of
the public interest factors concerning prejudice
to intergovernmental relations
and prejudice to security, law enforcement and public safety. As the onus is on
the Applicant to
establish that a decision not to disclose the Information in
Issue is justified[46]
and in the absence of any evidence to support the application of these factors,
I find that they do not apply in this case.
(iv) Balancing the public interest
Enhancing
the accountability of regulatory and law enforcement agencies which deal with
liquor-related incidents in relation to licensed
premises is a factor carrying
significant weight in favour of disclosure of the Information in Issue. Given
that the occurrence of
such incidents raises issues of public safety, I am also
satisfied that disclosure of the Information in Issue would lead to open
discussion of public affairs and positive and informed debate on matters of
serious interest. Weighing against these factors is
the prejudice to the
Applicant’s business and/or financial affairs which may result from
disclosure of the Information in Issue,
however, I am satisfied that this
carries only moderate weight in this case in view of the general level of public
awareness of the
occurrence of liquor-related incidents in licenced
premises.
On
balance, I am satisfied that the public interest favours disclosure in this case
and therefore, find that disclosure of the Information
in Issue would not be
contrary to the public interest.
DECISION
For
the reasons set out above, I affirm the Department’s decision to grant
access to the Information in Issue on the basis that
it is not exempt
information and that disclosure would not, on balance, be contrary to the public
interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.
________________________
K Shepherd
Assistant Information Commissioner
Date: 29 October 2012APPENDIX
Significant procedural steps
Date
Event
8 August 2011
The Department received the access application.
27 September 2011
The Department consulted with the Applicant under section 37 of the RTI Act
about disclosure of the relevant information to the access
applicant and invited
to Applicant to identify any objections to disclosure.
12 October 2011
The Applicant notified the Department that it objected to disclosure of the
relevant information and provided submissions supporting
its case.
31 October 2011
The Department issued its initial decision to the Applicant, deciding to
disclose information in relation to the Applicant’s
venue.
28 November 2011
The Applicant applied to the Department for internal review.
21 December 2011
The Department affirmed its initial decision.
13 January 2012
OIC received the external review application.
19 January 2012
The Department provided OIC with relevant documents including the
Information in Issue.
24 February 2012
OIC received the Applicant’s further submissions.
30 April 2012 – 22 May 2012
OIC sought clarification from the Department in relation to the Information
in Issue.
28 June 2012
OIC issued a written preliminary view to the Applicant that there is no
basis on which the Information Commissioner can set aside
the Department’s
decision on the Information in Issue. OIC invited the Applicant to provide
submissions supporting its case
if it did not accept the preliminary view.
20 July 2012
The Applicant advised OIC it did not accept the preliminary view and lodged
submissions in response.
31 July 2012
OIC telephoned OLGR to obtain information about the LEAPS program as it
relates to OLGR’s role in regulating licensed venues.
27 August 2012
OIC provided the Applicant with an update on the status of the external
review.
21 September 2012
OIC provided the Department with an update on the status of the external
review and asked the Department to convey the status of the
review to the access
applicant.
28 September 2012
OIC provided the Applicant with a further update on the status of the
external review.
Schedule 3 of the RTI Act - Exempt information
6 Information disclosure of which would be contempt of court or
Parliament
Information is exempt information if its public disclosure would, apart
from this Act and any immunity of the Crown—
(a) be in contempt of court; or
(b) be contrary to an order made or direction given by—
(i) a royal commission or commission of inquiry; or
(ii) a person or body having power to take evidence on oath; or
...
10 Law enforcement or public safety information
(1) Information is exempt information if its disclosure could reasonably
be expected to—
(a) prejudice the investigation of a contravention or possible
contravention of the law (including revenue law) in a particular case;
or
(b) enable the existence or identity of a confidential source of
information, in relation to the enforcement or administration of
the law, to be
ascertained; or
(c) endanger a person’s life or physical safety; or
(d) result in a person being subjected to a serious act of harassment or
intimidation; or
(e) prejudice a person’s fair trial or the impartial adjudication
of a case; or
(f) prejudice the effectiveness of a lawful method or procedure for
preventing, detecting, investigating or dealing with a contravention
or possible
contravention of the law (including revenue law); or
...
(i) prejudice a system or procedure for the protection of persons,
property or the environment; or
... Schedule 4 of the RTI Act - Factors for deciding the public
interest
Part 3 Factors favouring nondisclosure in the public interest
Disclosure
of the information could reasonably be expected to prejudice the fair treatment
of individuals and the information is
about unsubstantiated allegations of
misconduct or unlawful, negligent or improper conduct.
Disclosure
of the information could reasonably be expected to prejudice security, law
enforcement or public safety.
Disclosure
of the information could reasonably be expected to impede the administration of
justice generally, including procedural
fairness.
Disclosure
of the information could reasonably be expected to impede the administration of
justice for a person. ...
Disclosure
of the information could reasonably be expected to prejudice the flow of
information to the police or another law enforcement
or regulatory agency.
Disclosure
of the information could reasonably be expected to prejudice intergovernmental
relations....
Disclosure
of the information could reasonably be expected to prejudice an agency’s
ability to obtain confidential information....
Part 4 Factors favouring nondisclosure in the public interest because of
public interest harm in disclosure
6 Disclosing personal information
(1) Disclosure of the information could reasonably be expected to cause a
public interest harm if disclosure would disclose personal
information of a
person, whether living or dead.
[1] OLGR is part of
the portfolio of the Attorney-General and Minister for Justice. For the purpose
of section 14 of the RTI Act, the
agency which deals with requests for
information held by OLGR is the Department of Justice and Attorney
General.[2] The
Department also sought QPS’ views on disclosure. The Department has
confirmed to OIC that QPS initially objected to disclosure
of information and
sought internal review of the Department’s decision to disclose
information. QPS did not however, apply
to OIC for external review and
therefore, they were not involved in the review process.
[3] See
Commissioner’s Circular 27/2010 – Drink Safe Precincts and
Banning Orders, 2 December 2010 at page 2 (available at http://www.police.qld.gov.au/Resources/Internet/rti/policies/documents/Circular%2027-2010.pdf).[4]
As described at paragraph 5 above.
[5] Under section
87(2) of the RTI Act, the participant in an external review who opposes a
disclosure decision (defined in section 87(3)(a) of the RTI Act)
has the onus of establishing that a decision not to disclose the information is
justified
or that the Information Commissioner should give a decision adverse to
the access
applicant.[6] Under
sections 47(3)(a) and 48 and schedule 3 of the RTI Act.
[7] Under sections
47(3)(b) and 49 of the RTI Act.
[8] Submissions to
OIC dated 24 February 2012 and 20 July 2012. I have also considered the
Applicant’s RTI Objection Form, and
accompanying letter dated 12 October
2011, submitted to the Department in response to the consultation process.
[9] Submissions to
OIC dated 24 February 2012 and 20 July 2012.
[10] Section 23 of
the RTI Act. See also sections 12 and 14 of the RTI Act.
[11] See sections
11 and 17 and schedules 1 and 2 of the RTI Act.
[12] Submissions
to the Department dated 12 October 2011. I am unable to set out the details of
the Applicant’s submission on this
issue as it refers to information
claimed to be exempt and/or contrary to public interest – see section 108
of the RTI Act.
[13] Section 44(1)
of the RTI Act. This is referred to as the pro-disclosure bias in
deciding access to documents.
[14] Section 47(2)
of the RTI Act provides that these grounds are to be interpreted narrowly and an
agency may give access to a document
even if a ground on which access may be
refused applies.
[15] The grounds for refusal of access are
listed in section 47(3) of the RTI Act. Section 47(2) of the RTI Act provides
that these grounds
are to be interpreted narrowly.
[16] In
Henderson and Department of Education (Unreported, Queensland Information
Commissioner, 22 July 1997) at [23] in the context of the equivalent provision
in section 50
of the repealed Freedom of Information Act 1992 (Qld)
(FOI
Act).[17] See
paragraph 11
above.[18]
McEniery and the Medical Board of Queensland [1994] QICmr 2; (1994) 1 QAR 349 in the
context of the equivalent provision in section 42(1)(b) of the repealed FOI Act.
[19] The phrase
‘could reasonably be expected to’ requires that the
expectation is reasonably based and not irrational, absurd or ridiculous
(Attorney-General v Cockcroft [1986] FCA 35; (1986) 64 ALR 97 at [106]) nor merely a
possibility (Murphy and Treasury Department [1995] QICmr 23; (1995) 2 QAR 744). Whether
the expected consequence is reasonable requires an objective examination of the
relevant evidence (Murphy at [45-47]). It is not necessary for a
decision-maker ‘to be satisfied upon a balance of
probabilities’ that disclosing the document will produce the
anticipated prejudice, or, as in this case, a public good (Sheridan and
South Burnett Regional Council & Others (Unreported, Queensland
Information Commissioner, 9 April 2009)). Importantly, the expectation must
arise as a result of disclosure,
rather than from other circumstances (Murphy
at [54]).[20]
Uksi and Redcliffe City Council; Cook (Third Party) [1995] QICmr 18; (1995) 2 QAR 629
(Uksi) at [34].
[21] Uksi
at [35].[22] I
have also considered whether the communication of the liquor-related incidents
by QPS officers to OLGR is a system, method or procedure
for the purpose of
these exemptions. I am satisfied that this aspect of the LEAPS program does not
meet the necessary requirements
as the purpose of the communications is to
assist OLGR in its regulatory activities, eg. identifying trends at licensed
premises.
I consider this aspect of the LEAPS program is relevant to the public
interest factors relating to accountability, discussed at
paragraphs 50-57
below. [23]
Section 148A(1)(a) of the Liquor
Act.[24] Section
148A(1)(b) of the Liquor
Act.[25] Section
142AI(1)(a) of the Liquor Act.
[26] Even if I was
persuaded on this point, I am satisfied that licensees are not the only source
of intelligence for QPS in relation
to liquor-related incidents. I consider
that victims, patrons and even venue staff, would still be likely to contact QPS
to attend
such incidents, notwithstanding the disclosure of related information
under the RTI Act.
[27] Section
47(3)(b) and 49 of the RTI Act. The term public interest refers to
considerations affecting the good order and functioning of the community and
government affairs for the well-being of citizens.
This means that in general, a
public interest consideration is one which is common to all members of, or a
substantial segment of,
the community, as distinct from matters that concern
purely private or personal interests. However, there are some recognised public
interest considerations that may apply for the benefit of an individual.
[28] Schedule 4 of
the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest. However, this list of
factors is not exhaustive. In other words, factors that are not listed may also
be relevant
in a particular case.
[29] Section 49(3)
of the RTI
Act.[30]
Submissions to OIC dated 24 February 2012 and 20 July 2012.
[31] Schedule 4,
part 1, item 3 of the RTI Act.
[32] In State
of Qld v Albietz, Information Commissioner (Qld) & Anor [1996] 1 Qd R
215, de Jersey J noted at [219] “... the Freedom of Information Act
does not confer any discretion on the Information Commissioner, or the Supreme
Court, to stop disclosure of information because of
any particular motivation in
the applicant”. Although this decision was made in the context of the
repealed FOI Act, I consider the reasoning equally applies when considering
applications under the RTI Act.
[33] Schedule 4,
part 2, item 1 of the RTI Act.
[34] Schedule 4,
part 2, item 2 of the RTI Act.
[35] Schedule 4,
part 2, item 14 of the RTI
Act.[36] http://www.olgr.qld.gov.au/aboutUs/index.shtml.
[37] http://www.police.qld.gov.au/Resources/Internet/rti/policies/documents/Circular%2027-2010.pdf
[38] See
Kenmatt Projects Pty Ltd and Building Services Authority (Unreported,
Queensland Information Commissioner, 27 September 1999) at [47] and Seven
Network (Operations) Limited and Redland City Council; A third party
(Unreported, Queensland Information Commissioner, 30 June 2011) at
[25].[39] See, for
example, Law, Justice and Safety Committee, ‘Inquiry into Alcohol-Related
Violence – Final Report (Report No.
74)’, March 2010 at http://www.parliament.qld.gov.au/
documents/TableOffice/TabledPapers/2010/5310T1903.pdf; Queensland
Government, ‘Queensland Government Response to Law, Justice and Safety
Committee’s final report into alcohol-related
violence’, 27 August
2010 at http://www.parliament.qld.gov.au/
documents/Committees/LJSC/2009/alcohol-related-violence/responseReport74.pdf);
Ministerial Council on Drug Strategy, ‘National Alcohol Strategy 2006-2009
– Towards Safer Drinking Cultures’,
May 2006 at http://www.alcohol.gov.au/internet/alcohol/
publishing.nsf/Content/B83AD1F91AA632ADCA
25718E0081F1C3/$File/nas-06-09.pdf).[40]
Page 2 and 5 of Applicant’s submission to OIC dated 20 July 2012.
[41] Page 4 of
Applicant’s submission to the Department dated 12 October 2011.
[42] These are
listed in the
Appendix.[43]
Submission to OIC dated 20 July 2012.
[44] Due to the
operation of section 108 of the RTI Act – see footnote 12
above.[45] As
defined in section 12 of the Information Privacy Act 2009 (Qld).
[46] See paragraph
11 above.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Swiatek and The University of Southern Queensland [2017] QICmr 57 (8 December 2017) |
Swiatek and The University of Southern Queensland [2017] QICmr 57 (8 December 2017)
Last Updated: 15 December 2017
Decision and Reasons for Decision
Citation:
Swiatek and The University of Southern Queensland [2017] QICmr 57
(8 December 2017)
Application Number:
313127
Applicant:
Swiatek
Respondent:
The University of Southern Queensland
Decision Date:
8 December 2017
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION -REFUSAL OF ACCESS - CONTRARY
TO THE PUBLIC INTEREST INFORMATION - application for access
to student
assignment marks - names and student numbers removed - whether the identities of
other students are reasonably ascertainable
- definition of ‘personal
information’ in section 12 of the Information Privacy Act 2009
(Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION -REFUSAL OF ACCESS
- CONTRARY TO THE PUBLIC INTEREST INFORMATION - marks awarded to a student
cohort in two assignments - enhance accountability of the University - advance
administration of justice for the applicant - effect
of disclosure on the
University’s reputation and financial affairs - potential prejudice to the
University’s deliberative
processes and/or testing procedures - whether
disclosure would, on balance, be contrary to the public interest - whether
access to
the information may be refused under section 47(3)(b) of the Right
to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
The
University of Southern Queensland (USQ) received an application, under
the Right to Information Act 2009 (Qld) (RTI Act), from the
applicant, a current student, for access to the individual marks awarded to all
of the students in his class, in two assignments,
according to the specified
marking criteria. In his application, the applicant confirmed that he did not
seek access to the names
and student numbers of any students, ie. he was seeking
a ‘deidentified’ list of assignment marks.
USQ
located six pages and refused access to all of the information on the basis that
disclosure would, on balance, be contrary to
the public interest under section
47(3)(b) of the RTI Act. In its decision, USQ relied on the prejudice to its
commercial or financial
affairs, and the effectiveness of its testing and
examination procedures, that it considered would arise from disclosure of the
assignment
marks.
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of USQ’s decision submitting, inter alia, that
disclosure of the assignment marks would contribute to the administration of
justice, would advance his fair treatment and
reveal potential deficiencies in
USQ’s conduct.
Throughout
the external review, USQ has strenuously defended its decision. USQ firmly
believes that individual students could reasonably
be identified from the list
of assignment marks and that therefore, disclosure of the information would
reveal the students’
personal information and infringe their privacy. USQ
has also submitted that its commercial and financial affairs, testing and
examination
procedures, deliberative processes and the future supply of
confidential information, would be prejudiced through disclosure of the
assignment marks.
For
the reasons set out below, I set aside the decision under review. In
substitution, I find that, on balance, the public interest
favours disclosure of
the assignment marks and that therefore, access may not be refused to the
information under section 47(3)(b)
of the RTI Act.
Background
Significant
procedural steps relating to the external review are set out in the
Appendix.
Reviewable decision
The
decision under review is USQ’s decision dated 15 December
2016.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and
Appendix).[1]
Information in issue
The
information to which USQ refused access comprises the individual marks awarded
to 121 students in two assignments in a particular
subject (Assignment
Marks).[2] The marks are
displayed in a basic table format, are broken down across the five marking
criteria for each assignment, and include
the total assignment mark awarded to
each student.[3] The tables of
Assignment Marks do not contain any student names or student numbers. Rather,
the marks are attributed to rows numbered
1-121, in no apparent
order.
Issues for determination
The
primary issue to be determined in this review is whether disclosure of the
Assignment Marks would, on balance, be contrary to
the public interest under the
RTI Act. Within this refusal of access issue, is the threshold issue of whether
the Assignment Marks
comprise the ‘personal information’ of
the USQ students. I have chosen to deal with the personal information question
first, as my finding on that issue impacts
the public interest factors which I
consider are relevant in this case.
USQ
also sought to raise a scope issue to the effect that the access application
sought access to more than just the six pages of
Assignment
Marks.[4] Having carefully considered
the terms of the access application, I am satisfied that the applicant’s
request for ‘marked assessment criteria sheet...for each
student’ was included as an alternative request, had USQ not
been able to generate the Assignment Marks in table format. As USQ located the
Assignment Marks and correctly
identified these as responding to the access
application, I consider there was no need to address the alternative limb of the
access
application, by looking for any further documents. I also note that the
applicant has not sought, at any stage, to raise this as
a ‘sufficiency
of search’ issue, which tends to indicate that he was satisfied with
the extent of documentation located by
USQ.[5] Accordingly, I have not
considered this scope issue, or USQ’s related submissions, any further, in
these reasons for decision.
Relevant law
The
primary object of the RTI Act is to give a right of access to information, in
the possession or under the control of a government
agency[6] unless, on balance, it is
contrary to the public interest to give
access.[7] The RTI Act is to be
administered with a pro-disclosure
bias.[8]
The
right of access is subject to some limitations, including the grounds on which
access may be refused.[9] Relevantly,
access to information may be refused where disclosure would, on balance, be
contrary to the public interest.[10]
The
RTI Act identifies various factors that may be relevant to deciding the balance
of the public interest[11] and
explains the steps that a decision-maker must take in deciding the public
interest as
follows:[12]
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information in issue would, on balance, be contrary to the
public interest.
On
external review, the agency has the onus of establishing that its decision was
justified or that the Information Commissioner should
give a decision adverse to
the applicant.[13]
Findings
Do the Assignment Marks contain
‘personal information’?
No,
for the reasons set out below.
The
term ‘personal information’ is defined as follows in the RTI
Act:[14]
information or an opinion, including information or
an opinion forming part of a database, whether true or not, and whether recorded
in a material form or not, about an individual whose identity is
apparent, or can reasonably be ascertained, from the information or
opinion.
[emphasis added]
In
determining whether information is personal information for the purposes of the
RTI Act, the first issue to consider is whether
an individual can be identified
from the information.[15]
Information about an individual which includes their name will ordinarily be
identifying.[16] Information other
than a name, such as a photograph, or a detailed identifying description may
also identify an individual.[17]
In
this review, the Assignment Marks do not identify the
students—names, student numbers, photographs or other identifying
information does not appear on the face of the documents.
However, even where a
person’s identity is not readily apparent, it may be possible with the
assistance of additional information
to identify a
person.[18] In
Mahoney,[19] the then Right
to Information Commissioner found that the question of whether an
individual’s identity can reasonably be ascertained
will depend on a
number of factors:
how available
the additional information is
how difficult it
is to obtain
how many steps
are required to identify the individual
how certain the
identification will be
whether it will
identify one specific individual or a group of people; and
whether the
individual receiving the information can use it to identify the
individual.
USQ
submits that students can be readily identified from the Assignment Marks on the
basis that the cohort of 121 students talk to
each
other.[20] I acknowledge that
students may discuss their results. I have also considered USQ’s
submission that ‘asking as few as 5 students as secondary sources will
produce a high probability that one can correlate marks with an individual,
irrespective of the de-identified
data’.[21] I also
acknowledge USQ’s submission that the access applicant is a member of the
student cohort and may have knowledge of other
students’ historical marks.
USQ
considers that the identities of students could reasonably be ascertainable from
the Assignment Marks on the basis that students
will often ‘share
information about their assessment with other students, including
... specific grades’ and that in this regard, ‘students
are just as likely as they are unlikely to confirm their assignment
result’.[22] USQ has
pointed to various online student support platforms which students and staff use
to share information about coursework and
study.
USQ
argues that ‘as few as one data point is required to potentially allow
identification to occur’ and that this is particularly so due to the
small class sizes in its regional campuses. USQ submits that it would be
‘easy to obtain data by students simply asking other students to reveal
their numerical mark or score’, that this would ‘only involve
one step’ and given the limited size of the cohort, an individual
could be identified from the ‘precise numerical mark or
score’.[23]
As
set out above, the Assignment Marks comprise the results awarded to 121 students
in a particular subject, in two assignments, broken
down across five marking
criteria for each assignment—each row in the table of results contains
five separate numerical marks,
across the five criteria. Given the way in which
the Assignment Marks are presented, I am unable to accept USQ’s submission
that it would only take ‘one step’ or ‘one data
point’ to ascertain the identify of a student. To the contrary, I
consider it would require the voluntary disclosure, by multiple students,
of the
full breakdown of their assignment marks, to a single source, before accurate
identification of any students could be achieved,
with any certainty.
There
is however, no certainty that students would even engage in any voluntary
disclosure of their marks. As USQ submits, students
often consider this
information to be relatively private. Furthermore, in any instances where
students have been awarded the same
marks across criteria, there is no way, on
the face of the Assignment Marks, to distinguish them from other students.
Also, the
marks are numerical
only,[24] and contain no qualitative
comments that could be used to distinguish one student from another, and
students are numbered from 1
through to 121 in no apparent order, rather than
listing the students by their student number. This means that the Assignment
Marks
contain less information specific to each student than is permitted by
USQ’s own policy concerning assessment, which provides
that results for
individual assessment items ‘shall be displayed or published using
Student number only.’[25]
Other than relying on voluntary disclosure by the individual students, there
appears to be no mechanism to begin a cross-referencing
process, eg. there is no
other publicly available listing or database of the Assignment Marks.
During
the review, USQ raised the case of 6XY7LE and child of 6XY7LE and
Department of Education, Training and
Employment[26] to support its
submission.[27] I am satisfied that
the information that was in issue in 6XY7LE was of an entirely different
character in that it comprised ‘opinions of third parties ... in
relation to students and parents at a primary
school’[28] in
circumstances where the applicant contended that the identity of third parties
was known to him.[29] In contrast,
the Assignment Marks are numerical, not descriptive, and could only be
cross-referenced if multiple students were to
volunteer the breakdown of their
individual marks, as discussed above. Therefore, in my view, 6XY7LE can
readily be distinguished from the facts of this review.
Having
considered the factors set out in
Mahoney,[30] I find
that the identities of individual students are not reasonably ascertainable from
the Assignment Marks and that therefore,
the Assignment Marks do not comprise
the personal information of USQ students. Accordingly, in assessing the public
interest factors
below, I have found that the nondisclosure factors relating to
personal information and privacy, do not apply in the circumstances
of this
case.
Irrelevant factors
USQ
submits that if the Assignment Marks are released, they could be manipulated and
disseminated and this will result in people drawing
incorrect conclusions from
the data.[31] Under the RTI Act,
whether disclosure will result in misunderstanding or misinterpretation is
specifically prescribed as an irrelevant
factor[32] and therefore, I have not
taken USQ’s submissions in this regard into consideration.
Further,
mischievous conduct by the applicant that could result from disclosure is also
prescribed by the RTI Act as an irrelevant
factor.[33] To the extent USQ has
submitted that manipulating the data in Excel ‘would be a very bad
misuse of statistical
concepts’,[34] I consider
that submission seeks to raise a factor that is prescribed as irrelevant, and
therefore, I have disregarded it in making
this decision.
Factors favouring disclosure
USQ
receives government funding and provides public education for approximately
27,000 students.[35] In my view,
there is a public interest in USQ being accountable in the performance of its
functions, including the way academic
staff attribute marks to students in
pieces of assessment, thereby raising two factors in favour of
disclosure.[36]
USQ
submits that disclosing the Assignment Marks will not further contribute to its
accountability because the applicant is already
aware of the University’s
grading standard, or rubric.[37]
USQ further submits that ‘significant material and effort has been
dedicated towards ensuring the assessment marking standards are objective and
transparent,
and that students are aware of the process and deliberations
involved.’[38]
While
the applicant may already be aware of certain information about the
University’s grading policies, in my view the Assignment
Marks would
provide evidence of how the marks were attributed across the specific marking
criteria in the two assignments. In affording
moderate weight to the relevant
factors,[39] I have also taken into
account the marking rubric information already available to the applicant and
the fact that the Assignment
Marks only relate to one subject, for one course,
in one semester, rather than demonstrating USQ’s accountability at a
broader
university-wide level.
I
also find that disclosure of the Assignment Marks could reasonably be expected
to contribute to the administration of justice for
the applicant as it would
provide him with access to additional information that may form relevant
evidence in any appeal/complaint
process that he wishes to
pursue.[40] However, I attribute
only limited weight to this factor as commencing an appeal/complaint process is
not entirely dependent on the
applicant having access to the Assignment Marks.
Further, it is likely that any appeal/complaint bodies would have broad powers
to otherwise access relevant evidence to assess the merits of the
applicant’s case.
During
the review, the applicant raised a number of other public interest factors which
he submitted favoured disclosure of the Assignment
Marks.[41] In the circumstances of
this case, I do not consider they apply. In any event, I am satisfied that the
public interest factors discussed
above, carry sufficient weight in this case to
favour disclosure of the Assignment Marks, without examining any further
disclosure
factors. That is, my decision not to consider any other factors
favouring disclosure, has not disadvantaged the applicant as the
final decision
is favourable to him.
Factors favouring nondisclosure
For
the reasons given at paragraphs 16 to
26 above, I have found that the
Assignment Marks do not comprise the personal information of other students, and
therefore, I am satisfied
that the nondisclosure factors concerning personal
i[42]ormation and privacy42 do not
apply in this case.
USQ
has submitted that disclosure of the Assignment Marks will have an adverse
effect on its financial affairs and prejudice its business,
commercial and/or
financial affairs.[43] USQ is
concerned about the potential for it to be negatively perceived if it is seen to
be releasing student results[44],
that this may have a detrimental impact on student attitudes surrounding USQ and
its law program[45] and that USQ may
suffer reduced enrolments as a
result.[46] In this regard, USQ
specifically submitted as follows:
The University submits that it is indeed reasonably foreseeable, on the
basis that the University draws much of its enrolment from
mature entry
students, many of whom are first-in-family tertiary students, or from low
socioeconomic status backgrounds. A common
characteristic of these students is a
lack of confidence in their ability to cope with University course assessment.
Knowing in advance
that their peers could have access to specific marks and
comments will create a deeper barrier to pursuing
study.[47]
Reputational
damage has previously been found to prejudice business and financial affairs if
it will ultimately result in pecuniary
damage, such as loss of income or profits
through loss of customers.[48] In
this review, I must consider whether this kind of reputational damage
‘could reasonably be expected to’ result from disclosure of
the Assignment Marks.[49] The
expectation must arise as a result of disclosure of the Assignment Marks, rather
than from other circumstances.[50]
While I accept that there may be particular students who may disagree, in
principle, with the publication of assessment marks more
generally, I do not
consider that the disclosure of the Assignment Marks could reasonably be
expected to lead to students entirely
abandoning their tertiary studies at
USQ.[51] I find that it is not
reasonably foreseeable that USQ would suffer reduced enrolments, or any other
form of financial disadvantage,
due to the release of de-identified marks for
one subject, in one course, in one semester. Accordingly, I am satisfied that
the
nondisclosure factors concerning adverse effect/prejudice to USQ’s
business, commercial and/or financial affairs do not apply
in this
case.
USQ
also submits that if the Assignment Marks are released, students will be
reluctant to provide their personal information to USQ
in future and it will be
forced to amend its collection notice. I do not accept this submission for two
reasons. Firstly, as stated
earlier in these reasons, I have found that the
Assignment Marks do not comprise personal information. Secondly, the argument
that
disclosure of the Assignment Marks could ‘prejudice the future
supply of information of this type to
government’[52] is
somewhat misconceived as the marks are generated internally by USQ academic
staff who are required to mark assignments as part
of their
employment.[53]
USQ
sought to clarify this submission by arguing that the word
‘supply’ should not be interpreted narrowly and that, while
the Assignment Marks are generated internally by USQ staff, their creation
is
dependent on the provision of assessment items by students for
marking.[54] I find that this
submission is also flawed as it is premised on the basis that students submit
assessment on a voluntary basis. The
fact of the matter is that students submit
assessment in order to achieve a pass mark, or better, in the course in which
they are
enrolled. While there may be instances in which students do not submit
assessment, USQ’s policy is that students are required
to complete
assessment items as part of their course, and in relation to assignments,
failure to submit by the deadline results in
a penalty, and may ultimately
result in a failing Final Grade.[55]
Accordingly, I am not satisfied that there could reasonably be expected to be
any relevant prejudice to the supply of information
to USQ, and I do not
consider the nondisclosure factor set out in schedule 4, part 4, section 7(1)(c)
of the RTI Act applies in this
case.
USQ
has submitted that disclosure of the Assignment Marks could also reasonably be
expected to prejudice, or cause harm to, its deliberative
processes.[56] USQ has correctly
submitted that ‘deliberative processes’ involved in the
functions of government have been defined as ‘...thinking processes
– the processes of reflection, for example, upon the wisdom and expediency
of a proposal, a particular
decision or a course of
action’.[57] It has also
been defined as ‘careful consideration with a view to
decision’.[58]
USQ
submits that in this case, the relevant ‘deliberative
process’
is:[59]
...undertaken by University staff, in which the
relevant marker undertakes a process of thinking and reflection upon the
information
contained with each students’ assessment item (with reference
to the relevant marking criteria and guidance), with a view to
making a decision
as to whether the assessment item conforms with specific requirements, as a part
of a broader undertaking by the
University to assess students’ compliance
with the requirements of their respective academic
programs.
To
the extent that this submission appears to suggest that the relevant
deliberative process is comprised of a student’s entire
academic program,
I do not accept it. Rather, in this context, the relevant ‘thinking
process’ is reflecting on and considering a student’s work to
determine the appropriate mark in each assessment task. Given that this
process is complete, I cannot identify any relevant prejudice. I do not accept
that disclosure
of the Assignment Marks in this case will reduce a
‘future inclination towards appropriate pedagogical candour, honesty
and forthrightness’ as suggested by
USQ.[60] Further, the Assignment
Marks represent a decision after a thinking process, not information
prepared[61] in the course of, or
for, this thinking process. Accordingly, I am satisfied that neither of the
nondisclosure factors concerning
deliberative process apply in this
case.
USQ
also submitted that disclosure of the Assignment Marks could reasonably be
expected to prejudice the effectiveness of a method
or procedure for the conduct
of its tests, examinations or
audits.[62] USQ’s submission
is that the Assignment Marks are comprised of a significant amount of
information and this information could
be used by a student to
‘formulate a method to exploit or undermine the University’s
assessment procedures, and thus “game the system”’. I am
satisfied that the Assignment Marks do not contain information that would allow
students to confine
their studies in a particular way, rote learn answers, or
otherwise allow for students to achieve marks that do not reflect their
educational attainment.[63]
Further, I am unable to accept the submission that disclosing marks for two
assignments[64] would allow a
student to ‘game the system’. Accordingly, I do not consider
that schedule 4, part 4, section 3(a) of the RTI Act applies in relation to the
Assignment
Marks.[65]
USQ
has also raised concerns that disclosure of the information would create an
unacceptable precedent, and that other aggrieved students
may repeatedly submit
similar access applications, diverting USQ’s resources from its core
business.[66] I note that even if
this were the case, the RTI Act provides an information access regime that is to
be applied with a ‘pro-disclosure
bias’,[67] and USQ is
required to consider an access application on its own
merits.[68] Accordingly, I am not
satisfied that USQ’s concerns in this regard give rise to a relevant
factor favouring nondisclosure.
Finally,
I have also considered USQ’s submissions regarding potential breaches of
the Competition and Consumer Act 2010 (Cth) and the Fair Trading Act
1989 (Qld) to the extent they relate to the non-disclosure factor concerning
the prohibition on disclosure by another
Act.[69] I am however, unable to
identify any provisions in those Acts, or any other legislation which could be
interpreted as prohibiting
publication of the Assignment Marks and therefore, I
find that factor does not apply.
Balancing the relevant public interest factors
In
summary, I find, in addition to the RTI Act’s pro-disclosure bias,
disclosure of the Assignment Marks is favoured by the
moderate weight in
enhancing USQ’s accountability in the way its academic staff attribute
marks to students in pieces of assessment,
and the limited weight in advancing
administration of justice for the applicant. While USQ has strongly argued for
the application
of various public interest factors favouring nondisclosure and I
have carefully considered USQ’s submissions, I find that no
nondisclosure
factors apply in the circumstances of this review.
Therefore,
on balance, I am satisfied that the public interest weighs entirely in favour of
disclosure of the Assignment Marks and
access to the Assignment Marks may not be
refused under section 47(3)(b) of the RTI Act.
DECISION
I
set aside the decision under review. In substitution, I find that access to the
Assignment Marks may not be refused under the RTI
Act.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI ActKatie
ShepherdAssistant Information Commissioner Date: 8
December 2017
APPENDIX
Significant procedural steps
Date
Event
18 December 2016
OIC received the external review application.
20 December 2016
OIC notified the applicant and USQ of receipt of the external review
application and asked USQ to provide relevant procedural documents.
10 January 2017
USQ provided OIC with the requested documents.
13 January 2017
OIC notified the applicant and USQ that the external review application had
been accepted and asked USQ to provide a copy of the located
documents.
19 January 2017
OIC received the requested documents from USQ.
2 February 2017
OIC conveyed an oral preliminary view to USQ.
15 February 2017
OIC conveyed a written preliminary view to USQ.
1 March 2017
OIC received a written submission from USQ.
9 June 2017
OIC conveyed a further written preliminary view to USQ.
10 July 2017
OIC received a further written submission from USQ.
13 July 2017
OIC spoke to USQ about certain aspects of its submission.
23 August 2017
OIC provided the applicant with an update on the status of the review, by
telephone.
5 October 2017
OIC provided the applicant with an update on the status of the review, by
email.
10 October 2017
OIC provided USQ with an update on the status of the review, by telephone.
28 November 2017
OIC provided the applicant with an update on the status of the review, by
email.
[1] The applicant and USQ made
extensive written submissions to OIC during the review. To the extent those
submissions are relevant to
the issues for determination in this review, I have
considered them in these
reasons.[2] Six
pages.[3] Pages 1-3 relate to
Assignment 1 and pages 4-6 relate to Assignment 2.
[4] Submission to OIC dated 10
July 2017 at [5]-[6].[5]
Generally, there is a practical onus on applicants to raise sufficiency of
search issues—it is not incumbent on agencies.
[6] USQ was established by
University of Southern Queensland Act 1998 (Qld) for a public purpose.
It is not contested that USQ is a ‘public authority’ and
therefore, an ‘agency’ for the purposes of the RTI Act:
section 14 and section 16 of the RTI Act, and see also section 10 of the
Right to Information Regulation 2009 (Qld).
[7] Section 3 of the RTI Act.
[8] Section 44 of the RTI Act.
[9] Section 47 of the RTI
Act.[10] Section 47(3)(b) of the
RTI Act. [11] Schedule 4 of the
RTI Act lists factors that may be relevant when deciding whether disclosure of
information would, on balance, be
contrary to the public interest. This list is
not exhaustive and therefore, other factors may also be relevant in a particular
case.[12] Section 49(3) of the
RTI Act.[13] Section 87 of the
RTI Act. In this review, USQ has relied on the ground for refusing access in
section 47(3)(b) of the RTI Act and
as such, I have not considered whether
access may be refused to the Assignment Marks on any other ground.
[14] See schedule 5 of the RTI
Act which refers to section 12 of the Information Privacy Act 2009 (Qld).
[15] Mahoney and Ipswich City
Council (Unreported, Queensland Information Commissioner, 17 June 2011)
(Mahoney) at
[19].[16] Mahoney at
[20].[17]
Ibid.[18] Mahoney at
[21], cited with approval in Marchant and Queensland Police Service
(Unreported, Queensland Information Commissioner, 10 September 2013)
(Marchant) at [15]-[16]. In Marchant, the Assistant
Information Commissioner found that the date and reasons for police callouts to
a women’s hostel was not the
personal information of individuals resident
at the time (approximately 16 women), as their identities were not reasonably
ascertainable
from the information.
[19]
Ibid.[20] Submission to OIC
dated 1 March 2017, paragraph
1.3.6(i).[21] Submission dated 1
March 2017, paragraph 1.3.6(ii).
[22] Submission to OIC dated 10
July 2017 at [8]. [23]
Submission to OIC dated 10 July 2017 at
[9].[24] With the exception of a
small number of comments that do not relate to the content of students’
work, but rather, relate to
whether an assignment was submitted or whether there
was a marking rubric
available.[25] USQ Assessment
Procedure (10 July 2017) http://policy.usq.edu.au/documents/14749PL
(USQ Assessment Procedure) at [4.3.13] (accessed on 1 December 2017).
[26] [2014] QICmr 1 (15 January
2014)
(6XY7LE).[27]
Submission dated 1 March 2017, paragraph
1.3.3.[28] 6XY7LE at
[20].[29] 6XY7LE at
[32].[30] At paragraph 19
above.[31] Submission to OIC
dated 1 March 2017, paragraphs 4.1.3 -
4.1.4.[32] Schedule 4, part 1,
item 2 of the RTI Act.[33]
Schedule 4, part 1, item 3 of the RTI Act.
[34] Submission to OIC dated 1
March 2017, paragraph 4.1.4.[35]
USQ’s 2016 Annual Report, available at https://www.usq.edu.au/about-usq/governance-management/plans-reports/annual-report
(accessed on 24 November
2017).[36] Schedule 4, part 2,
item 1 and 11 of the RTI
Act.[37] Submission dated 1
March 2017, paragraph 5.1.1.[38]
Submission to OIC dated 10 July 2017 at
[13].[39] Schedule 4, part 2,
item 1 and 11 of the RTI
Act.[40] Schedule 4, part 2,
item 17 of the RTI Act. I note USQ’s submissions dated 10 July 2017, which
state that too much weight has
been attributed to this factor, and that
‘marking has far more of the characteristics of a deliberative process
rather than an administrative decision’. This submission is
misconceived. The factors concerning administration of justice do not relate
solely to ‘administrative decisions’, and may apply in
relation to a variety of legal processes, including complaints proceedings,
appeal processes, quasi-judicial
and judicial
proceedings.[41] Schedule 4,
part 2, items 5, 6, 10, 12 and 16 of the RTI Act.
[42] Schedule 4, part 3, item 3
and part 4, section 6 of the RTI Act.
[43] Schedule 4, part 4, section
7(c) and schedule 4, part 3, item 2 of the RTI Act.
[44] USQ’s decision dated
15 December 2016.[45] Submission
dated 1 March 2017, paragraph 4.1.7 –
4.1.10.[46] Submission to OIC
dated 10 July 2017 at [17]. [47]
Ibid. USQ further argued that it should be allowed an opportunity to conduct a
survey of relevant students ‘to ascertain whether the
University’s assertions are correct’ with respect to the
anticipated prejudice to its financial affairs. In the circumstances of this
case, I did not consider this was
a necessary, or appropriate step to take, in
the conduct of this external review—section 95 of the RTI
Act—particularly
given that the USQ Assessment Procedure explicitly
provides (at 4.3.13) that results for individual assessment items should be
displayed
or published by student
number.[48] Cannon and
Australian Quality Egg Farms Limited [1994] QICmr 9; (1994) 1 QAR 491 at [82]. Schedule 4,
part 3, item 2 and part 4, section 7(1)(c)(ii) of the RTI
Act.[49] The expectation must be
reasonably based and not irrational, absurd or ridiculous (Attorney-General v
Cockcroft [1986] FCA 35; (1986) 64 ALR 97 at 106), not a mere possibility (Murphy and
Treasury Department [1995] QICmr 23; (1995) 2 QAR 744 (Murphy) at
[44]).[50] Murphy at
[54].[51] Given that release of
the Assignment Marks would constitute disclosure of less information than is
permitted under the USQ Assessment
Procedure (see footnotes 25 and 47 above) it
is difficult to see how release in this case could reasonably be expected to
result
in students abandoning their studies, or in any other relevant adverse
impact.[52] Schedule 4, part 4,
section 7(c)(ii) of the RTI Act, as submitted by USQ at paragraph 4.1.1 of its 1
March 2017 submissions. [53]
Generally, this factor will be more relevant where information that is provided
to government by an external third party, eg. a commercial
entity contracting
with government. See for example, Quandamooka Yoolooburrabee Aboriginal
Corporation and Department of Natural Resources and Mines; Sibelco Australia Ltd
(Third Party) [2014] QICmr [47] (19 November 2014) at [92]-[100].
[54] Submission to OIC dated 10
July 2017 at [18]. [55]
USQ Assessment Procedure at [4.1] and [4.2.2]. Under this
procedure, assignments presented after the deadline are subject to penalty
unless an extension of
time has been approved by the Course Examiner. If there
is no student effort to address the requirements of the assignment, no mark
is
recorded for that assessment item, and this also impacts on eligibility for
‘Supplementary Assessment’ (which is ordinarily available if
a Student has failed to achieve a passing Final Grade by 5% or less).
[56] Schedule 4, part 3, item 20
and schedule 4, part 4, section 4 of the RTI
Act.[57] Eccleston and
Department of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1
QAR 60 at [28-30] citing with approval the definition given in Re Waterford
and Department of Treasury (No.2) [1984] AATA 67; (1984) 5 ALD 588 at
606.[58]
Ibid.[59] Submission dated 10
July 2017 at [20].[60] To the
extent that USQ’s submission relates to concerns that students may gain
‘exploitable insights’ and ‘game the
system’ this is dealt with at paragraph 42
below.[61] Or obtained, or
recorded, or a consultation or deliberation that has taken place in the course
of, or for, the deliberative processes.
In contrast, notes prepared by the
marker in relation to an assessment may constitute deliberative process
information.[62] Schedule 4,
part 4, section 3(a) of the RTI Act. This factor was relied upon in USQ’s
decision dated 15 December 2016, along
with schedule 4, part 4, section 3(b) of
the RTI Act. In its submissions to OIC dated 1 March 2017, USQ indicated that
it no longer
relied on these factors. In more recent submissions to OIC, USQ
‘re-enlivened’ reliance on schedule 4, part 4, section
3(a).[63] Compare to Lucas
and The University of Queensland [2017] QICmr 14 (7 April 2017), where I
found that disclosure of a marking guide (and extracts of this guide) in a
particular course would, on balance,
be contrary to the public
interest.[64] Including in
relation to each of the five marking
criteria.[65] I have also
considered the other factors relevant to prejudice to the effectiveness/objects
of tests, examinations or audits (schedule
4, part 3, item 21 and schedule 4,
part 4, section 3(b) of the RTI Act), and for the same reasons, I am satisfied
that they do not
apply to disclosure of the Assignment
Marks.[66] USQ’s decision
dated 15 December 2016 and in submissions made to OIC by telephone on 13 July
2017.[67] As set out in section
39(1) and section 44(1) of the RTI
Act.[68] Section 41 of the RTI
Act sets out the circumstances where an agency may refuse to deal with an
application because of the effect
on its resources. This provision was not
relied upon by USQ, and does not arise for consideration in this case, given
that the scope
of the application was very narrow and the Assignment Marks are
comprised of only six pages.[69]
Schedule 4, part 3, item 22 of the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Gresham and Queensland Principal Club [2001] QICmr 17 (13 August 2001) |
Gresham and Queensland Principal Club [2001] QICmr 17 (13 August 2001)
Gresham and the Queensland Principal Club
(S 26/01, 13 August 2001, Information Commissioner)
(This decision has been edited to remove merely procedural information
and may have been edited to remove personal or otherwise sensitive
information.)
1.-2. These paragraphs deleted.
REASONS FOR DECISION
Background
The
applicant is a member of the Gold Coast Turf Club (GCTC) who has concerns
regarding expenses incurred by committee members of
the GCTC for travel and
entertainment during the 1998/99 financial year. In September 2000, he took his
concerns to the Queensland
Principal Club (the QPC), the body established by
Part 3 of the Racing and Betting Act 1980 Qld to control, supervise and
regulate horse racing in Queensland.
The
QPC investigated the complaint and, by letter dated 16 October 2000, informed
the applicant of the outcome of its investigation
and that it did not intend to
take the matter further. The applicant was not satisfied with that response
and, by letter dated 27
November 2000, sought access under the FOI Act to two
internal memoranda of the QPC concerning the investigation of his
complaint.
By
letter dated 8 January 2001, Mr M Pearson on behalf of the QPC informed the
applicant of his decision that the documents were exempt
from disclosure to him
under s.41(1) of the FOI Act. The applicant sought internal review of that
decision by letter dated 15 January
2001, but received no decision within the
prescribed time. By letter dated 31 January 2001, the applicant sought review
by the Information
Commissioner, under Part 5 of the FOI Act, of the QPC's
deemed decision on internal review confirming Mr Pearson's refusal of access
to
the memoranda: see s.52(6) of the FOI Act.
External review process
The
documents in issue were provided to me by the QPC. They comprise two memoranda
dated 27 September 2000 and 16 October 2000 from
Mr J Turner, Finance Director,
QPC to Mr K Hasemann, Chief Executive Officer, QPC. By letter dated 2 March
2001, the Assistant Information
Commissioner informed the QPC of his preliminary
view that the memoranda did not qualify for exemption under s.41(1) of the FOI
Act.
The QPC lodged a submission in reply, dated 17 April 2001, contesting the
preliminary views expressed by the Assistant Information
Commissioner.
The
GCTC was informed of the external review and granted status as a participant in
accordance with s.78 of the FOI Act. The relevant
parts of the submission of
the QPC were provided to the GCTC and the applicant. At the same time, both the
GCTC and the QPC were
provided with copies of the applicant's external review
application and attachments, and invited to lodge any submissions or evidence
they wished to put forward in support of their cases. The QPC lodged an
additional submission dated 19 June 2001 and the GCTC lodged
a submission dated
25 June 2001.
In
making this decision I have taken into account the
following:
the
contents of the documents in issue;
initial
FOI access application dated 27 November 2000;
initial
decision dated 8 January 2001;
application
for internal review dated 15 January 2001;
application
for external review dated 31 January 2001, with attachments;
submissions
from the QPC dated 17 April 2001 and 19 June 2001;
submissions
from the GCTC dated 25 June 2001.
Jurisdictional issue
The
GCTC contended that:
The right to access documents under the Act only applies in relation to
governmental type agencies; it does not operate against private
individuals or
corporations. ... Although the [QPC] is a public authority, the
documents solely regard the affairs of the [GCTC], a private entity,
being an unincorporated Association comprising all members for the timebeing of
the Club.
...
The memorandums in question concern private Club matters. We submit that
if you were to disclose the documents, you would be disclosing
information
wholly regarding the inner operations of a private club (which are private
matters of members), and not the information
of a governmental agency to which
the Act necessarily applies.
If
this submission is a claim that documents containing information about a private
sector organisation are not subject to the application
of the FOI Act, it is
clearly wrong. Section 21 of the FOI Act provides that a person has a legally
enforceable right to be given
access in accordance with the Act to documents of
an agency. The term "document of an agency" is defined in s.7 of the FOI Act to
mean a document in the possession, or under the control, of an agency, whether
created or received in the agency. This definition
extends to documents in the
possession of an agency and those to which the agency is entitled to access: see
Re Price and Nominal Defendant [1999] QICmr 3; (1999) 5 QAR 80 at p.89, paragraph
18.
In
fact, many documents held by agencies (and probably most documents, in the case
of regulatory agencies) refer to, or deal with,
issues concerning private
individuals or organisations. Parliament has recognised the interests of those
individuals and organisations,
not by excluding from the application of the FOI
Act documents which refer or relate to them, but by including exemption
provisions
which can take those private interests into account in appropriate
circumstances: see s.5, and for example, sections 44(1) and 45(1)
of the FOI
Act. The documents in issue were created by an officer of an agency for the use
of officers of that agency. They are
clearly documents of the agency for the
purposes of the FOI Act. Application of s.41(1) of
the FOI Act
Sections
41(1) and (2) of the FOI Act provide:
41.(1) Matter is exempt matter if its
disclosure—
(a) would disclose—
(i) an opinion, advice or recommendation that has been obtained,
prepared or recorded; or
(ii) a consultation or deliberation that has taken
place;
in the course of, or for the purposes of, the deliberative processes
involved in the functions of government; and
(b) would, on balance, be contrary to the public
interest.
(2) Matter is not exempt under subsection (1) if it
merely consists of —
(a) matter that appears in an agency's policy document; or
(b) factual or statistical matter; or
(c) expert opinion or analysis by a person recognised as an expert in the
field of knowledge to which the opinion or analysis
relates.
A
detailed analysis of s.41 of the FOI Act can be found in Re Eccleston and
Department of Family Services and Aboriginal and Islander Affairs [1993] QICmr 2; (1993) 1
QAR 60 at pp.66-72, where, at p.68 (paragraphs 21-22), I
said:
Thus,
for matter in a document to fall within s.41(1), there must be a positive answer
to two questions:
(a) would disclosure of the matter disclose any opinion, advice, or
recommendation obtained, prepared or recorded, or consultation
or deliberation
that has taken place, (in either case) in the course of, or for the purposes of,
the deliberative processes involved
in the functions of government? and
(b) would disclosure, on balance, be contrary to the public
interest?
The
fact that a document falls within s.41(1)(a) (ie. that it is a deliberative
process document) carries no presumption that its
disclosure would be
contrary to the public interest. ...
An
applicant for access is not required to show that disclosure of deliberative
process matter would be in the public interest; an
applicant is entitled to
access unless an agency can show that disclosure of the particular deliberative
process matter would be
contrary to the public interest. In Re Trustees of
the De La Salle Brothers and Queensland Corrective Services Commission
[1996] QICmr 4; (1996) 3 QAR 206, I said (at paragraph 34):
The correct approach to the application of s.41(1)(b) of the FOI Act was
analysed at length in my reasons for decision in Re Eccleston, where I
indicated (see p.110; paragraph 140) that an agency or Minister seeking to rely
on s.41(1)(a) needs to establish that specific
and tangible harm to an
identifiable public interest (or interests) would result from disclosure of the
particular deliberative process
matter in issue. It must further be established
that the harm is of sufficient gravity when weighed against competing public
interest
considerations which favour disclosure of the matter in issue, that it
would nevertheless be proper to find that disclosure of the
matter in issue
would, on balance, be contrary to the public interest.
The
Assistant Information Commissioner expressed the preliminary view to both the
QPC and the GCTC that the bulk of each of the documents
in issue was merely
factual matter. It largely records the inquiries made by Mr Turner for the
purposes of his investigation and
the results of those inquiries. The
submissions of the QPC and the GCTC have done nothing to persuade me to the
contrary. Nevertheless,
given my finding below with regard to the public
interest balancing test, I do not consider it necessary to identify which
particular
matter in each document does or does not meet the requirements of
s.41(1)(a). I will consider the application of the public interest
balancing
test to all of the matter in issue.
Public interest considerations favouring non-disclosure
The
QPC and GCTC identified a number of considerations that they contended weighed
against disclosure of the documents in issue.
In summary, they
are:
adverse
effects on the ability of the QPC to carry out its functions
because:
clubs
would be less likely to co-operate with the QPC in providing information to it
in the future; and
QPC
officers who prepared reports would be less likely to provide full and frank
reports if they were aware that information of this
type might be
disclosed;
adverse
effects on the GCTC because:
the
comments in the memoranda were preliminary only and the GCTC had not been given
the opportunity to respond to critical comments
in the memoranda;
the
GCTC is a private organisation whose dealings should not be disclosed under the
FOI Act;
the
GCTC is a commercial operation and disclosure might have a negative effect on
its commercial interests, including its ability
to attract
sponsors;
an
adverse effect on individuals who were criticised in the memoranda who had not
had an opportunity to respond to it. Effect on
the ability of the QPC to carry out its functions
The
QPC argued that it operates in a complex context, having to deal with clubs that
are primarily governed by general laws relating
to unincorporated or
incorporated bodies. It contended that this gives rise to a significant risk of
legal disputation in the administration
of the Racing and Betting Act.
It contended that this means that it is required to operate in a co-operative
fashion with race clubs in order to minimise the
potential for litigation. It
stressed the importance of full and open co-operation from clubs in relation to
communication with
the QPC. It said that it wished to avoid a situation where
requests for information would be narrowly considered on the basis of
what was
legally required.
In
that regard, I am not satisfied that the QPC is in any different position from
any other regulatory or supervisory body which seeks
or requires information
from the individuals or organisations that it regulates. The functions and
powers of the QPC are set out
in the Racing and Betting Act, and there is
nothing before me to show that those powers are diminished by anything in the
general law or legislation relating to
the constitution of clubs. Particularly
with regard to financial matters, the QPC has the power and obligation to
examine the financial
statements given by a club and to "make such inquiry into
and take such action with regard to the statements, or an item or matter
contained in or arising out of the statements" as it thinks fit: s.131 of the
Racing and Betting Act. In addition to the legislative power, clubs must
be aware that it is the role of the QPC to control, supervise and regulate horse
racing and that the QPC has the ultimate power with respect to the registration
of race clubs. There is therefore a significant
incentive for clubs to
co-operate fully with the QPC with regard to any complaint, in order to
demonstrate that there is no basis
why their registration should be called into
question.
The
submissions of the QPC and the GCTC have suggested that the information in issue
is particularly sensitive. However, I am not
satisfied that that is the case.
The bulk of the memoranda simply record the course of Mr Turner's investigation.
There are some
suggestions for improvements in accounting and management
controls, but these are relatively minor. Moreover, both the course of
the
investigation and the general nature of the recommendations for improvement have
already been made known to the applicant in
letters from the Chief Executive
Officer of the QPC dated 13 October and 16 October 2000. For example, Mr
Hasemann stated:
The discussion between Mr Turner and Mr Steer, and the assessment of the
Assistant Auditor General, has confirmed that some tightening
of accounting and
management controls at the Gold Coast Turf Club, in respect of individual
Committee member expenses and use of
corporate credit cards, is warranted. In
that regard a number of recommendations have been made to the club, several of
which, I
understand, have already been adopted. [letter dated 13 October
2000]
...
The club has now provided me with a comprehensive response to
recommendations made on the implementation of tighter controls and policies
governing Committee member expenses, and to queries regarding the nature and
purpose of individual transactions in 1998/99.
In relation to expenses incurred during the 1998/99 year, I am satisfied,
following consideration of the information provided by the
club, that there are
no grounds for a reasonable suspicion of activities by officials in breach of
Section 134 of the Racing and Betting Act. I am also satisfied that the
Committee has now taken the necessary decisions to improve accountabilities and
controls in relation
to these expenses. [letter dated 16 October 2000]
Taking
into account the nature of the matter that is in the documents in issue, the
extent of disclosure which has already been made
to the applicant, the
legislative powers of the QPC, and the advantage to clubs in co-operating with
the QPC, I am satisfied that
disclosure of the documents in issue could not be
expected to lead to any significant reduction in the level of co-operation by
Clubs
with the QPC in the future. I therefore do not give significant weight to
this claimed public interest consideration.
Likewise,
I do not consider that disclosure of the documents in issue could be expected to
cause Mr Turner, or other officers of the
QPC in a similar position, to refrain
from carrying out their duties by failing to fully inform senior officers of the
QPC about
matters which they are investigating. At pp.106-107 (paragraphs
132-134) of Re Eccleston, I said:
I
consider that the approach which should be adopted in Queensland to claims for
exemption under s.41 based on the third Howard criterion (i.e. that the
public interest would be injured by the disclosure of particular documents
because candour and frankness
would be inhibited in future communications of a
similar kind) should accord with that stated by Deputy President Todd of the
Commonwealth
AAT in the second Fewster case (see paragraph 129 above):
they should be disregarded unless a very particular factual basis is laid for
the claim that disclosure
will inhibit frankness and candour in future
deliberative process communications of a like kind, and that tangible harm to
the public
interest will result from that
inhibition.
I
respectfully agree with the opinion expressed by Mason J in Sankey v
Whitlam that the possibility of future publicity would act as a deterrent
against advice which is specious or expedient or otherwise inappropriate.
It could be argued in fact that the possibility of disclosure under the FOI Act
is, in that
respect, just as likely to favour the public interest.
Even
if some diminution in candour and frankness caused by the prospect of disclosure
is conceded, the real issue is whether the efficiency
and quality of a
deliberative process is thereby likely to suffer to an extent which is contrary
to the public interest. If the
diminution in previous candour and frankness
merely means that unnecessarily brusque, colourful or even defamatory remarks
are removed
from the expression of deliberative process advice, the public
interest will not suffer. Advice which is written in temperate and
reasoned
language and provides justification and substantiation for the points it seeks
to make is more likely to benefit the deliberative
processes of government. In
the absence of clear, specific and credible evidence, I would not be prepared to
accept that the substance
or quality of advice prepared by professional public
servants could be materially altered for the worse, by the threat of disclosure
under the FOI Act.
There
is no evidence before me which establishes, and my consideration of the contents
of the documents in issue does not in my view
support, a finding that disclosure
of the documents in issue would inhibit candour and frankness in future similar
communications
to an extent that would be contrary to the public interest in the
efficient and effective performance of the QPC's
functions.
Adverse effects on the GCTC
It
is contended that the memoranda were not final reports, and that they contained
comments critical of the GCTC to which it had no
opportunity to respond. In
that regard, the QPC referred to the decision of the Commonwealth Administrative
Appeals Tribunal in
Re Howard and the Treasurer of the Commonwealth
[1985] AATA 100; (1985) 7 ALD 626. Along similar lines, the GCTC contended that in
Re Eccleston, I agreed that disclosure of interim reports containing
criticism of particular people without their response, and before completion
of
a final report, was unfair and contrary to the public interest. My views on
such claims were stated in paragraph 96 of Re Pope and Queensland Health
[1994] QICmr 16; (1994) 1 QAR 616:
It
is possible to envisage circumstances in which the public interest in fair
treatment of individuals might be a consideration favouring
non-disclosure of
matter comprising allegations of improper conduct against an individual where
the allegations are clearly unfounded
and damaging, and indeed might even tell
against the premature disclosure of matter comprising allegations of improper
conduct against
an individual which appear to have some reasonable basis, but
which are still to be investigated and tested by a proper authority.
In this
case, however, I am dealing with a report into allegations of improper conduct
against an individual, the report having
been made by an independent
investigator who has allowed the subject of the allegations a reasonable
opportunity to answer adverse
material. The weight to be accorded to public
interest considerations (in the nature of fair treatment of individuals) which
might
favour non-disclosure of such a report must be judged according to the
circumstances of each case. If allegations against an individual
are found, on
investigation, to lack any reasonable basis, and they involve no wider issues of
public importance (such as whether
proper systems and procedures are being
followed in government agencies), the public interest in fair treatment of the
individual
might carry substantial weight in favour of non-disclosure (on the
basis that the unsubstantiated allegations ought not to be further
disseminated,
even though accompanied by an exoneration). However, the public interest in
accountability of government agencies
and their employees (for the manner in
which they expend public funds to carry out their allocated functions in the
public interest)
will generally always be in issue in such situations. In
particular, there is a clear public interest in ensuring that allegations
of
improper conduct against government agencies and government employees, which
appear to have some reasonable basis, are properly
investigated, and that
appropriate corrective action is taken where individuals, systems or
organisations are found to be at fault,
and that there is proper accountability
to the public, in respect of both process and outcomes, in this regard. Each
case must be
judged on its own merits, and I consider that the weight of
relevant public interest considerations (of the kind discussed in this
paragraph) clearly favours disclosure of the Seawright
Report.
The
matter in issue does not contain criticisms of individuals. For the most part,
it records the course of the investigation made
by Mr Turner, and information
supplied in the course of that investigation. There are a small number of
suggestions for improvement
in accounting and management controls (see paragraph
19 above). However, that information is not in the nature of tentative
suggestions
for investigation of possible wrongdoing or notes pointing to
further avenues for investigation. It comprises firm recommendations
following
consideration of the procedures in existence at the GCTC. Indeed, the date of
the second memorandum is the date of the
letter informing the applicant of
finalisation of the investigation. Furthermore, it is clear that the GCTC
accepted that improvements
could be made and implemented those improvements: see
the letter from Mr Hasemann dated 16 October 2000. I do not consider that
there
is anything in the documents in issue which could be characterised as an
unproven allegation that should not be disclosed in
the public
interest.
The
GCTC has contended that it is a private organisation and that its dealings with
the QPC should be kept confidential. It contends
that the information deals
with matters within the GCTC, which should not be subject to public scrutiny
(see paragraph 9 above).
As I indicated above, Parliament has recognised the
interests of individual members of the public, and organisations, in terms of
the exemption provisions set out in Part 3, Division 2 of the FOI Act.
Parliament has recognised that the very fact that matter
concerns an
individual's personal affairs gives rise to a public interest consideration
favouring non-disclosure. It has not accorded
the same level of protection to
organisations. Section 45(1) provides that certain material such as trade
secrets are exempt matter
but that otherwise, a business organisation wishing to
avoid disclosure must show a reasonable expectation of an adverse effect before
the potential for exemption arises in relation to business information. I am
satisfied that there is no general public interest
consideration favouring
non-disclosure of information about a business or other non-government
organisation that would favour non-disclosure
merely because the information
concerns a non-government organisation.
The
GCTC did not contend that the matter in issue could reasonably be expected to
have an adverse effect on its commercial operations.
The QPC made a suggestion
to that effect in terms of the application of the public interest balancing test
in s.41(1), but did not
raise the application of s.45(1)(c) of the FOI Act.
There is no material before me to show that disclosure of the matter in issue
could reasonably be expected to have such an adverse effect. I have examined
the contents of the matter in issue, and I am not satisfied
that there is a
reasonable basis for expecting that disclosure of the matter in issue could have
an adverse effect on the business,
commercial or financial affairs of the GCTC.
I am satisfied both that the matter in issue does not qualify for exemption
under s.45(1)(c)
of the FOI Act, and that there is no public interest
consideration of significant weight favouring non-disclosure based on that
factor.
Adverse effect on individuals by disclosure of matter critical of them
It
is contended that there is matter critical of individuals in the documents in
issue and that, for similar reasons to those discussed
in paragraph 23 above,
disclosure would therefore be contrary to the public interest. However, I am
unable to identify any matter
in the documents in issue which could reasonably
be characterised as being "criticism of particular people". Some people are
mentioned
and their activities are described, but there is no suggestion that
they have departed from any procedures required by the GCTC.
I find that this
claim does not raise a public interest consideration of significant weight
favouring non-disclosure. Public interest
considerations favouring disclosure
The
QPC contended that there was no public interest in citizens being informed about
the processes of a private club. However, Parliament
has seen fit to enact
detailed legislation concerning horse racing in Queensland which regulates the
activities of clubs and provides
for close supervision of clubs, particularly in
relation to financial matters. The very operation of a race club is subject to
registration
by the QPC. Without that registration, the club cannot conduct
race meetings. Further, s.134 of the Racing and Betting Act regulates in
detail the ends to which a club may apply its receipts and profits. Section 130
requires every member of a committee
of a club to comply with the provisions of
the Act that relate to a club. Section 131 requires clubs to audit their books
and to
provide financial statements to the QPC. It also provides that the QPC
can make such inquiries into and take such action with regard
to the statements
as it thinks fit. Further, the Minister can request the Auditor-General to
examine the books and accounts of any
club.
It
is therefore incorrect to characterise clubs as merely private organisations.
Particularly with regard to financial matters (which
are the subject of the
documents in issue), there is legislation which closely regulates, and requires
supervision of, the activities
of clubs. I consider that there is a public
interest favouring disclosure of information that shows whether or not the GCTC
has
complied with its obligations under the Racing and Betting Act.
In
carrying out its role to control, supervise and regulate racing (see s.11A(1) of
the Racing and Betting Act), the QPC has wide powers with respect to race
clubs, including the following:
11B.(2) Without limiting subsection (1), the Queensland
Principal Club has the powers conferred on it under this Act and
may—
...
(c) register or license, or refuse to register or license, or cancel or
suspend the registration or licence of, a race club, or an
owner, trainer,
jockey, racing bookmaker, racing bookmaker's clerk or another person associated
with racing, or disqualify or suspend
any of those persons permanently or for a
specified period; and
(d) supervise the activities of race clubs, persons licensed by the
Queensland Principal Club and all other persons engaged in or
associated with
racing; and
(e) direct and supervise the dissolution of a race club that ceases to be
or is not registered by the Queensland Principal Club; and
(f) appoint an administrator to conduct the affairs of a race club;
and
...
(s) order an audit of the books and accounts of a race club by an auditor
who is a registered company auditor; ...
I
consider that there is a strong public interest in enhancing the accountability
of the QPC for the way in which it conducts investigations
relating to the
control, supervision and regulation of racing clubs. The QPC has already
informed the applicant in general terms
of the steps taken in the investigation
and the outcome of the investigation: see the letters dated 13 and 16 October
2000 quoted
at paragraph 19 above. Nevertheless, I consider that there is a
public interest in disclosure of the additional details contained
in the
documents in issue.
There
are also references in the documents in issue to the role that officers of the
Auditor-General played in the course of the investigation.
To that extent,
disclosure of the matter in issue would enhance the accountability of that
office for the performance of its functions.
Finding
I
do not consider that the QPC or the GCTC has raised any public interest
considerations of significant weight favouring non-disclosure
of the particular
documents in issue. There are significant public interest considerations
favouring disclosure of the documents.
I find that disclosure of the documents
in issue would not, on balance, be contrary to the public interest. I therefore
find that
the documents in issue do not qualify for exemption under s.41(1) of
the FOI Act.
Application of s.40(a) and (b) of the FOI Act
The
GCTC has also claimed that the matter in issue is exempt under s.40(a) and (b)
of the FOI Act, which provide:
40. Matter is exempt matter if its disclosure
could reasonably be expected to —
(a) prejudice the effectiveness of a method or procedure for the conduct
of tests, examinations or audits by an agency; or
(b) prejudice the attainment of the objects of a test, examination or
audit conducted by an agency; ...
I
have significant doubts that the investigation undertaken by Mr Turner can be
regarded as a "test, examination or audit" as those
words are used in s.40(a) or
s.40(b) of the FOI Act. There is provision for the QPC to examine financial
statements given following
an audit by a club appointed auditor. There is also
provision in the Racing and Betting Act for the Auditor-General to
conduct an examination of the books and accounts of a club. However, the
investigation which Mr Turner
undertook falls short of what would, in normal
parlance, be regarded as an audit.
Even
if it could be described as such, I am not satisfied that either of the
prejudicial consequences specified in s.40(a) and s.40(b)
could reasonably be
expected to follow from disclosure of the documents in issue. The GCTC has put
forward no additional grounds
to support a finding of such prejudice. I have
discussed and rejected the grounds that were put forward that might give rise to
an expectation of such prejudice in my discussion of the public interest
considerations favouring non-disclosure in the context of
s.41(1) of the FOI
Act.
Further,
s.40 is subject to a public interest balancing test, and I consider that the
public interest considerations favouring disclosure
of the documents in issue
that I identified in applying s.41(1) alone, are sufficiently strong to warrant
a finding that disclosure
of the matter in issue would, on balance, be in the
public interest. I therefore find that the matter in issue does not qualify
for
exemption under s.40(a) or (b) of the FOI Act.
DECISION
I
set aside the deemed decision of the QPC refusing access to the documents in
issue described at paragraph 6 of my reasons for decision.
In substitution for
it, I find that those documents do not qualify for exemption from disclosure to
the applicant under the FOI
Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Mt Coot-tha Local Residents and Brisbane City Council [2021] QICmr 49 (27 September 2021) |
Mt Coot-tha Local Residents and Brisbane City Council [2021] QICmr 49 (27 September 2021)
Last Updated: 24 January 2022
Decision and Reasons for Decision
Citation:
Mt Coot-tha Local Residents and Brisbane City Council [2021]
QICmr 49 (27 September 2021)
Application Number:
314791
Applicant:
Mt Coot-tha Local Residents
Respondent:
Brisbane City Council
Decision Date:
27 September 2021
Catchwords:
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - FORMS OF ACCESS - COPYRIGHT
- monitoring reports - whether giving access to a copy of
the document would
involve an infringement of the copyright of a person other than the State -
access granted by way of inspection
only - section 68(4)(c) of the Right to
Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - access refused to information
about reserves at
quarry - business, commercial, financial affairs - whether disclosure would, on
balance, be contrary to public
interest - whether access may be refused under
sections 47(3)(b) and 49 of the Right to Information Act 2009
(Qld)
REASONS FOR DECISION
Summary
1. The applicant applied
to Brisbane City Council (Council) under the Right to Information Act
2009 (Qld) (RTI Act) for access to a range of
documents[1] relating to the operation
of the Mount Coot-tha Quarry (MCQ) in Brisbane.
2. The
scope of the access application was subsequently expanded by agreement with
Council[2] during the processing of
the access application, to include the graphical
blast vibration reports for two monitoring locations, in relation to blasts that
occurred on nine different dates (Expanded
Scope).[3]
3. In its decision
dated 16 August 2019, Council gave an explanation to the applicant about the
monitoring points in response to Item
1 of the applicant’s access
application and otherwise decided to:
refuse to deal
with Item 2 of the application;[4] and
grant access to
11 pages in full and refuse access to one part
page[5] in response to Item 3 of the
application.[6]
4. Council’s decision did not address the Expanded Scope.
5. The applicant applied to the Office of the
Information Commissioner (OIC) for external review of Council’s
decision.[7]
6. For the reasons set out below, the decision under review is varied and
access to:
the Monitoring
Reports (see paragraph 155) can be
granted by way of inspection only, under section 68(4)(c) of the RTI Act, as
providing the applicant with a copy of these
documents would involve an
infringement of the copyright of a person other than the State; and
the Information
in Issue (see paragraph 24) is refused
under section 47(3)(b) of the RTI Act as its disclosure would, on balance, be
contrary to the public interest.
Background
7. The applicant is an organisation that comprises
residents of homes within the vicinity of the MCQ.
Reviewable decision
8. The decision under review is Council’s
decision dated 16 August 2019.
Evidence considered
9. The applicant made numerous submissions to OIC
during the external review and I have carefully considered this material. A
number
of the applicant’s submissions do not engage with the issues for
determination in this review or make requests that are outside
the jurisdiction
of OIC. On several occasions during the review, OIC explained the limits of the
Information Commissioner’s
jurisdiction to the applicant. Despite these
communications, the applicant continued to provide OIC with submissions raising
matters
that were either irrelevant to the issues for determination, or beyond
OIC’s jurisdiction. To the extent the applicant’s
submissions relate
to issues beyond the scope of this review, they are not referred to in these
reasons for decision.
10. The evidence, submissions, legislation and other material I have
considered in reaching this decision are disclosed in these reasons
(including
footnotes and the Appendix).
11. I have also
had regard to the Human Rights Act 2019 (Qld) (HR Act), which
provides that it is unlawful for a public entity to make a decision in a way
that is not compatible with human rights, or
to fail to give proper
consideration to a human right relevant to the
decision.[8] Here, the right to seek
and receive information[9] is
particularly apposite. I note the observations made by Bell J on the interaction
between equivalent pieces of Victorian
legislation[10]: ‘it is
perfectly compatible with the scope of that positive right in the Charter
for it to be observed by reference to the scheme of, and principles in, the
Freedom of Information
Act.’[11] I consider a
decision-maker will be ‘respecting and acting compatibly
with’ the right to seek and receive information and other rights
prescribed in the HR Act, when applying the law prescribed in the
Information
Privacy Act 2009 (Qld) (IP Act) and the RTI
Act.[12] I have, in accordance with
section 58(1) of the HR Act, acted in this way in making this decision.
12. Significant procedural steps in this review are set out in the Appendix
to this decision.
Issues for Determination
13. The
applicant initially applied for access to:
Item 1: MCQ blast vibration transducer
coupling/mounting method used (what and when): including concrete block, soil
spike, epoxy
etc
(a) All monitoring locations including the quarry office.
(b) If this was varied, when, what was the change and on what dates.
Item 2: MCQ development documents and plans: operation, blasting, blast
creation, blast monitoring, extraction, shutdown, downsize,
closure, closure
dates, decommissioning, crusher, screener.
This would include [Company Name], [Company Name], DES and BCC
documents.
Item 3: All documents relating to the 28 February 2019 blast, including; the
large dust cloud, dust monitoring reports, pollution
reports, actions,
complaint, remediation, fine, [Company Name], [Company Name], DES etc.
Any plans for an additional dust monitoring location on Scenic
Drive.
14. As noted at paragraph 2, the scope of the application was
expanded by agreement between the applicant and Council, during the processing
period, to include
an Expanded Scope. However, Council did not address the
Expanded Scope in its decision.
15. On external review
OIC required Council to undertake searches for any documents responsive to the
Expanded Scope.[13] Council located
eighteen pages of documents titled ‘Brisbane City Works –
[MCQ] Monitoring Results’ (Monitoring Reports).
16. The Monitoring Reports are prepared by an independent third-party company
(Company A) and comprise data collated from measurement devices located
in two locations on the MCQ Site. The measurement devices record the
seismic
data created as a result of blasting conducted at MCQ. The data recorded is
presented in the Monitoring Reports using words,
figures, and a chart.
17. Council submitted that the Monitoring Reports contain the
‘intellectual property’ of Company A and are
‘copyright protected’ to Company
A[14] and therefore access to the
Monitoring Reports should only be granted by way of
inspection.[15]
18. OIC subsequently consulted with Company A in relation to the disclosure
of some of the information comprised within the Monitoring
Reports.[16] While Company A was
agreeable to the disclosure of the information within the Monitoring Reports, it
argued that the Monitoring Reports
were subject to copyright and therefore
access should be by way of inspection
only.[17]
19. OIC formed the view, on a preliminary basis,
that the Monitoring Reports were subject to copyright, but access to them could
be
given by way of inspection,[18]
subject to the redaction of the personal information of the author of the
reports and information comprising the blast design details
and explosive
loading details, on the ground that disclosure would, on balance, be contrary to
the public interest.[19] This view
was conveyed to the applicant.
[20]
20. The applicant did not object to OIC’s
view in relation to the redaction of information, however the applicant did not
agree
that providing access to a copy of the Monitoring Reports would involve an
infringement of the copyright of Company A. Consequently,
the question of
whether the provision of a copy of the Monitoring
Reports[21] to the applicant would
involve an infringement of copyright is an issue for determination in this
decision (Form of Access
Issue).[22]
21. As noted at paragraph 3, Council
refused access to all of the documents it located in response to Item 2 of the
applicant’s access application on the
ground that the applicant had made a
previous application for the
same[23]ocuments.23 In its decision,
Council referred to a previous access application made by the applicant in 2017
and stated that the document responsive
to the 2017 application was a document
titled the Draft Mt Coot-tha Quarry Revised Extraction Plan, August 2015
(Extraction Plan). In response to the applicant’s 2017 application,
Council refused access to the Extraction Plan. Council stated that the document
responsive to Item 2 of the applicant’s access application was the
Extraction Plan.
22. During the review, OIC requested further information from Council to
ascertain whether there had been any changes or updates to
the Extraction Plan
since the applicant’s 2017 application. In response, Council located 17
pages of documents that had been
created since the 2017 application
(Extraction Plan
Updates).[24] Council submitted
that access to all 17 pages of the Extraction Plan Updates should be refused on
the ground that disclosure would,
on balance, be contrary to the public
interest.[25]
23. The Extraction Plan Updates comprise two letters and additional
information provided to Council by an independent company that
handles the
quarry planning and development for MCQ (Company B). The Extraction Plan
Updates contain:
information in
relation to the reserves of quarry material at MCQ, including the material
volumes, the corresponding values and the
locations of the reserves; and
third party
personal information, namely, the signature and contact details of the author of
the Company B material and the names,
job titles and contact details of other
Company B employees.
24. During the review, preliminary views about access to the Extraction Plan
Updates were conveyed to Council[26]
and the applicant.[27] As a result,
the applicant elected not to pursue access to the third party personal
information and Council agreed that access should
be granted to three part-pages
of information from the two
letters.[28]
The rest of the information contained within the two letters and additional
information provided by Company B to Council remains
in issue
(Information in
Issue).[29]
25. Consequently, the second issue to be determined in this decision is
whether access to the Information in Issue in the Extraction
Plan Updates may be
refused. Given the nature of the information, on the ground that disclosure
would, on balance, be contrary to
the public interest requires consideration
(Disclosure
Issue).[30]
Form of Access Issue
26. In relation to the
Form of Access Issue (noted at paragraphs 15 - 20 above), the question to be determined is
whether the provision of a copy of the Monitoring Reports to the applicant would
involve
an infringement of the copyright of Company A.
Relevant law
27. Generally, OIC is not involved in reviewing
‘form of access’ decisions involving copyright, as the RTI Act
specifically
excludes these matters from OIC’s
jurisdiction.[31] However, as set
out above, Council did not address the applicant’s request for access to
the Monitoring Reports in its decision.
In this particular circumstance, where
Council has not addressed the applicant’s request and OIC determines that
access may
be given to the Monitoring
Reports,[32] it falls to OIC to
consider the issue of the form of access insofar as it relates to copyright in
the conduct of the external review.
28. The RTI Act provides that if giving access in the form requested by the
applicant would involve an infringement of the copyright
of a person other than
the State, access in that form may be refused and given in another
form.[33]
29. The Copyright Act 1968 (Cth) (Copyright Act) deals
with copyright in works in Australia. Copyright subsists in an original
literary, dramatic, musical or artistic work that
is unpublished and of which
the author was a qualified person at the time when the work was
made.[34]
30. The word ‘original’ is not defined in the Copyright
Act, but has been taken to mean that the work originates from the
author, i.e., it was not copied,[35]
and will result where the author has applied his/her knowledge, judgement, skill
or labour.[36]
31. Relevantly, the Copyright Act defines
‘artistic work’ to include a drawing, whether the work is of
artistic quality or not.[37]
‘Drawing’ includes ‘a diagram, map, chart or
plan’.[38]
32. The Copyright Act defines ‘literary work’ to include a
table, or compilation, expressed in words, figures or
symbols.[39]
33. Copyright in relation to an artistic or
literary work is an exclusive right to do various acts, including reproducing
the work
in a material form.[40]
Infringement of copyright occurs when a person who is not the owner of the
copyright, and does not have the licence of the owner,
does or authorises the
doing of any act comprised in the
copyright.[41]
34. However, the Copyright Act does provide
that some acts do not infringe copyright – for example, fair dealings for
the purpose of criticism or review, research
or study, parody or satire,
reporting news, judicial proceedings or giving professional
advice,[42] and acts done for the
services of the Crown.[43]
Findings
35. As previously noted, Council argued that the
Monitoring Reports are subject to copyright and therefore access should be by
way
of inspection only. Company A, the purported owner of the copyright, stated
that while it was agreeable to the applicant inspecting
the Monitoring Reports,
the Monitoring Reports were subject to copyright and it did not agree to copies
being provided to the applicant.
[44]
36. Council also
submitted:[45]
Some of the information contained in these reports is
not required for Council’s licence conditions, but is prepared in order
to
collect vital technical information which may be used for future predictions and
analysis of blasting results.
37. The applicant argued that access should be given to a copy of the
Monitoring Reports. The applicant sought access to a copy of
the Monitoring
Reports, as it considered that MCQ was not complying with Schedule F of
Council’s development permit, which
refers to the testing of noise level
in noise sensitive
places.[46]
Further the applicant submitted that only inspecting, rather than receiving a
copy of the Monitoring Reports ‘is simply not good enough, especially
as the MCQ is almost totally mined and is facing
closure’.[47]
38. In relation to the monitoring undertaken by Company A, the applicant
submitted:[48]
[Company A] technician [X], sets up the equipment and
runs the [company name] software, which creates a recording of the
vibration.
In these instances, it is the manufacturer’s
software which is doing the recording.
The information which is being recorded is the seismic effect, not any effect
that [Company A] created.
We cannot understand how the OIC can consider this simple measurement as a
“work of art”, when it is simply a recording
of a seismic event,
which was not created by [Company A].
The actual
seismic event is the “work of art”, which was not created by [X],
all he did was to take a snapshot of the
blast using other people’s
software.
Because the
seismic event was physically released into the public domain by [Council], we
believe that it is no longer subject to
copyright.
Anybody else who measured the blast would have created the exact same
document, because the process is conducted using a standard
process which must
adhere to a specified standard.
The process
of measuring the blast, is a strictly regulated operation, which leaves no
ability to create a “work of art”,
even the monitoring location and
the exact process was specified by the [Department of Environment and
Science (not Council and not Company A)].
Please allow
me to emphasise, if anybody was to setup blast monitoring device in the same
place and with the same standard process,
as specified by the [Department of
Environment and Science], then they would achieve exactly the same timeline
chart.
There is zero
ability to use creativity to create a work of art, the only exception being if
it is used for the purpose of falsely
monitoring so as to report a reduced
effect.
The produced
timeline is not specifically unique, unless it was deliberately altered to
reduce the reading.
39. The applicant also submitted that the blasts conducted at MCQ are
‘a form of detailed, planned, theatrical-style seismic and decibel
performance event’ which requires ‘a great deal of expertise,
experience, licensing, planning, storage and relative timing
calculations’.[49] Further
the applicant submitted that as the applicant’s chairman was prevented
from recording one of the blasts at MCQ on 28
February 2019, this supports the
applicant’s view that it is the blast that is the ‘work of
art’ and accordingly is protected by
copyright,[50] rather than any
information comprised within the Monitoring Reports and copyright rests solely
with the company which undertakes
the blasting.
40. To the extent that the applicant submits that the blasts conducted at MCQ
are the artistic work, I disagree. The information comprised
in each Monitoring
Report comprises the data from the seismic monitoring at MCQ recorded as both
words and figures and a chart. As
noted above at paragraph 31, the definition of ‘artistic
work’ comprises ‘drawings’ and
‘drawings’ is defined to include charts. The definition of
‘literary works’ includes a table, or compilation,
expressed in
words, figures or symbols. In my view the Monitoring Reports meet both the
definition for artistic and literary work
(Copyrighted Works).
41. I also disagree with the applicant’s submission that anyone else
who measured the blasts conducted at MCQ would create the
same document. While
other measurements conducted may record the same data, it is the presentation of
that data, through compilation
and the charts, in the Monitoring Reports that
comprise the Copyrighted Works.
42. The Copyright Act requires that the Copyrighted Works be original.
There is no information before me to suggest that the Copyrighted Works are not
the original work of Company A, or that they were not created by Company A
applying its knowledge, judgement, skill or
labour.[51] Consequently, I consider
it is reasonable to conclude that the Monitoring Reports are
original.[52]
43. As noted at paragraph 33 above,
infringement of copyright occurs when a person who is not the owner of the
copyright, and does not have the licence of the
owner, does or authorises the
doing of any act comprised in
the[53]opyright.53
44. In relation to the ownership of the copyright the applicant
submits:[54]
... we believe that the owner of the data, is the
person responsible for deliberately specifying non-best practice and possible
damage
to the seismic recording quality.
45. To the extent that the applicant submits that ownership to the copyright
of the Monitoring Reports has been transferred from Company
A to the manager of
MCQ and as a result ultimately to Council, on the basis of the applicant’s
view that the type of monitoring
specified by the MCQ manager is not best
practice, I disagree. Even if the type of monitoring specified by the MCQ
manager is not
best practice, I do not consider that this would have the effect
of transferring the ownership of the copyright as suggested by the
applicant. I
also note that there is no other information before me to suggest that Company A
is not the copyright owner of the Monitoring
Reports.
Express Licence
46. Council submitted that it does not hold a licence from Company A,
permitting it to carry out any of the acts that would otherwise
be the exclusive
right of Company A. In this regard, Council
submitted:[55]
The Council has employed the services of [Company A]
since 2002 through a purchase order system with no specific details of
contractual
arrangements or the report requirements except that there is a
verbal understanding that it addresses the requirements of AS 2187
Use of
Explosives... Part 2... Appendix J and Council’s Environmental Authority
Licence conditions to provide a report.
47. I have reviewed some of the purchase orders (Purchase Orders)
referred to by Council and I am satisfied that they do not contain any
provisions that provide an express formal licence or authority
for Council, to
undertake any of the exclusive rights of Company A under the Copyright
Act.[56]
Implied Licence
48. I have also considered whether a licence may be
implied into the Purchase Orders between Council and Company A. A licence may
be
implied by conduct[57] or by the
need to give business efficacy.[58]
In Hardingham v RP Data Pty
Limited,[59] the Federal Court
of Australia set out the principles that it considers are relevant to whether,
after identification of the express
terms of an agreement, it is to be implied
that a licence was granted and the scope of such a licence.
49. The four principles referred to by the Court are as
follows:[60]
the ordinary
contractual principles as to the implication of terms apply
a licence of
copyright will be implied only to the extent that it is necessary
the implication
is to be drawn from all the relevant circumstances existing at the time of the
agreement, including what the parties
then contemplated, objectively assessed;
and
the onus of
establishing infringement lies on the copyright owner with the result that the
copyright owner bears the onus of establishing
the absence of an express or
implied
licence.[61]
50. In relation to the first two principles referred to in Hardingham,
there is no information before me to suggest that the Purchase Orders are of a
particular class of contract to which a licence may
be implied as a legal
incident or that the particular circumstances require a licence to be implied to
give business efficacy to
the Purchase Orders. However, for the reasons given
below, I consider that it is arguable that a licence may be implied into the
Purchase Orders for the necessity of Council complying with its reporting
obligations under the Environmental Protection Act 1994 (Qld) (EPA
Act).
51. In relation to the third requirement, the
Federal Court stated the implication is to be drawn from all the relevant
circumstances
existing at the time of the agreement, including what the parties
then contemplated, objectively assessed. The Court referred to
the case of
Beck v Montana Constructions
Pty,[62] in which Jacobs
J explained his rationale for concluding that there was an implied licence as
follows:[63]
[T]he engagement for reward of a person to produce
material of a nature which is capable of being the subject of copyright implies
a permission, or consent, or licence in the person giving the engagement to use
the material in the manner and for the purpose in
which and for which it was
contemplated between the parties that it would be used at the time of the
engagement.
52. The Federal Court stated that:
[64]
the ‘purpose’ for which the ‘material’ was to be
used is determined objectively by reference to the parties’
words and
conduct and the circumstances in which the agreement was reached.
53. The Purchase Orders record that consideration has been paid to Company A
by Council for the production of the Monitoring Reports.
As noted above at
paragraph 51, the courts have been
inclined to imply a licence, where it would otherwise be unfair to deprive the
party paying the consideration
of the material produced as a result of the
parties’ agreement.
54. Schedule F of Council’s development
permit[65] prescribes that the noise
level and ground vibration emanating from a blast conducted at MCQ must not
exceed a certain level.[66] Schedule
H places an obligation on Council to monitor its own activities in relation to
Schedule F[67] and self-report
(Exception Report) to the Department of Environment and Science
(Department) any blast conducted at MCQ that exceeds any of the limits
prescribed in Schedule F.
55. In making an Exception Report, Council is required to provide the full
analysis results in relation to any non-compliance to the
Department.[68] The Department may
also require Council to provide a copy of a record on
request.[69]
56. On the information before me, I consider that the purpose for which
Company A creates the Monitoring Reports for Council is for
Council to satisfy
itself that it is complying with the development permit conditions and its
environmental licence, and to enable
MCQ to collate technical information to
analyse the blasting results and inform future blasting plans. Accordingly, it
follows that,
in complying with its monitoring obligations under Schedule H, it
may be necessary for Council to provide a copy of a Monitoring
Report to the
Department, if any blast at MCQ exceeded the permitted limits in Schedule F.
57. I consider that, at the time Company A entered into an agreement with
Council to provide Council with the reporting data, it is
reasonable to expect
that the parties would have contemplated that Council may be required at some
time in the future, to make an
Exception Report to the Department, which would
necessitate Council providing the Department with the Monitoring Report in
relation
to any non-compliant blast. However, taking into account that Company A
has included a statement on the Monitoring Reports indicating
that it owns the
copyright, I consider that, if a licence is to be implied into the Purchase
Orders, it would be restricted to the
purpose of permitting Council to provide a
copy of any relevant Monitoring Report to the Department, if Council was
required to make
an Exception Report, or for Council to comply with a request
from the Department.
58. The applicant considers that it should be given access to a copy of the
Monitoring Reports as this will visually indicate how
MCQ ‘has never
once complied with their DA Schedule-F
requirements’.[70]
In making this submission, the applicant has not argued that Council has
been required to make an Exception Report to the Department
in relation to its
Schedule F obligations, or that the Department has required Council to provide
copies of the Monitoring Reports.
Rather, the applicant’s submissions
focus on its view that:[71]
the measurement
devices used to measure the blasts should be fixed to the ground using the
concrete block method and not soil spikes;
and
measurement
devices should also be placed in the homes of local residents, as conditions F4
to F6 of Schedule F require that monitoring
should be conducted in ‘any
noise sensitive place’. The applicant submits this will demonstrate
that noise levels in private homes located near MCQ exceed the levels prescribed
in
Schedule F of the development permit.
59. The applicant’s submissions are in effect challenging
Council’s interpretation of its monitoring obligations under
its
development permit and how Council conducts its monitoring. I do not consider
that, at the time of entering into the agreement
to provide the Monitoring
Reports, it could reasonably have been contemplated by either Council or Company
A that a licence would
be implied into the Purchase Orders to permit Council to
provide copies of the Monitoring Reports to the applicant in these
circumstances.
60. Consequently, I do not consider that any implied licence relating to the
Department and arising from obligations under the EPA
Act would extend to
Council copying the Monitoring Reports for the purposes of satisfying the
concerns of the applicant, and accordingly
I do not consider that Council has an
implied licence to reproduce the Monitoring Reports in order to provide access
to them pursuant
to the RTI Act.
61. In view of my findings above, I consider that, if Council were to copy
the Monitoring Reports to provide access to the applicant,
this would constitute
reproduction in a material form, which would infringe the copyright of Company
A.
Fair Dealing
62. The applicant submits that local residents
attempted to arrange for Company A to carry out monitoring in private homes
located
near MCQ. The applicant stated that this request was denied and
therefore the applicant has:[72]
... the right to obtain the [MCQ] Seismic
Monitoring Data, for the purpose of determining and reporting the effects on our
homes, privacy and mental health.
63. I understand that the applicant undertook private monitoring in one of
the homes located near MCQ and accordingly considers that
being provided with a
copy of the Monitoring Reports will afford the applicant the opportunity of
comparing the data comprised in
the Monitoring Reports with the data from its
own private monitoring.
64. The only provision that could arguably apply in these circumstances is
section 41 of the Copyright Act, which provides that a fair dealing with
Copyrighted Works does not constitute an infringement of the work if it is for
the purpose
of criticism or review. However, the relevant dealing is
Council’s dealing, that is, Council’s purpose in copying the
Monitoring Reports, and not the applicant’s dealing, that is the purpose
for which the applicant seeks the
documents.[73] It follows that
Council’s purpose in copying the Monitoring Reports would be to fulfil its
obligation under the RTI Act and
not for the purposes outlined in section 41 of
the Copyright Act.
65. The applicant also submits that one of its members has been served a Show
Cause Notice by Council[74] and the
member requires copies of the Monitoring Reports for the purpose of
demonstrating to the member’s lawyer the ‘scale of the seismic
and noise effects’ from the blasts undertaken at
MCQ.[75] The applicant asked if
there is ‘a facility where the OIC would release this data to [the]
lawyers’.[76]
66. Section 43 of the Copyright Act provides an exception to
infringement in the Copyright Act. Specifically, section 43(1) provides
that copyright is not infringed by anything done for the purposes of a judicial
proceeding or a report of a judicial proceeding.
Further, section 43(2) of the
Copyright Act provides that a fair dealing with an artistic work does not
constitute an infringement of the copyright in the work if it is for
the purpose
of the giving of professional advice by a legal practitioner.
67. This section of the Copyright Act has been considered by the
Information Commissioner in Western Australia (WA Information
Commissioner), in relation to an application to an agency for documents
relating to a planning and development
application.[77] The access
applicant indicated that it would undertake to use the documents only for the
purpose of giving legal advice and for the
purpose of judicial proceedings, such
that copying the documents would not be an infringement of copyright in
accordance with section 43 of the Copyright Act.
68. The WA Information Commissioner decided that the application of a defence
provided by section 43 of the Copyright Act is restricted to
circumstances in which the party copying the document can establish that the
purpose for which the copying is done,
is for its purposes, and not that of any
other party.[78]
69. I consider the WA Information Commissioner’s interpretation of
section 43 of the Copyright Act is correct. I am of the view that this is
supported by section 68(4)(c) of the RTI Act, which provides that if giving
access in the
form requested by the applicant would involve an infringement of
copyright of a person other than the State, access in that form
may be refused
and given in another form.
70. It follows that it is Council’s purpose in copying the Monitoring
Reports that must be considered in relation to the fair
dealing exception in
section 43 of the Copyright Act. Council’s purpose in copying the
Monitoring Reports in the circumstances of this case, would be to fulfil its
obligation under
the RTI Act and not for the purposes outlined in section 43 of
the Copyright Act.
71. In view of the above, I do not consider that the fair dealing exceptions
to infringement of copyright apply in the circumstances
of this matter.
Crown use
72. Section 183(1) of the Copyright Act
provides that copyright in a work is not infringed by a State doing any of the
acts comprised in the copyright if this is done “for
the services of the
Commonwealth or State”. That expression is not defined.
73. As noted by Assistant Information Commissioner Rickard in V11 and
Brisbane City Council,[79] it is
unclear whether the Crown use provision extends to local governments, such as
Council. I am also not aware of any legal authority
that supports that view for
the purposes of the Copyright Act.
74. Based on the material currently before me, I am unable to conclude that
Council’s copying of the Monitoring Reports for
the purpose of providing
access to them under the RTI Act would be an act done for the services of the
Commonwealth or State falling
within the purview of the statutory licence
contemplated in the Crown use provision.
75. In conclusion, after carefully considering the relevant provisions of the
Copyright Act, and also taking into consideration that the copyright
owner has expressly advised OIC that it is not willing for the applicant to
receive copies of the Monitoring Reports, I am satisfied that the Monitoring
Reports are subject to copyright and that providing
the applicant with a copy of
these documents under the RTI Act would constitute an infringement of copyright.
76. Accordingly, I find that access to the Monitoring Reports in the form
sought by the applicant (being provided with copies) may
be refused and instead
given in another form (by way of inspection) under section 68(4)(c) of the RTI
Act.[80]
Disclosure Issue
Relevant law
77. Access
to documents may be refused to the extent they comprise information the
disclosure of which would, on balance, be contrary
to the public
interest.[81] The term public
interest refers to considerations affecting the good order and functioning of
the community and government affairs
for the well-being of citizens. This means
that, in general, a public interest consideration is one which is common to all
members
of, or a substantial segment of the community, as distinct from matters
that concern purely private or personal
interests.[82]
78. In assessing whether disclosure of information
would, on balance, be contrary to the public interest, a decision maker
must:[83]
identify factors
irrelevant to the public interest and disregard them
identify factors
in favour of disclosure of information
identify factors
in favour of nondisclosure of information; and
decide whether,
on balance, disclosure of the information would be contrary to the public
interest.
Findings
79. In considering the
Disclosure Issue (noted at paragraphs 21 - 25 above), I have kept in mind the
RTI Act’s pro-disclosure
bias[84] and Parliament’s
intention that grounds for refusing access should be interpreted
narrowly.[85] Also, in my assessment
of whether disclosure of the Information in Issue would, on balance, be contrary
to the public interest, I
have carefully considered the non-exhaustive lists of
factors in schedule 4 of the RTI Act, and considered whether any other public
interest factors are relevant.
80. I have not taken any irrelevant factors into account in making this
decision.[86]
Factors favouring disclosure
81. The applicant submitted that releasing the
Information in Issue would allow local residents to ‘know how close
[Council] plan to blast’ as Council ‘are allowed to blast
anywhere inside their KRA-42 Resource Processing area’ and will allow
local residents to ‘gauge how bad the blast will
be’.[87]
82. The applicant also submitted that the Information in Issue should be
disclosed as it believes that MCQ has a scheme where it can
resume its former
blasting operations and gravel extraction, by lowering the height of all the
mine benches and:[88]
... lowering of the benches, will propagate up the
hill towards Scenic Drive, thereby creating instability in Scenic
Drive.
83. In this respect, the applicant is concerned that
MCQ:[89]
... may have a secret plan to actually remove the
uphill section of the much-loved Scenic Drive. By making the area unstable and
erosion
persistent, this will enable them to close the current uphill road and
then later blast it away.
84. Further the applicant submitted that:
the noise and
vibrations within homes near MCQ during a blast ‘severely affects the
local residents mental and physical
health’;[90] and
there are
concerns within the community about MCQ continuing to operate and the ultimate
cost of rehabilitation of the site once MCQ
discontinues its
operations.[91]
85. The applicant’s submissions give rise to a consideration of the
following public interest factors favouring disclosure:
whether
disclosure could reasonably be expected to promote open discussion of public
affairs and enhance Council’s
accountability[92]
whether
disclosure could reasonably be expected to contribute to positive and informed
debate on important issues or matters of serious
interest;[93] and
whether
disclosure could reasonably be expected to reveal
environmental or health risks or measures relating to
public health and
safety.[94]
86. I recognise that there is a general public interest in promoting access
to government held information. I also acknowledge that
Council provides very
limited publicly available information in relation to its operations at MCQ.
87. To the extent that the Information in Issue comprises details of the
reserves of asphalt aggregate situated at MCQ and accordingly
may provide an
indication of the expected life of MCQ, I consider it reasonable to expect that
disclosure of the Information in Issue
will help to promote discussion about
MCQ’s future operations, enhance Council’s accountability in that
respect and foster
informed debate.
88. I consider that the two factors in favour of disclosure in relation to
transparency and accountability and contributing to positive
and informed debate
attract significant weight, embodying as each does the strong public interest in
ensuring government in Queensland,
including local government is conducted as
transparently as possible.[95]
89. I have considered the applicant’s concerns about future erosion and
instability at MCQ and also the applicant’s view
that disclosure of the
Information in Issue will allow local residents to ‘gauge how bad the
blast will be’, as part of my deliberation regarding whether the
disclosure of the Information in Issue could reasonably be expected to reveal
environmental
or health risks or measures relating to public health and
safety.[96]
I note that the applicant made these submissions before receiving the three
part-pages of information from the two letters from Company
B that Council has
since released.[97]
90. While I acknowledge the concerns of the applicant in relation to the
effects of any future blasting conducted at MCQ, I note that
the Information in
Issue comprises advice of a preliminary nature in relation to the reserves of
quarry material and the locations
of those reserves at MCQ and does not contain
any final plans for the future operations at MCQ nor does it contain information
about
risks to the environment, health risks or measures relating to public
health and safety.
91. In view of the above, the Information in Issue does not on its face
reveal any environmental or health risks or measures relating
to public health
and safety. Accordingly, I am satisfied that this pro-disclosure factor does not
apply.
92. Finally, as noted at paragraph 79, I have also carefully considered the
remaining factors listed in schedule 4, part 2 of the RTI Act and turned my mind
to other possible
factors favouring
[98]sclosure;98 however, I am
satisfied that no other public interest factors favouring disclosure are
relevant in the circumstances of this review.
Factors favouring nondisclosure
93. The RTI Act recognises that factors favouring
nondisclosure will arise in circumstances where disclosure of the Information in
Issue could reasonably be expected to:
prejudice the
commercial competitive activities of an
agency;[99] or
prejudice trade
secrets, business affairs or research of an agency or person (together, the
Prejudice Factors);[100]
or
cause a public
interest harm because disclosure of the Information in Issue –
would
disclose information concerning the business, professional or commercial or
financial affairs of an agency or another person;
and
could
reasonably be expected to have an adverse effect on those affairs or to
prejudice the future supply of information of this type
to the government
(Harm
Factor).[101]
94. The Prejudice Factors and Harm Factor are directed towards preventing
unwarranted commercial disadvantage to:
persons who
carry on a commercial activity who supply information to government or about
whom government collects information; and
agencies which
carry on commercial activities.
95. The applicant made extensive submissions throughout the course of the
review, focussed on its view that the MCQ should be closed
and the area
rehabilitated to something akin to The Eden Project in the United Kingdom. The
applicant also raised concerns that the
cost of rehabilitation of the site would
continue to increase for every year that MCQ continued to operate. It is on that
basis that
the applicant considered that the commercial income generated at MCQ
is less than the costs of rehabilitation of the site and as
a result the
commercial viability of MCQ is
‘non-existent’.[102]
96. The applicant also submitted that MCQ is ‘virtually totally
“gutted”’ and therefore Council’s
‘previously used “commercial in confidence” defence now
seems invalid’.[103] The
applicant also considered that ‘road gravel is inexpensive and commonly
available and is the place for quarries that are not located in Urban Tourism
Venues’.[104]
97. The applicant submitted information in relation to the price of asphalt
gravel from other competing
quarries[105] and relative
trucking times and distances,[106]
to support its view that it would be more commercially viable to obtain asphalt
aggregate from other quarries and rehabilitate MCQ.
98. Further the applicant submitted that OIC should request that Council
provide OIC with its ‘rehabilitation costings and compare this with
their meagre mine-gate profit’ and on that basis ‘OIC would
be in a much better position to make value judgements on BCC MCQ
operations’.[107]
99. While I acknowledge the commitment of the applicant to its views, I am
not tasked to decide whether it is more commercially viable
for Council to close
MCQ and rehabilitate the site into a tourist attraction, rather than continue
its current operation as a quarry,
nor am I tasked to decide whether other
quarries could supply the same products currently supplied by MCQ. Rather, I am
required
to consider whether the quarry activities at MCQ are a commercial
activity of Council and whether disclosure of the Information in
Issue would
prejudice or harm that commercial activity. In this respect, I note that the
applicant has not provided any submissions
to address the issue of whether
disclosure of the Information in Issue could reasonably be expected to prejudice
or harm a commercial
activity of Council.
Prejudice Factors
Commercial activity of Council
100. MCQ
has been operated by Council since Council’s formation in
1926.[108] As noted above the
Information in Issue is essentially comprised in two letters to Council, in
which advice is provided to Council
by Company B in relation to reserves at
MCQ.
101. Despite the applicant, in its correspondence to Council, appearing to
accept that MCQ undertakes a commercial activity on behalf
of
Council,[109] the applicant
subsequently submitted to OIC that it does not believe that MCQ conducts any
commercial activities, as it only supplies
materials to a named large
construction company (Company C), and Company C make political donations
to the Liberal National Party of
Queensland.[110] To the extent
that the applicant appears to be suggesting that MCQ is not conducting a
commercial activity on behalf of Council because
it supplies materials to
Company C, I disagree. Political donations are irrelevant to the question of
whether MCQ conducts a commercial
activity on behalf of Council. The
applicant’s own submission acknowledged that MCQ supplies material to
Company C. The supply
of goods is a commercial activity.
102. During the external review, Council submitted that it operates two large
asphalt plants at Eagle Farm and Riverview, which are
supplied by MCQ, and is
one of South East Queensland’s largest asphalt producers to not only
Council, but also the commercial
asphalt
market.[111] Additionally, Council
submitted that MCQ sells quarry products to commercial customers in a
competitive market.[112] Based on
this information, I am satisfied that the operations undertaken at MCQ are a
competitive commercial activity undertaken
by Council.
103. Having carefully considered the Information
in Issue, I am satisfied that it provides information about the available
resources
for future quarrying at MCQ, including specific volumes of material
that may be extracted from MCQ, and therefore concerns the business
or
commercial affairs of Council in relation to the future supply of quarry
materials and commercial asphalt.
Prejudice business or commercial affairs
104. In relation to
whether the release of the Information in Issue could reasonably be expected to
prejudice the business affairs
or competitive commercial activities of Council,
I accept the submissions made by Council that the sourcing of asphalt aggregates
from MCQ is a component of the cost of asphalt that Council charges to the
commercial asphalt market and that Council competes in
a competitive market for
the sale of its quarry material. I accept Council’s submission that
disclosure of the Information
in Issue could, given its nature, reasonably be
expected to be used by a competitor in the commercial asphalt market to
calculate
Council’s future supply costs of asphalt and undercut those
costs, or impinge on Council’s future sales of quarry material,
resulting
in prejudice to the business affairs and competitive commercial activities of
Council.
105. I note that the applicant has published
OIC’s preliminary view on its
website[113] and has specifically
drawn attention to Council’s submission that the sourcing of asphalt
aggregates from MCQ equates to approximately
forty per cent of the cost of
asphalt that Council charges to the commercial asphalt
market.[114] I consider the effect
of publication of the cost ratio information by the applicant increases the
prejudice (and harm) that could
reasonably be expected to occur from disclosure
of the Information in Issue, by providing a commercial competitor with further
information
about Council’s commercial activity and therefore a
competitive advantage.
Weight
106. The applicant
submitted that the information to which it seeks access is similar to
information that has already been released
into the public domain by Council. To
the extent that the applicant suggests that any commercial prejudice (or harm
– discussed
under the Harm Factor heading below) that could reasonably be
expected to occur from disclosure of the Information in Issue is significantly
reduced, due to there being similar information already in the public domain, I
disagree. The information referred to by the applicant
comprises information
that was presented at a conference in 2012. The PowerPoint slides that formed
part of the presentation, included
diagrams showing the locations of blasts that
had occurred at MCQ prior to the presentation. The information in the public
domain
is old data and does not comprise information relating to material
volumes that could be extracted by MCQ in the future and the corresponding
values. Consequently, I consider that the prejudice (or harm) that could
reasonably be expected to flow from disclosure of the Information
in Issue is
not diminished.
107. Given the costs that would flow to rate
payers in the event of prejudicial impact on Council’s business and
competitive
commercial activities in regard to quarry material and asphalt
production, I give significant weight to the prejudice factors favouring
nondisclosure of the Information in Issue.
Harm Factor
108. The Information Commissioner has previously
found that the adverse effect required by the business affairs harm provision
will
almost invariably be financial in nature, whether directly or indirectly.
Accordingly, in most instances the question of whether
disclosure of the
Information in Issue could reasonably be expected to cause the necessary
prejudice or have the requisite adverse
effect will turn on whether disclosure
of the information is capable of causing competitive harm to the relevant
entity.[115]
Business or Commercial Affairs of Council
109. As noted at paragraphs 100 to 103 above I am satisfied that the
Information in Issue concerns the business or commercial affairs of Council.
Adverse Effect
110. In relation to whether the release of the
Information in Issue could reasonably be expected to have an adverse effect or
cause
competitive harm to Council, I accept the submissions made by Council set
out at paragraph 104 above and repeat and rely on my reasons
in paragraphs 104
and 105 above, to conclude that disclosure of the Information in Issue could
enable a competitor in the asphalt
aggregate and quarry materials supply trade
to gain a competitive advantage over MCQ in its supply of asphalt aggregate to
the plants
at Eagle Farm and Riverview, or generally in the quarry materials
market, by ascertaining the capacity of MCQ’s reserves. Accordingly,
I
consider that disclosing the Information in Issue would have an adverse effect
on the business or commercial affairs of Council.
Weight
111. I note the agency’s submission set out at
paragraph 104 above. For the same reasons set out in that paragraph, and
paragraph
105, I consider that the weight to be afforded to the Harm Factor in
favour of nondisclosure of the Information in Issue, is significant.
Balancing the public interest
112. As outlined above, I afford the pro-disclosure
factors concerning accountability and transparency and contributing to informed
debate significant weight.
113. On the other hand, I also afford the nondisclosure factors regarding the
commercial and business prejudice and harm factors significant
weight.
114. On balance, when taking into consideration the position that disclosure
of the Information in Issue under the RTI Act means there
can be no restriction
on its use or dissemination[116]
and noting the commercial sensitivity of the information and the implications
for rate payers, I consider that the factors favouring
disclosure of the
Information in Issue are outweighed by the factors favouring nondisclosure in
this case.
115. Accordingly, I consider that access to the Information in Issue may be
refused on the ground that its disclosure would, on balance,
be contrary to the
public interest. DECISION
116. As set out above, I vary the decision under review and find that access
to:
the Monitoring
Reports is granted by way of inspection only under section 68(4)(c) of the RTI
Act as providing the applicant with
a copy of the documents would involve an
infringement of the copyright of a person other than the State; and
the Information
in Issue identified above can be refused under section 47(3)(b) of the RTI Act
as its disclosure would, on balance,
be contrary to the public interest.
117. I have made this decision as a delegate of the Information Commissioner,
under section 145 of the RTI Act.Assistant Information
Commissioner CorbyDate: 27 September 2021
APPENDIX
Significant procedural steps
Date
Event
26 August 2019
OIC received the applicant’s external review application.
27 August 2019
OIC notified the applicant and Council that the external review application
had been received and requested procedural information
and documents from
Council.
27 August 2019
The applicant contacted OIC.
27 August 2019
Council provided OIC with the procedural information.
6 September 2019
OIC sought further information from Council, and Council provided
this.
24 September 2019
OIC notified the applicant and Council that the external review had been
accepted and requested the information in issue from Council.
30 September 2019
Council provided the information in issue to OIC.
11 October 2019
The applicant provided OIC with information in relation to its view about
the cost of rehabilitation at MCQ.
1 November 2019
The applicant provided OIC with information in relation to why it considers
it should be provided access to all information requested.
8 November 2019
OIC wrote to Council requiring it to carry out further searches to locate
documents responsive to the applicant’s access application
and requested
that it provide further information in relation its decision to refuse to deal
with Item 2 of the applicant’s
access application.
8 November 2019
OIC wrote to the applicant to provide an update, to explain to the
applicant OIC’s role on external review and to confirm that
OIC does not
have the ability to require an agency to answer questions or provide
explanations about documents.
12 November 2019
The applicant contacted OIC and provided information about the measurements
of previous blasts conducted at MCQ.
19 November 2019
Council provided OIC with copies of its decisions in relation to the
applicant’s previous access applications.
19 November 2019
Council contacted OIC requesting an extension of time in which to provide a
response to OIC’s letter dated 8 November 2019.
19 November 2019
OIC agreed to provide Council with an extension of time to provide a
response to OIC’s letter dated 8 November 2019.
2 December 2019
The applicant contacted OIC and provided information as to why it considers
it should be provided with further information and also
requested that OIC
conduct an investigation into why the Department of Environment and Science had
ignored a recommendation for conducting
its own monitoring.
3 December 2019
Council provided OIC with a copy of the Monitoring Reports located as a
result of conducting further searches.
9 December 2019
OIC contacted the applicant to provide an update and reiterated OIC’s
role on external review.
10 December 2019
The applicant provided OIC with information in relation to why it considers
it should be provided access to all information requested.
13 December 2019
The applicant provided OIC with a copy of its MCQ ‘Rehabilitation
Spreadsheet’.
6 January 2020
The applicant provided OIC with information in relation to why it considers
it should be provided access to all information requested.
The applicant also requested that OIC require Council to provide residents
local to MCQ with details of the estimated strengths of
future blasts, when
Council sends out its notice of blast emails to local residents.
7 January 2020
The applicant sent OIC an email addressed to the Queensland
Ombudsman.
13 January 2020
The applicant provided OIC with its analysis of previous blast vibration
data and information in relation to its view that all monitoring
conducted must
adhere to Schedule F of MCQ’s development permit.
16 January 2020
The applicant provided OIC with further information to support its view
that Council should provide local residents with information
about the planned
blast strength in its notice of blast emails sent out to local residents.
20 January 2020
OIC wrote to Council requiring:
further
information in relation to its decision to refuse access to the information in
Item 2 of the applicant’s access application,
on the ground that the
applicant had made a previous application for the same documents; and
seeking
clarification in relation to the date referred to in one of the Monitoring
Reports located by Council.
29 January 2020
OIC provided the applicant with an update by telephone and also explained
OIC’s role on external review.
7 February 2020
The applicant contacted OIC requesting access to the documents provided to
OIC by Council.
10 February 2020
OIC received Council’s response to OIC’s letter dated 20
January 2020.
17 February 2020
The applicant emailed OIC, asking if OIC could provide an opinion on the
applicant’s request that Council include the estimated
blast strength in
its notice of blast emails to residents local to MCQ.
26 February 2020
The applicant telephoned OIC and requested an update.
27 February 2020
OIC provided the applicant with an update and advised that OIC cannot
request or direct Council to include further information in
the emails it
releases to residents local to MCQ.
30 March 2020
The applicant emailed OIC, requesting access to the documents provided to
OIC by Council and also requesting access to the ‘Event
Reports’ (Event Reports) created in response to the blasts
conducted at MCQ.[117]
14 April 2020
OIC contacted Council and sought clarification of Council’s
submission dated 3 December 2019 and required Council to conduct
searches to
locate the Event Reports.
15 April 2020
OIC provided the applicant with an email update. OIC received an
acknowledgment email from the applicant.
2 May 2020
The applicant emailed OIC, advising that it was simply seeking access to
the Monitoring Reports.
12 May 2020
OIC contacted Council to request a response to OIC’s letter dated 14
April 2020.
26 May 2020
The applicant telephoned OIC and requested an update.
27 May 2020
OIC contacted Council to request a response to OIC’s letter dated 14
April 2020.
27 May 2020
OIC provided the applicant with an update.
28 May 2020
Council emailed OIC, seeking a further extension of time to respond to
OIC’s letter of 14 April 2020.
28 May 2020
The applicant emailed OIC, requesting access to documents that fall outside
the scope of its access application.
2 June 2020
OIC received Council’s response to OIC’s letter dated 14 April
2020.
15 June 2020
OIC wrote to Council requesting further information in relation to
Council’s 28 May 2020 submission.
10 July 2020,
31 July 2020
OIC contacted Council to request a response to OIC’s letter dated 15
June 2020.
31 July 2020
OIC received Council’s response to OIC’s letter dated 15 June
2020.
13 August 2020
OIC provided the applicant with an update.
The applicant emailed OIC, advising that it had made a new access
application to Council.
18 August 2020
The applicant emailed OIC, providing information as to why it considers it
should be provided with the Monitoring Reports.
3 September 2020
The applicant emailed OIC, requesting that OIC provide it with copies of
the documents OIC had received from Council or alternatively
provide the
applicant with a description of the documents.
7 September 2020
OIC conveyed a preliminary view to Council concerning access to information
comprised in the 17 pages of documents forming part of
the Extraction Plan. OIC
provided an update to the applicant.
8 September 2020
The applicant copied OIC into an email it sent to Council in relation to
blasts conducted at MCQ on 18 June 2020 and 3 September 2020.
OIC was
subsequently copied into an acknowledgment email from Council to the
applicant.
11 September 2020, 13 September 2020, 19 September 2020
The applicant copied OIC into its emails to Council in response to
Council’s email dated 8 September 2020.
1 October 2020
OIC contacted Council to request a response to OIC’s letter dated 7
September 2020.
3 October 2020
The applicant emailed OIC, providing information in relation to its
complaint to Council about victimisation of the chairperson of
the
applicant.
6 October 2020
OIC granted Council an extension of time to provide a response to
OIC’s letter dated 7 September 2020.
25 November 2020
OIC contacted Council requesting a response to OIC’s letter dated 7
September 2020.
26 November 2020
Council provided OIC with its response to OIC’s letter dated 7
September 2020.
27 November 2020
OIC contacted Council seeking clarification in relation to Council’s
mark-up of the Monitoring Reports. OIC provided an update
to the
applicant.
27 November 2020
The applicant emailed OIC, providing information as to why it considers the
Monitoring Reports should be disclosed to it.
11 December 2020
The applicant contacted OIC and requested an update by telephone.
14 December 2020
Council provided OIC with its response to OIC’s email dated 27
November 2020.
OIC provided the applicant with an update by telephone.
22 December 2020
OIC contacted Council requesting further information from Council in
relation to its view that access should be refused to some information
in the
Monitoring Reports.
4 January 2021
The applicant provided OIC with its response to Council in relation to a
report from an independent company which concluded that the
blasts conducted at
MCQ had not resulted in any property damage.
14 January 2021
The applicant provided OIC with a copy of its correspondence to Council in
relation to its complaint that it considers that Council
has never complied with
Schedule F of the development permit.
18 January 2021
OIC provided the applicant with an update.
25 January 2021
The applicant provided OIC with its ‘final’ complaint email to
Council.
28 January 2021
OIC contacted Council to request a response to OIC’s letter dated 22
December 2020.
1 February 2021
The applicant copied OIC into an email to Council in relation to another
access application that Council was processing.
2 February 2021
The applicant emailed OIC, raising concerns about its other access
application with Council.
3 February 2021
OIC contacted the applicant to explain that OIC cannot provide any advice
in relation to an application being processed by Council.
4 February 2021
OIC received an acknowledgement email from the applicant.
4 February 2021,
8 February 2021
The applicant copied OIC into its email to Council in relation to its other
access application.
11 February 2021
OIC consulted with Company A in relation to the release of some of the
information comprised within the Monitoring Reports.
OIC contacted Council and requested that it release a marked-up copy of the
relevant Monitoring Reports to Company A.
11 February 2021
Council confirmed to OIC that it had provided Company A with a marked-up
copy of the Monitoring Reports.
18 February 2021
The applicant emailed and telephoned OIC, requesting a copy of the
documents by the following day.
OIC provided the applicant with an update.
The applicant sent a further email to OIC in relation to its complaint
about Council to the Human Rights Commission.
19 February 2021
The applicant emailed OIC, advising that it required the documents
responsive to its access application as part of the processing
of its complaint
to the Human Rights Commission.
22 February 2021
The applicant copied OIC into its email to Council in relation to its other
access application being processed by Council.
11 March 2021
OIC provided the applicant with an update.
12 March 2021
OIC contacted Council providing OIC’s view that Council had not met
the onus to satisfy OIC that access should be refused to
some of the information
in the Monitoring
Reports.[118]
17 March 2021
Company A provided a response to OIC.
31 March 2021
The applicant emailed OIC, requesting that information be released that
day.
1 April 2021
The applicant telephoned OIC requesting an update.
The applicant also emailed OIC, requesting an update in relation to its
other access application being processed by Council.
OIC provided an external review update to the applicant and advised that it
could not provide advice in relation to its access application
with
Council.
6 April 2021
OIC provided an update to the applicant, as requested by the
applicant.
8 April 2021
OIC provided a preliminary view to the applicant.
OIC contacted Council to request that it release some information to the
applicant and arrange for the applicant to inspect the Monitoring
Reports.
Council provided OIC with an acknowledgment email.
The applicant emailed OIC, stating that it was not satisfied with
inspecting the Monitoring Reports.
9 April 2021
The applicant provided a submission to OIC.
12 April 2021
The applicant and Council copied OIC into the emails between them in
relation to inspection of the Monitoring Reports.
12 April 2021
OIC provided the applicant with a response to comments and queries raised
in the applicant’s emails dated 8 and 9 April 2021.
13 April 2021
The applicant copied OIC into its email to Council in which the applicant
made submissions to Council in relation to the refused information.
14 April 2021
The applicant emailed OIC, requesting that it be provided with access to
the refused information.
15 April 2021
OIC provided a response to the applicant’s request to be provided
with access to the refused information.
16 April 2021
The applicant emailed OIC, advising that it would be in a position to
provide a submission the following week.
21 April 2021,
23 April 2021
The applicant copied OIC into its emails to Council in relation to the
refused information.
28 April 2021,
3 May 2021,
4 May 2021
The applicant provided a submission to OIC.
7 May 2021
The applicant copied OIC into its email to Council in relation to
inspection of the Monitoring Reports.
11 May 2021,
12 May 2021
The applicant provided a submission to OIC.
17 May 2021
The applicant provided a submission to OIC, in which it requested that it
be provided with a copy of a letter from Council.
19 May 2021
OIC wrote to the applicant in relation to its submissions and its request
that it be provided with a copy of the letter from Council.
21 May 2021
The applicant provided a submission to OIC.
24 May 2021
The applicant telephoned OIC and requested an update.
25 May 2021
OIC provided the applicant with an update.
27 May 2021
The applicant provided a submission to OIC.
31 May 2021
OIC provided an update to the applicant.
9 June 2021
OIC contacted Council to request a copy of Council’s purchase orders
with Company A.
14 June 2021
The applicant sent two emails to OIC.
15 June 2021
OIC provided an update to the applicant.
28 June 2021
OIC contacted Council to seek further information in relation to its
commercial prejudice submission.
12 July 2021
OIC contacted Council requesting a response to OIC’s email dated 9
June 2021.
15 July 2021
Council provided OIC with a copy of a current purchase order.
16 July 2021
Council provided OIC with copies of some of the purchase orders relevant to
the time period of the Monitoring Reports.
22 July 2021
The applicant emailed OIC, requesting an update.
26 July 2021
OIC provided an update to the applicant.
22 August 2021
The applicant provided a submission to OIC.
24 August 2021
The applicant copied OIC into an email to Council in which it complained
about the blast that was conducted at MCQ that day.
13 September 2021
The applicant emailed OIC, requesting an update.
16 September 2021
OIC provided an update to the applicant.
[1] See paragraph 13 for full terms of the original
application.[2] On 28 June 2019
the applicant contacted Council to request that the scope of the application be
expanded. By email dated 1 July 2019
Council agreed to include the Expanded
Scope.[3] Being 7 December 2017, 9
February 2018, 2 March 2018, 23 March 2018, 19 April 2018, 3 May 2018, 31 May
2018, 14 June 2018 and 21
June
2018.[4] On the ground that the
applicant had made a previous application for the same documents under section
43 of the RTI Act. Under Council
reference number 2016/17-278 (2017
application).[5] On the ground
that, on balance, disclosure would be contrary to the public interest under
section 47(3)(b) of the RTI
Act.[6] Council’s decision
dated 16 August 2019 erroneously referred to 10 pages being released in full. 11
pages were actually released
in full.
[7]
Received by OIC on 26 August
2019.[8] Section 58(1) of the HR
Act.[9] Section 21(2) of the HR
Act. [10] Freedom of
Information Act 1982 (Vic) and the Charter of Human Rights and
Responsibilities Act 2006 (Vic).
[11] XYZ v Victoria Police
(General) [2010] VCAT 255 (XYZ) at
[573].[12] XYZ at
[573]; see also Horrocks v Department of Justice
(General) [2012] VCAT 241 at
[111].[13] OIC’s letter to
Council dated 8 November
2019.[14] Council’s letter
to OIC dated 2 June 2020.[15]
Except for certain information (the blast design details and explosive loading
details) appearing in the Monitoring Reports, which
Council maintained should
not be disclosed – Council’s letter to OIC dated 31 July
2020. [16] In a letter dated 11
February 2021, pursuant to sections 37 and 89 of the RTI
Act.[17] Company A’s
letter to OIC dated 17 March
2021.[18] Section 68(1)(a) of
the RTI Act.[19] Section
47(3)(b) of the RTI Act.[20]
Section 90(1) of the RTI
Act.[21] Subject to the
redaction of the report author’s personal information and blast details as
noted at paragraph 19.[22]
Section 68(4)(c) of the RTI Act. Consideration of the Form of Access Issue
begins at paragraph 26
below.[23] Section 43 of the RTI
Act. [24] Council’s letter
to OIC dated 10 February
2020.[25] Section 47(3)(b) and
schedule 4, part 3, items 2, 17 and 20 and part 4, section 4(1) of the RTI
Act.[26] Letter to Council dated
7 September 2020.[27] Letter to
the applicant dated 8 April 2021. In an email to the applicant dated 31 May
2021, OIC advised the applicant that it would
proceed to a formal decision on
the basis that the applicant objected to OIC’s preliminary view in
relation to the Information
in Issue and the Disclosure
Issue.[28] OIC’s letters
dated 8 April 2021 and 19 May 2021, submissions from the applicant dated 8 April
2021, 9 April 2021, 12 April
2021, 14 April 2021, 16 April 2021, 28 April 2021,
3 May 2021, 4 May 2021, 11 May 2021, 12 May 2021 and 17 May 2021 and the
applicant’s
emails to Council dated 12 April 2021, 13 April 2021, 21 April
2021, 23 April 2021 and 7 May
2021.[29] 7 pages of PDF 1, 5
pages of PDF 2, 2 part-pages of PDF 3 and 1 page and 2 part-pages of PDF
4.[30] Section 47(3)(b) of the
RTI Act. Consideration of the Disclosure Issue begins at paragraph 77
below.[31] Section 85 of the RTI
Act provides that ‘a person affected by a reviewable decision may apply
to have the decision reviewed by the information commissioner’.
‘Reviewable decision’ in Schedule 5 of the RTI Act means to
include ‘(i) a decision giving access to a document in a form different
to the form applied for by the applicant, unless access in the form applied
for would involve an infringement of the copyright of a person other than the
State’ [emphasis
added].[32] Subject to the
redaction of the report author’s personal information and blast details as
noted at paragraph 19.[33]
Section 68(4)(c) of the RTI
Act.[34] Section 32(1) of the
Copyright Act.[35]
Acohs Pty Ltd v Ucorp Pty Ltd [2012] FCAFC 16; (2012) 201 FCR 173; University of
London Press Ltd v University Tutorial Press Ltd [1916] 2 Ch 601 at
608-610.[36] MacMillan and Co
Ltd v Cooper (1923) LR 51 Ind App 109; Interfirm
Comparison (Aust) Pty Ltd v Law Society of New South Wales [1975] 2 NSWLR
104.[37] Section 10
(definition of ‘artistic work’) of the Copyright
Act.[38] Section 10
(definition of ‘drawing’) of the Copyright
Act.[39] Section 10
(definition of ‘literary work’) of the Copyright
Act.[40] Sections 31(1)(a)
and 31(1)(b) of the Copyright
Act.[41] Section 36(1) of
the Copyright Act.[42]
Part III, Division 3 of the Copyright Act – Acts not
constituting infringements of copyright in works.
[43] Section 183(1) of the
Copyright Act.[44]
Company A’s letter to OIC dated 17 March
2021.[45] Council’s email
to OIC dated 14 December
2020.[46] Development permit
IPDE00920708. Schedule F relates to the emission of
noise.[47] Applicant’s
email to OIC dated 4 January
2021.[48] Applicant’s
email to OIC dated 9 April
2021.[49] Applicant’s
email to OIC dated 21 May
2021.[50] Applicant’s
telephone call with a Review Officer on 25 May
2021.[51] Interfirm
Comparison (Aust) Pty Ltd v Law Society of New South Wales [1975] 2 NSWLR
104.[52] There is no
information before me to suggest that the Monitoring Reports have been published
or that the author of the reports is
not a qualified person for the purposes of
section 32 of the Copyright
Act.[53] Section 36(1) of
the Copyright Act.[54]
Submission to OIC dated 23 April 2021 at page
5.[55] Council’s letter to
OIC dated 31 July 2020.[56]
Section 31(1)(b) of the Copyright
Act.[57] Lorenzo &
Sons Pty Ltd v Roland Corp (1992) IPR 376 at
380-2.[58] Codelfa
Construction Pty Ltd v State Rail Authority (NSW) (1982) 149 CLR
337.[59] Hardingham v RP Data
Pty Limited [2019] FCA 2075, 147 IPR 489 at [44]- [50]
(Hardingham). [60]
Hardingham at
[44]-[50].[61] As my decision
relates to access of documents under the RTI Act and does not relate to an
actual claim of infringement, I do not
consider that it is necessary for me to
consider the fourth principle referred to in
Hardingham.[62] Beck v
Montana constructions Pty [1964-5] NSWR 229
(Beck).[63]
Beck at 235.[64]
Hardingham at [49].[65]
Permit number IPDE00920708.[66]
At [F4] to [F6].[67] At [H9] to
[H16].[68] At
[H18].[69] At
[A5].[70] Submission to OIC
dated 28 April 2021 at page
2.[71] Applicant’s emails
to OIC dated 24 August 2019, 12 November 2019, 2 December 2019, 6 January 2020,
13 January 2020, 18 August
2020, 27 November 2020, 4 January 2021, 25 January
2021, 18 February 2021, 3 May 2021, 11 May 2021, 21 May 2021, 13 June 2021,
applicant’s
submission to OIC dated 28 April 2021 at 3-4, 7 and 16 and
applicant’s emails to Council dated 8 September 2020, 11 September
2020
and 13 September 2020.[72]
Applicant’s email to OIC dated 9 April
2021.[73] Amos v Central
Coast Council [2018] NSWCATAD 101 at [75]; Sandy v Kiama Municipal
Council [2019] NSWCATAD 49 at [40] and Hoyts Multiplex Cinemas Pty Ltd v
City of Gosnells [1997] WAICmr 1 at [25]- [30]
(Hoyts).[74]
Pursuant to section 167 of the Planning Act 2016
(Qld).[75] Applicant’s
email to OIC dated 14 June
2021.[76] Applicant’s
email to OIC dated 14 June
2021.[77] In
Hoyts.[78] Hoyts
at [25]. In reaching that decision the WA Information Commissioner referred
to the decision of Beaumont J in De Garis and Anor v Neville Jeffress Pidler
Pty Ltd [1990] FCA 352; (1990) 37 FCR 99, in which Beaumont J considered section 40 of the
Copyright Act.[79] [2021]
QICmr 39 (6 August 2021) at
[41]-[44].[80] Subject to the
redaction of the report author’s personal information and blast details as
noted at paragraph 19.[81]
Sections 47(3)(b) and 49 of the RTI Act. Section 47(2)(a) of the RTI Act
requires the grounds to be interpreted
narrowly.[82] However, there are
some recognised public interest considerations that may apply for the benefit of
an individual. See Chris Wheeler,
‘The Public Interest: We Know It's
Important, But Do We Know What It Means’ [2006] AIAdminLawF 2; (2006) 48 AIAL Forum 12, 14.
[83] Section 49(3) of the
RTI Act. [84] Section 39 of
the RTI Act.[85] Section
47(2)(a) of the RTI Act.[86]
Section 49(3)(d) of the RTI
Act.[87] Applicant’s email
to OIC dated 6 January 2020.[88]
Applicant’s email to OIC dated 16 April
2021.[89] Applicant’s
email to OIC dated 16 April
2021.[90] Applicant’s
email to OIC dated 6 January
2020.[91] See the website of
Michael Berkman, MP for Maiwar https://www.michaelberkman.com.au/quarry;
‘Mt Coot-tha Residents Fight for Quarry Closure, Future Zipline Plans May
Be Affected’, Chapel Hill News (online) https://chapelhillnews.com.au/mt-coot-tha-residents-fight-quarry-closure-future-zipline-plans-may-affected/.[92]
Schedule 4, part 2, item 1 of the RTI
Act[93] Schedule 4, part 2, item
2 of the RTI Act.[94] Schedule
4, part 2, item 14 of the RTI
Act.[95] A public interest
reflected in the very existence of the RTI Act, and Parliament’s
recognition that in a ‘free and democratic
society there should be open
discussion of public affairs’, that information ‘in the
government’s possession or
under the government’s control is a
public resource’, and that ‘the community should be kept informed of
government’s
operations...’: Preamble, sections 1(a)-(c) of the RTI
Act.[96] Schedule 4, part 2,
item 14 of the RTI Act.[97] As
noted at paragraph 24
above.[98] Noting that, given
the wording of section 49(3)(b) of the RTI Act, the factors favouring disclosure
listed in schedule 4, part 2
of the RTI Act are
non-exhaustive.[99] Schedule 4,
part 3, item 17 of the RTI
Act.[100] Schedule 4, part 3,
item 15 of the RTI Act.[101]
Schedule 4, part 4, section 7(1)(c) of the RTI
Act.[102] Applicant’s
email to OIC dated 6 January
2020.[103] Applicant’s
email to OIC dated 14 January
2021.[104] Applicant’s
email to OIC dated 16 April
2021.[105] Applicant’s
email to OIC dated 11 May
2021.[106] Applicant’s
email to OIC dated 21 May
2021.[107] Applicant’s
email to OIC dated 11 May
2021.[108] Council’s
letter to OIC dated 31 July 2020 at page
3.[109] As evidenced by the
applicant’s email to Council dated 11 September 2020, in which it states a
prominent electoral candidate
interviewed truck drivers outside MCQ and was
advised by the truck drivers that ‘none of the MCQ gravel is ever
delivered to BCC facilities, all gravel goes to commercial outlets and asphalt
factories’.[110]
Telephone call between the applicant and an OIC Officer on 14 December
2020.[111] Council’s
letter to OIC dated 31 July
2020.[112] Telephone call
between myself and Council on 28 June
2021.[113] http://www.mtcoot-tha.org (accessed on 10
June 2021).[114] http://www.mtcoot-tha.org (accessed on 11
June 2021).[115] Kalinga
Wooloowin Residents Association Inc and Brisbane City Council; City North
Infrastructure Pty Ltd; Treasury Department (Unreported, Queensland
Information Commissioner, 9 May 2012) at
[89].[116] As observed by
Judicial Member McGill SC in FLK v Information Commissioner [2021] QCATA
46 at [17]. While the observation was made in relation to the IP Act, I consider
the observation is equally applicable to access of information
obtained via the
RTI Act.[117] Access to these
reports was addressed in OIC’s preliminary view dated 8 April 2021, the
applicant did not raise any objections
to OIC’s preliminary view in this
respect.[118] Section 87(1) of
the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Pemberton and The University of Queensland [2008] QICmr 26 (23 September 2008) |
Pemberton and The University of Queensland [2008] QICmr 26 (23 September 2008)
Office of the Information
Commissioner Decision and Reasons for
Decision Application Number:
210529
Applicant:
Dr John Pemberton
Respondent:
University of Queensland
Decision
Date:
23 September 2008
Catchwords:
FREEDOM OF INFORMATION - section 77(1)(a) of the Freedom of Information
Act 1992 (Qld) - Commissioner may decide not to deal with an
application for review - whether application for review is lacking
substance
FREEDOM OF INFORMATION - sufficiency of search - whether reasonable grounds to
believe
further relevant documents are in the possession or under the control of
the agency
FREEDOM OF INFORMATION - section 25(3) of the Freedom of Information Act 1992
(Qld) - documents which post-date the freedom of information
application
Contents
REASONS FOR DECISION
Summary
1. In
this decision, I have found that the application for review is lacking substance
and therefore, this is an appropriate
case in which to exercise my discretion
under section 77(1)(a) of the Freedom of Information Act 1992 (Qld)
(FOI Act) not to deal with the application for review.
Background
2. By
letter dated 24 January 2008 the Applicant applied to the University for access
to the following (FOI Application):
• all documents
concerning the death of Dr Zhou, from his initial appointment until the date of
the FOI Application,
particularly documents showing:
o the exact time and date when Dr Zhou
returned to China
o the precise date and location of his
death
o any information on the cause of his
death
• a list of viruses
held by the Lions Immunology Research Centre (Research Centre) for the
period 1991 to the date of the FOI Application including viruses held at other
sites used by members of the Research Centre
• details of any
accidents or incidents within or associated with the Research Centre from 1991
to the date of the FOI
Application
• a list of all viruses
held within the Molecular Biosciences Building of the University from the period
1991 to the
present time
• details of any
accidents or incidents involving viruses in the Molecular Biosciences Building
from 1991 to the present
time including the following information:
o the day and date of the
incidents
o the names of the viruses
o who was infected or affected
o whether any of those infected
suffered or still suffer the after effects
• any documents
regarding a coronial inquest into the death of Dr Zhou.
3. On
17 February 2008, the Applicant reached agreement with the University to amend
the scope of his FOI Application
as follows:
• the request for
documents concerning Dr Zhou’s death is limited to Dr Zhou’s medical
records or any documents
discussing Dr Zhou’s ‘pre-existing
condition’. Specifically, information relating to Dr Zhou’s
salary, superannuation
entitlements and memorial service were excluded from the
terms of the FOI Application
• the request for lists
of viruses is limited to a list of current viruses held in the former Lions
Immunology Research
Centre and the Molecular Biosciences Building as at the date
of the FOI Application.[1]
4. By
letter dated 4 April 2008, Mr A Zgrajewski[2] informed the Applicant that he had located 451 folios in
response to the FOI Application. With respect to those folios, Mr
Zgrajewski
decided (Original Decision) to:
• grant full access to
173 folios
• grant partial access
to 278 folios because they contain matter which is:
o exempt from disclosure
pursuant to section 44(1) of the FOI Act
o not relevant to the FOI
Application and can therefore be deleted pursuant to section 27(3) of the FOI
Act.
5. In
the Original Decision, Mr Zgrajewski also made the following statements:
• The only documents
relating to the death of Dr Zhou is a death certificate. All other
documents on his personnel file relate to his
appointment as a University
employee, salary, superannuation entitlements and a memorial service following
his death
• A search of
Occupational Health and Safety records was unable to identify any incident or
accident reports that involve viruses used
in the Molecular Biosciences
Building.
• As previously
advised, the University is unaware of any coronial inquest into Dr Zhou’s
death. It follows that the University
had no records of this
inquest.
6. By
letter dated 21 April 2008, the Applicant applied to the University for internal
review of the Original Decision
on the following grounds (Internal Review
Application):
• inadequate searches
were conducted for documents relating to accidents or incidents involving
viruses within the Molecular
Biosciences Building
• additional documents
relating to the death of Dr Zhou such as accompanying correspondence to the
death certificate
should have been located by the University.
7. By
letter dated 12 May 2008, Mr D Porter[3] responded to the Internal Review Application as
follows:
• Dr Zhou’s death
certificate was provided to the University as an attachment to a letter
concerning his superannuation
benefits[4] and therefore, that letter was not
within the scope of the FOI Application
• apart from the death
certificate, the University does not hold any documents concerning Dr
Zhou’s medical records
or ‘pre-existing condition’
• additional inquiries
were made and further searches were conducted for documents relating to any
accidents or incidents
involving viruses within the Molecular Biosciences
Building from 1991 to present
• the Occupational
Health and Safety Unit observed as follows with respect to this part of the FOI
Application:
A search for relevant records was undertaken by 3 senior officers in the
Occupational Health and Safety Unit, which comprises a search
of all electronic
records back to 1995 and a manual search of all hard copy reports from 1991 to
1995;
Any record that mentioned ‘virus’ as well as any record with
‘biological agent’ were provided to the FOI Officer
to consider as
part of [the] FOI application;
There are no incident reports for an incident of Hendra Virus from 1997 as
suggested because in 1997 the Occupational Health and Safety
Unit did not have
any biological safety resources and most issues were dealt with by the
Institutional Biosafety Committee.
• the FOI Officer
searched the Biosafety Committee minutes for 1997 and identified a number of
items relating to Equine
Morbillivirus (commonly known as Hendra
Virus). However, the minutes did not relate to an incident or accident
and therefore, those documents fall outside the scope of the FOI
Application
• the FOI Officer
conducted an additional thorough search of Records Management Services and could
not find any documents
relating to incidents involving the Hendra Virus
• the FOI Officer did
locate a file which contained information concerning an investigation by the
Criminal Justice
Commission into a complaint the Applicant had made to them
regarding the Hendra Virus but those documents are not within the scope
of the
FOI Application because they do not relate to specific incidents or accidents
involving the Hendra Virus.
8. On
the basis of the observations, inquiries and searches set out in paragraph 7 of
this decision, Mr Porter issued
the Internal Review Decision in which he found
that:
• the University holds
no further documents responsive to the FOI Application
• the University has
discharged its obligations under the FOI Act
• the Original Decision
should be affirmed.
9. By
letter dated 28 May 2008, the Applicant applied to this Office for external
review on the following grounds (External Review Application):
• inadequate searches
were conducted by the University for documents concerning the death of Dr
Zhou
• the University has
produced no documents to support the explanation of Dr Zhou’s death given
by Professor Ian
Frazer in The Australian Article
• the University should
hold documents relating to meetings concerning, and copies of documents supplied
to The Australian
for the purpose of publishing The Australian
Article[5].
Steps taken in the preliminary assessment
10. By letter dated 5 June
2008, this Office informed the Applicant that preliminary inquiries were being
made of the University
regarding the External Review Application and that this
Office would contact him again once those inquiries were complete.
11. By letter dated 10 June
2008, the University provided this Office with copies of documents relevant to
the FOI Application,
including all correspondence exchanged between the
Applicant and the University during the processing of the FOI
Application.
12. By letter dated 26 August
2008, I informed the Applicant that I had formed the view that his External
Review Application
was lacking substance on the following bases:
• there are no
reasonable grounds to believe that the following documents are in the possession
or under the control
of the University:
o additional documents
concerning the death of Dr Zhou, or
o documents relating to
Professor Frazer’s comments in The Australian Article
• any documents
produced in response to the FOI Application which led to the publication of The
Australian Article (if
such documents in fact exist) would post-date the FOI
Application and are therefore, not within the scope of the FOI Application
due
to the operation of section 25(3) of the FOI Act.
13. Based on the reasons set
out in paragraph 12 of this decision, I informed the Applicant that I considered
this to be an
appropriate case in which to exercise my discretion under section
77(1)(a) of the FOI Act not to deal with the External Review Application
(Preliminary Assessment).
14. In my letter dated 26
August 2008, I invited the Applicant, if he did not agree with the Preliminary
Assessment, to provide
me with submissions in response. I specifically
requested the Applicant to provide any evidence he had in his possession to
substantiate
his beliefs about biosafety problems in University laboratories
which he alleges contributed to Dr Zhou’s death.
15. By letter dated 1
September 2008[6], the Applicant made
submissions in response to the Preliminary Assessment and provided a document in
support of his contentions regarding
biosafety problems at the University.
Findings
16. The External Review
Application:
• questions the
adequacy of searches undertaken by the University for documents concerning the
death of Dr Zhou
• contends that the
University holds documents which would further explain Professor Frazer’s
comments in The
Australian Article about Dr Zhou’s state of health
• contends that the
University holds documents which were generated in response to the FOI
Application which then led
to the publication of The Australian
Article.
17. The Applicant’s
submissions in relation to the existence of additional documents concerning Dr
Zhou and Professor
Frazer’s comments in The Australian Article raise the
issue of sufficiency of search.
18. The Applicant’s
submissions with respect to documents leading to the publication of The
Australian Article require
analysis of the scope of the FOI Application.
19. I have examined both of
these issues below.
Sufficiency of search
20. In reviews in which
sufficiency of search is raised, the following questions are relevant:
(i) are there reasonable grounds to believe that the
requested documents exist and are documents of
the agency as that term is
defined in section 7 of the FOI Act
and if so
(ii) have the search efforts made by the agency to
locate such documents been reasonable in all the circumstances
of the
review.[7] Reasonable grounds
21. In determining whether
there are reasonable grounds to believe that additional relevant documents are
in the possession
or under the control of an agency, the Information
Commissioner has previously indicated[8] that an applicant will ordinarily need to:
• explain fully their
grounds for believing that the respondent agency holds additional responsive
documents
• disclose any relevant
documentary or other evidence which tends to support the existence of reasonable
grounds for
such a belief. Documents concerning the death of
Dr Zhou
22. In the External Review
Application, the Applicant indicates that he is seeking access to documents that
will ‘...shed light on the mysterious and unexpected death of Dr
Zhou’. The Applicant also makes the following assertions:
Dr Zhou was a research scientist of major national and international
significance. His rapid and mysterious death should have set
off a chain of
events including intense scrutiny of what had happened.
Dr Zhou’s death was the culmination of a series of events
surrounding biosafety problems in the laboratories ... at the University
of
Queensland St. Lucia campus.
Whoever or whatever killed Dr Zhou is still out
there.
23. The Applicant contends
that[9]:
• Dr Zhou’s death
must have been investigated by the University because he died as a result of
being infected
with a virus or bacterium in his work
place,
and
therefore,
• further documents
exist in relation to Dr Zhou’s death that have not been disclosed to him.
24. The Applicant opines that
Dr Zhou’s death was the result of infection by a virus or bacterium which
occurred in
a University laboratory because of poor biosafety practices.
25. The Applicant reasons
that the fact that Dr Zhou’s death certificate identifies his cause of
death as ‘septic shock’ demonstrates that Dr Zhou was
infected with a virus or bacterium in his work place.
26. Additionally, in support
of his contentions, the Applicant provided this Office with a copy of a letter
dated 24 September
1997 which was sent to Mr Jim Holt, Secretary of the
University’s Biosafety Committee by Professor John Mackenzie, Head of
the
University’s Bioscience Department (Professor Mackenzie
Letter). I have examined this letter and note that it concerns the
following:
• possible
contamination (from an unknown source) with the Hendra Virus of stocks of the
‘J’ and Mossman
viruses held by the University
• laboratory practices
and testing carried out by the University on the virus stocks
• inactivation of all
stocks of ‘J’ and Mossman viruses
• measures taken to
confirm whether virus stocks were contaminated by the Hendra Virus.
27. The Professor Mackenzie
Letter does not provide any evidence to suggest that the laboratory and
biosafety practices at
the University contributed to the death of Dr Zhou.
Rather, it concerns an isolated incident which occurred some time prior to
19
September 1997, with respect to unconfirmed contamination of discrete
virus stocks.
28. There is no evidence in
the Professor Mackenzie Letter:
• that any human was
contaminated with the virus concerned
• which suggests that
Dr Zhou was involved with the laboratories or viruses concerned.
29. There is no evidence
before me to support the Applicant’s contention that Dr Zhou’s death
was the result of
any biosafety issues in University laboratories or that he was
‘infected in the work place’.
30. I also note that Dr
Zhou’s death did not occur in a University laboratory or on University
premises— Dr Zhou
died in China in March 1999.
31. I consider that in
circumstances where a University employee (or an employee of any organisation
for that matter) dies
while situated in another country (not for work related
purposes) the employer would not ordinarily be expected to conduct an
investigation
into that employee’s death. It follows that I consider
it is unreasonable to expect an employer to generate any documents
in relation
to the death of an employee who died while overseas for non-work related
purposes.[10]
32. Ultimately, the Applicant
has not provided me with any evidence to support his allegation that the
University was complicit
in the death of Dr Zhou due to biosafety problems in
its laboratories. In the absence of any such evidence, I am satisfied that
the Applicant’s allegations are unsubstantiated and do not establish any
reasonable grounds to believe that the University
holds any further documents
relating to the death of Dr Zhou. Documents relating to
Professor Fraser’s comments in the Australian
Article
33. In the External Review
Application, the Applicant contends that:
Evidently Professor Fraser knew something that Dr Zhou’s wife ...
did not know,
The university has produced no documents to support the explanation of Dr
Zhou’s death given by Professor Fraser to the Weekend
Australian.
34. I have examined The
Australian Article and note that Professor Frazer is quoted as saying that Dr
Zhou suffered bouts
of ‘tiredness’.
35. In the External Review
Application, the Applicant did not identify any types of documents which he
believes the University
should hold in relation to Professor Frazer’s
comments in the Australian Article.
36. On the information
available to me, I have not been able to identify any documents which I consider
it reasonable to believe
the University would have in its possession or under
its control in this regard. Generally speaking, I would not expect a
colleague
to keep records about the state of health of a fellow colleague.
Summary
37. Based on the information
before me, I am satisfied that there are no reasonable grounds to believe that
the University
has in its possession or under its control:
• further documents
concerning the death of Dr Zhou
• documents which
relate to or further explain Professor Frazer’s comments in The Australian
Article about Dr
Zhou’s state of health.
38. As I have found that
there are no reasonable grounds to believe any additional relevant documents are
in the possession
or under the control of the University, it is unnecessary for
me to address the second question posed in Shepherd.[11] Scope of the
FOI Application
39. In the External Review
Application, the Applicant submits that The Australian Article was:
...cobbled together in response to my FOI application. If this was stage
managed, then the University of Queensland should have working
documents
relating to meetings and any possible written documents supplied to the
Australian Newspaper.
40. I have interpreted that
submission as a request by the Applicant for access to documents which,
following receipt of the
FOI Application, were generated by the University and
resulted in the publication of The Australian Article.
41. I am satisfied that any
such documents would fall outside the scope of the FOI Application due to the
operation of section
25(3) of the FOI Act. That section
provides:
25 How applications for access are
made
...
(3) The application is taken only to apply to documents that are, or
may be, in existence on the day the application is received.
42. Any documents which the
University generated following receipt of the FOI Application and which led to
the publication
of The Australian Article (if such documents in fact exist)
would post-date the FOI Application and are therefore, outside the scope
of the FOI Application. Section 77 of
the FOI Act
43. This section relevantly
provides:
77 Commissioner may decide not to
review
(1) The commissioner may decide not to deal with, or not to further deal
with, all or part of an application for review if—
(a) the commissioner is satisfied the application, or the
part of the application, is frivolous, vexatious, misconceived or lacking
substance; or
...
44. I am satisfied that the
External Review Application is lacking substance based on the following:
• there are no
reasonable grounds to believe that additional documents concerning the death of
Dr Zhou or relating to
Professor Frazer’s comments in The Australian
Article are in the possession or under the control of the University
• documents produced in
response to the FOI Application which led to the publication of The Australian
Article (if such
documents in fact exist) would post-date the FOI Application
and are therefore, not within the scope of the FOI Application due to
the
operation of section 25(3) of the FOI Act
45. Accordingly, pursuant to
section 77(1)(a) of the FOI Act, I decide not to deal with the External Review
Application.
DECISION
46. Pursuant to section
77(1)(a) of the FOI Act, I decide not to deal with the External Review
Application because I am satisfied
that it is lacking substance on the following
bases:
• there are no
reasonable grounds to believe that additional documents concerning the death of
Dr Zhou or documents
relating to Professor Frazer’s comments in The
Australian Article are in the possession or under the control of the
University
• any documents
produced in response to the FOI Application which led to the publication of The
Australian Article (if
such documents in fact exist) would post-date the FOI
Application and are therefore, not within the scope of the FOI Application
due
to the operation of section 25(3) of the FOI Act.
47. I have made this decision
as a delegate of the Information Commissioner, under section 90 of the FOI
Act.
________________________
Assistant Commissioner Corby
Date: 23 September 2008
[1] This information was extracted from
Mr Zgrajewski’s decision dated 4 April 2008.[2] Freedom of Information Officer at
the University.[3] Secretary and Registrar at the
University.[4] On 17 February 2008, the FOI Application was amended so as to
exclude any documents relating to Dr Zhou’s superannuation entitlements,
salary and memorial service.[5] The article which appeared in on
pages 1 and 6 of The Weekend Australian on 3 May 2008. The Applicant
provided this Office with
a copy of the Australian Article under cover of the
External Review Application.[6] Received in this Office on 11
September 2008. [7] Shepherd and Department of Housing, Local Government and
Planning [1994] QICmr 7; (1994) 1 QAR 464 at paragraphs 18-19. Referred to as
Shepherd in this decision.[8] In Ainsworth; Ainsworth Nominees
Pty Ltd and Criminal Justice Commission; A (Third Party); B (Fourth Party)
(1999) 9 QAR 284 at paragraph 46.[9] Set out in his submissions dated 1
September 2008.[10] I do however acknowledge that some personnel documents may be
generated by the employer to show that the employee in no longer in
employment
by the organisation. However, the scope of the applicant’s FOI
Application did not extend to such documents.[11] See paragraph 20 of this
decision.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Edmistone and Blackall-Tambo Regional Council [2016] QICmr 12 (15 April 2016) |
Edmistone and Blackall-Tambo Regional Council [2016] QICmr 12 (15 April 2016)
Last Updated: 20 January 2017
Decision and Reasons for Decision
Citation: Edmistone and Blackall-Tambo Regional Council [2016]
QICmr 12 (15 April 2016)
Application Number: 312625
Applicant: Edmistone
Respondent: Blackall-Tambo Regional Council
Decision Date: 15 April 2016
Catchwords: ADMINISTRATIVE LAW - RIGHT TO INFORMATION - EXEMPT
INFORMATION - employment contracts of a senior Council employee -
Council
granted access to majority of information in the contracts - the employee
objected to disclosure of their total remuneration
amounts - whether disclosure
of the amounts would found an action for breach of confidence - schedule 3,
section 8 of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - EXEMPT INFORMATION - employee
resigned from Council following information access request
for his employment
contracts - allegations of bullying - whether disclosure of the total
remuneration amounts could reasonably be
expected to result in a serious act of
harassment or intimidation against the external review applicant - schedule 3,
section 10(1)(d)
of the Right to Information Act 2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - REFUSAL OF ACCESS - CONTRARY
TO PUBLIC INTEREST INFORMATION - accountability and transparency
in expenditure
of public funds - employment information of a public servant - privacy and
personal information - whether disclosure
would, on balance, be contrary to the
public interest - sections 47(3)(b) and 49 of the Right to Information Act
2009 (Qld)
ADMINISTRATIVE LAW - RIGHT TO INFORMATION - DISCLOSURE DECISION - ONUS ON
EXTERNAL REVIEW - whether the external review applicant
has established that a
decision not to disclose the information is justified or that the Information
Commissioner should give a decision
adverse to the access applicant - section
87(2) of the Right to Information Act 2009 (Qld)
REASONS FOR DECISION
Summary
An
application was made to Blackall-Tambo Regional Council (Council) under
the Right to Information Act 2009 (Qld) (RTI Act) for access to
the employment contracts of Council’s Manager of
Works,[1] for the period 2008 to
2015.[2]
Council
located two employment contracts for the Manager of Works (Contracts) for
the relevant period.[3] Council sought
the views of the external review applicant on disclosure of information in the
Contracts which Council was proposing
to release. Council decided to grant
access to most of the information in the Contracts, including the amounts
representing the
total remuneration package, contrary to the applicant’s
objections.[4]
The
applicant applied to the Office of the Information Commissioner (OIC) for
external review of Council’s decision to grant access to the remuneration
amounts.
For
the reasons set out below, I affirm Council’s decision to disclose the
remuneration amounts. I have found that the information
is not exempt and nor
would its disclosure, on balance, be contrary to the public interest under the
RTI Act.
Background
Significant
procedural steps relating to the application and external review are set out in
the Appendix.
Reviewable decision
The
decision under review is Council’s decision dated 16 October 2015 to
disclose information, contrary to the applicant’s
objections.
Evidence considered
Evidence,
submissions, legislation and other material considered in reaching this decision
are referred to in these reasons (including
footnotes and the Appendix).
Information in issue
The
information in issue in this review consists of the amounts of the total
remuneration package in each of the Contracts (Total
Remuneration).[5]
Relevant lawOnus on external review
The
participant in the external review application who opposes the disclosure
decision has the onus of establishing that a decision
not to disclose
information is justified, or that the Information Commissioner should give a
decision adverse to the person who wishes
to be given access to the
information.[6]
Therefore,
in this review, the applicant bears the onus of establishing that access to the
Total Remuneration can be refused under
the provisions of the RTI
Act.Right of access to information
Under
the RTI Act, access should be given to a document unless giving access would, on
balance, be contrary to the public
interest.[7] The RTI Act sets out
certain grounds on which access to information may be
refused.[8] It is Parliament’s
intention that these grounds are to be interpreted
narrowly.[9]
Access
may be refused to exempt
information[10] and contrary to
public interest information.[11]
These grounds for refusal are examined below.
Exempt information – breach of confidence
Information
will be exempt if its disclosure would found an action for breach of
confidence.[12] The words of the
section refer to an action based in equity for breach of an equitable obligation
of confidence.[13]
For
this exemption to apply, five cumulative elements must be
established:[14]
information
must be able to be specifically
identified[15]
information
must have the necessary quality of confidence and will not extend to information
that is generally known, useless or
trivial[16]
circumstances
of the communication must create an equitable obligation of
confidence[17]
disclosure
to the access applicant must constitute an unauthorised use of the confidential
information;[18] and
disclosure
would result in detriment to the
applicant.[19]
Findings
I
am satisfied that the Total Remuneration is specifically identifiable, thereby
satisfying requirement a). I am also satisfied that
the Total Remuneration is
not commonly known and is not useless or trivial information.
Council’s
Annual Reports,[20] published during
the period in which the Contracts were in force, contain a disclosure statement
regarding the remuneration paid
to senior contract employees, as required by
section 201 of the Local Government Act 2009 (Qld) (LG
Act).[21] However, these
statements are only expressed in bands of $100,000 and do not disclose the
specific salary figures, nor do they link
the salary bands to the relevant
senior employees, by name or title.
The
information disclosed in the Annual Reports gives no more than a general guide
as to the salary bands paid to Council’s
senior management team. I do not
consider this equates to the specific figures comprising the Total Remuneration
being generally
available. Therefore, I find that requirement b) is also
satisfied.
For
element c) to apply, the information must have been communicated and received on
the basis of a mutual understanding of confidence.
The understanding must have
existed at the time of the communication and may be express or
implied.[22] This is usually the
most difficult requirement to satisfy and requires that the ‘recipient
should be fixed with an enforceable obligation of conscience not to use the
confidential information in a way that is not
authorised by the confider of
it.’[23]
The
applicant submitted that it was implied during his employment negotiations that
the contents of the Contracts, including the remuneration
schedules would be
kept
confidential.[24]
Neither
of the Contracts contains a confidentiality clause and they are not marked with
a ‘confidential’ watermark or
in any other
way.[25] There is also no evidence
of an express agreement between the Council and the applicant that the Contracts
were negotiated on a confidential
basis.
Other
than the applicant’s assertions, there is no evidence available to OIC to
suggest confidentiality was expressly sought
or offered during negotiation of
the Contracts. In addition, Council decided to disclose the majority of
information in the Contracts,
including the Total Remuneration, to the access
applicant under the RTI Act. I consider that Council’s willingness to
disclose
the Contracts lends support to the view that Council did not consider
the negotiations were conducted on a confidential basis.
On
the basis of the above, I am satisfied that element c) cannot be established on
the facts of this case. Therefore, I do not consider
it is necessary to examine
the remaining elements of the breach of confidence exemption.
Accordingly
I find that there is no foundation for an equitable action for breach of
confidence and therefore, the Total Remuneration
is not exempt information under
schedule 3, section 8 of the RTI Act.
Exempt information - serious act of harassment or intimidation
Schedule
3, section 10(1)(d) of the RTI Act provides that information is exempt if its
disclosure could reasonably be expected to
result in a person being subjected to
a serious act of harassment or
intimidation.[26] The RTI Act does
not define ‘serious act of harassment or intimidation’
– therefore, the terms should be given their ordinary meaning. The
Information Commissioner has previously indicated that:
a serious act of
harassment is an action that attacks, disturbs or torments a person and that
causes concern or apprehension or has
undesired consequences; and
a serious act of
intimidation is an action that induces fear or forces a person into some action
by inducing fear or apprehension
and that causes concern or apprehension or has
undesired consequences.[27]
Further,
the Information Commissioner has noted that some degree of harassment or
intimidation is contemplated as permissible before
the right to access documents
is removed.[28] In Sheridan,
the Information Commissioner considered the phrase ‘could
reasonably be expected to’ and found that, depending on the
circumstances of the particular review, a range of factors may be relevant in
determining
whether an act could reasonably be expected to occur. These factors
may include, but are not limited to:
past conduct or
a pattern of previous conduct
the nature of
the relevant matter in issue
the nature of
the relationship between the parties and/or third parties; and
relevant
contextual and/or cultural
factors.[29]
The
Information Commissioner has previously found that the following two
requirements must be present for it to apply:
an apprehended
serious act of harassment or intimidation; and
a reasonable
basis for expecting that that act would occur if the Information in Issue were
disclosed.[30]
Findings
The
applicant submitted to OIC that he has been the subject of bullying and
harassment in connection with this matter and was ‘forced
out’ of his position at
Council.[31]
OIC
invited the applicant to provide further submissions about the allegations and
in particular, to explain how he considered disclosing
the Total Remuneration
would be likely to lead to a serious act of harassment or
intimidation.[32] The applicant
elected not to provide OIC with any further submissions on this
point.
The
applicant has not provided specific details of the past alleged conduct and
there is also no indication that complaints have been
made to the police to
corroborate the allegations. In the circumstances of this case, I am satisfied
that there is no evidence available
to OIC to establish a sufficient connection
between disclosure of the Total Remuneration and the likelihood of a serious act
of harassment
or intimidation.
In
the absence of any further evidence to support the applicant’s
allegations, I am unable to find that the Total Remuneration
is exempt under
schedule 3, section 10(1)(d) of the RTI Act. Contrary to the
public interest
Under
the RTI Act, access to information may be refused if its disclosure would, on
balance, be contrary to the public
interest.[33]
The
term ‘public interest’ refers to considerations affecting the
good order and functioning of the community and government affairs for the
well-being of citizens.
This means that in general, a public interest
consideration is one which is common to all members of, or a substantial segment
of,
the community, as distinct from matters that concern purely private or
personal interests. However, there are some recognised public
interest
considerations that may apply for the benefit of an individual.
The
RTI Act identifies various factors that may be relevant to deciding the balance
of the public interest[34] and
explains the steps that a decision-maker must
take[35] in deciding the public
interest as follows:
(i) identify any irrelevant factors and disregard them
(ii) identify relevant public interest factors favouring disclosure and
nondisclosure
(iii) balance the relevant factors favouring disclosure and nondisclosure; and
(iv) decide whether disclosure of the information in issue would, on balance, be
contrary to the public interest.
Findings
(i) Irrelevant factors
The
applicant has questioned the access applicant’s alleged motivations for
seeking access to the Contracts.[36]
The
RTI Act provides that in deciding the balance of the public interest, it is
irrelevant that disclosure of the information could
reasonably be expected to
result in mischievous conduct by the access
applicant.[37] I also consider that
the access applicant’s reasons for seeking information under the RTI Act
are irrelevant to the public
interest
test.[38]
In
accordance with the RTI Act, I have not taken the applicant’s submissions
on this issue into account in making this decision.
I do not consider any other
irrelevant factors arise on the facts of this case.
(ii) Factors favouring disclosure
The
RTI Act recognises that the public interest will favour disclosure of
information where disclosure could reasonably be expected
to
promote open
discussion of public affairs and enhance the government’s
accountability;[39] and
ensure effective
oversight of expenditure of public
funds.[40]
For
the reasons set out below, I find that the above factors apply to the Total
Remuneration.
The
Information Commissioner has previously held that there is a general public
interest in seeing how taxpayers’ money is spent
and the public interest
is sufficient to justify disclosure of the gross income payable from the public
purse to the holder of a
public
office.[41]
Previous
decisions of the Information Commissioner and in other jurisdictions have also
established that the public interest is served
by disclosing the total
remuneration package of a public officer but not the amounts of the individual
benefits/bonuses which make
up the
package.[42] The Information
Commissioner has also recognised that the public interest is even stronger in
the case of senior officers who have
responsibility for ‘devising
and/or implementing strategic and operational plans, and delivering key
performance
outcomes’.[43]
During
the period in which the Contracts were in force, the Manager of Works role
formed part of the senior management
team[44] and the appointee was
required to contribute to decisions affecting the Council and development of
Council policy.[45]
Given
the seniority of the Manager of Works role and its significant responsibilities,
I consider the role is equivalent to that of
a senior executive in a public
sector agency and that therefore, the public interest in disclosing the total
salary package attached
to the Manager of Works role is very strong.
I
have considered whether the information published in the Annual Reports about
senior management remuneration is sufficient to discharge
the public interest
factors relating to accountability, transparency and effective oversight of
public funds. However, the published
information provides only a very general
guide to the remuneration of senior management and does not link specific
salaries to particular
roles.[46]
While the publication of this information is one of Council’s
accountability measures, I consider the information is of such
a limited nature
that it does not discharge the public interest factors at paragraph 37 above. I therefore find that the weight
of those factors is only marginally reduced by the information published in the
Annual Reports.
For
the reasons set out above, I afford significant weight to the factors favouring
disclosure of the Total Remuneration.
(iii) Factors favouring nondisclosure
The
Applicant submitted that:
the negotiation
of the Contracts, including the Total Remuneration, was in confidence
disclosure would
constitute a breach of the applicant’s privacy; and
release of the
Total Remuneration would be in breach of the LG
Act.[47]
The
RTI Act recognises that the public interest will favour nondisclosure of
information where disclosure could reasonably be expected
to:
cause
a public interest harm if the information consists of information of a
confidential nature that was communicated in confidence
and disclosure could
reasonably be expected to prejudice the future supply of information of this
type[48]
prejudice
the protection of an individual’s right to
privacy[49]
cause
a public interest harm if it would disclose personal information of a person,
whether living or dead;[50]
and
where
disclosure of the information is prohibited by an
Act.[51]
Given
my findings at paragraphs 20-22 above in relation to the breach of
confidence exemption, I am satisfied that the Total Remuneration was not
communicated in confidence
and therefore, I find that the public interest factor
at a) in paragraph 46 above, does not
apply in this case.
With
respect to the factors at b) and c) above, I accept that the Total Remuneration
comprises the applicant’s personal
information.[52] I also consider
that information about a person’s salary reflects their financial
situation and therefore, the Total Remuneration
attracts a certain level of
privacy. However, I also acknowledge that the Total Remuneration has a dual
character in that it also
reflects the cost of having the duties of the relevant
position performed for the benefit of the
public.[53]
In
Stewart, the Information Commissioner accepted that the public interest
in protecting a person’s income information must be balanced
against the
public interest in transparency in expenditure of public funds and in relation
to gross salary of a public servant, the
latter public interest is deserving of
greater weight.[54]
As
set out above, the Total Remuneration represents the gross salary package of the
Manager of Works during the Contract periods.
The individual amounts of each
component of the package, net income, superannuation and salary packaging
information, are not revealed
by the Total
Remuneration.[55] As the Information
Commissioner recognised in Stewart, those individual figures are of a
more sensitive, personal nature.[56]
On this basis, I find that the public interest harm in disclosing the Total
Remuneration is only moderate in this case.
In
considering the privacy which attaches to a senior Council employee’s
total remuneration package, I am satisfied that it
does not sit at the high end
of the privacy spectrum along with family, medical and relationship information.
However, as the applicant
is no longer a Council employee, I find that his
privacy is somewhat higher than that of a serving public officer. I have also
taken
into account the publication requirements discussed above at paragraph 16 and the fact that the Total
Remuneration represents the salary paid, from public funds, to the applicant
during his period of public
service. On the basis of the above, I afford the
factor at c) above, moderate weight in favour of nondisclosure.
The
applicant submitted that disclosing the Total Remuneration would breach the LG
Act.[57] I have considered whether
this raises the factor favouring nondisclosure relating to disclosure prohibited
by an Act.[58]
Section
201(4) of the LG Act states:
(4) To remove any doubt, it is declared that nothing in this section
requires the exact salary of any employee in senior management
to be separately
stated in the annual report.
Having
carefully considered the wording of section 201 of the LG Act, I am satisfied
that it does not prohibit the disclosure of the Total Remuneration. The
section clarifies that there is no mandatory requirement to publish exact
salaries
in a local government annual report. However, there is nothing in the
language of the section which prevents or prohibits publication.
For this reason, I do not consider the factor at paragraph 52 above applies to the Total
Remuneration.
(iv) Balancing the public interest
The
RTI Act sets out a pro-disclosure bias in deciding access to
documents.[59] In this case, there
are several additional factors favouring disclosure of the Total Remuneration in
terms of enhancing local government
transparency and effective oversight of
public funds. In my view, these factors are deserving of significant weight due
to the seniority
and responsibilities of the Manager of Works role. I have
marginally reduced the weight of these factors on the basis that the information
published in Council’s Annual Reports provides a certain level of
transparency in Council’s remuneration expenses.
I
acknowledge that disclosing the Total Remuneration would reveal a component of
the applicant’s personal information. However,
as the information relates
to a time when the applicant was a public officer, being paid by public funds, I
consider the harm arising
out of disclosure and any resulting infringement of
the applicant’s privacy is only moderate in this case.
On
balance, I find that the factors favouring disclosure outweigh the factors
favouring nondisclosure in this case. Accordingly,
I find that disclosure of
the Total Remuneration would not, on balance, be contrary in the public
interest, and therefore, access
may not be refused under section 47(3)(b) of the
RTI Act. Conclusion
For
the reasons set out above, I find that the applicant has not discharged the onus
to justify a decision refusing access to the
Total Remuneration as its
disclosure:
would not found
an action for breach of
confidence[60]
could not
reasonably be expected to result in the applicant being subjected to a serious
act of harassment or
intimidation[61]; and
would not, on
balance, be contrary to the public
interest.[62]
DECISION
I
affirm the decision of Council dated 16 October 2015 to grant access to the
Total Remuneration.
I
have made this decision as a delegate of the Information Commissioner, under
section 145 of the RTI Act.
________________________
K Shepherd
Assistant Information Commissioner
Date: 15 April 2016
APPENDIX
Significant procedural steps
Date
Event
27 August 2015
Council received the access application.
11 September 2015
Council consulted the third party.
25 September 2015
The third party responded to consultation letter.
28 September 2015
Council requested further submissions from the third party.
2 October 2015
The third party responded to request for further submissions.
16 October 2015
Council issued its decision to the access applicant and third party,
granting access to most of the information in the Contracts.
19 October 2015
OIC received an application for external review from the third party.
19 October 2015
OIC notified Council that the third party had applied for external review
of Council’s disclosure decision. OIC asked Council
to provide procedural
documents by 27 October 2015. OIC also advised the third party that his
external review application had been
received.
27 October 2015
Council provided OIC with the requested procedural documents.
4 November 2015
OIC notified the external review applicant and Council that the application
for external review had been accepted.
19 January 2016
The access applicant confirmed to OIC that it wished to proceed with its
request to access the information which was the subject of
the external review
applicant’s disclosure objections.
21 January 2016
The external review applicant confirmed to OIC that his objections only
concerned disclosure of the Total Remuneration.
18 February 2016
OIC conveyed a preliminary view to the external review applicant that there
was no basis, under the RTI Act, to refuse access to the
Total Remuneration.
20 February 2016
The external review applicant provided submissions to OIC, contesting the
preliminary view.
26 February 2016
OIC asked the external review applicant to provide further submissions by
11 March 2016 in relation to his concerns about harassment.
1 March 2016
OIC sent a letter to the access applicant, conveying an update on the
status of the review.
15 March 2016
OIC advised Council of the current status of the review, in a telephone
call.
[1] At the date of the access
application, this role was occupied by the external review applicant.
[2] The access application also
requested access to the employment contracts of Council’s Chief Executive
Officer for the same
period. A separate external review was conducted with
respect to disclosure of that information and was resolved informally between
the parties. Accordingly, this review relates solely to information in the
employment contracts of the Manager of Works.
[3] Dated 31 January 2011 and 4
October 2013.[4] Council refused
access to the applicant’s residential address and individual components of
the salary package under section
47(3)(b) of the RTI Act. The access applicant
did not seek external review of Council’s decision to refuse access to
that information
and therefore, that aspect of Council’s decision is not
the subject of this external review.
[5] There are three separate
figures. In the Contract dated 31 January 2011, the figure appears on page 10.
In the Contract dated 4 October
2013, the figures appear on page 11 (Schedule B)
and on page 12 (Schedule C). During the external review, the applicant advised
OIC
that he did not object to disclosure of the remaining information in the
Contracts to which Council decided to grant access. Accordingly,
that does not
form part of the information in issue in this review.
[6] Section 87(2) of the RTI
Act.[7] Section 44(1) of the RTI
Act. This is referred to as the ‘pro-disclosure bias’ in deciding
access to documents.[8] Section
47(3) of the RTI Act. [9] Section
47(2)(a) of the RTI Act. [10]
Section 47(3)(a) and 48 and schedule 3 of the RTI
Act.[11] Section 47(3)(b) and 49
and schedule 4 of the RTI Act.
[12] Section 48 and schedule 3,
section 8 of the RTI Act. [13]
TSO08G and Department of Health (Unreported, Queensland Information
Commissioner, 13 December 2011) at [12] (TSO08G).
[14] See the Information
Commissioner’s analysis in B and Brisbane North Regional Health
Authority [1994] QICmr 1; (1994) 1 QAR 279 (B and BNRHA), applying
section 46(1)(a), the equivalent exemption under the repealed Freedom of
Information Act 1992 (Qld) (FOI Act). For a restatement of the
criteria in the context of the RTI Act, see TSO08G at [13].
[15] B and BNRHA at
[60] to [63]. [16] B and
BNRHA at [64][17] B and
BNRHA at [76]. [18] B and
BNRHA at [103] to [106].
[19] B and BNRNA at [111]
citing Attorney-General v Guardian Newspapers (No. 2) [1990] 1 AC 109
(Lord Keith of Kinkel at 256).
[20] Available at http://www.btrc.qld.gov.au/annual-reports
[21] Section 201 of the LG Act
requires a local government’s annual report to state the total of all
remuneration packages payable
to senior management and the number of employees
in senior management being paid each band of remuneration (stated to be an
increment
of $100,000).[22] B
and BNRHA at [90].[23] B
and BNRHA at [76]. [24]
External review application. The applicant also relied on letters of objection
dated 25 September 2015 and 2 October 2015 sent during
the consultation
process.[25] This is however,
only one factor to be evaluated in the circumstances of a case and is not
determinative. See B and BNRHA at [91].
[26] Subject to the exceptions
in schedule 3, section 10(2) of the RTI Act.
[27] Richards and Gold Coast
City Council (Unreported, Queensland Information Commissioner, 28 March
2012) [13], applying Sheridan and South Burnett Regional Council
(Unreported, Queensland Information Commissioner, 9 April 2009)
(Sheridan) at [199]-[200]. The decision in Sheridan
concerned section 42(1)(ca) of the now repealed FOI Act. Schedule 3, section
10(1)(d) of the RTI Act is drafted in substantially the
same terms as the
provision considered in Sheridan. Therefore, the Information
Commissioner’s findings in Sheridan are relevant in interpreting
schedule 3, section 10(1)(d) of the RTI Act.
[28] Sheridan at
[187]. [29] Sheridan
at [193]. [30] Mathews
and The University of Queensland (Unreported, Queensland Information
Commissioner, 21 September 2012) at [27].
[31] Applicant’s
submissions to OIC dated 20 February 2016.
[32] Letter from OIC to the
applicant dated 26 February 2016.
[33] Sections 47(3)(b) and 49 of
the RTI Act. [34] Schedule 4 of
the RTI Act sets out the factors for deciding whether disclosing information
would, on balance, be contrary to the
public interest. However, this list of
factors is not exhaustive. In other words, factors that are not listed may also
be relevant
in a particular
case.[35] Section 49(3) of the
RTI Act. [36] Applicant’s
external review application dated 19 October 2015.
[37] Schedule 4, part 1, item 3
of the RTI Act. [38] In State
of Qld v Albietz, Information Commissioner (Qld) & Anor [1996] 1 Qd R
215, de Jersey J noted at 219 ‘... the Freedom of Information Act does
not confer any discretion on the Information Commissioner, or the Supreme Court,
to
stop disclosure of information because of any particular motivation in the
applicant’. [39]
Schedule 4, part 2, item 1 of the RTI Act.
[40] Schedule 4, part 2, item 4
of the RTI Act. [41] Stewart
and Department of Transport [1993] QICmr 6; (1993) 1 QAR 227 at 257-258
(Stewart), Lower Burdekin Newspaper Company Pty Ltd and Lower
Burdekin Shire Council; Hansen; Covolo, Cross (Third Parties) [2004] QICmr 6; (2004) 6 QAR
328 at [26] (Lower Burdekin) and Sheridan and South Burnett
Regional Council, Ors (Unreported, Queensland Information Commissioner, 23
June 2008) at [52]. [42] Re
National Tertiary Education Industry Union (Murdoch Branch) and Murdoch
University; Ors [2001] WAICmr 1 (2 January 2001) at [70]-[71] (Re
NTEIU) and Asher v Department of State & Regional
Development [2002] VCAT 609 (6 August 2002)
(Asher).[43]
Lower Burdekin at [27].
[44] 2008/2009 Annual Report
(p.8), 2009/2010 Annual Report (p.17), 2010/2011 Annual Report (p.24), 2011/2012
Annual Report (p.18), 2012/2013,
2013/2014 and 2014/2015 Annual Reports (p.15),
available at http://www.btrc.qld.gov.au/annual-reports.
The Position Description for the Manager of Works role (Schedule A to the
Contracts) states that the Manager of Works is to participate
as a member of the
Executive Management Team. Council decided to grant access to the Position
Description and the external review
applicant does not object to its disclosure.
[45] As stated in the Position
Description. [46] See paragraph
16
above.[47] Applicant’s
external review application dated 19 October
2015.[48] Schedule 4, part 4,
item 8(1) of the RTI Act. [49]
Schedule 4, part 3, item 3 of the RTI Act.
[50] Schedule 4, part 4, item
6(1) of the RTI Act.[51]
Schedule 4, part 3, item 22 of the RTI Act.
[52] Within the meaning of
section 12 of the Information Privacy Act 2009 (Qld). This is consistent
with the Information Commissioner’s conclusion in Stewart at
paragraph [80] that information about a person’s income is their
‘personal
affairs’.[53] In Asher
disclosure of the total remuneration package of senior public servants was
considered reasonable, despite it being considered the
officer’s personal
affairs. [54] Stewart at
[80]. See also Forbes and Department of Premier and Cabinet (1993) 6 VAR
53 at 60-61 (Forbes) cited in Re NTEIU at [56].
[55] As set out at note 4 above,
Council decided to refuse access to that information in the Contracts and the
access applicant did not
seek external review of that decision. Therefore, that
information is not in issue in this
review.[56] At [80] and
Forbes at
60-61.[57]
Applicant’s external review application dated 19 October 2015.
[58] Schedule 4, part 3, item 22
of the RTI Act. [59] Section 44
of the RTI Act. [60] Sections
47(3)(a), 48 and schedule 3, section 8 of the RTI Act.
[61] Sections 47(3)(a), 48 and
schedule 3, section 10(1)(d) of the RTI Act.
[62] Sections 47(3)(b) and 49 of
the RTI Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | F60XCX and Department of Natural Resources and Mines [2017] QICmr 19 (9 June 2017) |
F60XCX and Department of Natural Resources and Mines [2017] QICmr 19 (9 June 2017)
Last Updated: 11 August 2017
Decision and Reasons for Decision
Citation:
F60XCX and Department of Natural Resources and Mines [2017] QICmr 19 (9
June 2017)
Application Number:
312854
Applicant:
F60XCX
Respondent:
Department of Natural Resources and Mines
Decision Date:
9 June 2017
Catchwords:
ADMINISTRATIVE LAW – INFORMATION PRIVACY ACT – REFUSAL OF
ACCESS – EXEMPT INFORMATION - LEGAL PROFESSIONAL PRIVILEGE
– whether
in-house legal advice was independent – whether legal professional
privilege has been waived – relevance
of Freedom of Information Act
1982 (Cth) – Schedule 3, section 7 of the Right to Information Act
2009 (Qld) and section 67(1) of the Information Privacy Act 2009
(Qld)
ADMINISTRATIVE LAW – INFORMATION PRIVACY ACT – REFUSAL OF
ACCESS – CONTARY TO PUBLIC INTEREST – information
related to
workplace investigation arising from applicant’s complaint –
procedural fairness considerations for a complainant
in a workplace
investigation – personal information of other individuals – whether
disclosure would, on balance, be contrary
to the public interest - sections
47(3)(b) and 49 of the Right to Information Act 2009 (Qld) and
section 67(1) of the Information Privacy Act
2009 (Qld)
REASONS FOR DECISION
Summary
The
applicant applied to the Department of Natural Resources and Mines (the
Department) under the Information Privacy Act 2009 (Qld) (IP
Act) for documents relating to a complaint he lodged with the
Department.
The
Department located 542 pages of information and 6 audio recordings relevant to
the information access application. In relation
to these documents, the
Department decided[1]
to:
grant access to
251 pages
grant partial
access to 17 pages, subject to the deletion of material pursuant to section
49(1) of the Right to Information Act 2009 (Qld) (RTI
Act)[2]
grant partial
access to 1 page with the deletion of material pursuant to section 49(1) and
Schedule 3, section 7 of the RTI Act
refuse access to
233 pages pursuant to section 49(1) of the RTI Act; and
refuse access to
40 pages pursuant to Schedule 3, section 7 of the RTI Act.
On
internal review, the Department decided to uphold its original
decision.[3]
The
applicant then applied to the Office of the Information Commissioner
(OIC) for external review of this
decision.[4]
For
the reasons set out below, I vary the Department’s internal review
decision and find that parts of the information in
issue[5] are subject to legal
professional privilege and therefore exempt from disclosure and it would be, on
balance, contrary to the public
interest to
disclose[6] other parts of the
information in issue.
Background
The
applicant made a complaint to the Department about the conduct of a particular
officer (Officer X). The complaint relates to the appropriateness of
feedback provided by Officer X about the applicant’s professional
performance.
The
Department engaged a specialist workplace investigator (Workplace
Investigator), independent of the Department, to conduct an investigation
into the conduct of Officer X. The Workplace Investigator interviewed
the
applicant as part of the investigation process, as well as, a number of other
relevant individuals.
The
outcome of the investigation was that the allegations against Officer X were not
substantiated. The Department took no further
action against Officer X
regarding the applicant’s complaint.
The
Department provided the applicant with a summary of the Workplace
Investigator’s findings and the outcome of the investigation
into Officer
X.[7] The applicant is not satisfied
with the outcome of the investigation nor is he satisfied that the investigation
was conducted in
a transparent and proper
manner.[8]
Appendix
1 to these reasons for decision sets out the significant procedural steps taken
during the external review.
Reviewable decision
The
decision under review is the Department’s internal review decision dated
17 May 2016.
Evidence considered
I
have disclosed the evidence, submissions, legislation and other material I have
considered in reaching this decision in these reasons
(including footnotes and
appendices).
Information in Issue
On
external review, OIC facilitated the release of additional documentation, to
which the Department had previously refused
access.[9] This information consisted
of 101 pages (3 full pages, and 98 part pages).
The
information that remains in issue in this review and is the subject of this
decision is contained in 288 pages. This information
consists of the entire
content of 190 of those pages and 6 audio recordings and some information on 98
pages (Information in
Issue).[10]
Issues for determination
The
issues for determination in this review are whether:
access to 40
pages of the information in issue should be refused on the basis that it would
be privileged from production in a legal
proceeding on the ground of legal
professional privilege; (Category A
Information);[11]
and
access to 150
full pages, 98 part pages and 6 audio recordings of the information in issue
should be refused on the basis that, on
balance, disclosure would be contrary to
the public interest (Category B
Information).[12]
Category A Information
Relevant law
The
IP Act confers on an individual a right to access documents of an agency, to the
extent they contain the individual’s personal
information.[13] This right of
access is subject to limitations, including grounds for refusal of
access.[14]
The
RTI Act provides that information is ‘exempt information’ if it
would be privileged from production in a legal proceeding
on the ground of legal
professional privilege
(LPP).[15]
It
is well settled that LPP attaches to confidential communications between a
lawyer and client (including communications through
their respective servants or
agents) made for the dominant purpose of seeking or giving legal advice or
professional legal assistance
for use, or obtaining material for use, in legal
proceedings that have commenced, or were reasonably anticipated, at the time of
the relevant
communication.[16]
Thus,
for information to attract LPP, the following elements must be
established:
confidential
communications
dominant purpose
test; and
professional
relationship and independence.
Finally,
it is also settled law that LPP can be lost if it is
expressly[17] or
impliedly[18]
waived.
Applicant’s submissions
The
applicant submits[19]
that this review should consider:
whether the in-house lawyer provided the advice in an
independent way; and
whether the Department, by its actions, impliedly
waived LPP in relation to the information.
Additionally,
the applicant asserts that:
In the context of federal FOI legislation, it is
recommended that government departments and agencies not claim LPP in relation
to
particular information unless it is considered that ‘real harm’
would result from releasing the information. I believe
that the same principles
should be applied in the Queensland FOI legislation
context.
And that;
In this instance, there would not be real harm in
releasing the subject information to me. Instead, the truth would be exposed.
I ask that the OIC intervene to recommend to the Department that the information
be released to me on this basis.
Findings
Confidential communications and Dominant purpose
The
applicant’s submission querying whether the Department can claim LPP
focuses on the issue of whether the third element of
the test has been satisfied
in relation to the Category A Information. Accordingly, I do not propose to
explore the first two elements
of the test except in so far as to state that I
am satisfied, on the basis of the information before me in this review, that the
first two elements of the test for LPP are satisfied.
Professional relationship and independence
In
this matter, the applicant has asked OIC to consider if the Department’s
in-house lawyer provided advice with the requisite
degree of
independence.
LPP
only attaches to confidential communications between a legal adviser and a
client if:
the advice is
provided by the legal adviser in his or her capacity as a professional legal
adviser; and
the legal
adviser is competent and
independent.[20]
The
High Court of Australia has established that LPP may protect communications
between salaried employee legal advisers of a government
department or statutory
authority and his/her employer as client (including communications through other
employees of the same employer)
provided there is a professional relationship of
legal adviser and client, which secures to the advice an independent character
notwithstanding
the
employment.[21]
A
lawyer employed by a government agency or an ‘in-house’ lawyer may
claim privilege on behalf of his or her employer
as the
client.[22] However, an in-house
lawyer will not have the required degree of independence if their advice is
affected by their personal loyalties,
duties and
interests.[23]
In
Potter and Brisbane City
Council[24], the Information
Commissioner found that the Brisbane City Council’s City Solicitor and the
professional staff of the City
Solicitor’s office:
were
appropriately qualified legal practitioners
conducted their
practice with the requisite degree of independence from their employing
organisation; and
had given legal
advice to the Council which attracted LPP.
In
this review, the Department has submitted:
the Category A
Information was created specifically for the purpose of obtaining legal
advice[25]
it was not
disclosed to any party outside the relevant units of the
department;[26] and
the advice was
provided by a suitably qualified legal practitioner acting in the capacity of an
in-house legal
advisor.[27]
Having
reviewed the Category A Information, I note that the legal advice was sent
directly between an officer in the Employee Relations
Unit and an officer in the
In-house Legal Unit. The sole reference to another individual being involved in
the communication is of
another legal officer with the Department’s
In-house Legal Unit, who appears to have provided assistance in the provision of
the legal advice.
There
is no evidence before me to suggest that the officer who provided the legal
advice (or anyone else in the In-House Legal Unit)
were answerable to other
persons in respect of the advice they provided about the workplace
investigation. Furthermore, there is
no evidence before me to indicate that the
advice was provided in a manner that differed from the usual practice of
obtaining and/or
providing in-house legal advice.
For
the reasons outlined above, I am satisfied that the officer in the In-house
Legal Unit who provided the legal advice (which comprises
Category A
Information) was an appropriately qualified legal practitioner who provided the
advice with the requisite degree of independence
from the
Department.
As
all three elements have been met, I am satisfied that the Category B Information
attracts LPP, and is exempt information.
Waiver of legal professional privilege
The
applicant asserts that the Department’s actions may have impliedly waived
LPP, but has not expanded on his concerns in this
regard. Nonetheless, I have
considered whether the Department has impliedly waived LLP in accordance with
the test set out in Mann v
Carnell[28] at page 13
which states:
What brings about the waiver is the
inconsistency, which the courts, where necessary informed by considerations of
fairness, perceive,
between the conduct of the client and maintenance of the
confidentiality; not some overriding principle of fairness operating at
large.
As
outlined in paragraph 30, the Category
A Information is correspondence between the Department’s In-House Legal
Unit and the Employee Relations Unit
only. There is no evidence before me to
suggest this communication has been disclosed to any other individuals.
Accordingly, there
is no evidence before me to indicate that the Department has
taken actions inconsistent with the maintenance of confidentiality that
impliedly (or expressly) waive LPP.
Particularly,
I do not consider that the Department has taken any action that has disclosed
the substance or effect of communications
subject to LPP, in part or full. I am
satisfied that the internal communications between the Department’s
officers has not
resulted in a waiver of LPP.
Should ‘real harm’ be considered?
I
will now consider the applicant’s submission that OIC should consider
taking the approach recommended to federal government
departments, namely that
they should not claim LPP unless real harm would result from releasing the
information.
I
understand the applicant’s reference to this ‘recommended’
approach to be a reference to the advisory notice issued
by the then Secretary
of the Commonwealth Attorney-General’s Department dated 2 March 1986,
following a Federal Cabinet decision
in June 1985, known as the ‘Brazil
Direction’.[29]
In
summary, the ‘Brazil Direction’ directed that Commonwealth agencies
should not refuse access to non-contentious material
only because there were
technical grounds of exemption available under the Freedom of Information Act
1982 (Cth). The Brazil Direction, was not however, a direction to the
Australian Information Commissioner to consider the question of
‘real
harm’ in determining if information were exempt information under the
Commonwealth Freedom of Information Act 1982.
In
Queensland, under the IP Act and RTI Act, government departments have a
discretion to release information, even if it is exempt.
Thus, a government
department may choose to disclose information to an applicant under the IP or
RTI Acts, even though it is subject
to LPP. However, those Acts do not bestow
the power to exercise the same discretion upon OIC. Section 118(2) of the IP
Act states:
If it is established that a document is an exempt
document or a contrary to public interest document, or contains exempt
information
or contrary to public interest information the commissioner does not
have power to direct that access to the document, or the document
to the extent
of the information, is to be given.
Thus,
as I have established that the Category A information satisfies the requirements
for exemption under the RTI Act, I have no
discretion to consider the issue of
whether there would be any ‘real harm’ to the department in
disclosing the Category
A information and whether the information should be
otherwise disclosed.
Conclusion – Legal professional privilege
I
am satisfied that the Category A Information is exempt information on the
grounds that it is subject to LPP and accordingly access
to the Category A
information is refused.
Category B Information
Relevant law
Access
to information may be refused where disclosure would, on balance, be contrary to
the public interest. The RTI Act identifies
many factors that may be relevant
to deciding the balance of the public interest and explains the steps that a
decision-maker must
take into account in deciding the public interest as
follows:
identify any
irrelevant factors and disregard them
identify
relevant public interest factors favouring disclosure and nondisclosure
balance the
relevant factors favouring disclosure and nondisclosure; and
decide whether
disclosure of the information would, on balance, be contrary to the public
interest.[30]
The
term public interest refers to considerations affecting the good order and
functioning of the community and government affairs
for the well-being of
citizens. This means that, in general, a public interest consideration is one
which is common to all members
of, or a substantial segment of the community, as
distinct from matters that concern purely private or personal interests.
However,
there are some recognised public interest considerations that may apply
for the benefit of an individual.
Applicant’s Submissions
The
applicant provided a number of submissions to OIC during the course of the
review. Additionally, the applicant provided extensive
information about the
background events which lead to his making a complaint about Officer X. I have
carefully considered each of
the submissions raised by the applicant and I have
distilled the submissions into central issues discussed below.
Findings
Irrelevant factors
I
do not consider that any irrelevant factors arise in this
matter.
Factors favouring disclosure
Personal information of the applicant
A
factor favouring disclosure of some parts of the Category B Information is that
it is the personal information of the applicant.
[31]
The
applicant has submitted:
This is not about disclosing information relating to
unsubstantiated allegations about [Officer X]. Rather, it is about disclosing
information about what [Officer X] and other witnesses state about me and my
work...this is my personal information (not [Officer
X’s] personal
information).[32]
...
In the course of the investigation [Officer X] made
further comments and expressed further opinions about me and my work...I am
entitled
to know exactly what [Officer X] stated about me and my work....during
the investigation; this is clearly my personal information
and I am entitled to
know this
information.[33]
The
Category B Information was created for the purpose of investigating the conduct
of Officer X in relation to feedback expressed
by Officer X about the
applicant’s professional performance. I am satisfied that to some extent,
the Category B Information
consists of the applicant’s personal
information, in that it discusses the bases for his complaint to the Department,
which
was feedback about his work
performance.[34] I give significant
weight to this factor.
Disclosure would reveal that information was incorrect, out of
date, misleading, gratuitous, unfairly subjective or irrelevant
The
applicant submits that ‘If you deny me access to my personal
information, I will be precluded from exercising my right to seek amendment of
the information
and put the record
straight.’[35]
Accordingly, I have considered whether disclosing the Category B Information
could reasonably be expected to reveal that information
was incorrect, out of
date, misleading, gratuitous, unfairly subjective or irrelevant as this is
recognised in the RTI Act as a factor
favouring disclosure of
information.[36]
The
applicant stated that in his
view[37],
‘In the course of the investigation,
[Officer X] made further comments and expressed further opinion about
[him] and his work .... [He is] entitled to know what
[Officer X] stated about [him] and [his] work ... during
the investigation...
Without knowing what was said about [him] and
[his] work ... during the investigation, how can [he] challenge
and rebut this information and set the record straight?
[Refusal of access] means that the Department can
keep a record of the comments made, and opinions expressed, by [Officer
X] and other persons about [him] and [his] work ..., without
[his] knowledge of its content. Also, this means the Department can
disseminate this untruthful information to third parties, as if it
is the
unchallenged truth, and continue to trash [his] good
name.
I
have carefully reviewed the Category B information. It is, by its very nature,
the particular opinions and versions of events expressed
by the relevant
individuals who provided statements in the investigation (including Officer X).
It is shaped by factors such as
the individuals’ memories of relevant
events and subjective impressions. This inherent subjectivity does not mean that
the
Category B Information is necessarily incorrect or unfairly
subjective.[38]
Additionally,
no further comment or opinion about the applicant and his work is contained in
the Category B Information in the sense
that no new commentary or opinion is
expressed. Rather, the Category B Information contains opinion about Officer
X’s conduct
in providing feedback about the applicant.
I
note that in the course of the investigation of his complaint, the applicant;
sought copies of the statements of Officer X and other
witnesses in order to
question the accuracy of the evidence given and rebut it; and questioned the
integrity of the investigation
process. Information already disclosed to the
applicant pursuant to this access application shows that the Workplace
Investigator
addressed these issues in the course of the investigation. In
particular, at pages 21 – 22 of the Investigation Report, the
Workplace
Investigator set out the advice that had been given to the applicant on these
issues. Of relevance to the public interest
factor being considered by me are
the following excerpts from those pages:
3. All parties who participate in an investigation,
including [Officer X] as the subject officer, are given a
warning/direction about maintaining confidentiality. Should [Officer X]
(or anyone else) choose to ignore that direction by contacting witnesses, it
is a matter for the Department to discipline [that person] accordingly.
It is not something that I would become involved with as the Investigator and I
will not be providing any ‘written
confirmation’ that this has not
occurred. If the integrity of an investigation is compromised by any persons,
this will be
reported to the Department and evidence weighted
accordingly.
Witnesses are asked to provide the facts of a matter,
to the best of their recollection. Any statement I obtain from [a witness]
will be in accordance with my standard practice of gathering the necessary
and relevant information.
4. As outlined within my email of 15 January 2015,
Chapter 5 of Corruption in Focus explains that preserving confidentiality is
important
because it ensures the integrity of any investigation. To that end,
the identity of the person under investigation and any other
person involved in
the investigation should be kept confidential. Therefore, I cannot compromise
the integrity of my investigation
by releasing the investigation plan to
external parties (or giving the client permission to do so).
...
6. I will not be providing [the applicant], or
anyone else who has participated in the investigation, with copies of any
statements/records of interview I obtain. Please see
point 4 above re
maintaining confidentiality...
I
note that there is nothing in the information before me to suggest that it was
necessary for the Workplace Investigator to give
low weight in their findings to
any evidence provided by any witnesses in the course of the investigation.
The
applicant clearly remains disgruntled with the procedure adopted by the
Workplace Investigator, the outcome of the investigation
and the fact he was not
privy to the evidence provided by Officer X and other witnesses. However, there
is nothing in the information
before me to suggest that disclosure of the
Category B Information could reasonably be expected to reveal that the Category
B Information
is incorrect, out of date, misleading, gratuitous, unfairly
subjective or irrelevant.
Accordingly,
I give this factor in favour of disclosure very low weight.
Accountability and transparency
In
summary, the applicant has submitted:
I am particularly concerned that the 2 senior
officers at [another agency] who bullied me gave statements to the
investigator.[39]
The Department has acted in a secretive manner and done its utmost to
cover-up the information [sought in this
application].[40]
...
The investigation was flawed from the outset. It was obvious, from the outset
that the investigator was never going to conduct an
impartial and unbiased
investigation.[41]
...
The Department refused to provide me with the terms of reference and
investigation plan, after I requested these documents at the
outset. What did it
have to fear? There was no transparency and
accountability.[42]
...
I know the reason why the Department did not make any adverse finding
about [Officer X’s] conduct. This is because [Officer
X’s] evidence and the evidence of other witnesses was NOT tested during
the investigation.[43]
...
I will be seeking to reopen the investigation, so that the truth is exposed
and [Officer X] is brought into account for [Officer X’s]
conduct. This will include ensuring that –
The
investigation is conducted by an independent body (not by the Department);
and
[Another
department] provides full access to [relevant documents] as part of
this reconstituted
investigation.[44]
The
applicant’s submissions give rise to the following factors favouring
disclosure regarding the accountability and transparency
of government,
particularly in circumstances where disclosing information could reasonably be
expected to:
allow or assist
inquiry into possible deficiencies in the conduct or administration of an agency
or official[45]
reveal the
reason for a government decision and any background or contextual information
that informed the decision;[46]
and
reveal or
substantiate that an agency or official has engaged in misconduct or negligent,
improper or unlawful
conduct.[47]
In
addition to the submissions of the applicant, I have also considered if
disclosure could reasonably be expected to promote open
discussion of public
affairs and enhance the Government’s
accountability.[48]
Open discussion of public affairs and enhancing government
accountability
Although
the applicant has not explicitly argued that disclosure of the Category B
Information could promote open discussion of public
affairs and enhance
government accountability, and thus be a factor in favour of disclosure in the
public interest, I have nonetheless
considered this factor below.
Generally,
there is a public interest in workplace investigations being conducted with as
sufficient a degree of transparency and
accountability as to afford the parties
to such an investigation (and the public generally) with an understanding of the
outcome
and conclusions of the investigation. This does not, however, extend to
affording complainants a right to second-guess or reinvestigate
such
investigations . Particularly in circumstances where other avenues of redress
for perceived investigative inadequacy are available.
As
the applicant was the complainant in the workplace investigation, it is
understandable that he seeks access to the Category B Information
to be more
informed of the nature and extent of the investigation. However, in this regard
I note that the applicant has been provided
with the content of the feedback
from Officer X and in the external review process the applicant has received the
following information
about the workplace investigation:
the
substance of the allegations investigated
the
investigation methodology and the investigative process
information that
the applicant provided during the workplace investigation process
the conclusion
and outcome of the investigation; and
details of the
relevant policies and legislation pertinent to the
investigation.
I
have reviewed the Category B Information in light of the applicant’s
assertions that the investigation was flawed from the
outset and biased. There
is nothing in the information before me to support the applicant’s
assertions. Rather, the investigation
appears to have been conducted in the
usual manner of such investigations. In this regard, I note the information set
out at paragraph
54
above.
In
light of the above, I consider that the applicant has received sufficient
information about the investigation to understand the
reasons for the workplace
investigation finding regarding his complaint. I do not consider that releasing
the Category B Information
would enhance the transparency or accountability of
the Department in relation to the workplace investigation.
Accordingly,
while this public interest factor in favour of disclosure is relevant, I have
afforded it low weight.
Deficiencies in the conduct or administration of an agency
or official
Another
public interest factor to consider in favour of disclosing the Category B
Information is whether disclosure of the information
could reasonably be
expected to allow or assist with inquiry into possible deficiencies in the
conduct or administration of an agency
or official.
It
is evident that the applicant believes that the investigation into Officer
X’s conduct was deficient and not conducted appropriately.
Accordingly, he
is seeking the Category B Information in order to have the investigation
reopened and investigated by an independent
body.
As
referred to above at paragraph 63, the
applicant has received information about the workplace investigation. Although
there is a requirement for an agency to be accountable
and transparent in the
conduct of workplace investigations, it does not oblige an agency to provide a
complainant with access to
its entire
investig[49]ion
file.49
I
consider that it is not reasonable to expect that the release of the Category B
Information would disclose a deficiency in either
the conduct of Officer X
(given the result of the investigation was to find the allegation against
Officer X unsubstantiated), the
Workplace Investigator, or investigation itself.
As previously observed, the information before me suggests that the workplace
investigation
process was in accordance with the usual conduct of such matters.
I
note that the applicant may raise any concerns about deficiencies in the conduct
or administration of the Department regarding the
investigation with relevant
integrity bodies without accessing the information in issue.
Accordingly,
as there is nothing in the information before me to suggest inappropriate
conduct on the part of the Workplace Investigator
or the Department; that the
information appears on its face to be appropriate in the circumstances of the
investigation; and there
are other avenues of redress that do not necessitate
the provision of the information; I afford this factor in favour of disclosure
low weight.
The reason for a government decision and any background or
contextual information that informed the decision
If
disclosing information could reasonably be expected to reveal the reason for a
government decision and any background or contextual
information that informed
the decision, it is relevant to consider this public interest factor
favouring disclosure.
I
appreciate that the applicant is dissatisfied with the outcome of the
investigation, and he seeks further information to reveal
all of the evidence
relied upon in the investigation.
As
the workplace investigation was instigated by the Department because the
applicant raised a complaint about the feedback provided
by Officer X, I am
satisfied that he is aware of the background to the
investigation.
The
applicant will also likely be aware of who provided witness statements in the
investigation, as there are only a small number
of individuals who are privy to,
and capable of providing information of evidential value to, the matter about
which the complaint
relates. The applicant is likely to be aware of some of the
content of these statements.
As
noted at paragraph 63, the applicant
has received information, through the external review process, about aspects of
the investigation. I consider that
the applicant has received sufficient
information to assist his understanding of the background and contextual
circumstances of the
workplace investigation decision.
On
the evidence before me, I am not satisfied that the release of Category B
Information will provide the applicant with further information
that reveals the
reasons for his complaint being found unsubstantiated.
Accordingly,
I afford this factor low weight, as the applicant is already aware of the
background and context of the investigation
decision and the disclosure of the
Category B Information could not reasonably be expected to expand his
understanding in a significant
way.
Reveal or substantiate that an agency or Official has
engaged in misconduct or negligent, improper or unlawful conduct
A
factor favouring disclosure in the public interest will arise where disclosing
information could reasonably be expected to reveal
or substantiate that an
agency or official has engaged in official misconduct or negligent, improper or
unlawful conduct.
It
is clear from the applicant’s submissions that he considers that the
disclosure of further information will reveal or substantiate
his complaint of
improper conduct on the part of Officer X and/or his concerns about the manner
the workplace investigation was conducted.
The applicant raises serious
allegations regarding the manner in which the Department conducted the workplace
investigation, including
that it failed to test the relevant evidence
collected.
It
is evident from the information before me that the allegations against Officer X
were not substantiated following an independent
investigation. Thus disclosing
the Category B Information (which primarily concerns that investigation) will
not disclose that Officer
X engaged in misconduct or other improper
conduct.
Additionally,
the evidence before me suggests that the investigation was conducted
appropriately. As noted at paragraph 54 the workplace investigator was clearly
on notice that the integrity of the investigation would be scrutinised by the
applicant.
The investigator included in the investigation report the concerns
of the applicant in this regard and the responses that had been
given by the
Workplace Investigator to the applicant.
Accordingly,
I am of the opinion that the Category B Information does not disclose that
either Officer X or the Department or its
agent acted
inappropriately.
I
am not satisfied that the disclosure of Category B Information to the applicant
will reveal or substantiate inappropriate conduct
by the Department or Officer
X.
Accordingly,
I afford this factor low weight.
Advance fair treatment and procedural fairness
In
summary, the applicant submitted that :
I strongly believe that in the statements
[Officer X] provided as part of the investigation of my complaint,
[Officer X] continued to make false, unfounded and defamatory statements
about me and my work...[50]
...
I wish to bring defamation proceedings against [Officer X]. I need
further evidence of [Officer X’s] defamatory
comments.[51]
...
I was never given the opportunity to comment on, or respond to, witness
statements or records of interview during the investigation.
Accordingly, I was
denied the most basic right to procedural fairness. This meant that [Officer
X] was able to perpetuate [Officer X’s] lies, misleading information
and malicious, unbalanced and vicious comments about me and
my
work...[52]
...
What [OIC] don’t appear to understand is that a person cannot
simply express an opinion about the work of another person with impunity.
There
needs to be a proper basis for such an
opinion.[53]
In my case, the complaint which lead to the investigation was about
[Officer X’s] comments and opinion about me and my work...That is,
ultimately the information in question is about me and impacts on my reputation.
This is a different scenario to that of other investigations dealt with by
OIC.[54]
...
If the [Workplace Investigator] had acted in a fair and improper
manner, I would have been given access to this information during the
investigation. Furthermore,
I would have been afforded procedural fairness by
being given the opportunity to respond to this information before findings were
made on my complaint.[55]
...
I suggest that a witness in an investigation would appreciate that whatever
he or she states to the investigator would be put to the
complainant for
response. Otherwise, the witness would not be concerned about the truth of his
or her evidence, and would state whatever
he or she liked with impunity. In this
instance, I suggest [Officer X] and other witnesses would appreciate that their
evidence would
be revealed to me, particularly given that this matter concerned
my personal and work
reputation.[56]
In
accordance with the applicant’s submissions, I have considered whether
disclosing the Category B Information could reasonably
be expected
to:
contribute to
the administration of justice generally, including procedural
fairness[57]
contribute to
the administration of justice for the applicant as an
individual;[58] and
advance the fair
treatment of the applicant in accordance with the law in his dealings with
agencies.[59]
Contribute to the administration of justice generally,
including procedural fairness
Generally
speaking, in the workplace investigation context, the principle of procedural
fairness does not extend to the complainant
in the same manner in which it
extends to the subject of the workplace investigation. It is essential that the
fundamental requirements
of procedural fairness (that is, a fair hearing and
decision-maker free from bias) should be afforded to the subject of the
complaint,
whose future employment and reputation may be impacted by the outcome
of the investigation.
The
obligation to provide procedural fairness to the applicant, as a complainant, is
less onerous. In this matter, the applicant has
been provided procedural
fairness in that he had the opportunity to provide a statement as part of the
workplace investigation. There
is no evidence before me to indicate that the
applicant’s complaint (including the evidence he provided in the workplace
investigation)
was disregarded or not properly considered by the Department.
The
applicant submits that he should be given the opportunity to respond to any
comment made about his professional performance in
order to provide a response
articulating his version of events. However, as previously mentioned at
paragraph 49, the purpose of the
investigation was not to bring into question the professional conduct of the
applicant, but rather to investigate
the professional conduct of Officer
X.
The
comments made in witness statements, as part of the workplace investigation, are
for the consideration of the investigator and
subsequent decision maker in
testing the evidence. I am not satisfied that procedural fairness dictates that
the complainant should
be provided with the witness statements, nor am I
satisfied that a response from the complainant would have assisted the
investigator
or the decision maker.
The
applicant has clearly articulated, in making a complaint about Officer X, that
he disagrees with the feedback provided. Accordingly,
I do not consider that any
further response by the applicant would afford procedural fairness or contribute
to the administration
of justice generally.
I
have afforded this factor low weight.
Contribute to the administration of justice for the
applicant as a complainant
A
public interest factor favouring disclosure will arise if disclosing information
could reasonably be expected to contribute to the
administration of justice for
a person, for example, by allowing a person subject to adverse findings to
access information that
may assist them in legal proceedings.
The
applicant has raised that he is considering defamation proceedings in relation
to the comments of Officer X. In determining whether
this public interest factor
in favour of disclosure applies, I must consider whether:
the applicant
has suffered loss, or damage, or some kind of wrong, in respect of which a
remedy is, or may be, available under the
law;
the applicant
has a reasonable basis for seeking to pursue the remedy; and
disclosing the
information held by an agency would assist the applicant to pursue the remedy,
or evaluate whether a remedy is available
or worth
pursuing.[60]
I
acknowledge the applicant’s view that he has been adversely effected by
Officer X’s feedback. I note that the applicant’s
employer has
identified the feedback as a contributing factor regarding the non-renewal of
the applicant’s employment contract.
It is evident that the applicant
considers that due to this adverse effect, he is able to claim a remedy,
specifically in reference
to defamation.
I
am not, however, satisfied that the release of Category B Information will
enable him to assess if there is a reasonable basis to
pursue a defamation
claim, as it would appear the applicant already has full access to the feedback
provided by Officer X, which
he considers to be the basis for a defamation
action.
I
do not consider that the release of full copies of witness statements,
containing personal opinions, will allow the applicant to
evaluate whether a
legal remedy against Officer X for defamation is available or worth pursuing.
Therefore, this factor is afforded
low weight.
Advance the fair treatment of the applicant, as an
individual
The
RTI Act gives rise to a factor favouring disclosure where disclosing information
could reasonably be expected to advance the fair
treatment of individuals and
other entities in accordance with the law in their dealings with
agencies.
This
public interest factor does not require a decision maker to ensure that an
applicant is provided with sufficient information
to enable that applicant to be
subjectively satisfied that he or she received fair treatment rather, it is
about providing information
to ensure fair treatment in future
dealings.
As
stated in paragraph 97, while the applicant has been adversely effected by the
feedback provided by Officer X, there is no evidence
before me, which indicates
that the information gathered as part of the workplace investigation would
advance the fair treatment
of the applicant in his future dealings with either
this former employer or the Department (the subject of this
review).
Accordingly,
I am satisfied that the disclosure of the Category B Information will not
advance the fair treatment of the applicant.
I
afford this factor low weight.
Factors favouring nondisclosure
I
will now turn to a consideration of factors favouring
nondisclosure.
Personal information and privacy of other individuals
As
noted earlier in this decision, a public interest factor which favours
disclosure of some of the Category B Information is the
fact that it contains
the applicant’s personal information.
However,
the personal information of the applicant is intrinsically intertwined with the
personal information of other individuals,
as the Category B Information
contains the opinions, and comments of other individuals.
The
applicant refers to the case of Re McKinnon and Department of Immigration and
Ethnic Affairs[61]
(McKinnon) and submits that: “intertwined personal
information should be separated where possible, without diminishing or impairing
the quality or completeness
of the applicant’s personal
information”.
[62]
The
case of McKinnon is a federal Freedom of Information matter, which
relates to a migration matter whereby Mrs McKinnon and Mrs Powell sought to vary
a decision made by the Department of Immigration and Ethnic Affairs to release
documents to Mr Powell which included documents where
they expressed their
versions of events and opinions. These documents were relied upon when Mr
Powell’s visa was cancelled
without notice under section 128 of the
Migration Act 1958, after Mrs Powell withdrew her
sponsorship.
The
factual circumstances and the information in issue in McKinnon are
different to those in this matter, however, the principle espoused in
McKinnon that intertwined personal information should be separated, where
possible, is pertinent. I have carefully reviewed the Category B
Information
with a view to separating the applicant’s personal information from that
of the other individuals, however, in
this instance, it is not possible to
separate the applicant’s personal information from the personal
information of other individuals
without ‘diminishing or impairing the
quality or completeness of the applicant’s personal
information’.
As
it is not possible to separate the personal information of the applicant and
other individuals, I have considered whether disclosing
the Category B
Information could be reasonably expected to:
prejudice the
protection of an individual’s right to
privacy;[63] and
cause a public
interest harm if it would disclose personal information of a
person.[64]
The
applicant submits that:
[OIC] has blindly followed the approach taken in other cases considered by
the OIC on external review, in which the applicant seeks access
to investigation
and complaint documents....ultimately the information in question is about me
and impacts on my reputation.[65]
...
I do not accept your observation that the majority of the Category B
Information is the personal information of individuals other
than me. Also, I
reject your finding that this information is highly sensitive personal
information which would not ordinarily be
released under the IP
Act.[66]
I
have distinguished this matter from other information access applications
related to workplace investigations. In particular, in
this matter, it is
relevant that the applicant is the complainant and not the subject of the
investigation.
The
applicant submits that the High Court decision of Smallbone v New South Wales
Bar Association [2011] FCA 1145 (Smallbone) should be
considered to support the disclosure of other persons’ opinions.
By
way of summary, in Smallbone, Mr Smallbone sought injunctive relief under
section 98 of the Privacy Act 1988 (Cth). The information in issue in
Smallbone concerned Mr Smallbone in that it was
comments[67] obtained through a
consultation process undertaken by the New South Wales Bar Association (NSW
Bar Association) related to his application for Senior Counsel. The NSW Bar
Association provided Mr Smallbone with limited access to the comments
by
deidentifying the names of the individuals who provided
feedback.
There
is no real parallel with the facts of Smallbone and the present matter,
though Officer X’s position is probably more akin to Mr Smallbone’s
position, by virtue of the
fact that Officer X was to respond to the allegations
or opinion of others as was Mr Smallbone.
Given
that a very limited number of individuals are privy to Officer X’s
feedback it is reasonable to infer that the applicant
would be able to identify
the opinions of individuals who provided evidence. As such, deidentification of
statements by simply removing
the names of individuals who provided statements
in the investigation would not adequately protect the individuals’ privacy
in this matter.
Ordinarily
where personal information is about routine day-to-day work activities of public
sector employees, it is considered to
be routine personal work information and
the public interest factor in favour of not disclosing that type of personal
information
is given very low weight.
Although
the Category B Information in this case appears in a workplace context, it
relates to a confidential workplace investigation
and thus is not wholly related
to routine day-to-day work activities and is not routine personal work
information of the various
individuals involved in the
investigation.[68]
The
disclosure of the Category B Information under the IP Act would be a significant
intrusion into the privacy of the individuals
who provided statements and the
extent of the public interest harm that could be anticipated from disclosure is
significant. Furthermore,
although the applicant may know some of the Category
B Information as a result of his participation in the investigation processes,
it does not negate the weight to be attributed to these
factors.
In
these circumstances, I afford these public interest factors favouring
nondisclosure significant weight.
Prejudice to the fair treatment of individuals
A
relevant factor favouring nondisclosure of the Category B Information is if
disclosure may reasonably be expected to prejudice the
fair treatment of
individuals.[69]
In
this matter, as previously noted, the Category B Information is primarily about
the investigation of the subject of the complaint,
Officer X. This complaint was
investigated by the Workplace Investigator in accordance with the terms of
reference outlined by the
Department. The allegations raised by the applicant
were ultimately found to be unsubstantiated.
The
applicant submitted that he “was denied the most basic right to
procedural fairness when the investigator refused to provide [him] with
details of the evidence of Officer X and the other witnesses and denied
[him] the opportunity to respond to the
evidence.”[70] As
previously observed at paragraphs 89
and 90, a complainant and subject of a
complaint attract different procedural fairness rights in workplace
investigations.
While
the applicant submits that he has not been afforded the same rights in relation
to reputational damage, this submission is not
pertinent to this public interest
factor as the feedback provided by Officer X, which the applicant states
adversely damaged his
reputation, was not provided as part of the workplace
investigation process. This feedback was provided to the applicant’s
employer prior to the workplace investigation.
I
have reviewed the Category B Information and there is nothing within this
information that would warrant the right of reply to which
the applicant is
referring.
The
disclosure of information relating to unsubstantiated allegations about Officer
X has the potential to adversely affect the reputation
and the current and
future employment of Officer X.
I
consider that the public interest weighs strongly against disclosing information
relating to unsubstantiated allegations as to do
so may result in the unfair
treatment of the individual about whom the complaint was made. I afford this
factor significant weight.
Prejudice to management function and ability to obtain
confidential information
The
RTI Act recognises public interest factors favouring nondisclosure of
information in circumstances where disclosing information
could reasonably be
expected to prejudice an agency’s management
function[71] or its ability to
obtain confidential
information.[72]
In
workplace investigations, the expectation is usually that staff supply
information to workplace investigators on the understanding
that it will be used
for the investigation or any subsequent disciplinary investigations. It is also
expected that staff will cooperate
in the investigative process and provide
information in an open and honest manner.
The
applicant submits that:
...a witness in an investigation would appreciate
that whatever he or she states to the investigator would be put to the
complainant
for a response. Otherwise, the witness would not be concerned about
the truth of his or her evidence, and could state whatever he
or she liked with
impunity.’[73]
...
In this instance, procedural fairness required
that-
details of
the evidence of [Officer X] and other witnesses should have been
disclosed to me; and
I should have
been given a full and fair opportunity to respond to this evidence before any
findings were made on my complaint. This
is because the evidence was about me
and my
work...[74]...
In these circumstances, [Officer X] and other
witnesses would have implicitly understood that whatever they stated about me
and my work...would be divulged to me.
I
do not accept the applicant’s submission that there was an implicit
understanding that the applicant (as the complainant in
the workplace
investigation) would be informed of the content of witness statements. Evidence
gathered in such investigation is
designed to prove or disprove the allegation
against the subject of the complaint. It is the subject to whom the evidence
must be
put if it contains adverse allegations.
Although
I appreciate that the applicant raised the complaint about Officer X in relation
to feedback about his work performance,
this does not mean that an investigation
into Officer X’s conduct is about the applicant.
Disclosing
the Category B Information could reasonably be expected to have a detrimental
effect on the Department’s management
function, as disclosing information
of this type would tend to discourage individuals from coming forward with
relevant information
in the future.
I
am also satisfied that disclosure of this information could reasonably be
expected to cause staff to lose confidence in the finalisation
of
investigations, particularly where allegations are found to be
unsubstantiated.[75] This, in turn,
would significantly impact the effectiveness of future
investigations.[76]
I
afford this factor significant weight.
Balance factors favouring disclosure and factors favouring
nondisclosure
I
have set out below the weight apportioned to each of the public interest factors
for and against the disclosure of the Category
B information. I have then
balanced those factors against each other to ascertain where the balance of the
public interest lies.
The
IP Act is to be administered with a pro-disclosure bias meaning that access to
information should be granted unless giving access
would, on balance, be
contrary to the public interest.[77]
I
have taken into account the various factors enlivened by the applicant’s
submissions as well as other factors identified by
me. Additionally, I have
reviewed the various factors for and against disclosure enunciated in Schedule 4
of the RTI Act. I did not
consider any other factors listed in Schedule 4 of the
RTI Act to be relevant to this matter.
There
is a public interest factor of significant weight in releasing the
applicant’s personal information to him. However, weighted
against this
public interest factor is that fact that the applicant’s personal
information is intrinsically intertwined with
the personal information of other
individuals, namely Officer X and other individuals who provided witness
statements. The personal
information and privacy considerations relating to
other individuals involved in the investigation (and referenced throughout the
documents) attracts significant weight, as it is within a workplace
investigation context where the allegations were found to be
unsubstantiated.
I
afforded very low weight to the factor favouring disclosure which would reveal
that the information was incorrect, unfairly subjective
or irrelevant. Although
the applicant asserts that the witnesses provided statements which did not
accurately reflective his professional
conduct and performance, I am not
satisfied that the release of the Category B Information would facilitate an
amendment to the
information.[78]
I
have afforded low weight to the disclosure of the Category B Information in
relation to accountability and transparency factors.
I am not satisfied that the
release of further information would provide the applicant with a better
understanding of the Department’s
reasons for finding the complaint
unsubstantiated or that the Department’s investigation was deficient.
I
have also afforded low weight to procedural fairness factors favouring the
disclosure of the Category B Information. The applicant
is not the subject of
the complaint and, accordingly cannot expect to be afforded the same right of
response or appeal. In relation
to potential defamation proceedings, I consider
that the applicant already has sufficient information to evaluate whether a
remedy
is available or worth pursuing.
In
contrast, I am satisfied that this same factor favouring nondisclosure should be
afforded significant weight, as the disclosure
could detrimentally effect the
treatment of individuals involved in the investigation, including Officer
X.
I
am also mindful that disclosure could reasonably be expected to prejudice the
ability of agencies to conduct workplace investigations
and manage staff in the
future. I have afforded significant weight to this factor in favour of
nondisclosure.
Taking
into account all of the matters set out above, I am satisfied that, on balance,
the public interest factors favouring nondisclosure
of the Category B
Information outweigh the public interest factors favouring
disclosure.
DECISION
For
the reasons set out above, I vary the decision under review and find
that:
access to the
Category A Information may be refused under section 67 of the IP Act and section
47(3)(a) and schedule 3, section 7
of the RTI Act; and
access to the
Category B Information can be refused under section 67 of the IP Act and
sections 47(3)(b) and 49 of the RTI Act on
the basis that its disclosure would,
on balance, be contrary to the public interest.
I
have made this decision as a delegate of the Information Commissioner, under
section 139 of the IP Act.
Assistant Information Commissioner Corby
Date: 9 June 2017
APPENDIX 1: SIGNIFICANT PROCEDURAL STEPS
Date
Event
12 June 2016
OIC received the application for external review of the
Department’s decision
24 June 2016
OIC informed the applicant and the Department that the application for
external review had been accepted. OIC requested the Department
to provide the
documentation relevant to the application.
13 July 2016
OIC received the requested procedural documents from the Department.
4 August 2016
OIC requested further information from the Department in relation to the
scope of the documentation and clarification about searches.
19 August 2016
the Department was granted an extension to the response to OIC until 26
August 2016.
22 August 2016
OIC and the Department discussed OIC’s request for the further
information regarding the Department’s searches.
25 August 2016
The Department responded to OIC’s letter dated 19 August 2016,
providing further information about the searches conducted and
copies of the
relevant documents.
OIC and the Department discussed OIC’s request for the further
information regarding the Department’s searches.
17 October 2016
OIC requested further clarification from the Department regarding
management of applicant’s complaint.
3 November 2016
The Department provided a response to OIC’s letter dated 17 October
2016, including copies of further information.
OIC and the Department discussed OIC’s requested the Department to
provide further information about the management of the applicant’s
complaint in relation third party involvement.
18 November 2016
The Department provided a response to OIC’s request of 3 November
2016, confirming the third party involvement in the investigation
of the
applicant’s complaint.
23 November 2016
OIC conveyed a written preliminary view to the Department, providing a
marked up version of the documentation to be released, and
inviting PSC to
provide submissions by 7 December 2016.
6 December 2016
The Department requested an extension to the submission response period.
OIC granted an extension until 14 December 2016.
13 December 2016
OIC received the Department’s submissions in response to the
preliminary view dated 23 November 2016.OIC and the Department discussed
the requirement of third party consultation prior to the disclosure of the
documentation
9 January 2017
OIC conveyed a second written preliminary view to the Department, and
requested submissions by 17 January 2017.
17 January 2017
OIC received further submissions in response to the preliminary view dated
9 January 2017.
10 February 2017
OIC conveyed written preliminary view to applicant, inviting the applicant
to provide submissions by3 March 2017. OIC wrote to the Department
requesting that further documents be released to the applicant.
16 February 2017
OIC and the Department discussed OIC’s request to disclose
documentation to the applicant.OIC received correspondence from the
Department confirming that the further documents had been released to the
applicant.
27 February 2017 – 10 April 2017
Communication between the applicant and OIC where the applicant sought
clarification on various points in the preliminary view and
an extension to the
response period.
OIC clarified the points raised by the applicant and granted a number of
extensions to the response period.
12 April 2017
OIC received submissions from the applicant.
18 April 2017 –
12 May 2017
Various communications between OIC and the applicant regarding the
possibility of the applicant being deidentified in this decision.
By
telephone conversation on 11 May 2017, and confirmed by letter dated 12 May
2017, OIC agreed to issue a deidentified formal decision.
21 May 2017
OIC received further correspondence from the applicant requesting
reassurance that the decision would not contain any information
that would make
it possible to reasonably ascertain the applicant’s identity.
APPENDIX 2: INFORMATION IN ISSUE
Table 1, Category A Information
File
Page number
Full refusal
Part refusal
Ground of refusal
A
1 - 7.
X
LPP
A
81 – 89.
X
LPP
A
96 – 102.
X
LPP
B
343 – 344.
X
LPP
C
1 – 15.
X
LPP
Table 2, Category B Information
File
Page number
Full refusal
Part refusal
Ground of refusal
A
8 - 10.
X
CTPI
A
12 – 29.
X
CTPI
A
31 – 44.
X
CTPI
A
45 – 73.
X
CTPI
A
74 – 77.
X
CTPI
A
78 – 79.
X
CTPI
A
80.
X
CTPI
A
92.
X
CTPI
A
95.
X
CTPI
B
5.
X
CTPI
B
9 – 41.
X
CTPI
B
42 – 72.
X
CTPI
B
73 – 76.
X
CTPI
B
77 – 78.
X
CTPI
B
79 – 81.
X
CTPI
B
85.
X
CTPI
B
88.
X
CTPI
B
129 – 130.
X
CTPI
B
133 – 134.
X
CTPI
B
142 – 151.
X
CTPI
B
153 – 157.
X
CTPI
B
247 – 288.
X
CTPI
B
290 – 297.
X
CTPI
B
299 – 315.
X
CTPI
B
350.
X
CTPI
B
352.
X
CTPI
B
389 – 392.
X
CTPI
B
Audio file – part 1
X
CTPI
B
Audio file – part 2
X
CTPI
B
Audio file – part 3
X
CTPI
B
Audio file – part 4
X
CTPI
B
Audio file – part 5
X
CTPI
B
Audio file – part 6
X
CTPI
D
1 – 5.
X
CTPI
D
8.
X
CTPI
D
12.
X
CTPI
[1] Department’s original
decision dated 18 March 2016.
[2] Section 67 of the IP Act
provides that access to information may be refused on the same grounds as under
section 47 of the RTI Act.
This decision will refer to the relevant RTI Act
grounds for refusal.
[3] Internal review decision dated
17 May 2016.
[4] External review application
dated 12 June 2016.
[5] See paragraph 14 for definition of ‘information in
issue’.
[6] Sections 47(3)(b) and 49 of the
RTI Act.
[7] In a letter dated 27 November
2015.
[8] Addendum to information access
application dated 14 November 2015.
[9] The information in issue
includes interview transcripts, precis of interviews, and the personal details
and witness statements of
other individuals who provided evidence regarding the
workplace investigation into Officer X.
[10] Appendix 2 sets out the
partially nondisclosed information and fully nondisclosed information, together
with the basis for the nondisclosure.
[11] See Appendix 2, Table 1.
[12] See Appendix 2, Table 2.
[13] Section 40(1)(a) of the IP
Act. Section 12 of the IP Act defines personal information as
‘information or an opinion, including information or an opinion forming
part of a database, whether true or not, and whether recorded
in a material form
or not, about an individual whose identity is apparent, or can reasonably be
ascertained, from the information
or opinion’.
[14] Grounds for refusal of
access are set out in section 47 of the RTI Act. Section 67(1) of the IP Act
provides that access to information
may be refused under the IP Act on the same
grounds as in section 47 of the RTI Act.
[15] Schedule 3, section 7 of the
RTI Act.
[16] Esso Australia Resources
Ltd v Commission of Taxation [1999] HCA 67; (1999) 74 ALJR 339.
[17] Goldberg v
Ng (1994) 33 NSWLR 639 at page 670.
[18] Osland v Secretary to the
Department of Justice [2008] HCA 37 at paragraph 45.
[19] Page 5 of letter from
applicant dated 12 April 2017.
[20] Proudfoot v Human Rights
and Equal Opportunity Commission [1992] AATA 317; (1992) 28 ALD 734 at 740.
[21] Waterford v
Commonwealth [1987] HCA 25; (1986) 163 CLR 54 per Mason and Wilson JJ at paragraph 7 of
their Honours’ judgement.
[22] Attorney-General (NT) v
Kearney [1985] HCA 60; (1985) 158 CLR 500 at 530-531.
[23] Seven Network News v News
Ltd [2005] FCA 1551; (2005) 225 ALR 672 at 674.
[24] (1994) QAR 37.
[25] The Department’s
decisions dated 18 March 2016 and 17 May 2016.
[26] The Department’s
decisions dated 18 March 2016 and 17 May 2016.
[27] Confirmed by the Department
in a telephone conversation dated 7 June 2017.
[28] [1999] HCA 66; (1999) 201 CLR 1.
[29] https://www.oaic.gov.au/freedom-of-information/foi-archive/foi-guidelines-archive/part-5-exemptions-version-1-1.
[30] Schedule 4 of the RTI Act
sets out the factors for deciding whether disclosing information would, on
balance, be contrary to the
public interest. However, this list of factors is
not exhaustive; in other words, factors that are not listed may also be
relevant.
[31] Schedule 4, part 2, item 7
of the RTI Act.
[32] Page 12 of letter from
applicant dated 12 April 2017.
[33] Page 6 of letter from
applicant dated 12 April 2017.
[34] Personal
information is defined in section 12 of the IP Act
as information or an opinion, including information or an opinion
forming part of a database, whether true or not, and whether recorded
in a
material form or not, about an individual whose identity is apparent, or can
reasonably be ascertained, from the information or opinion.
[35] Page 6 of letter from
applicant dated 12 April 2017.
[36] Schedule 4, part 2, item 12
of the RTI Act.
[37] Page 6 of letter from
applicant dated 12 April 2017.
[38] Marshall and Department
of Police (Unreported, Queensland Information Commissioner, 25 February
2011) at [15]-[20].
[39] Page 3 of applicant’s
letter to the Department dated 17 April 2016.
[40] Page 1 of letter from
applicant dated 12 April 2017.
[41] Page 4 of letter from
applicant dated 12 April 2017.
[42] Page 4 of letter from
applicant dated 12 April 2017.
[43] Page 8 of letter from
applicant dated 12 April 2017.
[44] Page 5 of letter from
applicant dated 12 April 2017.
[45] Schedule 4, part 2, item 5
of the RTI Act.
[46] Schedule 4, part 2, item 11
of the RTI Act.
[47] Schedule 4, part 2, item 6
of the RTI Act.
[48] Schedule 4, part 2, item 1
of the RTI Act.
[49] 8A3BPQ and Queensland
Police Service [2014] QICmr 42 (30 October 2014) at paragraphs 23-24.
[50] Page 2 of applicant’s
letter to the Department dated 17 April 2016.
[51] Page 5 of letter from
applicant dated 12 April 2017.
[52] Page 4 of letter from
applicant dated 12 April 2017.
[53] Page 8 of letter from
applicant dated 12 April 2017.
[54] Page 8 of letter from
applicant dated 12 April 2017.
[55] Page 9 of letter from
applicant dated 12 April 2017.
[56] Page 10 of letter from
applicant dated 12 April 2017.
[57] Schedule 4, part 2, item 16
of the RTI Act.
[58] Schedule 4, part 2, item 17
of the RTI Act.
[59] Schedule 4, part 2, item 10
of the RTI Act.
[60] Willsford and Brisbane
City Council (1993) [1996] QICmr 17; 3 QAR 368 at [17] and confirmed in 10S3KF and
Department of Community Safety (Unreported, Queensland Information
Commissioner, (16 December 2011).
[61] Full citation:
Cheryl Anne McKinnon and Lynette Powell and Department of Immigration
and Ethnic Affairs [ 1995] AATA 364 (12 December 1995).
[62] Page 9 of letter from
applicant dated 12 April 2017.
[63] Schedule 4, part 3, item 3
of the RTI Act.
[64] Schedule 4, part 4, section
6 of the RTI Act.
[65] Page 8 of letter from
applicant dated 12 April 2017.
[66] Page 9 of letter from
applicant dated 12 April 2017 with reference to the case of Katz v Victorian
Police [2013] VACT 2046 at [38] at page 10 of the same letter.
[67] In total 579 persons were
consulted in relation to all applications for Senior Counsel and 458 persons
responded with some persons
providing comment in relation to Mr Smallbone. The
exact number of persons who responded to Mr Smallbone’s application is
unclear.
[68] Underwood and Department
of Housing and Public Works (Unreported, Queensland Information
Commissioner, 18 May 2012) at paragraph 60.
[69] Schedule 4, part 3, item 6
of the RTI Act.
[70] Page 11 of letter from
applicant dated 12 April 2017.
[71] Schedule 4, part 3, item 19
of the RTI Act.
[72] Schedule 4, part 3, item 16
of the RTI Act.
[73] Page 10 of letter from
applicant dated 12 April 2017.
[74] Page 11 of letter from
applicant dated 12 April 2017.
[75] Daw and Queensland
Rail (Unreported, Queensland Information Commissioner, 24 November 2010) at
[17].
[76]I6XD0H and Department of
Community Safety (Unreported, Queensland Information Commissioner, 26 June
2012) at [6].
[77] Section 64 of the IP
Act.
[78] In accordance with section
74 of the IP Act.
|
queensland | court_judgement | Queensland Information Commissioner 1993- | Hopkins and Department of Transport [1995] QICmr 28; (1995) 3 QAR 59 (28 November 1995) |
Hopkins and Department of Transport [1995] QICmr 28; (1995) 3 QAR 59 (28 November 1995)
Last Updated: 23 February 2001
OFFICE OF THE INFORMATION ) S 34 of 1995; S 94 of
1995COMMISSIONER (QLD) ) (Decision No.
95028) Participants: S 34 of
1995 ROSS MALCOLM HOPKINS AND BARBARA WINIFRED
HOPKINS Applicants - and - DEPARTMENT OF
TRANSPORT Respondent S 94 of
1995 LINO ROY PRESOTTO AND MARY W
PRESOTTO Applicants - and - DEPARTMENT OF
TRANSPORT Respondent DECISION AND REASONS FOR
DECISIONFREEDOM OF INFORMATION - refusal of access - reports
provided to the respondent by registered valuers assessing the compensation
payable
to the respective applicants following resumption by the respondent of
portions of land owned by the respective applicants - reports
disclosed to the
respective applicants except for the valuation figures assessed by the
registered valuers and explanation of the
methods and calculations employed in
assessing those figures - whether disclosure of the information withheld from
the applicants
would found an action for breach of confidence - whether a
legally enforceable duty of confidence is owed by the respondent to the
registered valuers in respect of the matter in issue - application of s.46(1)(a)
of the Freedom of Information Act 1992 Qld.Freedom
of Information Act 1992 Qld s.21, s.30, s.41(1)(a), s.46(1), s.46(2), s.78,
s.81Acquisition of Land Act 1967 Qld s.24Freedom of
Information Act 1982 VicValuers Registration Regulation 1992 Qld
s.6"B" and Brisbane North Regional Health Authority, Re [1994] QICmr 1; (1994)
1 QAR 279Chantrey Martin v Martin [1953] 2 QB 286Conlan and
Rural Finance Commission, Re (1986) 1 VAR 325Fraser v Evans
[1969] 1 QB 349Leicestershire County Council v Michael Farraday and
Partners, Limited [1941] 2 KB 205O'Brien v Komesaroff [1982] HCA 33; (1982) 150
CLR 310Parry-Jones v Law Society [1969] 1 Ch 1Smith Kline and
French Laboratories (Aust) Limited and Ors v Secretary, Department
of Community Services and Health [1991] FCA 150; (1991) 28 FCR 291Stephenson Jordon
& Harrison Ltd v MacDonald & Evans (1952) 69 RPC 10Tournier v
National Provincial and Union Bank of England [1924] 1 KB
461Wentworth v De Montfort & Ors (1988) 15 NSWLR
348 DECISION1. In application for review no. S
34 of 1995, I set aside the decision under review (being the internal review
decision made on behalf
of the respondent by Mr W J Rodiger on 15 February
1995). In substitution for it, I decide that the applicants have a right to be
given access under the Freedom of Information Act 1992 Qld to the
matter withheld from them pursuant to the decision under review.2. In
application for review no. S 94 of 1995, I vary that part of the decision under
review (being the internal review decision made on behalf of the respondent by
Mr
W J Rodiger on 4 April 1995) which relates to the matter still
remaining in issue in this review, as identified in paragraph 13 of
my
accompanying reasons for decision, by finding that the applicants have a right
to be given access to that matter, under the Freedom of Information Act 1992
Qld.Date of Decision: 28 November 1995
...........................................................F
N ALBIETZINFORMATION COMMISSIONER TABLE OF
CONTENTS PageBackground
1The external review process 3Evidence
lodged by the participants 5Relevant provisions of
the FOI Act 8Application of s.46(1)(a) to the matter
in issue 9Conclusion 18OFFICE
OF THE INFORMATION ) S 34 of 1995; S 94 of 1995COMMISSIONER
(QLD) ) (Decision No. 95028) Participants: S
34 of 1995
ROSS MALCOLM HOPKINS AND BARBARA WINIFRED
HOPKINSApplicants
- and - DEPARTMENT OF
TRANSPORT Respondent S 94 of 1995 LINO ROY
PRESOTTO AND MARY W PRESOTTO Applicants -and
- DEPARTMENT OF TRANSPORT Respondent REASONS
FOR
DECISIONBackground1. The
applicants in each of these cases seek review of decisions by the respondent to
refuse them access to parts of valuation reports
(and associated documents)
obtained by the respondent, in which registered valuers state their assessment
(and the method and calculations
by which their assessment was reached) of the
appropriate amount of compensation to which the respective applicants are
entitled,
following partial resumption by the respondent (for road-widening
purposes) of residential land owned by the
applicants.2. The respective applicants
reside on the same road, and were both affected by the respondent's
road-widening proposals. These two
cases raise common issues, and can be
conveniently dealt with together. 3. By
application dated 31 October 1994, Mr and Mrs Hopkins applied to the Department
of Transport (the Department) under the Freedom of Information Act 1992
Qld (the FOI Act) for "all documents concerning valuation of our property
to do with our property resumption". I will not recount all the steps along
the way, but by the time of the making of the decision under review in
application for
review no. S 34 of 1995 (being the internal review decision made
on behalf of the Department by Mr W J Rodiger on 15 February 1995),
Mr and Mrs
Hopkins had obtained access in full to some 62 pages of material, and access in
part to a further four pages of material.
The Department, however, refused to
give access to certain matter on four pages of a valuation report prepared by
Herron Todd White,
Valuers (HTW) and also refused to give access to any matter
contained in a valuation report prepared by Michael Slater Property Valuers,
on
the basis that the matter withheld was exempt matter under s.46(1)(a) of the FOI
Act.4. By letter dated 20 February 1995, Mr
and Mrs Hopkins applied for review by the Information Commissioner, under Part 5
of the FOI
Act, of Mr Rodiger's decision of 15 February 1995. In their
application for review, Mr and Mrs Hopkins said: A large section of
our property was resumed by the Transport Department for widening of Albany
Creek Road. We were told by the Property
Services Section that the Transport
Department would be open and accountable in all their dealings with us the
property owners. But when it comes to advising us what value "the
professionals" (valuers) put on our resumed land, it is all of a sudden not
accountable
to us but to the valuer! We are taxpayers, our taxes
fund the running of the Government Departments and our taxes paid the
valuer's fees! So why can’t we see a full copy of their
report? How do we know whether the Transport Department will
offer us the value put on our property by the valuers if we don’t get to
see the reports? Claiming exemption under s46(1) of the Act as a
breach of confidence is a load of rubbish. What difference does it make to the
valuers
if we the owners of the land know what value they put on the land?
After all it was our land before the Transport Department came along and
decided to build a 6 lane highway through Albany Creek and Aspley. Surely we
should be the first to know what value they put on our
land! We are not asking for information on anyone or thing except
matters concerning our property
valuation.5. By letter dated 8
February 1995, Hopgood and Ganim, Solicitors, acting on behalf of Mr and Mrs
Presotto, applied for access under
the FOI Act to - 1. All
departmental and policy documentation relating to: (a) the
proposed widening of Albany Creek Road from Beckett Road to Albany Creek from a
two (2) lane road to a four (4) lane road
with a central median;
and (b) the Department of Transport's requirements regarding the
resumption of the whole or part of any parties adjoining Albany Creek
Road for
the purposes of the proposed road widening. 2. All valuations
made by the Department of Transport or commissioned by the Department of
Transport from external sources relevant
to the value of the properties subject
to resumption or resumed by the Department of Transport along Albany Creek Road
including
Lot 1 on RP78433. 3. All other departmental
documentation relevant to the proposed widening of Albany Creek
Road.6. As is evident from the terms of
their FOI access application, Mr and Mrs Presotto's interest was not, at that
stage, confined to
valuations of their own property. The Department's initial
decision made on 20 March 1995 gave them full access to some 80 pages
of
material, and part access to a further two pages, but refused access to
valuation reports, and associated documents, prepared
by HTW and Michael Slater
Property Valuers. On 4 April 1995, that decision was affirmed on internal
review by Mr Rodiger, who relied
solely on s.46(1)(a) of the FOI Act as the
basis for exemption.7. By letter dated 9
May 1995, Hopgood and Ganim, acting on behalf of Mr and Mrs Presotto, applied
for review by the Information Commissioner,
under Part 5 of the FOI Act, of Mr
Rodiger's decision of 4 April 1995.The external review
process8. In both cases, the
documents claimed to be exempt were produced to my office and examined. In both
cases, the Department had obtained
valuation reports (and associated documents)
from HTW (the valuations in issue) and subsequently from another valuer, Michael
Slater
(the Slater valuations).9. It was
pointed out to Mr and Mrs Presotto's solicitors that their request for access to
valuation reports relating to other landowners
may raise issues as to the
application of s.44(1) of the FOI Act. By letter to me dated 18 May 1995,
Hopgood and Ganim confirmed
that their clients' request for access pursuant to
the FOI Act to the valuation reports of HTW and Michael Slater Property Valuers
was now to be confined to those valuation reports relevant to the value of their
clients' property only.10. I was
subsequently informed by officers in the property section of the Department
(which handles the process of acquiring land,
including assessment and payment
of compensation) that, in respect of both sets of applicants, negotiations to
resolve the question
of compensation for the compulsory acquisition of land had
been unsuccessful, and the Department had therefore referred both matters
to the
Land Court under s.24 of the Acquisition of Land Act 1967 Qld. Section
24 of the Acquisition of Land Act (so far as relevant) provides that
either the landowner or resuming authority may refer to the Land Court, for
hearing and determination,
the matter of the amount of compensation payable for
a compulsory acquisition of land. When a resuming authority refers such a
matter
to the Land Court, s.24(6) of the Acquisition of Land Act provides
that the resuming authority is to set out the amount that it is willing to pay
for compensation in respect of the compulsory
acquisition of the
land.11. Since the figures contained in the
references to the Land Court were identical to the compensation figures assessed
in the Slater
valuations, the Department agreed to release the Slater valuations
to the respective applicants. This left in issue only the HTW
valuations, and
of those documents, matter comprising information of a merely factual or
descriptive nature concerning the parcels
of land owned by the respective
applicants, has been released to the respective applicants (clearly, information
of that kind is
not confidential information vis-à-vis the
respective applicants). What remains in issue can be broadly described as the
valuation assessments arrived at, and the manner
of application (including
relevant calculations) of the valuation method employed by the registered
valuers who undertook these tasks
on behalf of
HTW.12. For the sake of precision, I will
record that the matter remaining in issue in application for review no. S 34 of
1995 comprises -(a) a dollar amount, concerning Mr and Mrs Hopkins'
property, deleted from a letter dated 8 August 1994 from HTW to the Department
(other matter deleted from this letter concerns other landowners, and is not in
issue);(b) the same dollar amount, deleted from page 3 of a document
prepared by HTW described as "Assessment Report of compensation resulting
from
resumptions for road-widening purposes ... Claimant: R M and B W Hopkins";
and(c) all matter contained under the heading "Assessment Calculations"
on pages 7 and 8 of the document described in (b)
above.13. The matter remaining in issue in
application for review no. S 94 of 1995 comprises -(a) a dollar amount,
concerning Mr and Mrs Presotto's property, deleted from a letter dated 8 August
1994 from HTW to the Department
(other matter deleted from this letter concerns
other landowners, and is not in issue);(b) the same dollar amount,
deleted from page 3 of a document prepared by HTW described as "Assessment
Report of compensation resulting
from resumptions for road-widening purposes ...
Claimant: L R and M W Presotto";(c) all matter contained under the
heading "Assessment Calculations" on page 8 of the document described in (b)
above; and(d) a supplementary letter (which partially revises the matter
referred to in (c) above) dated 15 September 1994 from HTW to the Department,
except for those parts of the letter which specifically refer to the affairs of
other landowners (and which are not in issue by virtue
of the applicants'
concession referred to in paragraph 9
above).14. On 9 June 1995, a conference was
convened by the Assistant Information Commissioner, attended by representatives
of the Department
and the Crown Solicitor (who has acted on behalf of the
Department in this external review) and Mr Ross Perkins, an Associate Director
of HTW, who was the valuer who prepared the valuation in respect of land owned
by Mr and Mrs Hopkins. These matters could not be
resolved at that conference,
and accordingly directions for the further conduct of these external reviews
were given. Mr Perkins
was informed that HTW could participate independently in
these reviews (see s.78 of the FOI Act) or, if it wished, could liaise with
the
Department to ensure that its concerns were satisfactorily addressed in the
evidence and submissions lodged on behalf of the
Department. By letter dated 15
June 1995 to Ross Perkins of HTW, I extended to HTW the opportunity to lodge
evidence and submissions.
No material was received directly from HTW; however,
the evidence lodged by the Crown Solicitor on behalf of the Department included
a statutory declaration from each of the valuers who prepared the reports in
issue on behalf of HTW. 15. During the
course of this external review, evidence and submissions were lodged (and
subsequently exchanged between the participants
and HTW) as
follows:(a) by the Crown Solicitor on behalf of the Department
- ? written submissions lodged on 14 July 1995 in each matter
(these were, ?in essence, identical apart from references to factual differences
between the two external reviews) ? statutory declarations by
Errol Norman Miller of the Department, dated 10 July 1995, in each matter (again
these were, in essence,
identical apart from references to factual differences
between the two external reviews) ? a statutory declaration by
Ross Bevan Perkins (of HTW) dated 12 July 1995, in respect of Mr and Mrs
Hopkins' application for external
review ? a statutory
declaration by David John Mapleston (of HTW) dated 13 July 1995, in respect of
Mr and Mrs Presotto's application for
review (Mr Mapleston was the registered
valuer from HTW who assisted Mr Perkins by preparing the valuation in respect of
the Presotto
land.) ? points of reply to the submissions made by
the applicants in each matter(b) by Mr and Mrs Hopkins
- ? a submission/declaration dated 23 August
1995(c) by Hopgood and Ganim, on behalf of Mr and Mrs Presotto
- ? a written submission lodged on 22 August 1995 (no formal evidence
was lodged) ? a short reply (to the Department’s points of reply)
lodged on 5 October 1995.16. Mr and Mrs
Hopkins' claim for compensation for the acquisition of their land was resolved
shortly after the conference referred
to in paragraph 14 above. However, they
still wished to pursue access to the matter withheld from them under the FOI
Act. Mr and
Mrs Presotto's claim for compensation has not yet been
resolved.Evidence lodged by the
participants17. Mr Miller's
evidence in relation to each external review is almost identical, and I have
edited it so that it reads as applicable
to both external reviews. Mr Miller
declared: 1. I am the Area Manager for the Metropolitan North
District of the Department and have held this position for approximately ten
years. 2. I am responsible for the day to day management of
resumption matters within the Metropolitan North District of the
Department. 3. I have been employed by the Department (formerly
the Main Roads Department) dealing with property resumption issues for
approximately
35 years. 4. When a land owner's property is
resumed, the Department engages a valuer to prepare a valuation to assist in
negotiations for compensation.
Valuers are selected on the basis of their known
expertise and their ability to give evidence in the Land Court, if
required. 5. All dealings between the Department and the valuer
are confidential. To my knowledge it is not the Department's practice to make
valuations available to landowners. When the issue of compensation is to be
determined in the Land Court, the final valuation relied
upon by the Department
is usually made available to the claimants shortly before the hearing, and is
only released after consultation
with the valuer. 6. Any valuer
engaged by the Department clearly understands that the valuation will not be
released without consultation with the
valuer. This is particularly so in the
case of a valuation which is prepared early in the negotiation period, as a
valuation can
substantially change during the course of negotiations as further
information comes to light. 7. HTW Valuers have done intermittent
work for the Department over a long period of time. 8. The
information contained in the valuation provided by [Mr Perkins and Mr
Mapleston] in relation to [the properties of the respective applicants]
is private to HTW Valuers and the Department, and is not otherwise
available. 9. The Department would always keep that valuation
confidential and it is the understanding between the Department and HTW Valuers
that the valuation will not be released without prior consultation with the
valuer. 10. If the valuation was released, this could jeopardise
future working relationships between the Department and HTW Valuers and also
other valuers. Valuers may be reluctant to provide the Department with detailed
valuations.18. The statutory
declarations by Mr Perkins and Mr Mapleston are substantially similar. Both
commenced by setting out their qualifications
as valuers. Mr Mapleston is a
senior valuer with HTW and has been employed by HTW since 1993. He is an
Associate of the Australian
Institute of Valuers and Land Economists, and is a
registered valuer in Queensland. He has over 20 years experience as a valuer
in
Queensland and Victoria. Mr Perkins is an Associate Director with HTW and has
been employed by HTW since 1991. Between 1983
and 1991, he was employed by the
Department of Lands, and was registered as a valuer in early 1988. HTW were
engaged by the Department
to prepare a series of valuations to assist in
negotiations for compensation in relation to resumed land along Albany Creek
Road,
Bridgeman Downs. Mr Mapleston assisted Mr Perkins by preparing the
valuation in relation to the property owned by Mr and Mrs
Presotto.19. The remainder of the evidence
by Mr Perkins and Mr Mapleston is largely in common, and I will set out the
relevant extract from
Mr Mapleston's statutory declaration:
... 4. The valuation report dated 31 March 1994 was prepared
and given to the Department on a strictly confidential basis for the sole
use of
the Department and for no other use or disclosure. 5. There was
an implied understanding between the Department and HTW Valuers that the
valuation would not be released without prior
consultation with
me. 6. I am aware that HTW Valuers have done intermittent work
for the Department over a long period of time. 7. The information
contained in the valuation I prepared dated 31 March 1994 is private to HTW
Valuers and the Department and is not
otherwise available. 8. If
the valuation was released, this could jeopardise future working relationships
between the Department and HTW Valuers. In future,
I would be reluctant to
provide the Department with detailed
valuations.20. The relevant extracts
from Mrs Hopkins' "submission/declaration" are as follows: In all our
discussions with the Department of Transport from the time we were advised that
our property was to be resumed/acquired,
we have always understood that the
Department would assess the value of the estate by employing a registered valuer
to assess the
value of our interest in the resumed land. I had many discussions
with Chris Rowley of Property Services who advised me ... that
independent
valuers, Herron Todd and White were coming out ... to value the property. He
never at any stage, nor did any person
from the Department advise us that they
would be seeking more than one valuation and that we would not be privy to any
of the valuation
material. In the booklet forwarded to us by the
Department entitled "Acquisition: Your Property, Your Rights", under the
heading "How is compensation
assessed?", the second paragraph states "Queensland
Transport will have the property valued and our Property Officer will then
contact
you to discuss compensation". It does not say: but you are not entitled
to see the valuation, or that it is a secret document, or
the FOI Act prohibits
this valuation being disclosed to you, or in fact that we [i.e. the
Department] can seek more than one valuation at tax payers’ expense and
you can never see any of them!! This booklet is written to
supposedly dispel any fears landowners may have in having their property
resumed, and to explain what you
are to expect in the resumption process. I
expected to be given a copy of the valuation/s on our property and that we and
the Property
Officer would sit down and discuss compensation. This did not
happen. How can two parties sit down and discuss something when only one
party is privy to the information? The Transport Department
should not be able to claim this information exempt under confidentiality
clauses between them and Herron
Todd & White, when the costs for this
valuation were paid for by taxpayer monies. The Transport
Department, Herron Todd & White state in their latest submission to you that
the release of this matter could be
detrimental to their interests. ...
However, when they take on the job they know that if the matter goes to the Land
Court, the
whole of the valuation must be made available to the
landowner. If they really believe that the release of the
valuation will be detrimental to their interests they wouldn't take on the
job. ... ... Ross Perkins came out and inspected
the property ... and conducted a thorough inspection of the property and
house. I believe their valuation is the only one that honestly can reflect an
independent assessment
of the property at the time of
proclamation. They [HTW] too had a clause at the bottom of
their valuation stating that the report was for the use only of Queensland
Transport. However,
again they would have known that if their valuation was
successful and it was to be used in the event of a Land Court hearing, it
would
have to be made available to the landowner. If it can really be detrimental to
their interests in having the full valuation
released to the land owner, they
wouldn't be in this line of work.Relevant provisions of the
FOI Act21. Section 46 of the FOI
Act provides: 46.(1) Matter is exempt if
- (a) its disclosure would found an action for breach of
confidence; or (b) it consists of information of a confidential
nature that was communicated in confidence, the disclosure of which could
reasonably
be expected to prejudice the future supply of such information,
unless its disclosure would, on balance, be in the public
interest. (2) Subsection (1) does not apply to
matter of a kind mentioned in section 41(1)(a) unless its disclosure would found
an action for breach
of confidence owed to a person or body other than
- (a) a person in the capacity of - (i) a
Minister; or (ii) a member of the staff of, or a consultant to,
a Minister; or (iii) an officer of an agency;
or (b) the State or an agency.Application of
s.46(1)(a) to the matter in
issue22. Pursuant to s.81 of the
FOI Act, the Department has the onus of establishing that the decisions under
review were justified, or
that the Information Commissioner should give a
decision adverse to the applicants. The only ground of exemption relied upon by
the Department is that contained in s.46(1)(a) of the FOI
Act.23. The Department contends that it
owes a duty of confidence to HTW in respect of the matter in issue, the
disclosure of which (the
Department contends) would found an action for breach
of confidence by HTW as plaintiff. The Department states at page 4 of its
submission that "there appears to be no suggestion in the present case of any
contractual obligation of confidence arising out of the circumstances
of the
communication of the information in issue from HTW Valuers to the
Department", and its case for exemption under s.46(1)(a) is consequently put
in terms of the requirements for an action in equity for breach
of
confidence.24. I note, however, that, while
there is no evidence in these cases of any relevant express contractual
stipulation for confidence,
HTW was in a contractual relationship with the
Department with respect to the provision of the valuation reports in question.
The
learned authors of Meagher, Gummow, Lehane, Equity: Doctrines and
Remedies, (Butterworths, 3rd ed, 1992) have commented, in their chapter on
confidential information (at p.866): Where there is a contract then
it is to the contract that the court should look to see from express words or
necessary implication
what the obligations of the parties are and the
introduction of equitable concepts should be resisted: Vokes v Heather
(1945) 62 RPC 135 at 142; Deta Nominees Pty Ltd v Viscount Plastic Products
Pty Ltd [1979] VicRp 17; [1979] VR 167 at 191. ... Yet in a number of cases where there has
been a contractual nexus the judges have nevertheless treated equitable
principles
at length as if they overlapped or were concurrent with the common
law: [case examples are then cited] ...
.25. Despite the concerns of those who
regard it as important to preserve the purity of equitable doctrine, the leading
text-writers
in this field (F. Gurry, Breach of Confidence, Oxford
University Press, 1984; R. Dean, The Law of Trade Secrets, Law Book Co,
1990) would agree with the comment by Professor Finn, after a survey of relevant
cases, that "the implied contractual obligation does not differ from the
equitable obligation, either in its content or in the circumstances necessary
to
bring it into existence, though ... the equitable obligation can arise where
there is no contractual relationship at all": P. Finn, Fiduciary
Obligations, Law Book Co, 1977, at pp.136-137; see also Re "B" and
Brisbane North Regional Health Authority [1994] QICmr 1; (1994) 1 QAR 279 at pp.298-300,
paragraphs 49-52.26. It would appear,
therefore, that the approach adopted by the Department is permissible,
notwithstanding the existence of a relevant
contractual relationship between HTW
and the Department. The Department’s written submission sets out the five
cumulative
criteria which must be satisfied for protection in equity of
confidential information, and addresses each criterion. Those five
criteria
are: (a) it must be possible to specifically identify the information in
issue, in order to establish that it is secret, rather than generally
available
information (see Re "B" at pp.303-304; paragraphs 60-63); (b) the
information in issue must possess "the necessary quality of confidence"; i.e.
the information must not be trivial or useless
information, and it must possess
a degree of secrecy sufficient for it to be the subject of an obligation of
conscience, arising
from the circumstances in or through which the information
was communicated or obtained (see Re "B" at pp.304-310; paragraphs
64-75); (c) the information in issue must have been communicated in such
circumstances as to fix the recipient with an equitable obligation
of conscience
not to use the confidential information in a way that is not authorised by the
confider of it (see Re "B" at pp.311-322; paragraphs
76-102); (d) it must be established that disclosure to the applicant for
access under the FOI Act would constitute a misuse, or unauthorised
use, of the
confidential information in issue (see Re "B" at pp.322-324; paragraphs
103-106); and (e) it must be established that detriment is likely to be
occasioned to the original confider of the confidential information in issue
if
that information were to be disclosed (see Re "B" at pp.325-330;
paragraphs 107-118).27. It is unnecessary
for me to address each of these criteria, because I am satisfied (for the
reasons which follow) that the Department
cannot establish the third criterion,
and that there is no basis for its assertion that a legally enforceable duty of
confidence,
whether in equity or pursuant to an implied contractual term, is
owed by the Department to HTW in respect of the matter in
issue.28. It appears that the relationship
between HTW and the Department was that of professional and client. In
Leicestershire County Council v Michael Farraday and Partners, Limited
[1941] 2 KB 205, the English Court of Appeal held that the relationship between
the Leicestershire County Council and the respondents, a firm of
valuers, was
that of "client and professional man". (I also note that, speaking
extra-judicially, the recently retired Chief Justice
of the High Court of
Australia, Sir Anthony Mason, has expressed the view that "... nowadays we
would have little difficulty in recognising that valuers constitute a
profession": see Mason, "Legal Liability and Professional Responsibility",
[1992] SydLawRw 12; (1992) 14 Sydney Law Review, 131, at p.135.) It is characteristic of
recognised professions that their members offer a service that
- ? is expert, being the product of special skill and knowledge (entry
to the profession being conditional, invariably, on successful
completion of a
prescribed course of study, and, frequently, on obtaining additional practical
experience under the supervision of
experienced members of the profession);
and ? is provided for the benefit of the client and in the interests of
the client, and not in the interests of the professional service
provider
(apart, of course, from the latter's interest in receiving reasonable
remuneration for the service
rendered).29. In the instant cases, the
Department has contracted with HTW for the exercise of one of the ordinary
professional services which
a registered valuer offers, i.e. the application of
the professional valuer's skill, knowledge and experience to the task of
assessing
the amount of compensation to which Mr and Mrs Hopkins and Mr and Mrs
Presotto are entitled, for the diminution in value of their
respective
properties, resulting from resumption of portions of their land for the
Department's purposes. 30. In the ordinary
case, that which the valuer has contracted to provide to the client (usually a
report containing the valuer's
professional assessment, for example, of the
value of a particular parcel of land at a specified date or dates, and an
explanation
of the basis on which the valuation figures were reached) becomes
the property of the client, who has paid for the preparation of
the report, to
do with as the client pleases. There is a clear implication in the judgments in
Leicestershire County Council v Michael Farraday and Partners that those
documents which it is the duty of a professional valuer, pursuant to the terms
of the relevant contract, to prepare and
forward to his or her client, become
the property of the client (though documents prepared by the professional for
his or her own
assistance in carrying out the expert work remain the property of
the professional): see per MacKinnon LJ at p.215, and per Goddard
LJ at p.217;
see also Chantrey Martin v Martin [1953] 2 QB 286. These two English
Court of Appeal decisions were among the authorities relied on by the New South
Wales Court of
Appeal in Wentworth v De Montfort & Ors (1988) 15
NSWLR 348 where, in the context of the professional relationship of solicitor
and client, the Court expressed approval of the proposition that
documents
prepared by the solicitor for the benefit of the client and which may be said to
have been paid for by the client, belong
to the client (at p.355 per Hope JA,
with whom Samuels and Mahoney JJA
agreed).31. It is a recognised incident of
the relationship between professional and client that the professional has a
legal duty to keep
the client's affairs secret (Parry-Jones v Law Society
[1969] 1 Ch 1, at p.7), though the scope of the duty of secrecy must vary with
the special circumstances peculiar to each profession (Tournier v National
Provincial and Union Bank of England [1924] 1 KB 461, at p.486, per Atkin
LJ). It is not an ordinary incident of the relationship of professional and
client that the client owes a duty
of confidence to the professional in respect
of the information communicated by the professional to the client, pursuant to
the professional
retainer.32. Specific
legislative provision has been made in Queensland with respect to the duty of
confidence owed by a registered valuer
to a client. Section 6 of the Valuers
Registration Regulation 1992 Qld provides:Duty of
confidentiality 6.(1) A registered valuer must not
disclose or make use of a valuation made for a client.
(2) Subsection (1) does not apply if - (a) the
client gives the valuer written permission to disclose the details of the
valuation; or (b) the valuer is required by law to disclose the
details.This provision, particularly s.6(2)(a), is consistent with
my view that it is ordinarily the right of the client to control the use
and
dissemination of a valuation which the client has paid to
obtain.33. There is nothing special or
exceptional about the instant cases that would take them outside of the ordinary
principle that a
valuation prepared by a professional valuer for a client, and
paid for by the client, becomes the property of the client, which may
be used or
disseminated as the client pleases. The matter in issue in these cases contains
no special information of particular
sensitivity or value to the valuers who
prepared it, and who communicated it to the Department. The matter in issue
merely records
the basis on which the valuers exercised their skill, knowledge
and experience - their 'know-how' - in executing the task which they
contracted
to perform, and the result of that exercise (i.e., the figures
assessed).34. In Stephenson Jordon &
Harrison Ltd v MacDonald & Evans (1952) 69 RPC 10, a firm of management
consultants sought to restrain the publication of lectures written by, and said
to be based upon expertise
acquired by, a former employee while he was in the
firm's employment. In refusing the application to restrain the dissemination
of
allegedly confidential information, Lord Evershed MR said (at
p.15): ... I think that the most that can be said under this head is
that the putting together and the applying in a particular way of principles
which were generally common to the profession of management engineers is the
subject which is said to be confidential; and that is
described by one of the
witnesses, I think not inaptly, by a phrase which has obtained some popularity
today - namely, 'know-how'.
'Know-how’ seems to me to indicate something
essentially different from secret and confidential information. It indicates
the way in which a skilled man does his job, and is an expression of his
individual skill and experience.35. The
significance of this distinction has been recognised by the High Court of
Australia in a case reasonably (though not precisely)
analogous to the instant
cases, in that it concerned the communication of allegedly confidential
information by a professional person
pursuant to a professional-client
relationship: see O'Brien v Komesaroff [1982] HCA 33; (1982) 150 CLR 310. The solicitor
in that case, Mr Komesaroff, failed to establish that certain information, legal
advice and legal documents, which
had been conveyed to an agent of his client,
were entitled to protection as confidential information. Mr O'Brien, an
accountant,
had approached Mr Komesaroff about the possibility of minimising the
tax liability of a client. Mr Komesaroff's firm acted on behalf
of the client
in devising a viable scheme for tax minimisation, including providing legal
advice and drafting relevant legal documents.
The client had insisted that
relevant documents be made available to his accountant, O'Brien. It was claimed
that O'Brien then
used the information thus obtained for the benefit of his own
clients. Mason J (with whom Murphy, Aickin, Wilson and Brennan JJ
agreed) said:
The action for breach of confidence is founded upon an alleged
confidential communication to the appellant of, and consequential misuse
of,
certain information relating to, first, the form of a unit trust deed drafted by
the respondent which expressed a concept to
minimise taxation and estate duty
for the beneficiaries of the trust and, secondly, a scheme designed to minimise
taxation by using
an overseas trust in a suitable "tax haven" country in
conjunction with an Australian trust entity. (at
p.134) ... In relation to the unit trust deeds, the primary
judge was not satisfied that any information of a confidential nature was
imparted
to the applicant by the respondent. His Honour held that there was
much that was public property and common knowledge in the deeds
and that,
although the respondent's skill and ingenuity went into producing them, the deed
was not to be regarded as containing confidential
information capable of
founding an action for breach of confidence. His Honour said that he was not
satisfied that a reasonable
person in the position of the appellants would
recognise that the documents contained information which was, apart from the
question
of copyright, the property of the respondent: Deta Nominees Pty
Ltd v Viscount Plastic Products Pty Ltd. [1979] VicRp 17; [1979] VR 167 at p.191. (at
p.323) ... Plainly enough, in the light of the
findings of the primary judge and the evidence, there is very little, if
anything, in the [unit trust deeds, and draft memorandum and articles of
association for a private company, drafted by Mr Komesaroff] that can
constitute confidential information. Generally speaking the contents of the
unit trust deeds and the articles of association
were matters of common
knowledge. Information may be categorised as public knowledge though only
notorious in a particular industry
or profession: see Finn, Fiduciary
Obligations (1977), p.146. Only those improvements evolved by the respondent
could give rise to a claim for relief for breach of confidence
... [cases
cited] ... . It is at this point that the respondent has consistently failed
to identify the particular contents of the documents which
he asserts constitute
information the confidentiality of which he is entitled to protect. The
consequence is that he has failed
to formulate a basis on which the court could
grant him relief on the assumption that some part or parts of the documents
constitute
confidential information. (at
p.326) ... ... In particular I have some difficulty in
perceiving how advice as to the general legal effect of statutory provisions can
constitute
confidential information. And the form of minutes, resolutions and
the provisions of a trust deed seem unlikely repositories of
confidential
information. ... (at p.327) ... In some
respects the information which the respondent seeks to protect in this case
resembles know-how. The information represents
his accumulated knowledge, skill
and experience in a particular field. He asserts that it is all confidential
information. Obviously
this cannot be right. Much of it is common knowledge,
as the findings of fact made by the primary judge indicate. As to the problems
associated with the classification of know-how as confidential information, see
Amway Corporation v Eurway International Ltd [1974] RPC 82 at pp.85-87;
Stephenson Jordan & Harrison Ltd v MacDonald & Evans (1952) 69
RPC 10 at p.15. ... (at
p.328)36. Mason J went on to say that
"if the respondent [Mr Komesaroff] were able to identify some
particular pieces of information and show that they were confidential or that an
obligation of confidence
had arisen with respect to them he would be entitled to
protection of them". However, it is fairly clear from the parts of the
judgment quoted above (in particular the third paragraph quoted above) that
Mason J was of the view that a professional person could obtain relief for
breach of confidence only in respect of an interest in
protecting the
confidentiality of some identifiable innovation or improvement on the store of
common knowledge in the relevant
profession.37. Like a lawyer advising on
the meaning and effect of a statute, the provision of valuation reports of the
kind in issue is one
of the basic professional services which valuers provide.
The valuer places his or her accumulated skills, knowledge and experience
at the
service of a client who requires them for a particular task. The matter in
issue embodies the application of the valuers'
accumulated knowledge, skill and
experience, their 'know-how', to a particular task they contracted to perform
for a client. In
my opinion, there is nothing in the matter in issue which the
valuers are entitled to protect as the valuers' confidential information.
38. I draw attention, in this regard, to
what was said by Rowlands J (President) of the Victorian Administrative Appeals
Tribunal
in Re Conlan and Rural Finance Commission (1986) 1 VAR 325, a
case in which the respondent sought to resist disclosure to the applicant of a
valuation report prepared for the respondent in
respect of the applicant's
property. Although he was considering exemption provisions in the Freedom of
Information Act 1982 Vic which do not correspond to s.46(1) of the
Queensland FOI Act, the following remarks by Rowlands J are of general relevance
(at
p.327): In this case the information in itself is of no
substantial value to the valuer (or his business undertaking) once it is
transmitted
to the respondent agency, in his report. ... It might
be said that keeping in touch with property values in the area is of some worth
to a person in the valuer’s position
just as each case builds up the
reservoir of knowledge of any professional person. However, having been
rewarded by the agency for
the assembly and delivery of the information the
valuer cannot reasonably complain that its disclosure unreasonably compromises
his
interests. This is not the case of a business undertaking supplying
information concerning itself to Government nor is it the situation
of a
business supplying hard won information concerning other businesses or business
in general which it might properly regard as
an asset of its own which ought not
to be given away by Government to
others.39. Absent exceptional
circumstances (and none are present in the instant cases), I am unable to accept
that information provided
by a valuer to a client, of the kind now in issue
(which, in essence, states the figures assessed by HTW as appropriate
compensation
for the resumption of land from Mr and Mrs Hopkins, and Mr and Mrs
Presotto, respectively, and explains the method and calculations
by which those
figures were assessed), can constitute confidential information which the valuer
is entitled to protect from further
disclosure by virtue of a binding legal
obligation of confidence owed by the client to the valuer. In my opinion,
equity would not
recognise or enforce an obligation of conscience owed by the
Department to HTW not to use or disclose the matter in issue in a way
which is
not authorised by HTW, nor would the law imply a contractual term to that
effect.40. The Department's written
submission contends that the evidence of Mr Miller, Mr Mapleston and Mr Perkins
(see paragraphs 17 and
19 above) establishes that there was a mutual
understanding between HTW and the Department that mutual duties of
non-disclosure applied
to valuation reports supplied to the Department by
HTW.41. The existence of a mutual
understanding that person A will not further disclose information supplied by
person B does not necessarily
mean that a legally enforceable duty of confidence
is owed by person A to person B. Whether a legally enforceable duty of
confidence
is owed depends on an evaluation of the whole of the relevant
circumstances including (but not limited to) the nature of the relationship
between the parties, the nature and sensitivity of the information, and the
circumstances relating to its communication, such as
those referred to by a Full
Court of the Federal Court of Australia in Smith Kline and French
Laboratories (Aust) Limited and Ors v Secretary, Department of Community
Services and Health [1991] FCA 150; (1991) 28 FCR 291 at pp.302-3: see Re "B" at
p.316 and pp. 314-316; paragraphs 84 and
82.42. Here, there is no doubt that HTW
owed a duty of confidence to the Department in respect of the matter in issue:
see s.6 of the
Valuers Registration Regulation 1992 Qld, which is
reproduced at paragraph 32 above. The Department's understanding that HTW
would treat the matter in issue as confidential
was soundly based. However,
when all the relevant circumstances are evaluated, there is, in my opinion, no
basis for elevating the
practice of the Department (as disclosed in the
evidence) of treating valuation reports as confidential, into a legally
enforceable
duty of confidence owed by the Department to
HTW.43. Mr Miller has attested (in
paragraph 5 of his statutory declaration) that, to his knowledge, it is not the
Department's practice
to make valuations available to land owners. When the
issue of compensation is to be determined in the Land Court, the final valuation
relied upon by the Department is usually made available to the claimants shortly
before the hearing, and is only released after consultation
with the valuer. If
the adoption of this practice was contributed to by a belief that the Department
owed a legal duty of confidence
to its valuers, I consider that belief was
mistaken.44. The more likely explanation is
that the practice has been adopted and maintained by the Department because it
suits the Department’s
own purposes and convenience. The Department can
negotiate with a landowner over compensation for resumption without disclosing
its expert valuation evidence until the time when disclosure is required for the
purposes of a hearing in the Land Court. If further
relevant information, not
taken into account by its valuers, comes to light in the course of negotiations,
it can arrange for a fresh
valuation which takes account of the further relevant
information. If so minded, it could approach a number of different valuers,
and
choose to rely on the valuation most favourable to the Department, perhaps (in
circumstances where a valuation is capable of
being undertaken without access to
the landowner's premises) without the landowner even being aware of the
existence of multiple
valuations.45. The
adherence by the Department, for its own purposes and convenience, to a practice
of ordinarily not disclosing the valuation
reports it acquires, accounts for the
expectation of non-disclosure of valuation reports which is referred to in the
evidence of
Mr Perkins and Mr Mapleston. The fact that the Department consults
the relevant valuer before disclosing a valuation report preparatory
to a
hearing in the Land Court must, in my opinion, be properly characterised as
merely a matter of professional courtesy (the valuer
may be required to give
evidence in the Land Court explaining and supporting his or her valuation). I
do not think it can be seriously
suggested that, at that point (or at any
earlier stage in negotiations if, for example, it suited the Department's
purposes to exchange
valuation reports with a person whose land had been
resumed), the valuer would be entitled, if so minded, to restrain the Department
from disclosing the valuation report by an action for breach of confidence based
on a legally enforceable duty of confidence owed
by the Department to the
valuer.46. In my opinion, the whole of the
relevant circumstances, particularly the nature of the relationship between
professional valuer
and client, and the considerations referred to at paragraphs
30-38 above, tell against the existence of a legally enforceable duty
of
confidence owed by the Department to
HTW.47. The situation in these cases is
roughly analogous to that described by the English Court of Appeal in Fraser
v Evans [1969] 1 QB 349, a case in which Mr Fraser, a public relations
consultant retained to act on behalf of the Greek Government, owed a contractual
duty
of confidence in respect of reports supplied by him to the Greek
Government. The position of HTW is analogous to that of Mr Fraser,
and the
position of the Department is analogous to that of the Greek Government, as
described in the following extract from the judgment
of Lord Denning MR (at
p.361): There is no doubt that Mr Fraser himself was under an
obligation of confidence to the Greek Government. The contract says so in
terms.
But there is nothing in the contract which expressly puts the Greek
Government under any obligation of confidence. Nor, so far
as I can see, is
there any implied obligation. The Greek Government entered into no contract
with Mr Fraser to keep it secret.
We have seen affidavits - one of them as late
as this morning - which say that it was not the policy of the Greek Government
to publish,
or allow the publication, of any documents prepared by Mr Fraser or
his firm, and that they would, as matter of practice, keep them
confidential.
But that policy still leaves them free, in point of law, to circulate the
documents or their contents to anyone whom
they pleased. The information was so
obtained for them by Mr Fraser under a contract with them. They paid for it.
They were the
people entitled to the information. They were the people to say
aye or no whether it should be communicated elsewhere, or be published
generally.48. The assertions by the
declarants to the effect that if the valuations were released, valuers may be
reluctant to provide the Department
with detailed valuations (see the final
paragraph of each of the statutory declarations lodged on behalf of the
respondent: at paragraphs
17 and 19 above) do not, in my opinion, have any
credence. It would not be acceptable to the Department to receive valuation
reports
which did not disclose the method and calculations used to assess the
valuation figures arrived at. The Department would need to
make its own
assessment of the quality and reliability of valuation reports, so as to assess
whether they could appropriately be
relied on in negotiations with a landowner,
and in Land Court proceedings if necessary. It is part of the discipline of a
professional
valuer to explain and justify assessments made in the exercise of
professional judgment. I do not believe there is any shortage
of competent
valuers willing to undertake work for the Department, even though they might
face the prospect of scrutiny of their
valuation reports by an applicant for
access under the FOI Act, in addition to the prospect of scrutiny by the Land
Court.49. This issue is, in any event, not
really relevant to the application of s.46(1)(a). It would be relevant to a
consideration of
the third element which must be established to found an
exemption under s.46(1)(b) (i.e. that disclosure could reasonably be expected
to
prejudice the future supply of like information). The Department, however, has
conceded in its written submission that the matter
in issue is matter of a kind
mentioned in s.41(1)(a) of the FOI Act; hence, by virtue of s.46(2), s.46(1)
does not apply to the matter
in issue unless its disclosure would found an
action for breach of confidence owed to a person or body other than the persons
or
bodies mentioned in s.46(2)(a) and (b). (The Department has asserted that
disclosure of the matter in issue would found an action
for breach of confidence
owed to HTW, which is not a person or body mentioned in s.46(2)(a) or (b)).
Section 46(1)(b) is therefore
rendered redundant in the circumstances of this
case: see Re "B" at p.292, paragraphs 35-36.
50. At page 10 of its written submission,
the Department has drawn attention to the fact that each of the valuation
reports in issue
contained a disclaimer clause in the following
terms: This valuation is for the use only of Queensland Transport, to
whom it is addressed and for no other purpose. No responsibility is
accepted to
any third party who may use or rely on the whole or any part of the content of
this valuation. No responsibility will
be accepted for photocopied
signatures.51. This disclaimer clause,
however, is consistent with the views I have expressed above. It acknowledges
that the valuation report
is for the use of the respondent Department, and that
it may consequently come into the hands of a third party or parties. The clause
disclaims any responsibility on the part of HTW in respect of the use of, or
reliance on, the valuation report by any third party
who might obtain it. It
represents a prudent attempt to limit any professional liability that might
potentially be visited on HTW
solely to that occasioned by the use of, or
reliance on, the valuation report by the particular client for whom it was
prepared.52. The valuation reports in issue
also contain another paragraph in the following terms: Neither the
whole nor any part of this valuation nor any references thereto may be included
in any published documents, circular or
statement, nor published in part or full
in any way, without written approval of the form and context of which it may
appear.53. Again, this contemplates
that HTW's client may wish to exercise its rights of property in the valuation
report which it has paid
to acquire, by republishing it in whole or in part.
The paragraph purports to reserve to HTW (presumably for safeguarding against
any possible professional liability) a right to approve the form and context of
any re-publication. Assuming this to be a valid
contractual term between HTW
and the Department, I think that, in the event of a dispute arising in respect
of it, it would be interpreted
by a court so as not to unreasonably restrict the
client's right to use the report it has paid for, i.e. that HTW could not
unreasonably
withhold written approval of the form and context of a proposed
re-publication by the Department.54. No
issue as to form or context could reasonably arise in respect of the provision
of a complete copy of the valuation report to
an applicant for access under the
FOI Act. Indeed, such an issue should not even arise in that context. Section
21 of the FOI Act
confers a legally enforceable right of access to documents in
the possession or control of the Department, subject only to exemptions
and
other exceptions to be found in the FOI Act itself. The paragraph of the
valuation report now under consideration does not,
in its terms, purport to
impose any duty of confidence, nor does it raise any other basis for the
application of any of the statutory
exemptions or exceptions to the right of
access conferred by the FOI Act. The provisions of the FOI Act would therefore
override
any contractual reservation made by the paragraph of the valuation
report now under consideration: the forms by which access may
be obtained to
documents of an agency are prescribed in the FOI Act itself (see s.30 of the FOI
Act).Conclusion55. For
the foregoing reasons, I am not satisfied that the matter in issue is exempt
matter under s.46(1)(a) of the FOI Act.
56. In application for review no. S 34 of
1995, I set aside the decision under review, and in substitution for it I decide
that the
applicants have a right to be given access under the FOI Act to the
matter which has been withheld from them pursuant to the terms
of the decision
under review.57. In application for review
no. S 94 of 1995, the Department has refused access under the FOI Act to some
matter which the applicants
no longer seek (see paragraph 9 above). I therefore
vary that part of the decision under review which concerns the matter remaining
in issue, as identified at paragraph 13 above, by finding that the applicants
have a right to be given access under the FOI Act to
the matter remaining in
issue in this review, as identified in paragraph 13 of my reasons for
decisions..................................................................F
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