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MICRO-CHIPPING AWAY AT PRIVACY: PRIVACY
IMPLICATIONS CREATED BY THE NEW QUEENSLAND DRIVER LICENCE
PROPOSAL
CAROLINE
HART [*]
I INTRODUCTION
Queensland Transport plans to launch its ‘New Queensland Driver Licence’ Smartcard in 2008.[1] The introduction will commence in November 2008 as a pilot with a complete rollout in July 2009.[2]
Delivery of the smartcard driver licence could be through a public-private partnership, with revenue earned through the partnership helping to offset the costs of the new driver licence.[3] The most recent media statement on the proposal, dated 18 January 2007, confirmed that shortlisted bidders had been invited to submit binding bids for the development of the new licence.[4]
This will make Queensland the first State in Australia to introduce a
smartcard driver licence.
Whilst Queensland Transport has specifically
addressed issues of privacy in its Privacy Management
Strategy,[5] the use of the
smartcard technology will occur despite the absence of clear legislative
protections including legal redress for information
privacy. The Australian Law
Reform Commission (ALRC) in its recent Review of Australian Privacy Law
Discussion Paper (ALRC Discussion Paper) has identified the use of
smartcards as raising significant privacy concerns including their lack of
anonymity; their ability to
collect vast amounts of information; and the ability
to generate profiles.[6] It is
disappointing that Queensland has failed to implement the recommendations of the
1998 Queensland Legal, Constitutional and
Administrative Review
Committee’s Report on Privacy in
Queensland[7] that would have
created adequate protections for privacy as a means of balancing the privacy
concerns associated with smartcards.
This article considers the privacy
implications associated with the New Queensland Driver Licence Proposal (NQDL
Proposal) particularly
in the absence of dedicated state privacy legislation. It
concludes that information privacy legislation in Queensland is required
as a
matter of priority.
II OVERVIEW OF THE PROPOSED ‘NEW QUEENSLAND DRIVER LICENCE’ PROPOSAL
The NQDL Proposal includes the smartcard that will be issued to
licence-holders and the database that will support the smartcard.
The face of
the NQDL Smartcard will contain the same information that currently appears on
the driver licence. A digital photograph
will replace the current wet film
photograph; applicants for the driver licence will also provide a digitised
signature.[8] The microchip of the
driver licence will contain similar information that appears on the face of the
driver licence. A number of
optional features are also proposed including the
ability to store emergency contact details on the microchip; the capacity to
perform
secure online transactions; and access to commercial services such as
loyalty schemes and an e-purse. These services would be
‘partitioned’
separately from the Queensland Transport driver
licensing functions.[9]
Behind the smartcard technology of the driver licence itself, sits the
Transport Registration and Integrated Licensing System Database,
known as
‘TRAILS’. The power to establish the TRAILS database is provided
under the Transport Operations (Road Use Management) Act 1995 (Qld).
Personal information stored on TRAILS will include the digital photograph and
the digitised signature, and the licensing information.
This information will be
encrypted.[10] The database will not
include the emergency contact
details.[11] The NQDL:
Consultation Paper does not specify if the licence holder’s traffic
offence history would be stored on TRAILS or on the microchip.
III OVERVIEW OF SMARTCARD TECHNOLOGY
Smartcard driver licences have been introduced in Argentina, China, El
Salvador, Ghana, Guatemala, India, Malaysia and
Mexico.[12] In Australia, no other
State or Territory has (as yet) introduced smartcard technology to administer a
driver licence; however it
is likely that if Queensland is successful in its
implementation of smartcard technology, then other States and Territories will
follow suit. This conclusion may be supported by
Austroad’s[13] preparation of
a discussion paper in which it provided an interoperability
protocol[14] in which the
development of ‘a national approach to the deployment of smartcard-based
driver licences in Australia’ is
discussed. Queensland and other states
already participate in an arrangement enabling the exchange of driver licensing
and registration
details under the National Exchange of Vehicle and Driver
Information System (NEVDIS), authorised in Queensland by the Transport
Operations (Road Use Management – Vehicle Registration) Regulation
1999
(Qld).[15]
Smartcards
have a number of features that make them useful as a means of data transmission
and data storage. Firstly, smartcards contain
an embedded microchip that can
transmit data either through direct contact with a smartcard reader, in which
case the smartcard is
known as a contact card, or by being activated through the
use of high frequency radio waves that can be transmitted from the card
to a
transmitter within range. This latter type of card, known as contactless, has
been used mostly for high speed or large volume
applications, for example,
tollways. The NQDL Smartcard will be a contact
smartcard.[16]
The second
feature of a smartcard that makes it useful is that the smartcard chip may be
comprised of partitioned data storage areas
or memory facilities. Each of the
components can be accessed by different parties involved in the use of the
smartcard. This allows
the smartcard to be used as a platform to support a
number of commercial and government functions.
‘Both types of smartcards offer true multi-functionality. The
storage and processing capacities of smartcards are impressive,
and it is not
unusual to find a smartcard that is capable of performing up to fifty different
functions.’[17]
With
respect to the NQDL Smartcard, information is partitioned to provide for an
‘open’ part of the chip which contains
details of the card holder
(name and address); this can be read by anyone with access to a suitable card
reader, although the information
cannot be overwritten. The
‘working’ component of the chip contains information that is
specifically about the card holder
such as the person’s driver licensing
information. The ‘secret’ part of the chip contains information that
cannot
be accessed by the card holder without the use of a personal
identification number or password. The ‘super secret’ part
of the
chip contains information and programs placed there by the chip manufacturer
and/or the issuer of the card. This area can
only be accessed by the chip
manufacturer.[18]
Queensland
Transport foreshadowed using smartcards for driver licences in its submission to
the Legal, Constitutional and Administrative
Review Committee Report on
Privacy in Queensland. In its submission, dated 28 July 1997, Queensland
Transport stated that ‘the possibilities for smartcards are enormous; for
example, Queensland Transport is evaluating the possibility of using smartcards
as a future replacement for drivers licences in
Queensland.’[19]
There
are also disadvantages associated with smartcard technology that have not been
addressed within the policy documents used to
advance the NQDL Proposal. The
Australian Government Smartcard Framework, Smartcard
Handbook[20] has
identified major security vulnerabilities including direct probing by scanning
an electron microscope over the smartcard to reveal
its memory contents;
‘side channel’ attacks, which have been the subject of much academic
and private sector research;
crypto analysis; and quantum computing. A Sydney
University engineering student has ‘demonstrated a smartcard attack for
his
final year thesis, using a method called ‘differential power
analyses’. Using software he developed and a cathode ray
oscilloscope [the
student] showed that cards using Data Encryption Standard ... could be
interrogated to reveal secret information
such as keys and [personal
identification number]’.[21]
One of the key objectives put forward by Queensland Transport for using
smartcard technology in the NQDL Proposal is its ability to
reduce the issue of
fraudulent driver licences.[22] This
objective might not so easily be achieved given the demonstrations of
vulnerabilities associated with the technology. Of course,
the counter-argument
is that, to date, no technology is absolutely impenetrable.
IV INTEROPERABILITY OF SMARTCARDS
The concept of ‘interoperability’ is a key feature of
smartcards. Already the Australian Government, in its Smartcard
Framework, Responsive Government: A New Service
Agenda,[23] has
anticipated the Queensland Government’s proposed NQDL Proposal in which
all licensed road users’ information (personal
information, road traffic
information, criminal records) will be linked into the Australian
Government’s Smartcard Framework. The Australian Government is
anticipating the development of a coordinated network of smartcards potentially
through all levels of
government (local, state and federal) and out into
commercial organisations. The Smartcard Framework is intended ‘to
facilitate clear thinking about implementation issues ... to help agencies
understand the business case for
smartcards, and to promote standardisation and
uniformity for the shared benefit of all government
agencies.’[24] ‘Shared
benefit’ has the potential to lead to ‘function creep’ through
breaches of, or exceptions to, the
information privacy principles that protect
collection, use and disclosure of personal information.
V OVERVIEW OF INFORMATION PRIVACY REGULATION
The regulation of information privacy in Australia is regulated under a
number of regimes including the Commonwealth Privacy Act 1988 (Cth) which
has application for Commonwealth agencies and the private sector. Information
privacy in Queensland is regulated by Information Standard 42: Information
Privacy and Guidelines (IS42), an administrative decision of the Queensland
Cabinet (made on 13 September 2001) and applying to Queensland State
agencies.[25] It applies neither to
the private sector, nor to local
government.[26]
The ALRC
Discussion Paper has commented that ‘Australian privacy laws are
multi-layered, fragmented and
inconsistent.’[27] The Senate
Legal and Constitutional Reference Committee inquiry, The Real Big Brother:
Inquiry into the Privacy Act 1988 (2005) noted that ‘[t]his
inconsistency occurs across Commonwealth legislation, between Commonwealth and
State and Territory
legislation, and between the public and private
sectors.’[28] For example, the
Privacy Act 1988 (Cth) does not apply to states or territories, yet it
does apply to state instrumentalities (state business
enterprises).[29]
There is further inconsistency in the comparison of regulation of
privacy between Queensland, and other states and territories. Some
other
jurisdictions throughout
Australia[30] have introduced
legislation to protect information privacy, including New South Wales, Victoria,
the Australian Capital Territory,
the Northern Territory, and Tasmania. Western
Australia has prepared an Information Privacy Bill 2007, which to date
has not yet been passed. South Australia, the only other state reliant upon an
administrative approach, at least provides
support for the administrative regime
with a Privacy Committee proclaimed in
2001.[31]
VI PRIVACY ACT 1988 (CTH)
The Privacy Act 1988 (Cth) was passed ‘to make provision to
protect the privacy of individuals, and for related purposes’. The
Privacy Act 1988 (Cth), however, protects only ‘information
privacy’. The Privacy Act 1988 (Cth) seeks to achieve this for the
Commonwealth public sector through the establishment of eleven Information
Privacy Principles.[32] The
Information Privacy Principles (‘IPPs’) relate to collection and use
of data (IPPs 1, 2, 3, 9, 10 and 11); storage
and security of data (IPPs 4, 5
and 6); and accuracy of data (IPPs 7 and 8). The principles apply to
‘personal information’
in a ‘record’.
‘Personal information’ is
defined[33] 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.’ ‘Sensitive information’ means
information or an opinion about an individual’s racial or ethnic
origin;
political opinions or associations; religious or philosophical beliefs;
membership of a trade union; sexual preferences;
or criminal record. It also
includes health and genetic information about an
individual.[34] ‘Record’
means a document, database (however kept) or a photograph or other pictorial
representation of a
person’.[35]
The
TRAILS database and the digital photograph of the NQDL-holder on the NQDL
Smartcard could be within the definitions of ‘personal
information’
and possibly ‘sensitive information’ (that is if the definitions in
the Privacy Act 1988 (Cth) apply to Queensland agencies under IS42, which
is discussed below).
The Biometrics Institute (as cited in the
ALRC’s Discussion Paper) states in its Code that ‘a
photograph could be described as one of the lower levels of biometric
recognition’.[36] The ALRC
Discussion Paper stated that:
sensitive information should be
amended to include certain biometric information. It is very personal because it
is information about
an individual’s physical self. [And] can reveal other
sensitive information, such as health or genetic information and racial
or
ethnic origin. [It] can provide the basis for unjustified
discrimination.[37]
The
privacy implications associated with the NQDL Smartcard digital photograph, and
the sensitive information it can reveal becomes
more significant in relation to
access to the photograph by Queensland Police Service (see the discussion
below).
VII INFORMATION STANDARD 42 – INFORMATION PRIVACY
The regulation of privacy for government agencies in Queensland (with the
exception of health information) is through Queensland Information Standard
42: Information Privacy and Guidelines
(IS42).[38] The
principles identified in IS42 are based on the 11 IPPs in the Privacy Act
1988 (Cth). It is unclear as to whether or not the definitions of the
Privacy Act 1988 (Cth) have been imported into IS42. For example, the
information standard provides similar definitions to the Privacy Act 1988
(Cth) for ‘personal information’ and for an
‘individual’, however there is no definition of ‘sensitive
information’, merely the inclusion of the statement that
‘[c]ollecting personal information will be intrusive if it involves:
asking questions about sensitive personal affairs; for example, a person’s
medical history, their sexual preferences, their
personal finances, their
political
persuasion.’[39]
The
standard is administrative with limited enforcement available through a series
of codes of conduct, privacy plans and disciplinary
actions offered through the
Public Sector Ethics Act 1994 (Qld), the Public Service Act 1996
(Qld) and the Financial Administration and Audit Act 1977 (Qld).
The information privacy regime available in Queensland is disappointing
given the comprehensive review of privacy undertaken by the
Queensland Legal,
Constitutional and Administrative Review Committee in 1998, in which that
Committee gave serious consideration
to matters such as: What is privacy, why
should it be protected, how is privacy currently protected in Queensland in
terms of information
privacy in the public sector and in the private
sector.
In its conclusion, the Legal Constitutional and Administrative
Committee made 32
recommendations,[40] including that:
• a Queensland Privacy Commissioner or Committee be established by
legislation, the Privacy Act
(Qld);[41]
• the
Information Privacy Principles applicable to Queensland government departments
and agencies be implemented in legislation
and not by cabinet administrative
instructions;[42]
• the
functions of the Queensland Privacy Commissioner should not be combined with any
other office;[43]
• that
the Privacy Act (Qld) should apply to private service-providers
contracted by Queensland government departments and agencies to perform services
which
would otherwise be performed by those departments or
agencies;[44]
• that a
number of privacy issues arise from the use of smartcards and that the
Queensland Privacy Commissioner conduct an audit
to establish the use or
intended use of smartcards.[45]
To date, none of these recommendations made by the Queensland Legal,
Constitutional and Administrative Review Committee have been
implemented. Indeed
in many instances successive Queensland governments have implemented a privacy
regime that directly conflicts
with the recommendations. For example information
privacy principles have been implemented by cabinet administrative instructions
rather than through legislation; the proposed NQDL Proposal will utilise the
already over extended Ombudsman’s
Office[46] as a means of providing
external privacy oversight; Queensland Transport has undertaken an audit of its
datasets as part of its Privacy
Plan,[47] however this remains
incomplete in significant areas;[48]
and a smartcard specific audit has not been conducted by government departments.
VIII APPLICATION OF INFORMATION STANDARD 42 TO THE NQDL PROPOSAL
The analysis of the proposed NQDL Proposal in this article is dealt with
in terms of asking ‘is the NQDL compliant with the
Information Privacy
Principles (IPPs) in IS 42?’ In particular, compliance is considered in
terms of the collection, use and
disclosure of personal information.
IX COLLECTION OF INFORMATION
IPP 1 requires that personal information shall not be collected unless it
is for a lawful purpose directly related to a function or
activity; also, the
collection must not be by unlawful or unfair means. The ALRC Discussion
Paper has stated that:
the Privacy Commissioner has expressed the
view that ‘purpose of collection’ is to be interpreted narrowly, and
that agencies
should have a clear purpose for collecting each piece of personal
information. It is not generally acceptable for an agency to collect
information
just because it may be useful in the
future.[49]
Queensland
Transport currently has the legislative authority to collect information for the
purposes of maintaining a licensing database
under the Transport Operations
(Road Use Management) Act 1995
(Qld).[50] Queensland
Transport is proposing an additional ‘purpose’ provision to be
included under this Act, ‘that would include
a clear definition of the
circumstances for collecting driver licensing
information.’[51] The
inclusion of a ‘purpose’ provision; the details of its breadth; and
any offences attaching will be a critical element
in ensuring the protection of
personal information. The provision would provide a legislative basis to enable
an aggrieved NQDL-holder
to challenge such collection of personal information as
being ultra vires and beyond the statutory purposes under administrative
law. To date, however, Queensland Transport has not provided a draft of the
‘purpose’ provision, nor any outline as to its possible content for
public comment.
X USE & DISCLOSURE OF INFORMATION ON THE NQDL
IPP 10 provides for limits on the use of personal information; and IPP 11
provides for limits on the disclosure of personal information.
Both IPPs provide
for circumstances in which use and disclosure may occur, including that the
individual was reasonably likely to
have been aware the information would be so
disclosed; the individual consented; it was authorised by law; or it was
reasonably necessary
for enforcement of the criminal law.
The NQDL
Proposal provides for a number of uses and disclosures of personal information
including to: Queensland Transport licensing
staff and authorised officers;
interstate licensing authorities; and the Queensland Police Service. Disclosure
to Emergency Service
officers is on a voluntary basis and so would be within the
consent and/or ‘reasonably aware’ exceptions. Disclosure
to
commercial operators involves an analysis of the contracts under the
public-private partnership in terms of the National Privacy
Principles under the
Privacy Act 1988 (Cth). This analysis raises issues similar to the
collection, use and disclosure of personal and sensitive information already
discussed.
However, the statutory protections under the Privacy Act 1988
(Cth) would most likely offer greater privacy protections, and clearer
avenues of redress than is currently available to a NQDL-licence
holder under
Information Standard No.42, a mere administrative standard. However,
there are also other, more fundamental issues associated with contracting out of
government
services in which there is a ‘“privatising” of the
relationship between the service providers and members of the
public, which has
the potential to result in a loss for individuals of the benefits of
administrative law’[52](for
example, rights under the Freedom of Information Act 1992 (Qld), and
accountabilities of government under the Financial Administration and Audit
Act 1977 (Qld)). Potentially there is also the loss of ministerial
responsibility and Parliamentary
scrutiny.[53]
XI QUEENSLAND TRANSPORT LICENSING STAFF
The NQDL Privacy Management
Strategy[54] provides that
access to a licence-holder’s personal information may be granted to
authorised people including Queensland Transport
licensing staff who will have
access to licensing information on the microchip and the TRAILS database. The
Transport Operations (Road Use Management) Act 1995 (Qld) already
provides legislative authority for access to a driver licence-holder’s
personal information. For example, s 49(1) provides that ‘an authorised
officer may require a person to produce for inspection a document issued, or
required to be kept,
under a transport Act’; this includes officers and
employees of the public service who have been appointed by the chief
executive.[55] The breadth of this
group of people includes transport compliance officers, administration officers,
and police officers. The exceptions
allowing disclosure in IPP 11 may serve to
authorise the disclosure either because the individual would have been
reasonably likely
to have been aware of that kind of disclosure; or because it
was authorised by law. However, if these exceptions are not sufficient
to
authorise the disclosure, then it may be that the ‘consent’ of the
individual is required.
The Privacy Act 1988 (Cth)
defines ‘consent’ to mean ‘express consent or implied
consent’.[56] The ALRC
Discussion Paper stated that its view on ‘consent’ is that,
taking into account of ‘how consent has been interpreted in Australia
and
overseas ... there are four critical factors that
apply’[57] they are: the
context in which the consent is sought; whether there is informed consent;
whether the consent is voluntary; and whether
the individual’s option to
consent to one purpose is freely available and not bundled with other
purposes.[58] IS42 does not define
‘consent’, nor does it make any statement as to whether the
definition of ‘consent’
from the Privacy Act 1988 (Cth) is to
be used. However, in the IS42 Information Privacy
Guidelines[59] there is an
explanatory discussion on ‘consent’ that provides ‘[t]he
agency can safely use or disclose personal
information under these exceptions
if the person the information is about clearly understands the use or
disclosure they are consenting to, and they are not forced to
consent’
(emphasis added).
The NQDL consultation materials do not provide
sufficient information or detail in order for an individual or prospective
NQDL-holder
to provide ‘informed consent’ or ‘voluntary
consent’. To satisfy IPP 11, full details on the intended disclosure
of
information to any other person, including licensing staff and legislatively
authorised officers must be documented and made available
for consideration, for
example, as part of the licence application forms.
One of the few means
of legal redress for an unauthorised disclosure is provided for in s 143(1),
Transport Operations (Road Use Management) Act 1995 (Cth). This section
provides that ‘a person must not disclose, record or use information that
the person gained through involvement
in the administration of this Act, or
because of an opportunity provided by the involvement.’ This would apply
to Queensland
Transport staff accessing driver licensing information, binding
them to confidentiality in their dealings with that information.
The
effectiveness of this provision may be reduced if an individual (whose
information is disclosed) is not made aware of the disclosure.
XII INTERSTATE LICENSING AUTHORITIES
Queensland Transport currently has the power to release driver licence
information and traffic offence histories without the consent
of the licence
holder. Section 77, Transport Operations (Road Use Management) Act 1995
(Qld) provides for both the release of this information in circumstances
requiring the written consent of the licence-holder, and
also the power of the
chief executive to release information, without consent, about a person’s
Queensland driver licence or
traffic offence history to a person who issues
driver licences under a corresponding law.
The exchange of information
is provided by the Transport Operations (Road Use Management – Vehicle
Registration) Regulation 1999 (Qld) the (TO(RUM–VR)
Regulation). In addition the TO(RUM–VR) Regulation allows
‘eligible people’ and ‘involved people’ to obtain
limited amounts of information in the form of certificates,
and also provides
for the ‘National Exchange of Vehicle and Driver Information System’
(NEVDIS). This system is operated
under an arrangement with Queensland and other
states that allows exchange of information about vehicles and drivers from the
participating
states. It is unlikely that this ‘exchange’ would be a
breach of IPP 11 (or IPP 10 – limits on use of personal
information)
because IS42, as an administrative standard would not take priority over
legislation or contractual arrangement.
This section would clearly
include releasing the information for example, to the Victorian Department of
Transport. The section also
authorises ‘an entity that, under an agreement
between the State and other governments, maintains a database containing
information
about driver licences and traffic [offence] histories’ as
being able to have access. Neither the NQDL: Consultation Paper nor the
NQDL Privacy Management Strategy deal with the power to release
information under TO(RUM–VR) Regulation.
There are
examples of government organisations using personal information from databases
for ‘inappropriate purposes’,
for example, the New South Wales
Ombudsman’s report has on a number of occasions cited New South Wales
police officers accessing
databases inappropriately despite a code of
practice[60] and United Kingdom
driver licensing authorities have admitted selling information about vehicle
licence owners to private
companies.[61]
XIII ACCESS BY THE NQDL-HOLDER
The NQDL Proposal[62]
includes the optional feature of offering secure online transactions to the
NQDL-holder through the use of digital certificates.
This feature will enable
NQDL-holders to have access to license information details with the ability to
update certain information
including change of address details, via the
smartcard partition relating to this information. Access to personal information
and
requirements for accuracy is provided for by IPPs 5, 6, 7 and 8. IPP 5
requires a record-keeper to provide an individual with information
about their
records; IPP 6 provides the individual with access to their own records; IPPs 7
and 8 require that the record it to be
accurate, related to the purpose, up to
date, complete and not misleading. The inclusion of the optional feature would
be consistent
with the information privacy principles.
XIV USE & DISCLOSURE TO QUEENSLAND POLICE SERVICE
Under the NQDL Proposal, Queensland Transport are proposing two options
to allow ‘access by law enforcement and other government
agencies’[63] to the digital
photographs stored on the TRAILS database. Option A would allow ‘access to
photographs by law enforcement personnel
and interstate licensing
authorities’[64] This option
includes the following ‘protection measures: encryption of the photographs
upon transfer and for storage; no storage
of identifying personal information
with the photograph; no data matching; and no ability to browse
photographs’. Option A
also provides clear limits on the circumstances in
which the licensing authorities and law enforcement could access the photographs
that relate to the investigations of fraudulent driver licences, criminal
investigations under the Transport Operations (Road Use Management) Act
1995 (Qld), or a court order or warrant ‘specifically requesting
release of a named licence holder’s
photograph’.[65]
In contrast, Option B provides a general statement that
‘licence holders would be advised prior to applying for a licence that
law
enforcement personnel would have access to their photographs in much the same
way they currently have access to other driving
licensing
information’.[66] This option
allows ‘law enforcement personnel to access digital photographs for law
enforcement purposes, subject to clear
accountability processes. Some of these
purposes might include locating missing persons, identifying deceased persons
involved in
major accidents and their next of kin, executing warrants and
serving other legal
processes.’[67] There are
significant privacy implications regarding this option. The broad use of the
digital photograph for purposes unrelated
to its collection would inevitably
lead to ‘function creep’, that is the use of the TRAILS database for
purposes for
which it was not originally contemplated. The ALRC in its
Discussion Paper included similar comments with respect to the
Commonwealth Health and Social Services Access
Card[68] that required a digital
photograph as part of registration. The ALRC Discussion Paper included
comments that ‘photographs of cardholders collected at the time of
registration could later be used to identify people
on Closed Circuit Television
footage.’[69]
It is
arguable that both Option A and Option B would be in breach of IS42, with
respect to Information Privacy Principle 1, and the
existing ‘function
provision’ of the Transport Operations (Road Use Management) Act 1995
(Qld) because the personal information (the digital photograph) has been
collected for the purpose of maintaining a driver licence
register; the
information has not been collected for the purpose of general law enforcement
provisions. However, it is possible for
Queensland Transport to establish that
the information is necessary for one of its statutorily authorised purposes; in
which case
the subsequent use and disclosure (by Queensland Police Service) must
be in compliance with IPP’s 10 and 11. Although the Transport
Operations (Road Use Management) Act 1995 (Qld) (ss 77 and 143) authorises
access to driver licensing information to police officers, this authorisation is
statutorily limited to transport related
investigations.
Option A
includes some limits on access to personal information, whilst Option B is
drafted broadly in terms of access for ‘law
enforcement provisions’.
Under Option B, Queensland Transport could be in breach of the confidentiality
provisions of Transport Operations (Road Use Management) Act 1995 (Qld) s
77 (dealing with release of information from TRAILS), and s 143 (statutory duty
of confidentiality), as well as breaches under IS42, under IPP 9 (personal
information to be used for relevant purposes);
IPP 10 (limits on use); and IPP
11 (limits on disclosure) by allowing Queensland Police Service access to
personal information.
Under the options, the rationale for the
disclosure on the basis of identification at an accident scene appears
superfluous given
the ability for a prospective NQDL-holder to be able to choose
to provide emergency contact details that would specifically cover
the
circumstances for which the identification of a person at a major accident scene
may be required.
Both of the options raise privacy issues: Queensland
Police Service currently have the ability to access licensing information with
respect to licensing or transport related investigations; why is it necessary
for a licence-holder to give broad consent? What right
would a licence-holder
have to refuse to give that consent and still be able to obtain a licence, and
have a guarantee that their
photograph would not be accessed? The prospective
NQDL-holder will have provided their personal information in the form of a
digital
photograph for the express purpose of enabling Queensland Transport to
maintain a driver licence register. There is an element of
compulsion in
providing this personal information if a person chooses to drive a vehicle in
Queensland.
Option A provides some clear guidance as to the
circumstances in which the photographs will be released, and both options
provide
‘protection
measures’,[70] including:
informing licence holders of their privacy rights; secure logins and use of
trigger alarms for unauthorised access; maintaining
and auditing transaction
logs of licence photographs; conducting privacy training for relevant staff;
promoting the availability
of a privacy complaints resolution process; and
enforcing penalties for improper use and disclosure. The use of technological
(encryption
and logins) and administrative (training and provision of
information) means of protecting privacy need to occur within a context
of
providing a clear legislative right to the protection of information privacy.
Although the NQDL Proposal states that penalties
for improper use and disclosure
will occur, within the current information privacy regime, this may not be
effective (see the later
discussion).
The protection measures are
certainly appropriate to satisfy security measures and IPP 4; however, such
measures are not to be confused
with ensuring protection of the remaining IPPs
dealing with use and disclosure. It is possible to breach information privacy
through
its use and disclosure, even though the personal information was stored
in accordance with the principle relevant to security.
XV ACCURACY OF THE DIGITAL PHOTOGRAPH ON THE TRAILS DATABASE
Both IPPs 7 and 8 require that reasonable steps in the circumstances be
taken to ensure that personal information collected must be
relevant,
up-to-date, complete and accurate. The requirement of ‘accuracy’ of
the database will raise information privacy
issues under the proposed NQDL.
Queensland Transport may experience technical difficulties in complying with the
IPPs. For Queensland
Transport to ensure the accuracy (or integrity as it is
referred to by the consultation documentation) of the digital photographs,
it
will need to ensure that the database does not contain duplicate photographs,
which are false identity photographs. Computer programs
are available to scan
through the database and identify where possible duplicates exist, however,
research[71] conducted on such a
program indicates that as the database size increases, the performance of the
technology decreases by a significant
percentage. The result is that the program
may either falsely detect duplicate photographs, or fail to detect where the
same person
has been placed two (or more times) on the database. In terms of the
proposed NQDL, it may mean that the database may still allow
false driver
licences to be issued by Queensland Transport; or that a genuine driver licence
is wrongly asserted to be a false driver
licence.
The inability to
ensure the integrity of the digital photographs on the database will raise
additional information privacy concerns
if the Queensland Police Service relies
upon the database for general ‘law enforcement’ functions. The
standard of the
IPP requires only that ‘reasonable steps be taken’
rather than requiring absolute accuracy.
XVI ENFORCEMENT ISSUES
The NQDL Privacy Management
Strategy[72] provides that
sanctions and remedies are in place under the Transport Operations (Road Use
Management) Act 1995 (Qld). Indeed a statutory confidentiality provision
exists under this Act;[73] however,
there is no penalty provided under the State Penalties Enforcement Regulation
2000 (Qld) regarding breach of this provision.
There are major
difficulties in enforcing the information privacy principles under IS42
primarily because IS42 is only an administrative
standard that can be superseded
by legislative provisions or contractual clauses to the contrary. A further
impediment is the scattered
and complex nature of the administrative avenues for
redress offered by the Public Sector Ethics Act 1994 (Qld); Public
Service Act 1996 (Qld); and the Financial Administration and Audit
Act 1977 (Qld).
Finally, the remedies for breach of an
individual’s personal information are inappropriate. These matters are
discussed in terms
of accountabilities for breach by members of the public
sector, with the focus on the Queensland Police Service, and Queensland
Transport.
XVII ACCOUNTABILITY OF THE PUBLIC SECTOR
The NQDL: Privacy Management Strategy
states[74] that accountability for
breach of information privacy by members of the Queensland Police Service is in
the Police Service Administration Act 1990 (Qld), in which the offence of
‘improper disclosure of information’ is created. The offence incurs
a monetary penalty
which may not be an appropriate remedy to a NQDL-holder whose
personal information has been disclosed improperly. It would be far
more
appropriate to establish penalties that address the subsequent loss of personal
information privacy to the NQDL-holder as well
as operate to deter the action of
improper disclosure.
The enforcement of IS42 is through the Public
Sector Ethics Act 1994 (Qld); Public Service Act 1996 (Qld);
and the Financial Administration and Audit Act 1977 (Qld). The Public
Sector Ethics Act establishes an Integrity
Commissioner,[75] however, there is
no section providing for the Commissioner’s function or powers. It merely
establishes the need to prepare
codes of conduct for public officials, and
provides[76] that any disciplinary
action for an approved code of conduct is to be dealt with, if the official is a
public service officer by
the Public Service Act 1996
(Qld).
The Public Service Act 1996 (Qld)
provides[77] grounds for
discipline: ‘The employing authority may discipline an officer if the
authority is reasonably satisfied that the
officer has contravened, without
reasonable excuse, a provision of this Act or a code of conduct.’ Section
88, of the Public Service Act 1996 (Qld) provides the disciplinary
action that may be taken as including termination of the officer’s
employment; reduce the officer’s
classification level and change the
officer’s duties accordingly; transfer or redeploy the officer to other
employment in the
public service; forfeit or defer a remuneration increment or
increase of the officer; reduce the level of the officer’s remuneration;
impose a penalty on the officer of not more than the total of two of the
officer’s periodic remuneration payments; direct that
a penalty imposed on
the officer be deducted from the officer’s periodic remuneration payments;
reprimand the officer.’
The range of disciplinary action available does
not address in any way the loss suffered by a person whose privacy information
has
been breached, nor does it provide for any suitable
remedy.
Similarly, under the Queensland Transport accountability regime
that includes the Code of Conduct
2003;[78] a Privacy Plan;
and a Privacy Management Plan there is an absence of appropriate remedies
available to the aggrieved NQDL-holder. The Code of Conduct
2003,[79] provides for
‘managing breaches of the code’ including: application of Queensland
Transport’s Human Resources Policy & Procedure for Performance
Improvement, and Human Resource Policy and Procedure for Discipline;
an ‘assessment is to be made to identify the seriousness of the breach and
the actual or possible impacts’. The assessment
does not include reporting
the breach to the licence holder. The penalties for a proven breach of this code
range from reprimand
through to dismissal, depending on the severity or
seriousness of the breach and all the circumstances. There is no avenue for
external
review. Finally, although an ‘Integrity Commissioner’ is
established under the Public Sector Ethics Act 1994 (Qld), that statutory
body has no power to review decisions made under the privacy plans or codes of
conduct established under that
Act.
None of the legislation, codes or
plans offers any assistance with determining the follow matters: how does the
NQDL-holder know that
their information privacy has been breached; how will they
prove the breach; and who will bear the expense of the litigation; who
makes
decisions on whether a breach has occurred; is the decision open to review
and/or appeal; who has the burden of proving or
disproving the breach. A member
of the public seeking to determine the law that applies with respect to
information privacy is provided
with a combination of legislation;
administrative standards; codes of conduct; and privacy plans. In short, a
prospective NQDL-holder
has no discernible legal rights relating to their
information privacy, its management, review processes and enforcement.
XVIII INDEPENDENT PRIVACY MANAGEMENT COMMITTEE
Under the NQDL Proposal, it is
proposed[80] to establish privacy
oversight through the establishment of an ‘independent privacy management
committee’ comprised of
an ‘independent chair and a balanced
membership (for example, Queensland Transport, commercial partner, licence
holders and
privacy
advocate)’.[81] The ability of
the proposed committee to impartially protect privacy information interests is
compromised due to its very composition
of including Queensland Transport and
the commercial partner who are ‘interested parties’ in the NQDL
Proposal. Complaints
made to this committee are again limited by the
administrative nature of its establishment which means that it will be unable to
provide an impartial, external approach to the aggrieved NQDL-holder.
The NQDL Privacy Management
Strategy[82] has suggested a
number of external avenues for complaint and appeal to the prospective
NQDL-holder, including the Queensland Ombudsman
and the Federal Privacy
Commissioner. There are a number of issues in Queensland Transport’s
reliance on either avenue.
The Ombudsman, whose powers and functions are
established under the Ombudsman Act 2001 (Qld), is subject to limitations
on what can be investigated[83]
which includes certain actions of Queensland Police Service officers where
disciplinary action has been pursued under police legislation;
where an action
has been pursued under mediation; and actions being pursued by the
auditor-general. The limitations on the Ombudsman
may involve the very actions
taken by Queensland Transport, which may require independent investigation.
The Ombudsman’s Office already
handles[84] over 7000 complaints a
year, of which 5% of the existing complaints are not finalised. Queensland
Transport already ranks in the
top five departments against which complaints are
lodged. It would be anticipated that in the first year of the introduction of
the
NQDL, if the Ombudsman’s Office was relied upon to deal with
complaints of NQDL-holders, this office could be unable to deal
with the
additional complaints. The use of either the Ombudsman’s Office or the
Federal Privacy Commissioner’s office
is contrary to Recommendation 6,
made by the Legal, Constitutional and Administrative Review Committee,
Privacy in Queensland,[85]
that the functions of a Queensland privacy commissioner should not be combined
with any other office.
XIX BROADER ISSUES ASSOCIATED WITH THE NQDL PROPOSAL
There are three broader issues associated with the NQDL Proposal: the
compulsory nature of government requiring information which
may negate the
ability of the prospective NQDL-holder to provide consent; function creep in
which the NQDL may be used for purposes
beyond maintaining a driver license
register; and that the NQDL may become a quasi-identity card.
XX COMPULSORY NATURE OF GOVERNMENT REQUIRING
INFORMATION
The use of smartcard technology by government in its statutory requisition of
information raises fundamental issues, including: does
a citizen exercise any
genuine choice in using this technology, in contrast to a ‘consumer’
for example electing to take
up the use of a SIM-card in their mobile phone, or
electing to use a loyalty scheme, who both chooses to participate in the
technology,
and consents to the collection and use of their information subject
to specified limitations.
The proposed NQDL will include a number of
points at which ‘consent’ will need to be expressly addressed to
ensure prospective
NQDL-holder’s are considered fully informed of the use
and disclosure of their personal information to which they are consenting.
It is
unlikely that Queensland Transport will offer a choice of participating in the
NQDL; in fact this is the central issue of ‘consent’
with respect to
a government organisation. If a person wishes to drive a vehicle in Queensland
then they must obtain a driver licence,
and after 2007, the only type of driver
licence will be a smartcard driver licence; in this regard ‘consent’
is superfluous.
However, there remain a number of other points at which the
notion of ‘consent’ needs to be discussed, and obtained.
Consent, for it to be consent requires a consideration of whether the
consent was informed and voluntary. The ALRC Discussion Paper commented
on consent and considered account be taken of at least two ‘critical
factors’: firstly, ‘an analysis
of the individual’s likely
level of understanding as to what he or she is consenting to, and the
implications of giving and
withholding his or her consent [and secondly] an
analysis of whether the individual has a clear option not to
consent.’[86] This analysis
would best be addressed by Queensland Transport undertaking a full privacy
impact assessment, and publishing the results.
This would provide the
prospective NQDL-holder with a level of knowledge that related directly and
independently to each aspect of
collecting personal information; using personal
information; and disclosing personal information in order for consent to have
been
provided. The Queensland Transport consultation material does not refer to
a privacy impact assessment having been undertaken; however
the Galexia
website[87] states that they have
conducted ‘a Privacy Impact Assessment (PIA) of new technology being
considered by Queensland Transport,
including ongoing advice to the Department
on smart cards, electronic authentication, digital certificates, evidence of
identity,
and PKI. Galexia’s PIA and the subsequent Privacy Management
Strategy received formal sign off from the Queensland Crown Solicitor and
approval from a Cabinet
sub-committee.’[88] To date,
the privacy impact assessment has not been published.
XXI FUNCTION CREEP
Function creep has been defined as:
the tendency of systems to
evolve such that they are used for purposes for which they were not designed,
that never could have been
envisaged at the time of system creation. ...
Security features, such as subject-privacy guarantees, are immensely difficult,
if
not impossible, to retrofit.[89]
Queensland Transport have stated that other commercial applications be
included on the smartcard as a means to offset smartcard technology
costs. The
NQDL Proposal in effect envisages a secondary use of the smartcard by other
government agencies, for example, by allowing
Queensland Police Service to
access the database of digital photographs, and the inclusion of emergency
contact details that may
be accessed by emergency service officers. The
beginning of ‘function creep’ is present in both instances of access
to
driver licence information by agencies not directly related to the function
of maintaining a register of driver licence information.
Other
States’ proposals for the use of smartcard driver licences, are being
progressed with the intention to ‘build in
other applications’,
including that of the Victorian Government’s A Smarter Licence for
Victorians have stated in their
proposal,[90] ‘the overall
aims of this study have been to adopt a simple solution initially but build in
capacity to expand to multiple
applications as users become ready to accept
new uses’ (emphasis added). The approach of Queensland
Transport, and of VicRoads[91] to
‘add on’ applications is in contrast to the guidelines on how the
privacy principles should be incorporated into smartcard
projects, laid down by
the Federal Privacy
Commissioner.[92] The guidelines
required that:
the purposes for which the card can be used must be
settled at the beginning of the project’s development; all parties to the
smartcard project should be identified at the beginning of the project; card
holders must be advised before there are any changes
to the smartcard system
(such as the introduction of new features) that affect the collection and use of
personal information; their
consent – real, informed consent – must
be obtained to participate in the new
arrangements.[93]
The only
means to protect against (or at least reduce opportunities for) ‘function
creep’ is to legislate for the information
privacy principles,
particularly the principles with respect to collection, use and
disclosure.
XXII QUASI-IDENTITY CARD
Another issue associated with the NQDL Proposal is that it will become a
‘quasi-identity card’. This is perhaps already
an issue with a
driver licence that is used as a means of identity by the commercial sector
where it is regularly used to verify
identity details in transactions such as
accepting cheques. Although Queensland Transport does not promote the current
driver licence
as a means of identification, and its use in commercial
transactions occurs independently, it will become more of an issue if Queensland
Transport ‘strengthens’ its reliance as being an accurate means of
identity for the driver licence purposes. It is likely
that reliance on its use
by the private sector will also increase.
XXIII CONCLUSION
Technologies, including smartcards, are rapidly being developed with
enormous capabilities to collect, use and disclose information
about
individuals. Government is increasingly the user and purchaser of this
technology as a means of gaining the efficiency related
benefits for carrying
out its functions. As part of the balance in taking up these technologies,
government must put in place legislative
safeguards to protect individuals from
possible costs to privacy incurred through the use of the technologies.
The conclusion then of this article is not that the NQDL Proposal should
not be pursued as a means of fulfilling Queensland Transport’s
function to
provide for registration and licensing of road users. Rather, that the NQDL
Proposal should be implemented within a framework
of dedicated privacy
legislation (that is, a Privacy Act (Qld)) that protects an
individual’s information (both personal and sensitive) as a statutory
right, rather than a principle
that may be overridden by a contractual clause or
by other legislation. A Privacy Act (Qld) is needed to provide the
following: a statutory right to information privacy that at a minimum covers the
IPPs; a clear right
of legal redress for breaches of information privacy;
appropriate remedies that address breaches; the requirement that a privacy
impact assessment is to be carried out and published; and the establishment of a
privacy commissioner with the necessary functions,
powers and resources to
oversight privacy. In short, the earlier recommendations made almost 10 years
ago by the Queensland Legal,
Constitutional and Administrative Review Committee
in its review of privacy, need to be implemented.
[*] BA LLB (UQ), LLM (QUT), Solicitor of Supreme Court (Queensland), Lecturer, School of Law, University of Southern Queensland
[1] Premier and Treasurer The Honourable Peter Beattie, ‘Smart Licence on the Cards’ (Ministerial Media Statement, 29 December
2005).
[2] Queensland Transport,
Invitation for Expression of Interest: New Queensland Driver Licence
(2006) Department of Public Works Queensland Government Marketplace
<http://www.projectservices/qld.gov.au/eternderqgm/Tender.asp?TenderID=4764>
at 10 September 2006. The EOI was removed on 2 October 2006.
[3] Queensland Transport, New
Queensland Driver Licence Proposal: Consultation Paper (2003)
5.
[4] The Minister for Transport
and Main Roads Honourable Paul Lucas, Government Shortlists Consortia for
Smartcard Driver Licence (2007) Queensland Government, Ministerial Media
Statement
<http://statements.cabinet.qld.gov.au/MMS/StatementDisplaySingle.aspx?id=49949>
at 10 January 2008.
[5] Queensland
Transport, New Queensland Driver Licence: Privacy Management Strategy
(2003).
[6] Australian Law Reform
Commission, Review of Australian Privacy Law, Discussion Paper No 72
(2007) 328–9.
[7]
Constitutional and Administrative Review Committee, Queensland Legal,
Privacy in Queensland, Report No 9
(1998).
[8] The consultation
material on the NQDL refers to a ‘digital signature’, that is the
use of public key technology that
applies an algorithm to encrypt a message.
However, the NQDL will use a ‘digitised signature’ – a
signature that
has been scanned into a
computer.
[9] Queensland
Transport, above n 3, 3-5.
[10]
Queensland Transport, above n 5,
3.
[11] Ibid 8.
[12] VicRoads, Introducing
New Driver Licence Card Technologies: A Smarter Licence for Victorians
(2002) 9.
[13] Austroads is the
association of Australian and New Zealand Governments road transport and traffic
authorities. Austroads members
are the six Australian State and two Territory
road transport and traffic authorities, the Commonwealth Department of Transport
and
Regional Services, the Australian Local Government Association and Transit
New Zealand.
[14] Austroads,
Smartcard Licence Interoperability Protocol (SLIP): A flexible approach to
driver licensing into the future, Discussion Paper (2005)
3.
[15] Transport Operations
(Road Use Management – Vehicle Registration) Regulation 1999 (Qld),
div 5.
[16] Queensland
Transport, above n 3, 9.
[17]
Privacy Committee of New South Wales, Smart Cards: Brother’s Little
Helpers, Report No 66 (1995)
7.
[18] Federal Privacy
Commissioner, Smart Cards: Implications for Privacy, Information Paper No
4 (1995) 7.
[19] Constitutional and
Administrative Review Committee, above n 7, 193.
[20] Australian Government
Information Management Office, Smartcard Handbook (2006)
B2.
[21] Electronic Frontiers
Australia, Queensland Smart Card Driver Licence Proposal (2003)
4.
[22] Queensland Transport,
above n 3, 9-10.
[23] Australian
Government Information Management Office, Australian Government Smartcard
Framework: Responsive Government – A New Service Agenda, Part A (2006)
8. The set of documents is established by the Australian Government Information
Management Office June 2006 (the ‘Smartcard Framework ’). The
Smartcard Framework is intended ‘to facilitate clear thinking about
implementation issues ... to help agencies understand the business case for
smartcards, and to promote standardisation and uniformity for the shared benefit
of all government agencies.’
[24]
Ibid.
[25] Queensland
Government Information Architecture, Information Standard 4: Information
Privacy Guidelines
(2001).
[26] Health
information is regulated by Information Standard
42A.
[27] Australian Law
Reform Commission, above n 6,
236.
[28] Ibid, quoting the
Parliament of Australia - Senate Legal and Constitutional Reference Committee,
The Real Big Brother: Inquiry into the Privacy Act 1988 (2005) [7.6].
[29] Privacy Act 1988
(Cth) ss 6C(4) and 6F. The Office of the Federal Privacy Commissioner provides
further information on the complexities of the obligations upon Commonwealth
contractors in its Information Sheet 14 – 2001: Privacy Obligations for
Commonwealth Contracts (2001) Federal Privacy Commissioner
<http://www.privacy.gov.au/publications/IS14_01_print.html>
at 14 January 2008.
[30] New
South Wales has the Privacy and Personal Information Protection Act 1998
(NSW) which makes provisions for Information Privacy Principles (pt 2);
Privacy codes of practices and management plans (pt 3); Privacy Commissioner (pt
4); and a Privacy Advisory Committee (pt 7). Victoria has the Information
Privacy Act 2000 (Vic) which makes provision for: Information Privacy
Principles (pt 3); Codes of practice (pt 4); and a Privacy Commissioner (pt 7).
The Australian Capital Territory has the Information Privacy Act 2000
(ACT) and the Northern Territory has the Information Act 2004
(NT). Tasmania has the Personal Information Protection Act 2004
(Tas).
[31] Cabinet
Administrative Instruction 1/89 dealing with information privacy. The Privacy
Committee was proclaimed in
2001.
[32] Privacy Act
1988 (Cth) s 14.
[33]
Privacy Act 1988 (Cth) s
6.
[34] Privacy Act 1988
(Cth) s 6.
[35] Privacy
Act 1988 (Cth) s 6.
[36]
Australian Law Reform Commission, above n 6, 211 quoting Biometrics
Institute, Biometrics Institute Privacy Code Information Memorandum (2006)
1.
[37] Ibid
213-14.
[38] Queensland
Government Information Architecture, above n
25.
[39] Ibid
29.
[40] Constitutional and
Administrative Review Committee, above n 7,
XII–XXI.
[41] Ibid 48. In
1999 an Information Privacy Bill was introduced into Queensland
Parliament, but not passed.
[42]
Ibid 59.
[43] Ibid 119.
[44] Ibid
132.
[45] Ibid
198.
[46] Queensland Transport,
above n 5, 13. The Ombudsman under the Ombudsman Act 2001 (Qld) has broad
powers of investigation and these powers would extend to investigations of
matters relating to Queensland Transport’s
data management
practices.
[47] Queensland
Transport, Privacy Plan – Information Privacy (2006) Appendix
B.
[48] The incompleteness of the
Queensland Transport dataset audit (in the Queensland Transport Privacy Plan:
Information Privacy, December 2004) was revealed through a cross-referenced
check with the Queensland Police Service dataset audit in the Queensland
Police Service Information Privacy Plan, 20 July 2004.
[49] Australian Law Reform
Commission, above n 6, 600 referring to the Office of the Federal Privacy
Commissioner, Plain English Guidelines to Information Privacy Principle
(1994) 1–3: Advice to Agencies about Collecting Personal
Information.
[50] Transport Operations
(Road Use Management) Act 1995 (Qld) s 3(a) provides that ‘this Act
establishes a scheme to allow identification of vehicles, drivers and road
users’. Section 150
(1)(d) provides that, ‘A regulation may
prescribe rules about the management of drivers, including for example requiring
the
keeping of a register of
licences.’
[51] Queensland
Transport, above n 5,
3.
[52] H Gregorczuk,
‘Freedom of Information: Government Owned Corporations, Contractors and
Cabinet Exemptions’ (1999) No5/99
Research Bulletin, Queensland
Parliamentary Library, citing Hon Justice EW Thomas, ‘Secrecy and Open
Government’, in PD Finn (ed), Essays on Law and Government:
Principles and Values, Vol 1 (1995) 182,
184.
[53] Administrative Review
Council, The Contracting out of Government Services, Report to the
Attorney-General (1998) vii.
[54]
Queensland Transport, above n 5, 8.
[55] Transport Operations
(Road Use Management) Act 1995 (Qld) s 20, provides for the appointment of
authorised officers, which includes ‘every police officer’. Schedule
4 of the Act defines
‘authorised officer’ to mean ‘a person
who holds an appointment as an authorised officer under s
20.’
[56] Privacy Act
1988 (Cth) s 6.
[57]
Australian Law Reform Commission, above n 6,
578-9.
[58]
Ibid.
[59] Information
Standard 42: Information Privacy Guidelines, V1.00.00 Queensland Government
Information Architecture
<http://209.85.173.104/search?q=cache:fuJGz0mHntwJ:www.qgcio.qld.gov.au/02_infostand/downloads/is42guidelines.pdf+information+standard+42
& hl=en & ct=clnk & cd=5>
at 10 September 2007.
[60] G
Greenleaf, ‘Ombudsman – Police Still Lax on Disclosure, NSW
Ombudsman Annual Report’ (1994) 1(9) Privacy Law and Policy
Reporter 134, 175.
[61]
Stand, Entitlement Cards and Identity Fraud: Identity Card Response,
<http://www.stand.org.uk/IdCardResponse.html>
at 20 April
2006.
[62] Queensland Transport,
above n 3, 18.
[63] Queensland
Transport, above n 5, 4.
[64]
Ibid.
[65]
Ibid.
[66] Ibid 5.
[67] Ibid.
[68] The Human Services
(Enhanced Service Delivery) Bill 2007 (Cth) was passed by the House of
Representatives on 28 February, and then introduced into the Senate on the same
day, was adjourned
and later withdrawn that same
day.
[69] Australian Law Reform
Commission, above n 6, 803 quoting A Stafford, ‘Access Card Could Link to
Surveillance’, The Age (Melbourne), 5 June 2006,
9.
[70] Queensland Transport,
above n 3, 8.
[71] P Jonathon
et al, ‘Face Recognition Vendor Test 2002, Overview and Summary’
(2003) National Institute of Standards and Technology 2-3.
[72] Queensland Transport,
above n 5, 13.
[73] Transport
Operations (Road Use Management) Act 1995 (Qld) ss 77 and
143.
[74] Queensland Transport,
above n 5, 5.
[75] Public
Sector Ethics Act 1994 (Qld) pt 7, div
7.
[76] Public Sector Ethics
Act 1994 (Qld) s
24(a).
[77] Public Service
Act 1996 (Qld) s
87(1)(f).
[78] Queensland
Transport, Code of Conduct (2005).
[79] Ibid 3.
[80] Queensland Transport,
above n 5, 12.
[81]
Ibid.
[82]
Ibid.
[83] Ombudsman
Act 2001 (Qld) s 16.
[84]
Office of the Ombudsman, Annual Report (2005 – 2006)
37.
[85] Constitutional and
Administrative Review Committee, above n 7,
59.
[86] Australian Law Reform
Commission, above n 6, 579.
[87]
Galexia are specialist consultants in privacy who have been involved in
providing advice on aspects of the NQDL
project.
[88] Refer to
Galexia’s website
<http://www.galexia.com/public/projects/projects-QT.html#Heading78>
at 10
January 2008.
[89] Stand, above
n 61, [19].
[90]
VicRoads, above n 12,
22.
[91] Ibid.
[92] Federal Privacy
Commissioner, above n 18, 3.
[93]
Ibid. The Canadian approach is to treat consent to each of these aspects
– ‘collection’, ‘use’ and
disclosure’ as
distinct and separate.
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