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AUS17 v Minister for Immigration & Anor [2017] FCCA 1986 (8 December 2017)
Last Updated: 11 December 2017
FEDERAL CIRCUIT COURT OF AUSTRALIA
AUS17 v MINISTER FOR
IMMIGRATION & ANOR
|
|
Catchwords: MIGRATION – Review of
Immigration Assessment Authority decision – refusal of a protection visa
– applicant claiming
a fear of harm in Sri Lanka – applicant not
believed – whether the Authority overlooked relevant material or
misapplied
s.473DD of the Migration Act 1958 (Cth) considered –
jurisdictional error established.
|
Acts Interpretation Act 1901 (Cth),
s.25DMigration Act 1958 (Cth), ss.5, 65, 473CB, 473CC, 473DA, 473DB,
473DC, 473DD, 473DE, 473EA, 477
|
First Respondent:
|
MINISTER FOR IMMIGRATION & BORDER
PROTECTION
|
|
IMMIGRATION ASSESSMENT AUTHORITY
|
Hearing dates:
|
18 August 2017 and 23 October 2017
|
Delivered on:
|
8 December 2017
|
REPRESENTATION
Counsel for the
Applicant:
|
Mr R Clark
|
Solicitors for the Applicant:
|
Fragomen
|
Counsel for the Respondents:
|
Mr B Kaplan
|
Solicitors for the Respondents:
|
Sparke Helmore
|
ORDERS
(1) A writ of certiorari shall issue, removing the record of the Immigration
Assessment Authority decision made on 9 January 2017
into this Court for the
purpose of quashing it.
(2) A writ of mandamus shall issue, requiring the Immigration Assessment
Authority to redetermine according to law the review referred
to
it.
FEDERAL CIRCUIT COURT OF AUSTRALIA AT
SYDNEY
|
PEG 111 of
2017
Applicant
And
MINISTER FOR IMMIGRATION & BORDER
PROTECTION
|
First Respondent
IMMIGRATION ASSESSMENT
AUTHORITY
|
Second Respondent
REASONS FOR JUDGMENT
Introduction and background
- The
applicant seeks judicial review of a decision of the Immigration Assessment
Authority (Authority) made on 9 January 2017. The
Authority affirmed a decision
of a delegate of the Minister (delegate) not to grant the applicant a protection
visa.
- The
following statement of background facts is derived from the submissions of the
applicant, filed on 4 August 2017.
- The
applicant is a male citizen of Sri Lanka and is a Tamil from the Jaffna
District.[1]
- On
10 September 2015, the applicant made an application for a protection
visa.[2] However, this was later
withdrawn.[3]
- On
12 February 2016, the applicant made an application for a protection visa known
as a Safe Haven Enterprise Visa
(SHEV).[4]
- On
9 September 2016, the delegate decided to refuse to grant the applicant a
SHEV.[5]
- On
14 September 2016, the decision of the delegate was referred to the Authority
for a review.[6] It is common ground
that the applicant is a “fast track applicant” within the meaning of
s.5(1)(a) of the Migration Act 1958 (Cth) (Migration Act).
- On
9 January 2017, the Authority handed down a decision in relation to the
application for review, affirming the decision of the
delegate.[7]
- The
applicant’s case before the delegate included claims and evidence that he
had a well-founded fear of persecution in Sri
Lanka owing to:
- a
fear of mistreatment or violence from the Eelam People’s Democratic Party
(EPDP) owing to his previous interactions with the
group, such as his testifying
against members of that group in 2003, his being accused of trying to kill the
leader of that group
in 2005 and his being attacked by members of the group in
2008;[8]
- a
fear of mistreatment or violence at the hands of the Sri Lankan army either
arising from the applicant’s perceived LTTE connections
or because of an
accident in respect of which the applicant was charged and fined. The
circumstances of the accident were as follows.
The applicant had, at the request
of two army soldiers, transported them in the back tray of his vehicle. However,
the applicant
accidentally rolled his vehicle injuring one soldier and killing
the other. The applicant was charged and fined for reckless driving
but
otherwise released, but soldiers in the local army base at which the killed
soldier was based did not accept the verdict and
tortured and harassed the
applicant and harassed his
family;[9]
- a
fear of mistreatment or violence arising from his ethnicity or
race;[10] and
- a
fear of mistreatment owing to his details having been made publically available
by the Minister’s Department leading to a
potential awareness in Sri Lanka
of the applicant having sought asylum in
Australia.[11]
- There
were also said to be substantial grounds for believing that as a necessary and
foreseeable consequence of the applicant being
returned to Sri Lanka he would
suffer significant harm on the basis of the same evidence as that relied upon in
relation to his Convention
claims.[12]
- The
delegate interviewed the applicant on 7 April
2016.[13] The delegate
found:[14]
- ...the
applicant to be generally a credible witness. His description of what happened
to him in Sri Lanka was sufficiently detailed,
consistent and conformed to
independent information regarding the situation in that country. At the
interview the applicant appeared
relaxed and his responses were spontaneous. He
did not show any hesitation when answering questions, giving the impression that
his
responses were not mere fabrications. He was able to clarify matters when
asked to do so. He also appeared to recall events from
experience.
- The
delegate accepted as fact the particular factual claims made by the applicant
regarding his interaction with the Eelam People’s
Democratic Party (EPDP)
in 2003, 2005 and 2008 and the accident with the
soldiers.[15] However, the delegate
found that the particular incidents did not give rise to a well-founded fear of
persecution on the part of
the applicant because:
- in
the case of the EPDP, the facts suggested that the applicant was not a person of
ongoing interest to that group;[16]
and
- in
the case of the army, while the soldiers from the particular army base from
which the dead soldier was based might continue to
seek to harass or attack the
applicant, this would not be the approach of the Sri Lankan Army as a whole, and
thus the applicant
could relocate to a part of Sri Lanka away from that army
base.[17]
- The
applicant provided written submissions to the Authority on 19 October
2016.[18] Those submissions did not
address any matters related to the validity of the factual assertions made by
the applicant, nor matters
related to his credibility, presumably because such
matters were not at issue in the delegate’s decision.
- In
contrast to the delegate, the Authority rejected much of the applicant’s
evidence. It rejected outright the applicant’s
evidence regarding events
which happened between 2003 and 2009, finding them to be fabrications to support
his visa applications.
The Authority relied upon the fact that the applicant had
not referred to such events in his entry interview on 4 January 2013 and
because
of what was included in a medical report dated 20 May 2014 (20 May Report). The
Authority also found that, while it accepted
that the applicant may have been
involved in an accident which killed a soldier and attended Court and was fined,
it rejected as
embellishment the applicant’s evidence that such accident
brought him to the attention of the army and was detained, harassed
and tortured
by them and/or they had harassed his friends and
family.[19]
- The
20 May Report[20] was prepared by S
Momartin, a clinical psychologist, on 20 May 2014 while the applicant was in
immigration detention at Villawood.
The 20 May Report notes that “[the
Applicant] reported he would like to receive counselling and psychological
support from
STARTTS”.[21] The
report is marked “Strictly Confidential”. The 20 May Report refers
to the applicant having described a traumatic
event which occurred to him, being
the accident involving the soldiers referred to
above.[22] The report was not
prepared for the purposes of, or as part of, the applicant’s protection
visa or SHEV applications (see
further discussion below). As well as this
report, there are a number of other reports regarding the applicant in the court
book,
outlined below:
- report
prepared by John Payne, counsellor, on 4 August
2014;[23]
- report
prepared by John Payne on 24 September
2014;[24]
- report
prepared by Sivaharani Mayuran, STARTTS counsellor, on 29 November
2014;[25]
- report
prepared by Ms Mayuran on 9 March
2015;[26]
- report
prepared by Catherine Valenzuela, social worker, on 30 April
2015;[27] and
- report
prepared by Adnan Zagic, STARTTS counsellor, on 31 August
2015.[28]
- The
Authority referred to the fact that the only traumatic experience referred to in
the 20 May Report was the incident involving
the death of the soldier in 2011,
and not any previous incidents from 2003-2009 in favour of its finding that
those previous incidents
had been fabricated by the applicant. That is, the
Authority reasoned that as the applicant did not discuss with his psychologist
the other traumatic events he experienced in Sri Lanka they did not occur. The
Authority also pointed to some discrepancies between
the 2011 accident as
recited in the 20 May Report and the facts as recited in the applicant’s
written claims to reject the
applicant’s claim that the 2011 accident had
brought the applicant to the attention of the army and they had detained and
tortured
him and harassed his
family.[29]
The current proceedings
- These
proceedings began with a show cause application filed on 23 February 2017. That
application had been lodged in the registry
on 16 February 2017. That lodgement
occurred three days outside the period prescribed in s.477(1) of the Migration
Act and the applicant accordingly required an extension of time under s.477(2).
I granted that extension of time at the outset of the trial of this matter on 18
August 2017.
- The
applicant now relies upon an amended application filed on 26 May 2017. There
are six grounds in the application:
- 1. The
Authority engaged in jurisdictional error by considering new information without
deciding whether there were exceptional
circumstances justifying the
consideration of such information.
- Particulars
- a. A
confidential psychologist’s report of Ms Momartin regarding the applicant
dated 20 May 2014 (20 May Report) was before
the Authority when making its
decision (Authority’s Decision at [25]).
- b. The
Authority used the 20 May Report to make findings of credit adverse to the
applicant in relation to a number of claims he
made, given claimed
inconsistencies between his narrative of events in the 20 May Report when
compared to his protection visa application
(Authority’s Decision at [25]
and [29]).
- c. The 20
May Report was not before the delegate of the Minister (Delegate) when the
Delegate’s Decision was made.
- d.
Therefore the 20 May Report was “new information” for the purposes
of s 473DC(1) of the Act.
- e. The
Authority did not consider or determine whether there were exceptional
circumstances to justify considering this new information
as required by s 473DD
and therefore could not consider the new information in making its Decision.
- 2. The
Authority engaged in jurisdictional error by considering new information without
giving that information to the applicant
for comment.
- Particulars
- a. The
applicant repeats particulars a to d of ground 1.
- b. The
Authority did not provide the document to the applicant for comment as required
by s 473DE of the Act.
- 3. If,
contrary to the grounds 1 and 2 above, the 20 May Report was not “new
information”, the Authority engaged in
a jurisdictional error by failing
to consider material in later psychologists reports which supported the
applicant’s claims.
- Particulars
- a. The
Authority found that particular events the applicant claimed had occurred in his
protection visa application had not been
discussed with Ms Momartin in the 20
May Report and this fed into the Authority’s finding that these events did
not occur and
were concocted by the applicant (Authority’s Decision at
[25]-[26]).
- b. The
Authority did not consider later psychologist’s reports which referred to
the applicant having referred to events which
the applicant claimed had occurred
in his protection visa application (CB42, 43, 45, 52, 55, 59)
- 4. The
Authority engaged in a jurisdictional error by failing to comply with s 473DD of
the Act.
- Particulars
- a. The
applicant provided a letter from Appathuray Vinayagamoorthy to the Authority in
support of his claims (the Letter).
- c. The
Authority found that the information was new information and thus s 473DD
applied (Authority’s Decision at [10]).
- d. The
Authority refused to consider the evidence on the basis that s 473DD(b)(i) was
not made out in the circumstances.
- e. The
Authority failed to consider whether s 473DD(b)(ii) applied to the evidence.
- 5. The
Authority erred in its exercise of discretion under s 473DC(3) of the Act,
because it failed to afford the applicant procedural fairness by informing the
applicant that it intended to make a decision
adverse to the applicant on
grounds that differed from those of the Delegate.
- Particulars
- a.
Although s 473DA of the Act provides that Division 3 of Part 7AA provides and
exhaustive statement of the natural justice hearing rule, the exercise of the
discretion afforded under s 473DC(3) must be made in accordance with the
established principles of procedural fairness.
- b. In
accordance with the Authority’s Practice Direction 1 (October 2016)
entitled Practice Direction for Applicants, Representatives and Authorised
Recipients (Practice Direction), for purposes of the Authority’s review
the applicant may have provided a written submission on why the
applicant
disagreed with the Delegate’s Decision.
- c. The
Delegate found “the applicant to be generally a credible witness...He also
appeared to recall events from experience”
and went to onto accept the
events which the applicant said had occurred did occur at (Delegate’s
Decision [30]-[32]). However
the Delegate found against the applicant on the
basis that he was not satisfied that those various events led to a well-founded
fear
of persecution/the complimentary protection provisions were not satisfied.
- d. The
applicant provided a written submission on 19 October 2016 directed towards the
provision of new information in relation
to the claims already made, as well as
referring to certain matters made in the applicant’s claim which the
Delegate had not
considered.
- e. The
Authority, however, made adverse findings regarding the credit of the applicant
and rejected wholesale his claims that certain
events had occurred between 2003
and 2009 (Authority’s Decision at [17]-[26]).
- f. It was
a procedurally unfair exercise of the discretion in s 473DC(3) not to inform the
applicant that the grounds for refusal of the applicant’s protection visa
were going to be different from
those considered dispositive by the
Minister’s delegate.
- 6. The
Authority’s Decision was ultra vires and infected by jurisdictional error
as it was beyond the scope provided by s 473CC(2) of the Act.
- Particulars
- a. Section
473CC(2) provides the Authority with the power to affirm a fast track reviewable
decision or remit the decision for reconsideration, not to
vary the decision or
make a decision for different reasons to that made below: c.f. powers granted to
Administrative Appeals Tribunal
pursuant to s 415 of the Act.
- b. The
applicant repeats particulars c and e to ground 5.
- d. The
Authority Decision did not amount to an affirmation of the Delegate’s
Decision.
- At
the trial on 18 August 2017, counsel for the applicant informed the Court that
Ground 6 would not be pressed. Grounds 1, 2 and
5 were abandoned at the resumed
hearing on 23 October 2017 upon the Minister providing evidence that the 20 May
Report was provided
by the applicant to the Minister’s Department prior to
the decision of the delegate.
- Thus,
only Grounds 3 and 4 remain in issue between the parties.
- In
addition to the court book filed on 11 May 2017, I have before me as evidence
the affidavit of Alexander Lachland made on 20 June
2017 concerning the
electronic file maintained by the Minister’s Department and the affidavit
of David Clifford Aitchison made
on 20 September 2017 which provided evidence
bearing upon the now abandoned Grounds 1, 2 and 5. I marked for identification
the
principal medical report in issue in relation to those now abandoned
grounds[30] and a copy of the
documents identified at CB 219.[31]
Following the trial of the matter the Minister, at my request, filed the
affidavit of Courtney Grantham made on 24 October 2017,
which completed the
record of the material provided to the delegate by the applicant.
- Both
the applicant and the Minister filed written submissions prior to the trial
commencing on 18 August and also made oral submissions
on that day and at the
resumed hearing on 23 October 2017.
Consideration
Ground 3 – did the Authority fall into error by only
considering the medical report of 20 May 2014?
Applicant’s contentions
- As
referred to above, Ground 3 is predicated on the 20 May Report not being
“new information”. As also referred to above,
the Authority relied
upon the 20 May Report in the manner referred to above, namely that it
considered that the failure of the applicant
to refer to traumatic incidents
prior to 2011 in his interview with the psychologist supported a finding that
the applicant had fabricated
traumatic incidents prior to 2011 relied on in his
visa application. It also relied on discrepancies between the 20 May Report and
the applicant’s visa application to find that the 2011 incident did not
bring the applicant to the attention of members of
the army. However, in its
findings[32] there is no
consideration referred to by the Authority of other factual incidents referred
to in the other reports referred to above,
which would be consistent with his
claims, for example:
- “[the
applicant] described a history of persecution in Sri Lanka. This included a
period of imprisonment during which he was
tortured”;[33]
- “It
appears that the multiple traumas he has experienced and witnessed in his
country of origin have been compounded by his
protracted
detention”;[34]
- “[The
applicant] describes...nightmares of past trauma and imprisonment...[The
applicant] reported that he was triggered when
handcuffed and was reminded of
his previous imprisonment and torture he endured. During this time, [the
applicant] was observed to
be agitated, restless, with rapid speech, flights of
ideas and was at times
circumstantial”;[35]
- “It
appears that the multiple traumas he has reported experiencing and witnessing in
his country of origin have been compounded
by his protected detention and
ongoing fears for his
future”[36] (as referred to
above, the applicant included this document as part of his protection visa
application).
- “[The
applicant] reported that he had been sleeping poorly, some nights not at all. He
frequently has nightmares which commonly
relate to his experiences of torture
while imprisoned by the military. He also reported having very traumatic
memories, eg of killings...Client
is worried about his mother, who has cancer,
but also troubled by a degree of alienation from his mother, whom the client
states
has been bringing up the subject of the ‘trouble’ he has
caused by leaving the country, as the military has apparently
been harassing the
family.”[37] (as referred to
above, the applicant included this document as part of his protection visa
application).
- While
the failure by a review body such as the Authority to consider evidence could be
considered to be a failure to accord procedural
fairness, it can also be
considered to be a constructive failure to exercise the jurisdiction, that is,
to undertake the review of
the fast track reviewable decision pursuant to
s.473CC(1) of the Migration Act.[38]
- As
identified by Robertson J in Minister for Immigration v
SZRKT,[39] the relevant factors
to consider whether a review body is required to consider a document or
documents in relation to (corroborative)
evidence include first, the cogency of
the evidentiary material and, secondly, the place of that material in the
assessment of the
applicant’s claims. This is an unusual case, given the
new procedure brought about by the fast track process. Apart from the
31 August
2015 report, none of the reports referred to above were put forward by the
applicant as evidence in favour of his case.
Rather, the relevance of those
reports arises from the line of reasoning that the Authority chose to pursue, in
contrast to the approach
of the delegate, which relied on the absence of
reference to certain factual matters in the 20 May Report.
- The
applicant contends that, given the reasoning of the Authority, the evidentiary
material referred to above (and not considered
by the Authority) was highly
cogent, and central to the Authority’s assessment of the applicant’s
claims and thus its
failure to consider such material gives rise to a
constructive failure to exercise jurisdiction. In referring to the 20 May Report
as it did, the Authority in effect preferred the accuracy of the facts recited
by the applicant to his psychologist giving rise to
the 20 May Report over the
claims as made by the applicant in his visa applications and in his interview
before the delegate. Where
the 20 May Report did not refer to certain events
referred to in the applicant’s visa application, the Authority determined
that those events did not occur. Where there was an inconsistency between the
events referred to in the 20 May Report and the events
referred to by the
applicant in his visa application, the Authority rejected certain aspects of the
applicant’s claims in his
visa application. Therefore, the Authority must
have determined that discussions between the applicant and his medical
practitioners/counsellors
were more reliable than his evidence given in support
of his visa application, which would apply equally to the 20 May Report as
the
other medical reports. Certainly, at the least, a consideration of all reports
would have meant that the Authority could not
have so clearly determined that
the applicant did not discuss all the factual events referred to in his visa
application to his counsellors.
Minister’s contentions
- The
Minister has three responses to this ground.
- First,
the Authority said, at [3] of its reasons, that it had regard to the material
referred by the Secretary under s.473CB of the Migration Act. That material
included treatment summary reports prepared by various
STARTTS[40] counsellors on 4 August
2014,[41] 24 September
2014,[42] 9 March
2015,[43] 30 April
2015[44] and 31 August
2015.[45] There is no good reason
to assume, as the applicant does, that this material was overlooked merely
because the Authority did not
refer to it in its statement of reasons. Section
473EA(1) of the Migration Act (read with s.25D of the Acts Interpretation Act
1901 (Cth)) did not require the Authority to refer to every item of evidence
before it,[46] but only to set out
its findings on material questions of fact and to refer to the evidence
or other material on which those findings were based. In the light of what is
submitted
immediately below, the proper inference to draw from the
Authority’s not having referred to these reports is that it did not
consider them to be material to its
decision.[47]
- Secondly,
nothing in the abovementioned reports added anything of substance to what was
contained in the 20 May Report. Each of those
reports referred, in a broad
sense, to the applicant having allegedly been tortured; the fact that he was
experiencing feelings of
helplessness and anxiety, which, according to the
applicant, were caused by his continued detention; his concern for his mother,
who has cancer; and his having traumatic memories of the time that he spent in
Sri Lanka. These matters were addressed in the 20
May Report under the headings
“Brief Family History and Trauma Background”, “Entering
Australia and Detention Experience”,
“Mental State Examination and
Clinical Presentation”, “Current Psychological Condition and
Clinical Features”
and “Brief Analysis of Current Symptoms”.
That report was far more detailed than, and went well beyond the information
contained in, the treatment summary reports. Accordingly, contrary to [32] of
the applicant’s submissions, those reports did
not play an important part
in the assessment of the applicant’s
claims.[48] To borrow some words
of Buchanan, Perram and Rangiah JJ in Pokharel v Minister for
Immigration,[49] the treatment
summary reports “did no more than rehearse the account given by the
[applicant] to [the psychologist who prepared
the May 2014 Report]”.
- Thirdly,
and in any event, even if the Authority failed to have regard to the treatment
summary reports (which the Minister does not
concede), that cannot, for the
reasons given immediately above, sound in invalidity. It cannot be that any
breach of s.473DB(1) of the Migration Act results in jurisdictional error even
if what was not considered by the Authority was not an important piece of
evidence. There is
no good reason why the principles articulated by Robertson J
in Minister for Immigration v
SZRKT[50] ought not to
apply to the Authority’s duty in s.473DB(1). As his Honour said at 132
[122], not every instance of ignoring relevant material will amount to a
jurisdictional error.
Resolution
-
I prefer the Minister’s submissions on this ground, having regard to the
particular issue addressed in the ground.
- As
the Minister submits, there are several difficulties with this ground as
expressed. First, it cannot be assumed that the Authority
overlooked what
appeared to be secondary STARTTS reports which were among the review material
which the Authority said it did have
regard to.
- In
my view, the 20 May Report, having been put in issue by the applicant, the
Authority was entitled to have regard to it in support
of its adverse
credibility finding and there was nothing in the far less detailed reports which
followed which detracted from that
evidence.
- The
applicant has not alleged that the Authority acted unreasonably or irrationally
by preferring a hearsay report of the applicant’s
claims to the claims
actually put by the applicant to the Minister’s Department. There may
have been a number of reasons why
the 20 May Report was silent in relation to
some of the applicant’s claims. The approach taken by the Authority is
somewhat
troubling and a different Authority member may well have taken a
different approach. The merits of the review are, however, beyond
the scope of
this proceeding. It was open to the Authority to proceed as it did and the
available material does not establish that
anything was overlooked by the
Authority.
- I
reject this ground.
Ground 4 – did the Authority fall into jurisdictional
error by failing to comply with s.473DD of the Migration Act?
Applicant’s contentions
- Included
with the applicant’s submissions to the Authority was a letter dated 12
October 2016 from Appathuray Vinayagamoorthy
regarding the
applicant.[51] The letter stated
that Mr Vinayagamoorthy knew the applicant personally and corroborated a number
of the applicant’s claims.
- As
referred to above, it was accepted that this letter was “new
information” and thus could only be considered by the
Authority if s.473DD
was satisfied. The Authority at [10]
stated:[52]
- I accept
the letter of support from Appathuray Vinayagamoorthy could not have been
provided to the delegate as it was written after
the delegate’s decision.
However, the information it provides recounts the claims already provided by the
applicant and in
that regard there is no reason to believe that the applicant
could not have obtained a letter outlining this information earlier
and provided
it to the Minister. I am not satisfied any exceptional circumstances exist that
justify considering the new information.
- Given
the above reasoning, it is clear that the Authority considered whether
s.473DD(a) and (b)(i) were made out. However, as referred to above,
s.473DD(b)(i) and (ii) are alternatives (using the disjunctive
“or”). That is, the satisfaction of either will be
sufficient. The corollary of that is that both need to be considered, it is not
sufficient for the Authority to refuse to
consider the document on the basis of
one because it is possible for s.473DD(b)(ii) to be made out where s.473DD(b)(i)
is not.
- The
Authority did not refer to its consideration of, nor, given the explicit
reference to matters relevant to s.473DD(b)(i) is there any reason to believe
the Authority did consider, whether s.473DD(b)(ii) could have been made out in
the circumstances. Prima facie, the letter which purported to be from a
person known to the applicant personally and which corroborated some of his
claims could
have been considered to be credible personal information which if
previously known could have affected the consideration of the applicant’s
claims.
- Once
the Authority had embarked upon an assessment of whether or not it could
consider the new information in the form of the letter,
the Authority was
required to make that consideration consistent with the terms of s.473DD of the
Migration Act. Its failure to do so ought to be considered a jurisdictional
error, given that s.473DD forms part of the natural justice requirements of the
Authority’s review.[53]
- In
oral submissions on 23 October 2017, counsel for the applicant referred me to
the recent decision of the Federal Court in BVZ16 v Minister for
Immigration.[54] The applicant
contends that BVZ16 is not distinguishable and, on the basis of that
decision, the Court should find that this ground has been established.
Minister’s contentions
- The
Minister submits that the difficulty with the applicant’s complaint is
that it overlooks the Authority’s findings
with respect to the criterion
in s.473DD(a). The Authority was not satisfied that there existed exceptional
circumstances to justify considering the letter as the information
contained in
the letter “recount[ed] the claims already provided by the
applicant” and the Authority had “no reason
to believe that the
applicant could not have obtained a letter outlining this information earlier
and provided it to the
Minister.”[55] The Minister
submits that, in circumstances where the new information did not meet the
requirements of s.473DD(a), the Authority was not under an obligation to make
findings with respect to the criterion in s.473DD(b).
- Counsel
for the Minister formally submitted, on instructions, that BVZ16 was
wrongly decided. Counsel also submitted, on instructions, that I should defer
judgment in this matter until other litigation
before the Full Federal Court
dealing with the same issue as was dealt with in BVZ16 is decided. On 10
November 2017 the Full Federal Court handed down its judgment in Minister for
Immigration v BBS16,[56] which
endorsed at [102]-[106] the reasoning of White J in BVZ16.
Resolution
- I
am unable to distinguish this case from BVZ16. Relevantly, in
BVZ16 at [9], White J stated:
- The
requirements of subparas (a) and (b) are cumulative but may nevertheless overlap
to some extent. The Authority’s satisfaction
that the new information
could not have been provided to the Minister at the time of the s
65 decision (subpara (b)(i)) may contribute to its satisfaction that there
are exceptional circumstances to justify considering the
new information. So
also may the Authority’s satisfaction that the new information is credible
personal information which had
not previously been known (subpara (b)(ii)).
Accordingly, one would expect the IAA to consider the subpara (b) matters when
considering
in a given case whether the circumstances are exceptional. Obviously
enough, however, the matters which may contribute to a finding
that the
circumstances in a particular case are exceptional may extend beyond those
specified in subparas (b)(i) and (ii) and it
seems improbable that the Authority
could be satisfied, by reference to one matter only, that an applicant’s
circumstances
are not exceptional.
- His
Honour continued at [35]-[37]:
- The IAA
member’s findings in [7] and [8] would have enabled her to conclude that
the new information could have been provided
to the Minister before the time of
the delegate’s decision with the effect that the subpara (a) requirement
was not satisfied.
However, it seems significant that the IAA member did not
express her conclusion in those terms. Instead, the member used only the
terms
of s
473DD(a). Moreover, and in any event, there is no indication that the
IAA member considered the new material having regard to the criterion
stated in
subpara (b)(ii).
- For these
reasons, I respectfully disagree with the conclusion of the FCC Judge on this
point. In my opinion, the FCC Judge erred
in failing to find that the IAA had
considered only the subpara (a) requirement. The FCC Judge had accepted (at
[23]) that it would
have been erroneous for the IAA not to have considered the
subpara (b) requirement. It follows that the FCC Judge should have found
jurisdictional error by the IAA in failing to discharge the task of review
imposed by s
473DB(1).
- I would
also uphold an additional and related contention of the appellant. This was to
the effect that, even if the FCC Judge had
been correct in finding that the IAA
had addressed s 473DD(b)(i), this would not have completed the IAA’s
statutory task, given that subpara (b) is expressed in alternatives. The
circumstance
that the appellant may not have been able to satisfy subpara (b)(i)
did not foreclose him being able to satisfy subpara (b)(ii).
- Further,
at [46]-[47] his Honour stated:
- However,
counsel presented an alternative and more confined submission, contending that
there had been a constructive failure to
exercise jurisdiction by the IAA. This
had occurred because the IAA had confined its consideration of whether there
were exceptional
circumstances to the evaluation of the appellant’s
explanation for not having provided the information earlier. This indicated,
it
was submitted, that the IAA had applied an unduly narrow interpretation of the
term “exceptional circumstances”.
- In my
opinion, there is force in that submission. The IAA member does seem to have
reasoned that her rejection of the appellant’s
explanation for not having
disclosed the new information earlier was decisive of the requirement that the
circumstances be exceptional.
This seems to reflect an inappropriately narrow
understanding of the reach of the term “exceptional circumstances”,
as
discussed earlier in these reasons.
- I
see the same error in this case. The Authority failed to have regard to all
material considerations in determining whether to accept
the new information
pursuant to s.473DD. In particular, the Authority’s consideration in
relation to s.473DD(a) was not informed by the consideration of both sub
paragraphs of s.473DD(b). Further, a material consideration to which the
Authority should have had regard was that the letter in issue was provided to
corroborate
several of the applicant’s claims, in response to the adverse
decision of the delegate. A relevant consideration for the Authority
was the
probative value of that purportedly corroborative evidence.
- It
is also pertinent to take into account White J’s rejection of the
Minister’s Notice of Contention in BVZ16 concerning the
interpretation of s.473DD(b)(ii) of the Migration Act. His Honour stated at
[50]-[53]:
- The
Minister’s contention had its basis in the fact that s 473DD(b)(ii) does
not specify expressly the person or persons by whom the information was
previously unknown. Counsel submitted that the requirement
in subpara (b)(ii)
will be satisfied if it is apparent that the information was previously known to
the appellant. He submitted further,
that in the present case, the new
information was of a kind previously known to the appellant.
- In my
opinion, a number of matters point against the correctness of this submission.
Instead, subpara (b)(ii) refers, at least principally,
to information not known
by the original decisionmaker.
- First, as
counsel for the appellant pointed out, if there was “credible personal
information” not previously known to
an applicant, then that information
would invariably satisfy the subpara (b)(i) requirement because it would be
information which
an applicant could not have provided to the Minister before
the Minister made the s 65 decision. That being so, the alternative means of
satisfying the subpara (b) requirement would be illusory and one would not
reasonably
suppose that to have been the legislative intention.
- Secondly,
the reference in subpara (b)(ii) to the effect of the information on the
consideration of the applicant’s claims,
had it been known, is strongly
suggestive that that subparagraph is referring to the knowledge of the original
decisionmaker. The
IAA is asked to consider the potential impact of the new
information on the original decision, thereby implying that it is the effect
which the information may have had, had it been known by the original
decisionmaker.
- At
[57], White J concluded that sub paragraphs (b)(i) and (ii) should be understood
as referring to different kinds of new information.
The former requires a
factual inquiry as to whether or not the new information could have been
presented to the Minister whereas
the latter requires an evaluation of the
significance of the new information in the context of the applicant’s
claims more
generally.
- I
conclude that there was a constructive failure of jurisdiction by the Authority
in this case because of its misapplication of s.473DD of the Migration Act to
the new information provided by the applicant.
Conclusion
- The
applicant has succeeded in establishing that the decision of the Authority is
affected by jurisdictional error in relation to
Ground 4. He should receive
relief in the form of the constitutional writs of certiorari and mandamus. I
will so order.
- I
will hear the parties as to costs.
I certify that the preceding
fifty-two (52) paragraphs are a true copy of the reasons for judgment of Judge
Driver
Date: 8 December 2017
[1] Court Book (CB)
391
[2] CB
66-167
[3] CB
254
[4] CB
184-231
[5] CB
299
[6] CB
329
[7] CB
386
[8] CB
305-308
[9] CB
305-308
[10] CB
312
[11] CB
312
[12] CB
321
[13] CB 304
[5]
[14] CB 310
[30]
[15] CB 311
[32]
[16] CB 315 [58], CB 321
[100]
[17] CB 315 [61]-[64], 321
[101]-[106]
[18] CB
346-350
[19] CB 393-395
[25]-[32]
[20] CB
23-39
[21] Service for the
Treatment and Rehabilitation of Torture and Trauma
Survivors
[22] CB
26-28
[23] CB 40, 41,
45
[24] CB 57-59,
44
[25] CB
42-43
[26] CB
46-49
[27] CB
50-52
[28] CB
53-56
[29] CB 393-395
[25]-[32]
[30] MFI
A1
[31] MFI
A2
[32] CB 393 [25] and [26] and
395 [29] and [30]
[33] CB
45
[34] CB
48
[35] CB
52
[36] CB
55
[37] CB
59
[38] see generally discussion
SZSSC v Minister for Immigration [2014] FCA 863 at
[81]
[39] [2013] FCA 317; (2013) 212 FCR 99 at
[112]
[40] The New South Wales
Service for the Treatment and Rehabilitation of Torture and Trauma
Survivors
[41] CB
40-45
[42] CB
57-59
[43] CB
46-49
[44] CB
50-52
[45] CB
53-56
[46] Cf Minister for
Immigration v SZGUR [2011] HCA 1; (2011) 241 CLR 594 at 605-606 [31] per French CJ and
Kiefel J (as her Honour then was). See also WAEE v Minister for Immigration
[2003] FCAFC 184; (2003) 236 FCR 593 at [47] per French, Sackville and Hely JJ and Minister
for Immigration v SZSRS [2014] FCAFC 16; (2014) 309 ALR 67 at [43] per Katzmann, Griffiths
and Wigney JJ
[47] Cf Minister
for Immigration v Yusuf [2001] HCA 30; (2001) 206 CLR 323 at 346 [69] per McHugh, Gummow
and Hayne JJ; Minister for Immigration v SZSRS [2014] FCAFC 16; (2014) 309 ALR 67 at [34]
per Katzmann, Griffiths and Wigney
JJ
[48] Cf Minister for
Immigration v SZRKT [2013] FCA 317; (2013) 212 FCR 99 at 130-131 [112] per Robertson
J
[49] [2016] FCAFC 34 at
[47]
[50] [2013] FCA 317; (2013) 212 FCR
99
[51] CB
351-352
[52] CB 388
[10]
[53] Section
473DA
[54] [2017] FCA
958
[55] CB 388
[10]
[56] [2017] FCAFC 176
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