Attorney-General for the State of Queensland v Grant (No 2)
[2022] QSC 252
•16 November 2022
SUPREME COURT OF QUEENSLAND
CITATION:
Attorney-General for the State of Queensland v Grant (No 2) [2022] QSC 252
PARTIES:
ATTORNEY-GENERAL FOR THE STATE OF QUEENSLAND
(applicant)
v
DESMOND RONALD GRANT(first respondent)
CHIEF EXECUTIVE, QUEENSLAND CORRECTIVE SERVICES
(second respondent)
QUEENSLAND HUMAN RIGHTS COMMISSION
(intervenor)
FILE NO:
BS 4853 of 2022
DIVISION:
Trial Division
PROCEEDING:
Application
ORIGINATING COURT:
Supreme Court at Brisbane
DELIVERED ON:
16 November 2022
DELIVERED AT:
Brisbane
HEARING DATE:
10 November 2022
JUDGE:
Applegarth J
ORDER:
A supervision order be made for a period of ten (10) years commencing 10 November 2022.
CATCHWORDS:
CRIMINAL LAW – SENTENCE – SENTENCING ORDERS – ORDERS AND DECLARATIONS RELATING TO SERIOUS OR VIOLENT OFFENDERS OR DANGEROUS SEXUAL OFFENDERS – DANGEROUS SEXUAL OFFENDER – GENERALLY – where the applicant seeks an order under s 13 of the Dangerous Prisoners (Sexual Offenders) Act 2003 (Qld) – where the 78-year-old first respondent has serious health conditions and severely limited mobility – where the first respondent needs at least semi-supported, hostel-style accommodation – where the applicant acknowledged and the Court found that adequate protection of the community could be ensured by a supervision order – where the second respondent does not provide semi-supported, hostel-style accommodation for persons subject to supervision orders who need such support – where the second respondent will not permit the support to which the first respondent is entitled under his ACAT assessment to be provided to him at its precinct – where the first respondent’s serious medical conditions and severely impaired mobility and the absence of QCS staff at the precinct make accommodation there unsuitable and unsafe for him – where the inflexible application of QCS policies to the first respondent will deprive him of reasonable access to food, health services, and other essential services while he resides at a precinct – where the first respondent wishes for a supervision order to be made despite these concerns – whether a supervision order of 10 years’ duration should not be made in the circumstances despite finding that adequate protection of the community may be ensured by the making of one
HUMAN RIGHTS – HUMAN RIGHTS LEGISLATION – where the Court has a discretion to not make a supervision order despite finding that adequate protection of the community may be ensured by the making of one and, instead, to make a continuing detention order – where the Court has a discretion to make a supervision order that will result in the first respondent residing in unsuitable and unsafe accommodation at a precinct – whether s 5(2)(a) of the Human Rights Act 2019 (Qld) requires the Court to apply or enforce rights that relate to the Court’s function in exercising the discretion under s 13(5) of the Dangerous Prisoners (Sexual Offenders) Act 2003 (Qld) – whether the “intermediate interpretation” of s 5(2)(a) of the HRA ought be adopted – whether the “functional approach” to s 5(2)(a) of the HRA ought be adopted – whether certain rights under the HRA relate to the Court’s function in exercising the discretion under s 13(5)
Charter of Human Rights and Responsibilities Act 2006 (Vic), ss 6, 24
Dangerous Prisoners (Sexual Offenders) Act 2003 (Qld), ss 13, 16, 16B
Human Rights Act 2019 (Qld), ss 5, 6, 9, 13, 15, 17, 19, 21, 29, 30, 31, 32, 37, 48, 58, 59, Schedule 1Attorney-General (Qld) v Carter [2020] QSC 217, cited
Attorney-General (Qld) v Francis [2007] 1 Qd R 396; [2006] QCA 324, cited
Attorney-General for the State of Queensland v Grant [2022] QSC 180, cited
Attorney-General for the State of Queensland v Guy [2017] QSC 105, cited
Attorney-General for the State of Queensland v Guy [2022] QSC 174, cited
Attorney-General (Qld) v Lawrence [2010] 1 Qd R 505; [2009] QCA 136, cited
Castles v Secretary of the Department of Justice (2010) 28 VR 141; [2010] VSC 310, cited
Cemino v Cannan (2018) 56 VR 480; [2018] VSC 535, cited
De Bruyn v Victorian Institute of Forensic Mental Health (2016) 48 VR 647; [2016] VSC 111, cited
De Simone v Bevnol Constructions & Developments Pty Ltd (2009) 25 VR 237; [2009] VSCA 199, cited
Director of Public Prosecutions (Vic) v JPH (No 2) (2014) 239 A Crim R 543; [2014] VSC 177, cited
Fardon v Attorney-General (Qld) (2004) 223 CLR 575; [2004] HCA 46, cited
Garlett v Western Australia (2022) 96 ALJR 888; [2022] HCA 30, cited
Haigh v Ryan [2018] VSC 474, cited
Innes v Electoral Commission of Queensland (No 2) (2020) 5 QR 623; [2020] QSC 293, cited
Kracke v Mental Health Review Board (2009) 29 VAR 1; [2009] VCAT 646, cited
Matsoukatidou v Yarra Ranges Council (2017) 51 VR 624; [2017] VSC 61, cited
Nigro v Secretary to the Department of Justice (2013) 41 VR 359; [2013] VSCA 213, cited
Owen-D’Arcy v Chief Executive, Queensland Corrective Services [2021] QSC 273, cited
Thompson v Minogue (2021) 294 A Crim R 216; [2021] VSCA 358, cited
Victoria Police Toll Enforcement v Taha (2013) 49 VR 1; [2013] VSCA 37, discussed
WBM v Chief Commissioner of Police (2012) 43 VR 446; [2012] VSCA 159, citedWood v The King [2022] QSC 216, cited
COUNSEL:
G del Villar KC SG, M Maloney and K Blore for the applicant
B Mumford for the first respondent
A Freeman for the second respondentP Morreau for the intervenor
SOLICITORS:
Crown Solicitor for the applicant
Legal Aid Queensland for the first respondent
Queensland Corrective Services for the second respondent
Queensland Human Rights Commission for the intervenor
The first respondent is a 78-year-old sex offender who has served his sentence. As the applicant acknowledged at the hearing in August this year, the evidence supports a finding that adequate protection of the community may be ensured by the making of a supervision order under s 13(5)(b) of the Dangerous Prisoners (Sexual Offenders) Act 2003 (Qld).[1] I made such a finding.[2]
[1]Attorney-General for the State of Queensland v Grant [2022] QSC 180 at [2] (“Grant”).
[2]Grant at [27].
The first respondent is physically frail and has several health conditions, including diabetes. He cannot walk far and needs a walker. In June 2022, the first respondent had an ACAT assessment that deemed him eligible for a Home Care Package Level 3 to support his return to living in the community. That package will give him about 10 hours of support per week. Upon release on a supervision order, the first respondent will be accommodated at the “precinct” at Wacol or the “precinct” at Townsville. This is “contingency accommodation” for people who have no suitable accommodation in the community. It is intended as a short-term solution while the person finds, if he can, suitable accommodation that will be approved by the authorities.
The difficulty for the first respondent, and other elderly individuals like him, is they are not suited to live in open parts of a nursing home, as distinct from secure sections that accommodate residents with dementia. There are insufficient hostels and similar facilities that can provide a level of supported accommodation while denying offenders access to potential victims. One reason for this is that the government has not addressed that issue despite the observations of the former Chief Justice in 2017 and other judges since then.
Chief Justice Holmes observed in 2017:[3]
“It is deeply troubling to think that people who could be managed and rendered relatively risk-free with appropriate support and accommodation, must instead, be imprisoned as the only option.”
[3]Attorney-General for the State of Queensland v Guy [2017] QSC 105 at [7] (“Guy”). See also Attorney-General for the State of Queensland v Guy [2022] QSC 174 and the subsequent decisions cited at [14]-[24] therein.
Queensland Corrective Services (“QCS”) works with the Department of Communities, Housing and Digital Economy and other accommodation providers to assist persons subject to supervision orders under the Act to find suitable housing in the community. This engagement occurs at “the operational level” and QCS acknowledges that there are challenges in finding public or specialist housing for individuals in need of it.
There was a formal multi-agency arrangement to address this issue titled the “Inter-Agency Public Protection Committee” (“IAPPC”) involving different agencies including Queensland Health. Its intent was to analyse the impact of emerging issues for government agencies and appropriate management across agencies relating to offenders under the Act. This included locating suitable accommodation, treatment programs, medical services and employment.
For reasons that the Director of the High-Risk Offender Management Unit in QCS cannot explain, the IAPPC ceased operating.
With increased expectation on QCS to provide accommodation for individuals with the kind of mobility and health issues that the first respondent has, the Commissioner of QCS has indicated that he intends to write to the Director-General, Department of Justice and Attorney-General in the first instance seeking assistance to re-establish and co-chair an inter-agency protection committee, with a view to addressing accommodation and risk management issues for individuals under supervision orders. Other relevant agencies will then be requested to join, although there is no obligation for them to engage in such a committee.
In summary, QCS cannot explain why an inter-agency committee that might have addressed the issues raised by Holmes CJ in 2017 ceased to operate. A new committee may be formed. In the meantime, the accommodation available to the first respondent at the Wacol precinct and at the Townsville precinct is distinctly unsuitable for a person like him with impaired mobility and serious medical conditions.
Despite the scarcity of suitable places for an individual like the first respondent that would enable him to be “managed and rendered relatively risk-free with appropriate support and accommodation”[4] with access to the support to which he is entitled under an ACAT assessment, there is some chance that a vacancy may arise in the coming weeks or months for him in a supported accommodation facility. The in-house services available at that facility include meals, toiletries, laundry, cleaning and medication management by way of dispensing a Webster-pak. An on-site manager and support workers may enter the facility, and this would allow the first respondent’s ACAT providers to give the support for which he is currently assessed and the additional support that may become available under an updated ACAT assessment. This facility caters for people aged over 50 and it is willing to accommodate the first respondent when a vacancy arises. QCS is advised by the manager of the facility that whilst it would be unusual for a child to visit the facility, if they were to visit it would be in the company of a parent.
[4]Guy at [7].
The date at which a vacancy may arise in this facility is uncertain. It could be anywhere from weeks to months. The hope is that a bed in the facility will become available toward the end of December 2022.
If the first respondent is offered a vacancy at that facility and such accommodation is approved by the authorities, he will be engaged in twice per week case management meetings with a Senior Case Manager initially. That manager will conduct collateral checks with relevant services and treatment providers. The first respondent will be subject to electronic monitoring upon release and his movements would be retrospectively reviewed by his manager. An inclusion zone can be established at this facility.
At the hearing in August, I raised concerns about the suitability of the precinct accommodation at either Wacol or Townsville for the first respondent if QCS’s policies were not adapted in this case to address his mobility and health problems. As I wrote:[5]
“…the policy extends to not allowing a taxi, that could pick up the first respondent and his walking frame, to collect him from the front of the house and take him to a medical appointment. The policy does not allow a Woolworths delivery driver to leave groceries at the front of the house. The powers that be would prefer someone like the [first] respondent with poor mobility and a walking frame to collect his groceries from a far-off gate (assuming they could be left there without being stolen). This policy renders the Wacol precinct unsuitable for the first respondent to obtain groceries to cook for himself or even for prepared meals to be delivered to the outside of the house in which he would reside. It limits his access by taxi to medical services.”
[5]Grant at [6].
The policy would not allow external care providers under the first respondent’s ACAT assessment to visit him at any part of the precinct, even in an office room or on a bench or seat in an outside area. It would not enable such a care provider to pick him up from close to the front of the house in which he resided. He would have to walk up a 250-metre driveway (described as “a gentle slope”) and meet the care provider there.
The Townsville precinct is far outside that city and beside a prison. It has no access to public transport. As a result, a minibus can transport residents to the QCS office in Townsville. I was told from the bar table that there is a large shopping centre not far from that office. The practicalities of the first respondent being able to cross roads and walk to the centre, purchase his food and other requirements, and then transport them on his walker back to the QCS office is unknown. One reason they are unknown is that inexplicably the first respondent’s lawyers made no enquiries about his ability to transport himself and his walker to get food and groceries from either precinct, and then transport items on his walker back to the precinct. They did not initiate any arrangements for his mobility and needs to be better assessed. This is despite the evidence of the doctors in their reports and in their oral evidence on 22 August 2022 that the June ACAT assessment greatly underestimates the first respondent’s medical and mobility problems, partly because they depend on unreliable self-reporting. Their view was that he should have been assessed as requiring nursing home care.
The first respondent’s lawyers had almost three months since the August hearing, and almost four months since Dr Arthur’s 22 July 2022 report, to address this matter and obtain a current and reliable assessment of the first respondent’s actual mobility in the community and medical needs. They failed to do so. They had since 31 August 2022 to address the issue of the first respondent’s ability to obtain food and cook for himself at either the Wacol or Townsville precinct. This was an issue highlighted by me on 22 and 31 August and a concern that led me to make an interim detention order.
At the hearing on 10 November 2022, Counsel for the first respondent relied on an unreliable 3 June 2022 ACAT assessment that simply said that the first respondent “is mobilising with a wheeled walker/risk of falls”. The assessment did not address his mobility and ability to shop for his food whilst resident at a precinct or anywhere else in the community. When I asked the first respondent’s Counsel how the first respondent was going to be able to access food if he lived at either the Wacol or Townsville precinct, he did not have a clue. That publicly funded lawyers for the first respondent should provide no evidence or even assistance about such matters that relate to his ability to live and survive at a precinct is astounding.
On 31 August 2022 I stated:[6]
“A concern remains about the safety of leaving someone with the first respondent’s health complications at such a remote residence, unsupervised and unsupported by staff who could call for an ambulance or help in the event of a medical emergency or deterioration in his condition.
The issue is not about the safety of the community and access to victims if the first respondent resided at a precinct house. The risk of his sexual offending would be low because he would not have access to potential victims. The concern of the doctors and the Court is with the first respondent’s safety in unsupported accommodation.”
[6]Grant at [14]-[15] (emphasis added).
A similar concern remains about the first respondent’s safety in unsupported accommodation at Wacol.
The problem is not that QCS has a policy of not allowing entrants, including health providers and carers, to access the precinct unless approved. That policy has an understandable justification for the security of entrants to precincts that are not staffed by QCS and where there is no security staff to monitor the safety of visitors who may enter the precincts. As I previously observed, the concern for the safety of potential entrants into houses at the precinct is understandable.[7]
[7]At [6].
The problem is the application of that policy without regard to the circumstances of someone like the first respondent who has mobility and health problems. There is no evidence that QCS would grant approval, if requested, for a grocery or food service to drop bags of groceries close to a precinct house at Wacol instead of at a distant gate from which the first respondent would struggle to transport himself and the deliveries. There is no evidence that QCS would grant leave for a taxi or a support person to pick up the first respondent from close to his house rather than from what may seem to him to be a distant gate.
Under its seemingly inflexible policy, QCS would rather the first respondent with his poor mobility and walking frame collect food and groceries from a faraway gate than have a grocery or food service drop the food to the first respondent close to his house and then immediately depart. QCS expects someone like the first respondent to be able to cook for himself at the precinct but will not make an exception in his case to allow the food and groceries to be delivered to the outside of his house.
The government will feed the first respondent at public expense if he is detained under a continuing detention order in prison but it will not relax a policy to help him feed himself, at his own expense, in a precinct.
QCS’s application of a policy without exception for someone in the first respondent’s physical and medical condition raised concerns about QCS’s compliance with the Human Rights Act 2019 (Qld) (“HRA”), not to mention a disability discrimination issue. It raised associated issues of whether such an inflexible policy is consistent with the Act’s purpose in circumstances in which, as the Attorney-General acknowledged, the evidence supports a finding that adequate protection of the community may be ensured by the making of the supervision order, and I found that to be the case.[8]
[8]At [18] and [27].
QCS’s inflexible policy position in relation to the first respondent’s physical and medical conditions raised the confronting question of whether he would be better off in jail.[9] That, in turn, raised the question of whether, in the face of that policy, I should not make a supervision order, despite finding that adequate protection of the community may be ensured by the making of one in the form that was submitted.
[9]At [17]-[29].
Because of the accepted position that the first respondent is a “serious danger to the community” in the absence of a Division 3 order, a decision to not make a supervision order because of the unsuitability of accommodation at the precinct for a person with the first respondent’s needs would result in a continuing detention order being made.
In my earlier reasons I wrote:[10]
“[29]The discretion under s 13(5) should not be exercised in favour of making a continuing detention order based simply on the view that the first respondent would be better off in jail. That view may be correct, yet not respect the first respondent’s autonomy and rights that are protected by law under the Human Rights Act 2019 (Qld) (“HRA”).
[30]The occasion to exercise my discretion occurs in circumstances in which Corrective Services (which is subject to the HRA) has a policy of not allowing someone like the first respondent who is accommodated at a precinct house to obtain the support services to which he is legally entitled. This raises serious issues about the policy’s compliance with the HRA, including ss 30(1) and 37(1).
[31]At this stage, I am not inclined to make a supervision order for 10 years that consigns the first respondent to precinct accommodation under arrangements that the medical evidence indicates will jeopardise his health. Nor am I inclined to make a final continuing detention order at this stage that consigns the first respondent to indefinite detention (subject to annual review) in jail and the kind of revolving door displayed in Guy’s case.”
[10]At [29]-[31].
It was not evident to me that government policy decisions that denied the first respondent appropriate support and accommodation in precinct housing or semi-supported, hostel-style accommodation complied with the HRA. Also, the practical operation of the Dangerous Prisoners(Sexual Offenders) Act 2003 (Qld) in a case like this raised an issue of whether it was distinctly punitive and therefore arguably invalid in its application to him.[11]
[11]At [33].
QCS has been given an opportunity to consider its position, and the first respondent is aware of its attitude. He is aware that QCS has a blanket policy that no delivery workers or other service providers are permitted on the precinct property, even for the shortest possible time, to deliver groceries or to collect him for a medical appointment. He is aware that he will be required to enter into a Lodger Agreement that requires him to observe the Precinct Rules. They include the rule that:
“Visitors are not permitted on QCS property unless approved. This includes NO overnight stays, family members, support persons and/or grocery, food service or taxi visits.
Non-approved visitors will be considered as trespassing and criminal prosecution may be pursued.”
Despite the attitude of QCS to his circumstances, including practical issues in relation to food deliveries and access to health services, the first respondent still prefers to be accommodated in a precinct than to be in a prison.
I adhere to the view expressed on 31 August 2022 that the discretion under s 13(5) should not be exercised in favour of making a continuing detention order based simply on the view that the first respondent would be better off in jail. That view may be correct, yet not respect his autonomy and rights that are protected by law.
Therefore, I decided to make a supervision order in the form submitted. No party opposed this course.
An irrelevant issue raised by QCS
One would have thought from the evidence I accepted and from my 31 August 2022 findings, together with the Attorney-General’s acknowledgement that the evidence supported the making of a supervision order, that I had considered whether:
(a)adequate protection of the community can be reasonably and practicably managed by a supervision order; and
(b)requirements under s 16 can be reasonably and practicably managed by corrective services officers.[12]
[12]The Act, s 13(6).
My reasons stated that the risk of his sexual offending would be low because he would not have access to potential victims.[13] I went on to find:[14]
“A supervision order would permit the first respondent to be confined under a curfew and other restrictions on his movement at a precinct house or some other place of accommodation. Those restrictions would deprive him of access to potential victims, particularly post-pubertal boys.”
[13]Grant at [15].
[14]At [35].
The submissions of QCS acknowledge that supervision orders made under the Act enable the movements of an individual to be restricted and to enable the location of that person to be monitored. This includes enabling a corrective services officer to give a direction to a released prisoner to remain at a stated place for stated periods and to wear a monitoring device. QCS’s submissions make the point that it does not and cannot provide escorts for individuals under supervision orders whilst they are in the community. No one suggests that it could or should. Ms Cowie’s affidavit refers to “the recommendation that [the first respondent] does not leave the facility unless escorted” and says that QCS cannot reasonably and practicably provide “24/7 escorts into the community”.
The evidence and submissions that I accepted, particularly the evidence and recommendations of Dr Arthur and Dr McVie, contain no such recommendation. Dr Brown’s report referred to “a strict curfew” and stated that unless the first respondent was on a strict curfew “with 24 hour supervision he would be able to approach male children in the community and reoffend”. I was not sure, and still am not sure, what she meant by “24 hour supervision”. In any event, Dr Brown’s report referred to release to supervision being possible to a nursing home environment (should he require this to address his physical health needs) where the first respondent would not have contact with male children and his access to the community would be “supervised”.
There is a difference between access to the community being supervised and providing “24/7 escorts into the community”.
With respect, Ms Cowie’s affidavit confuses supervision, including restrictions on movement under a supervision order, with “24-hour continuous supervision” and a “24-hour staffing presence”.
As Ms Cowie and QCS should know, and as the Attorney-General’s acknowledgement that adequate protection of the community may be ensured by the making of a supervision order seemed to imply, my finding that adequate protection of the community may be ensured by the making of a supervision order in the form submitted was not premised on the unrealistic assumption that the first respondent would be under “24-hour continuous supervision” in the community in the sense of a 24-hour staffing presence at the precinct or anywhere else, or that it was necessary for QCS to provide escorts when he left the precinct for an authorised purpose, such as to attend a medical appointment and to promptly return there. It was premised on the proposition that, like all residents of the precinct, he would be subject to an initial strict curfew and, thereafter, as curfews were relaxed, subject to reasonable directions about his movements in the community. Those directions would ensure that he did not have unsupervised access to boys under the age of 16, and more generally restrict his access to potential victims. For example, depending upon the circumstances, a direction might provide that any access to a shopping centre be during certain hours or for a limited period, or might provide for him to visit such a place only if accompanied by a professional carer or some other responsible adult. This would ensure that he did not access and groom potential victims, particularly post-pubertal boys.
I expect these kinds of directions are often made for certain kinds of offenders under the Act, and there is no reason why reasonable directions cannot be given to the first respondent.
Parts of QCS’s submissions rely on the untenable proposition that the first respondent would be subject to “24/7 escorts into the community” and “24-hour continuous supervision”, and then assert (correctly) that QCS is unable to provide such a “24-hour staffing presence” outside of a prison setting. The fact that it does not provide a “24-hour staffing presence” at the precinct or other places in the community for the approximately 140 men currently under supervision orders under the Act, who reside at a range of community-based accommodation including the precincts, is a given. Instead, it manages by directions, supervision and monitoring to restrict the movements of persons under supervision orders and thereby deny or severely limit their access to potential victims. I would expect it to do so in this case.
For completeness, I state what should have been apparent from my reasons. I considered whether “adequate protection of the community” can be reasonably and practicably managed by a supervision order.[15] I also considered whether requirements under s 16 could be reasonably and practicably managed by corrective services officers.[16] In short, these requirements relate to being under the supervision of a corrective services officer, complying with curfew or monitoring directions, complying with any reasonable direction given under s 16B, and other requirements that are concerned with protecting the community from a serious sexual offence. Having considered those matters, I concluded that adequate protection of the community could be reasonably and practicably managed by a supervision order and the relevant requirements reasonably and practicably managed by corrective services officers.
[15]The Act, s 13(6)(b)(i).
[16]The Act, s 13(6)(b)(ii).
There may be circumstances in which the resource demands associated with conditions of supervised release are so extensive that it would be unreasonable to expect QCS to provide them.[17] This is not such a case. There may be cases in which adequate protection of the community would require such an intensive commitment of resources by QCS to monitor compliance that it would be unreasonable to expect them to be provided, or the effective provision of such resources would be impracticable.[18] The relevant issue is the resources required to monitor compliance with the conditions of supervised release, not broader resource issues. As to the resources to monitor compliance with an order, the Act assumes that supervision will be available. In Attorney-General (Qld) v Francis the Court of Appeal stated that the Court should not conclude either that supervision will not be made available or will not be sufficiently available “in the absence of clear evidence to that effect and an explanation as to why its provision is regarded as unreasonable or impracticable.”[19]
[17]Attorney-General (Qld) v Francis [2007] 1 Qd R 396; [2006] QCA 324 at [37] (“Francis”).
[18]At [36]-[37].
[19]At [37].
There is no evidence that the resources required to provide effective monitoring of the first respondent’s compliance with the conditions of supervised release would be so extensive that it would be unreasonable to expect them to be provided. There is no reason to conclude that any necessary supervision could not, or would not, be made available. QCS has sufficient resources to manage and monitor the first respondent’s compliance with the conditions of a supervision order.
The resourcing issue does not relate to ensuring compliance with a supervision order and thereby ensuring that adequate protection of the community may be ensured by the making of a supervision order. The resourcing issue relates to the absence of suitable accommodation in the community. One aspect of this is the first respondent’s safety in unsupported accommodation at the precinct.
The issue
The issue that delayed the final disposition of the matter, and that kept the first respondent in prison under an interim detention order for a few months beyond his full-time release date, is not about whether a supervision order can provide adequate protection of the community against the risk of a serious sexual offence. I have found that it can and I confirm my earlier finding.
The issue is about a policy of QCS that, if applied to the first respondent, makes any substantial period in precinct accommodation unsuitable for a person with his mobility and other health conditions, who has to feed themselves and access health care services for serious medical conditions.
The issue is not whether QCS’s policy about entrants to the precinct has a justification. As I have previously stated, it has a policy of not allowing external domestic, daily living or medical supports to be provided at the contingency accommodation. This is due to safety concerns associated with the risk of assault by someone housed at the accommodation and the absence of staff there. The concern for the safety of potential entrants to the precinct, especially persons entering houses at the precinct, is understandable.[20]
[20]Grant at [6].
The specific matter of concern is QCS’s anticipated inflexible application of that policy to someone with the first respondent’s limited mobility and medical conditions. The evidence placed before the Court by QCS gives no indication that it would be prepared to approve, for example, a grocery delivery by a driver who left groceries at the front of the house in which the first respondent lives and to depart immediately thereafter. There is no indication that it would grant such approval subject to a requirement that the first respondent or the driver give notice of the anticipated time of arrival, that the driver would have contact only with the first respondent at the time of delivery and leave immediately thereafter. Likewise, there is no suggestion that, subject to appropriate notice and other conditions, a taxi might collect the first respondent from outside his house so as to enable him to attend a medical appointment.
In my earlier reasons, I raised the issue of whether such an inflexible policy of not allowing “someone like the [first] respondent” who is accommodated at a precinct house to obtain services to which he is entitled complied with the HRA.[21] In referring to “someone like the [first] respondent” I was referring to someone with his mobility and medical problems who required and was entitled to support, and who needed practical support in obtaining the necessities of life, such as food. The practical operation of QCS policy without regard to the health and individual circumstances of the first respondent seemed to me to be relevant to the proper exercise of my discretion under s 13 of the Act to make a supervision order. It was not evident that the policy and anticipated decisions that would impede reasonable access by the first respondent to food deliveries and access to health services by taxis or transportation by carers complied with the HRA. I also noted that the operation of such policies in a case like this made the Act’s practical operation distinctly punitive and therefore arguably invalid in its application to the first respondent.
[21]At [30].
The purpose of those observations was to provide QCS with an opportunity to reflect on its policy’s rigid application in a case such as this and to provide an indication that the application of its policy might be reasonably adjusted to enable better access by the first respondent to food, health services and other services whilst, at the same time, ensuring the safety of potential entrants to the precinct. QCS has been given this opportunity and its position is unchanged.
The first respondent now knows the regime he will face and is prepared to take his chances. This Court should not prevent him from doing so, even if his health and life expectancy would be better if he were to remain in prison.
Possible invalidity of the policy in its application to the first respondent
The first respondent has not raised an argument that the practical operation of the Act in his case is punitive and therefore arguably invalid in its application to him. The invalidity issue not having been raised by the first respondent, either informally or in a properly-formulated claim for declaratory or other relief, I will not address the issue.
I should mention that the Attorney-General submitted that the absence of suitable accommodation does not give rise to any question about the validity of the Act. But, with respect, that is a different question. I am not concerned with the constitutional validity of the Act. Its constitutional validity was upheld in Fardon v Attorney-General (Qld)[22] shortly after the legislation was enacted.
[22](2004) 223 CLR 575; [2004] HCA 46.
The issue alluded to by me in my earlier reasons[23] does not relate to the terms of the Act or their interpretation. It concerns the practical operation of the Act in a case like this, including whether the inflexible operation of certain policies renders it punitive in this particular case. The Court of Appeal in Francis[24] recognised that the conditions of further restraint upon a person’s liberty may be out of character with the preventative purpose of the Act and punitive in character. Such detention would not be authorised by the Act.[25] An associated issue is whether the inflexible application of QCS policy to an individual in the first respondent’s position is compatible with human rights legislation that applies to QCS as a “public entity” by virtue of s 58 of the HRA. That issue has been considered by QCS. The first respondent has not brought a proceeding in relation to the inflexible application of the relevant policies to him or sought remedies under the HRA or any other legislation.
[23]Grant at [33].
[24]At [31].
[25]The correctness of Francis on that point is not doubted. The recent decision of the High Court in Garlett v Western Australia (2022) 96 ALJR 888; [2022] HCA 30 at [56] considered the purpose and effect of legislation in concluding that the Act could be seen as protective. The Court did not address the practical operation of conditions of detention in a particular case. Edelman J at [270]-[271] noted that the Act had been very recently enacted, Mr Garlett was not in a position to make submissions about its practical operation, and that the practical operation of that Act may arise in future.
Therefore, the occasion to decide the validity of those policies in their application to the first respondent or the lawfulness of future decisions due to the operation of s 58 of the HRA does not arise for determination in this proceeding.
The potential relevance of the Human Rights Act
The first respondent does not seek any relief or remedy in relation to an act or decision of QCS on the ground that, by virtue of the operation of s 58 of the HRA, any decision that has been made by QCS is unlawful. Therefore, he may not seek relief or remedy on the ground of unlawfulness under s 58.[26] The first respondent does not seek an injunction or similar relief to restrain anticipated future unlawful conduct by QCS in relation to decisions that will have the practical effect of denying him reasonable access to food, health services or suitable accommodation.
[26]See HRA, s 59; Innesv Electoral Commission of Queensland (No 2) (2020) 5 QR 623; [2020] QSC 293 at [269] (“Innes”).
No occasion arises in the circumstances to make orders that would grant the first respondent any relief or remedy in relation to an act or decision of QCS on the ground that the act or decision is or would be unlawful by virtue of s 58 of the HRA. The Court should not give an advisory opinion about the lawfulness or unlawfulness of anticipated future acts and decisions by QCS that may affect the first respondent once he resides at a precinct.
I have been assisted by submissions by Counsel for the Attorney-General and by Counsel for the Queensland Human Rights Commission about the relevance of the HRA to the Court’s discretion under s 13(5). Strictly speaking, it is unnecessary to reach conclusions about these matters. If, as the Attorney-General submits, any breaches of the HRA by QCS are irrelevant and do not affect the Court’s function under s 13 of the Act, then, on balance, a supervision order should be made. If, on the other hand, the QHRC is right in submitting that certain human rights are relevant to the exercise of my discretion, then a supervision order should be made.
Having had the benefit of submissions on a legal point from the Attorney-General and from the QHRC, namely the relevance of the HRA to the relevant discretion under s 13(5), I should address them to some extent. This is because the issue is an important one. It may arise in other cases in which the Court faces the stark choice to make a continuing detention order, despite adequate protection of the community being ensured by making a supervision order, because anticipated conditions for the individual in the precinct are unsuitable, unsafe or even inhumane. Addressing the legal issue may avoid the need for Counsel to again argue the same legal issue at another hearing in a proceeding under the Act. It may save public expense and Court time.
In deciding the legal issue, it is important to identify the relevant discretion. It is a discretion that arose only after applying relevant statutory considerations I found (without any opposition from the first respondent) that he is a “serious danger to the community” in the absence of a Division 3 order. The relevant discretion arose only after I additionally found that adequate protection of the community may be ensured by the making of the supervision order. One relevant discretion is a discretion to not make a supervision order despite that finding, and instead to make a continuing detention order.
In the circumstances of this case, there is no suggestion that the Court should make no order. I should add that under s 13(5) of the Act, there is a power to make no order. The comparable legislation in Victoria expressly confers such a power. The Queensland Act has been held to implicitly include the same power.[27]
[27]Francis at [31]; Attorney-General (Qld) v Lawrence [2010] 1 Qd R 505; [2009] QCA 136 at [28]-[29] (“Lawrence”).
The Attorney-General submits that there is no occasion for the Court to determine whether QCS has complied with its obligations under the HRA and the HRA does not otherwise affect the Court’s function under s 13(5) of the Act.
One part of the submission is that, as I have noted, any alleged breaches of s 58 of the HRA by QCS can only be agitated if the first respondent seeks relief based on an independent ground of unlawfulness and he has not done so.
Another aspect of the argument is that the Court is not a “public entity” that must comply with s 58 of the HRA in exercising its functions under s 13 of the Act. This contention is correct and the QHRC does not contend to the contrary. The Commission accepts that s 58(1) does not bind the Court because the Court is acting in a judicial, and not an administrative, capacity.[28]
[28]Citing HRA, s 9(4).
A further argument by the Attorney-General is that s 48 of the HRA is not relevant to the exercise of the Court’s discretion. I tend to agree that no issue of the interpretation of a provision of the Act arises that requires the Court, in compliance with s 48 of the HRA, to interpret the provision in a way that is compatible with human rights. No issue as to the proper or preferred interpretation of s 13(5) of the Act arises. The discretions that it confers are clear. Rather than an issue of statutory interpretation, the issue concerns the possible application of certain human rights to the exercise of those discretions by operation of s 5(2)(a) of the HRA.
The Attorney-General submits that s 5(2)(a) of the HRA does not require the Court to directly enforce any relevant rights in exercising a discretion under s 13 of the Act. Instead, s 5(2)(a) of the HRA requires the Court to directly enforce those rights that relate to its proceedings. One example is the right to a fair hearing under s 31. This is the effect of a number of Victorian authorities on the equivalent of s 5(2)(a).[29]
[29]De Simone v Bevnol Constructions & Developments Pty Ltd (2009) 25 VR 237; [2009] VSCA 199 at [52]; Victoria Police Toll Enforcement v Taha (2013) 49 VR 1; [2013] VSCA 37 at [248] (“Taha’) followed in Innes at [214]-[224]; Wood v The King [2022] QSC 216, [61]-[62], [65]-[67], [73]-[75] (“Wood”).
According to the Attorney-General, the rights that the QHRC argues are engaged in connection with the discretion to make or not make a supervision order, including the right to humane treatment when deprived of liberty in s 30(1) of the HRA, are not rights that relate to legal proceedings. On this basis, s 5(2)(a) of the HRA is said to make such rights irrelevant to the exercise of a discretion under s 13(5).
The QHRC contests the Attorney-General’s contention that s 5(2)(a) of the HRA does not require the Court to directly enforce any relevant rights in exercising a discretion under s 13(5). It submits, in accordance with decisions of Victorian courts and this Court, that a provision such as s 5(2)(a) does not require all human rights to be directly applied by the Court. Instead, only those that “relate to court and tribunal proceedings” are directly applicable. This “intermediate interpretation” of s 5(2)(a) has been adopted by judges of this Court.[30]
[30]Innes at [222]-[224]; Wood at [75]-[76].
If s 5(2)(a) applies in the case of a particular right, then an issue arises as to whether its effect is to bind the Court to act compatibly with the right[31] or to consider the right as part of the proper exercise of its discretion.[32]
Is the HRA irrelevant to the Court’s function under s 13(5) of the Act?
[31]Taha at [247], [249], [252].
[32]Cemino v Cannan (2018) 56 VR 480; [2018] VSC 535 at [146]-[147] (“Cemino”).
Section 5(2)(a) of the HRA provides that the HRA applies to “a court or tribunal, to the extent the court or tribunal has functions under part 2 and part 3, division 3”. Part 3, division 3, relates to the interpretation of laws and is not presently relevant. Part 2 contains numerous human rights. Not all of them directly apply to courts and tribunals by virtue of s 5(2)(a). Such a broad interpretation of s 5(2)(a) is unsustainable and no party contends for it.
It is unnecessary to detail the reasoning of courts in Victoria or in this State about the effect of s 5(2)(a) of the HRA, or s 6(2)(b) of the Charter of Human Rights and Responsibilities Act 2006 (Vic) (“Charter”). The following propositions emerge from them.
What has been described as the “intermediate interpretation” of the provision should be adopted.[33] This is that the functions referred to in s 5(2)(a) are the functions of applying or enforcing those human rights that relate to court proceedings.[34]
[33]Innes at [221]-[224]; Wood at [74]-[75].
[34]Taha at [246]; Kracke v Mental Health Review Board (2009) 29 VAR 1; [2009] VCAT 646 at [250] (“Kracke”); Matsoukatidou v Yarra Ranges Council (2017) 51 VR 624; [2017] VSC 61 at [32] (“Matsoukatidou”); Cemino at [108]-[110].
The actual engagement or application of the rights enacted in Part 2 for courts and tribunals “depends upon the scope of the right concerned and the facts and circumstances of the individual proceeding”.[35]
[35]Kracke at [254].
Rather than adopt the “list of rights approach” to the issue, a “functional approach” should be adopted.[36] This focuses on the function the Court is performing and identifies rights that relate to that function. It may require consideration of rights that relate to the substance of the function the Court is exercising, not simply the Court’s process.[37]
[36]Innes at [225]-[229].
[37]See Nigro v Secretary to the Department of Justice (2013) 41 VR 359; [2013] VSCA 213 at [103] and [199] (“Nigro”) as to the possible application of Charter rights where a discretion is to be exercised.
Should the “intermediate interpretation” of s 5(2)(a) be applied?
In written submissions, the Attorney-General recognised that the preponderance of Victorian and Queensland authorities favoured an “intermediate construction” of s 5(2)(a), while noting that it had not been specifically endorsed by an intermediate court of appeal. In oral argument, the Solicitor-General submitted that this approach should not be followed because it makes it “very difficult to distinguish rights relating to court proceedings from other rights”. He urged the adoption of what has been described as the “narrow construction”. This is that s 5(2)(a) obliges the Court to enforce only those rights that are “explicitly and exclusively addressed to the courts”.[38]
[38]Taha at [246].
Section 5(2)(a) was submitted to be designed to give effect to the narrow construction. The idea that the courts must enforce rights that are identified by an intermediate construction were submitted to not mesh with the structure of the HRA. In particular, it was difficult to mesh with the fact that in exercising its judicial functions (as distinct from acting in an administrative capacity), a court is not a “public entity” that is required by s 58:
(a)to act or make a decision in a way that is compatible with human rights; and
(b)in making a decision, to give proper consideration to a human right relevant to the decision.
I prefer the “intermediate construction” to the “narrow construction” as a matter of statutory interpretation for a number of related reasons. In summary, the intermediate interpretation should be preferred because:
(a)it is better supported by the text and structure of the HRA;
(b)the narrow construction, like the broad construction, is hard to justify as a matter of statutory interpretation;
(c)section 5(2)(a) refers to the “functions” of courts and tribunals under Part 2, not merely obligations that are imposed on them by Part 2;
(d)the narrow construction does not advance a cogent reason, consistent with the HRA’s purpose, to distinguish between rights that are explicitly addressed to courts and rights that are not;
(e)the “difficulty” argument is insufficient to adopt an interpretation that is simpler to apply but not supported by the text of s 5(2)(a), its context or the HRA’s structure;
(f)the HRA was enacted against a background of authorities that adopt an “intermediate construction” of the identical Victorian provision; and
(g)those authorities, and the Queensland authorities that have adopted it, should be followed unless there is a compelling reason not to do so.
I shall develop some of these points.
If the narrow construction is correct, it would limit a court to enforcing the few rights that are “explicitly and exclusively addressed to the courts”. Those Part 2 rights might be those stated in s 29(5)(c), s 29(7), s 31(3) and s 32(4), but even some of those are arguably addressed to bodies in addition to courts. If the only Part 2 rights that a court or tribunal were required to enforce were rights explicitly addressed to courts, then s 5(2)(a) might have been unnecessary. Specific provisions in Part 2 would be sufficient to oblige a court to observe the relevant right or enforce it.
Under a narrow construction, it is hard to see what additional operation s 5(2)(a) would have to a court’s function in respect of Part 2 rights. Section 5(2)(a) is not confined to the functions that a court has when acting in an administrative capacity. It is not confined to the Court’s interpretive function that must be performed in accordance with Part 3, particularly s 48, of the HRA. The reference in s 5(2)(a) to functions under Part 2 is apt to refer to functions in applying or enforcing certain Part 2 rights that relate to the function the Court is performing in that proceeding.
Next, neither a broad nor narrow construction accords with the text and structure of the HRA. A broad construction that would require the Court to apply and enforce any and all of the rights enacted in Part 2 is hard to reconcile with the HRA’s provisions that impose obligations on public entities, but not on a court exercising judicial functions, the HRA’s provisions that deal with human rights complaints, and the express reference in s 5(2)(a) to the Court’s functions under Part 2 and Division 3 of Part 3. The HRA does not give the Court a general function to enforce all the rights in Part 2.
A narrow construction of s 5(2)(a) also is hard to justify. Why should the application of relevant rights be limited to the enforcement of rights that are explicitly and exclusively addressed to courts? Section 5(2)(a) is not cast in terms of the Court’s obligations. It refers to the Court’s “functions”. The word “function” is broad and includes a power.[39] The word “function” is apt to refer to the Court’s exercise of a discretionary power. The court’s judicial function is not limited to enforcing rights. It exercises powers that include powers relating to common law and Part 2 rights.
[39]HRA, s 6, Schedule 1.
The section does not say that the HRA applies to rights that are explicitly addressed to courts and tribunals, and if s 5(2)(a) were to be so limited, it might have said so, at least in respect of judicial functions.
The narrow construction does not adequately explain why s 5(2)(a) should apply only to certain rights that are explicitly addressed to courts, rather than certain rights that implicitly are addressed to them (such as the s 31(1) right to a fair hearing) and other rights that may relate to the substance of the judicial functions they exercise (for example, the s 29(1) right to liberty and the s 17(b) right not to be treated or punished in a cruel, inhuman or degrading way).
The narrow construction does not advance a good reason, consistent with the HRA’s purpose, to distinguish between rights that are explicitly addressed to courts and rights that are not. Rights that are not explicitly addressed to courts include the right to a fair hearing, the right to liberty and the right to protection from being treated or punished in a cruel, inhuman or degrading way. The narrow construction does not adequately explain why in the circumstances of a particular case such a right does not relate to the Court’s function in the proceeding, such that the Court must apply the right by reason of s 5(2)(a).
Any difficulty that may arise in identifying the rights that relate to the Court’s function is not a sufficient reason to adopt either a narrow or wide construction in preference to an intermediate construction. Courts often face difficulty in applying statutory provisions. Any difficulty is reduced by the incremental development of approaches to the task. In the case of a provision like s 5(2)(a), the intermediate interpretation lends itself to a “functional approach” to the specific function being exercised in the particular case.
The Attorney-General does not support the narrow construction by reliance on what has been described as the “drafting error” interpretation, presumably for similar reasons to those given by Ginnane J in Cemino v Cannan for rejecting that argument.[40]
[40]Cemino at [110].
Part 3 of the HRA, particularly s 48, obliges a court to take into account Part 2 rights in performing the function of interpreting statutory provisions. Therefore, s 5(2)(a) is not required to make a court take account, in an appropriate case, of a relevant Part 2 right in performing the function of interpreting statutory provisions. The reference in s 5(2)(a) to “functions under part 2” suggests that it has work to do in addition to the interpretative function.
The words “functions under part 2” gives rise to an issue of statutory construction and a choice between three alternative constructions to which the words are susceptible. For convenience, these have been described in academic writings and in the Victorian authorities as the narrow, the intermediate, and the broad construction.
Section 5(2)(a) of the HRA was enacted against the background of interpretations of the comparable Victorian provision that favoured an intermediate construction. Section 5(2) was not re-cast in terms that reflected the narrow construction urged by the learned Solicitor-General. No extrinsic material is pointed to that supports the adoption of a narrow construction in preference to an intermediate construction.
The Victorian authorities include the decision in Taha in which Tate JA considered the three alternative constructions to which s 6(2)(b) of the Charter was susceptible. Tate JA followed earlier Court of Appeal authority that ruled that the right to a fair hearing under s 24(1) of the Charter was one of the rights under Part 2 that applied directly to courts and tribunals when they exercised their adjudicative functions.[41] The right to a fair hearing related to functions that courts perform and fell within the “intermediate construction”.[42] Having reached that conclusion, Tate JA found it otherwise unnecessary to determine if the intermediate construction is correct.
[41]Taha at [247].
[42]At [248].
A provision like s 24(1) of the Charter, which has its counterpart in s 31(1) of the HRA, confers a right to a fair hearing. It is not “explicitly” (let alone “explicitly and exclusively”) addressed to the courts. It implicitly is addressed to courts and other authorities to ensure that a person charged with a criminal offence or a party to a civil proceeding has the right to have the charge or proceeding decided by “a competent, independent and impartial court or tribunal after a fair and public hearing”. Tate JA in Taha ruled that the right to a fair hearing under s 24(1) required the magistrate to give effect to the right by reason of s 6(2)(b). This conclusion is not supportive of the narrow construction and is consistent with the intermediate construction.
Unlike s 24(3) of the Charter, which (arguably) explicitly requires, with limited exceptions, a court to do something, namely, make its judgments or decisions public, s 24(1) does not explicitly impose an obligation. Yet, it was held to directly apply to courts, by reason of s 6(2)(b) of the Charter.
Although Tate JA found it otherwise unnecessary to determine if the intermediate construction of s 6(2)(b) is correct, her Honour’s reasons accord with it rather than the narrow construction. The intermediate interpretation has been adopted in subsequent cases in Victoria[43] and by two decisions of this Court.[44] I should follow them and adopt that interpretation in preference to the narrow construction urged by the Solicitor-General, since I am not persuaded that the narrow construction is correct.
[43]See, for example, Cemino and Matsoukatidou.
[44]Innes and Wood.
In summary, the narrow construction lacks textual support in the terms of s 5(2)(a). The narrow construction distinguishes between rights that are “explicitly and exclusively addressed to the courts” and rights that are not. Such a distinction is not supported by the terms or purpose of the HRA. Section 5(2)(a) does not speak in terms of enforcing rights that the Court is obliged to enforce. It uses the word “functions”, and this includes powers that the Court exercises in carrying out its judicial functions. Those functions include applying and enforcing rights. The intermediate construction is preferable to the narrow construction of s 5(2)(a), particularly in circumstances in which s 5(2)(a) was enacted against the background of authorities that adopted an intermediate construction of the practically identical provisions in s 6(2)(b) of the Charter.
The functional approach to s 5(2)(a)
Adopting the intermediate construction of s 5(2)(a) means that the “functions” of courts and tribunals are the functions of applying or enforcing those human rights in Part 2 that relate to that proceeding.[45] This approach to the operation of s 5(2)(a) is preferred to a “list of rights approach”. One reason is that the “list of rights approach” results in under- or over-inclusion.[46]
[45] Matsoukatidou at [37] following Kracke at [250], and followed in Innes at [227]-[230].
[46]Matsoukatidou at [39].
Another is that the relevance of a human right to a particular court or tribunal proceeding requires proper examination of the right concerned and whether it relates to an issue in the proceeding.[47] As was said in Kracke, the actual engagement and application of human rights for courts and tribunals “depends upon the scope of the right concerned and the facts and circumstances of the individual proceeding”.[48]
[47]Matsoukatidou at [39].
[48]Kracke at [254].
The Solicitor-General orally submitted that later decisions in Victoria (and, by implication, the decision of Ryan J in Innes that followed them) were mistaken to have adopted the “functional approach” over the “list of rights approach”. He argued that the “functional approach” effectively means that any human right that bears on the function of the Court “must be enforced by the Court”, and that is very difficult to mesh with the structure of the HRA that says that courts exercising judicial functions are not public entities that are required by s 58 to act in a way that is compatible with human rights. That argument, which was raised also in relation to the choice between a narrow and intermediate construction of s 5(2)(a), remains unpersuasive. Also, the intermediate interpretation is not concerned simply with the function of enforcing rights that relate to the proceeding. It refers to the function of “applying or enforcing” specific rights that relate to the function the Court is performing in the particular proceeding,
Despite all of these difficulties and risks, the first respondent prefers to take his chances in the Townsville precinct than stay in prison.
The possibility exists that the first respondent’s time at the precinct will not be prolonged, and he may be offered a place in a hostel that can provide him with some of the support that he clearly needs.
The government has yet to do something to address a problem to which it was alerted by Holmes CJ in 2017. It may create a new interagency committee.
The first respondent’s residence at the precinct will be less safe than it might have been had QCS addressed a systemic problem years ago. He prefers to take his chances there rather than reside in prison for an indefinite period under a continuing detention order, long after his full-time sentence has been served.
His position is entirely understandable. He is entitled to have whatever liberty he retains for the duration of a supervision order that severely restricts where he lives, where he can go, and many aspects of his daily life. He should have the choice to feed himself, as best he can, in a precinct, rather than be fed by the State in prison. He should have the choice to access health services, as best he can, from the precinct, rather than have health services supplied to him in prison.
In making those choices, the first respondent’s health may be compromised, he may suffer a serious medical episode in unsupported accommodation at a precinct, and his life may be much shorter than it would have been if QCS had developed suitable accommodation and policies, or had the flexibility to apply current policies to an individual with his complex medical problems and need for support.
The result is that the first respondent will be released to unsuitable accommodation at the precinct. He will not have access to potential victims there or on any occasions that he manages to leave the precinct for approved purposes and subject to directions that deny or severely limit his access to potential victims.
The community should be safe from the relevant risk because a supervision order has been made. The first respondent, however, will not be safe. The medical evidence establishes that being accommodated at the precinct is distinctly unsafe for someone with his complex medical conditions.
To consign a person, even a detestable sex offender, to such an unsafe situation is, to say the least, unsatisfactory.
The supervision order will deprive the first respondent of his liberty to a great extent. This is a consequence of a valid law and the constraints that flow from the terms of the supervision order, including its mandatory requirements.
A question remains whether QCS’s practices and policies in relation to a person with the first respondent’s medical conditions are compatible with the HRA, particularly ss 30 and 37. They are questions for another day and possibly for another court. It may even be the Coroners Court. In such a forum, QCS may have to justify its inertia in response to Chief Justice Holmes’ 2017 judgment in Guy’s case. It may have to justify the inflexible application of policies that may be reasonable and justifiable for many other individuals who are accommodated at the precinct but distinctly inappropriate for an individual with acute medical and mobility problems.
On 10 November 2022, I made a supervision order of 10 years’ duration in the form submitted and signed by me. I did so because it was inappropriate to exercise my discretion to not make a supervision order and instead to make a continuing detention order of indefinite duration. These, in combination with my reasons of 31 August 2022, are my reasons for making that supervision order.
11
17
3