Change or Suppression (Conversion) Practices Prohibition Act 2021 (Vic)
Version No. 002
Change or Suppression (Conversion) Practices Prohibition Act 2021
No. 3 of 2021
Version incorporating amendments as at
17 February 2023
TABLE OF PROVISIONS
Section Page
Part 1—Preliminary
Division 1—General
1Purposes
2Commencement
3Objects of this Act
4Definitions
5Meaning of change or suppression practice
6Act binds the Crown
7Contravention does not create civil or criminal liability
8Extra-territorial application
Division 2—Change or suppression practices are prohibited
9General prohibition on change or suppression practices
Part 2—Offences relating to change or suppression practices
Division 1—Offences
10Offence of engaging in one or more change or suppression practices that cause serious injury
11Offence of engaging in one or more change or suppression practices that cause injury
12Offence of taking a person from Victoria for a change or suppression practice
13Offence of advertising a change or suppression practice
14Production of documents relating to advertising offence
Division 2—General matters relating to offences against this Part
15Corporate criminal responsibility for offence against this Part
16Who may bring proceedings for an offence under section 13
Part 3—Civil response scheme
Division 1—Functions and powers of Commission
17Functions and powers of Commission
18Functions of Commission—educative function
19Functions of Commission—research function
20Commission may report on educative or research functions
21Functions of Commission—receiving reports and facilitating outcomes
22Staff of Commission
23Delegation
Division 2—Reporting change or suppression practices to Commission
24Reporting change or suppression practices
25Principles for responding to reports
26Commission may request more information
27Consideration of reports
28Responding to reports
29Referral of reports
30Discretion to decline to respond to report
31Withdrawal from facilitation of an outcome
32Agreements resulting from facilitation
33Registration of agreements
Division 3—Investigations
34When investigation may be conducted
35Commission to conduct investigation as it considers fit
36Power to compel provision of information and production of documents
37Power to compel attendance
38Compliance with notice requiring attendance or production of documents
39Protection against self-incrimination
40Disclosure of identity of persons who give information or documents
41Publication of evidence, information or documents
42Outcome of an investigation
Division 4—Remedies
43Enforceable undertakings
44Register of enforceable undertakings
45Compliance notices
46Failure to comply with enforceable undertaking or compliance notice
47Vicarious liability
48Who may bring proceedings for an offence under this Part
49Reports etc. that relate to organisations
Part 4—General matters
Division 1—Secrecy
50Definition
51Secrecy
52Disclosure to courts
Division 2—Provisions relating to certain proceedings
53Commission not to prejudice certain proceedings or investigations
54Person bringing proceedings presumed to be authorised to do so
55Commission may assist in proceedings as amicus curiae
Division 3—Annual report and review of Act
56Annual report
57Review of this Act
Division 4—Regulations
58Regulations
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Endnotes
1 General information
2 Table of Amendments
3 Explanatory details
Version No. 002
Change or Suppression (Conversion) Practices Prohibition Act 2021
No. 3 of 2021
Version incorporating amendments as at
17 February 2023
The Parliament of Victoria enacts:
Part 1—Preliminary
Division 1—General
1Purposes
The main purposes of this Act are—
(a)to denounce and prohibit change or suppression practices; and
(b)to establish a civil response scheme within the Victorian Equal Opportunity and Human Rights Commission that will—
(i)promote understanding of the prohibition on change or suppression practices under this Act and matters relating generally to change or suppression practices; and
(ii)consider and resolve reports of change or suppression practices; and
(iii)investigate serious or systemic change or suppression practices; and
(c)to prohibit engaging in change or suppression practices, including through creating offences in relation to engaging in change or suppression practices and certain related activities; and
(d)to amend the definitions of sexual orientation and gender identity in the Equal Opportunity Act 2010; and
(e)to include sex characteristics as a protected attribute under the Equal Opportunity Act 2010; and
(f)to make consequential amendments to certain Acts.
2Commencement
(1)Subject to subsection (2), this Act comes into operation on a day or days to be proclaimed.
(2)If a provision of this Act does not come into operation within the period of 12 months beginning on the day on which this Act receives the Royal Assent, it comes into operation on the day after the end of that period.
3Objects of this Act
(1)The objects of this Act are—
(a)to eliminate so far as possible the occurrence of change or suppression practices in Victoria; and
(b)to further promote and protect the rights set out in the Charter of Human Rights and Responsibilities; and
(c)to ensure that all people, regardless of sexual orientation or gender identity, feel welcome and valued in Victoria and are able to live authentically and with pride.
(2)In enacting this Act, it is the intention of the Parliament—
(a)to denounce and give statutory recognition to the serious harm caused by change or suppression practices; and
(b)to affirm that a person's sexual orientation or gender identity is not broken and in need of fixing; and
(c)to affirm that no sexual orientation or gender identity constitutes a disorder, disease, illness, deficiency or shortcoming; and
(d)to affirm that change or suppression practices are deceptive and harmful both to the person subject to the change or suppression practices and to the community as a whole.
4Definitions
In this Act—
associate, in relation to a body corporate, means the following—
(a)an employee or agent of the body corporate to the extent that the employee or agent is acting within the actual or apparent scope of their employment or within their actual or apparent authority;
(b)an officer of the body corporate;
Australian Health Practitioner Regulation Agency means the Australian Health Practitioner Regulation Agency established by section 23 of the Health Practitioner Regulation National Law;
board of directors means the body (by whatever name called) exercising the executive authority of a body corporate;
change or suppression practice has the meaning given by section 5;
Chief Commissioner of Police means the Chief Commissioner within the meaning of the Victoria Police Act 2013;
Commission has the same meaning as it has in the Equal Opportunity Act 2010;
Commissioner has the same meaning as it has in the Equal Opportunity Act 2010;
compliance notice means a compliance notice issued under section 45(1);
corporate culture of a body corporate means an attitude, policy, rule, course of conduct or practice existing within the body corporate or within a part of the body corporate, as the case requires;
Director of Public Prosecutions means the Director of Public Prosecutions appointed under section 87AB of the Constitution Act 1975;
enforceable undertaking means an undertaking accepted under section 43;
gender identity has the same meaning as it has in the Equal Opportunity Act 2010;
Health Complaints Commissioner means the Commissioner within the meaning of the Health Complaints Act 2016;
health service has the same meaning as it has in the Health Practitioner Regulation National Law;
health service provider has the same meaning as it has in the Health Practitioner Regulation National Law;
IBAC means the Independent Broad-based Anti-corruption Commission established by the Independent Broad-based Anti-corruption Commission Act 2011;
injury has the same meaning as it has in section 15 of the Crimes Act 1958;
investigation means an investigation under section 34;
officer, in relation to a body corporate, means an officer (as defined by section 9 of the Corporations Act) of the body corporate to the extent that the officer is acting within the actual or apparent scope of their employment or within their actual or apparent authority;
Ombudsman means the person appointed as the Ombudsman under section 3 of the Ombudsman Act 1973;
organisation means an unincorporated body or association, whether the body or association—
(a)is based in or outside Australia; or
(b)is part of a larger organisation;
person affected by a change or suppression practice means a person towards whom a change or suppression practice is being, or has been, directed;
police officer has the same meaning as it has in the Victoria Police Act 2013;
produce includes permit access to;
protected information has the meaning given by section 50;
serious injury has the same meaning as it has in section 15 of the Crimes Act 1958;
sexual orientation has the same meaning as it has in the Equal Opportunity Act 2010;
Tribunal means the Victorian Civil and Administrative Tribunal established by the Victorian Civil and AdministrativeTribunal Act 1998;
Victoria Police has the same meaning as in the Victoria Police Act 2013;
Victorian Inspectorate means the Victorian Inspectorate established by the Victorian Inspectorate Act 2011.
5Meaning of change or suppression practice
(1)In this Act, a change or suppression practice means a practice or conduct directed towards a person, whether with or without the person's consent—
(a)on the basis of the person's sexual orientation or gender identity; and
(b)for the purpose of—
(i)changing or suppressing the sexual orientation or gender identity of the person; or
(ii)inducing the person to change or suppress their sexual orientation or gender identity.
(2)For the purposes of subsection (1), a practice or conduct is not a change or suppression practice if it—
(a)is supportive of or affirms a person's gender identity or sexual orientation including, but not limited to, a practice or conduct for the purposes of—
(i)assisting a person who is undergoing a gender transition; or
(ii)assisting a person who is considering undergoing a gender transition; or
(iii)assisting a person to express their gender identity; or
(iv)providing acceptance, support or understanding of a person; or
(v)facilitating a person's coping skills, social support or identity exploration and development; or
(b)is a practice or conduct of a health service provider that is, in the health service provider's reasonable professional judgement, necessary—
(i)to provide a health service; or
(ii)to comply with the legal or professional obligations of the health service provider.
(3)For the purposes of subsection (1), a practice includes, but is not limited to the following—
(a)providing a psychiatry or psychotherapy consultation, treatment or therapy, or any other similar consultation, treatment or therapy;
(b)carrying out a religious practice, including but not limited to, a prayer based practice, a deliverance practice or an exorcism;
(c)giving a person a referral for the purposes of a change or suppression practice being directed towards the person.
(4)For the purposes of subsection (1), a practice or conduct may be directed towards a person remotely (including online) or in person.
6Act binds the Crown
This Act binds the Crown in right of Victoria and, so far as the legislative power of the Parliament permits, the Crown in all its other capacities.
7Contravention does not create civil or criminal liability
A contravention of this Act does not create any civil or criminal liability except to the extent expressly provided by this Act.
8Extra-territorial application
(1)This section applies if—
(a)a person engages in conduct outside, or partly outside, Victoria; and
(b)there is a real and substantial link between the conduct and Victoria.
(2)This Act has effect in relation to the conduct as if it had been engaged in wholly within Victoria.
(3)For the purposes of subsection (1), there is a real and substantial link with Victoria if—
(a)a significant part of the conduct occurs in Victoria; or
(b)the conduct occurred wholly outside Victoria, but the effects of the conduct occurred wholly or partly in Victoria.
Division 2—Change or suppression practices are prohibited
9General prohibition on change or suppression practices
A person or organisation contravenes this Act if the person or organisation engages in a change or suppression practice.
Note
A contravention of this Act by a person or organisation may result in a report being made under Part 3, which sets out the civil response scheme.
Part 2—Offences relating to change or suppression practices
Division 1—Offences
10Offence of engaging in one or more change or suppression practices that cause serious injury
(1)A person (A) commits an offence if—
(a)A intentionally engages in a change or suppression practice directed towards another person (B); and
(b)the change or suppression practice causes serious injury to B; and
(c)A is negligent as to whether engaging in the change or suppression practice will cause serious injury to B.
Penalty:In the case of a natural person, level 5 imprisonment (10 years maximum) or a level 5 fine (1200 penalty units maximum) or both;
In the case of a body corporate, 6000 penalty units maximum.
(2)A person (A) commits an offence if—
(a)A intentionally engages in change or suppression practices directed towards another person (B); and
(b)any or all of the change or suppression practices, considered as a group, cause serious injury to B; and
(c)A is negligent as to whether engaging in any or all of the change or suppression practices will cause serious injury to B.
Penalty:In the case of a natural person, level 5 imprisonment (10 years maximum) or a level 5 fine (1200 penalty units maximum) or both;
In the case of a body corporate, 6000 penalty units maximum.
11Offence of engaging in one or more change or suppression practices that cause injury
(1)A person (A) commits an offence if—
(a)A intentionally engages in a change or suppression practice directed towards another person (B); and
(b)the change or suppression practice causes injury to B; and
(c)A is negligent as to whether engaging in the change or suppression practice will cause injury to B.
Penalty:In the case of a natural person, level 6 imprisonment (5 years maximum) or a level 6 fine (600 penalty units maximum) or both;
In the case of a body corporate, 3000 penalty units maximum.
(2)A person (A) commits an offence if—
(a)A intentionally engages in change or suppression practices directed towards another person (B); and
(b)any or all of the change or suppression practices, considered as a group, cause injury to B; and
(c)A is negligent as to whether engaging in any or all of the change or suppression practices will cause injury to B.
Penalty:In the case of a natural person, level 6 imprisonment (5 years maximum) or a level 6 fine (600 penalty units maximum) or both;
In the case of a body corporate, 3000 penalty units maximum.
12Offence of taking a person from Victoria for a change or suppression practice
(1)A person (A) commits an offence if—
(a)A takes another person (B) from Victoria, or arranges for B to be taken from Victoria; and
(b)A intends that a change or suppression practice directed towards B will be engaged in outside Victoria (whether by A or another person); and
(c)a change or suppression practice directed towards B is engaged in outside Victoria; and
(d)the change or suppression practice causes injury to B; and
(e)A is negligent as to whether the change or suppression practice will cause injury to B.
Penalty:In the case of a natural person, level 7 imprisonment (2 years maximum) or a level 7 fine (240 penalty units maximum) or both;
In the case of a body corporate, 1200 penalty units maximum.
(2)A person (A) commits an offence if—
(a)A takes another person (B) from Victoria, or arranges for B to be taken from Victoria; and
(b)A intends that change or suppression practices directed towards B will be engaged in outside Victoria (whether by A or another person); and
(c)change or suppression practices directed towards B are engaged in outside Victoria; and
(d)any or all of the change or suppression practices, considered as a group, cause injury to B; and
(e)A is negligent as to whether any or all of the change or suppression practices, considered as a group, will cause injury to B.
Penalty:In the case of a natural person, level 7 imprisonment (2 years maximum) or a level 7 fine (240 penalty units maximum) or both;
In the case of a body corporate, 1200 penalty units maximum.
13Offence of advertising a change or suppression practice
(1)A person commits an offence if—
(a)the person publishes or displays, or authorises the publication or display of, an advertisement or other notice; and
(b)the advertisement or other notice indicates, or could reasonably be understood as indicating, that the person or any other person intends to engage in one or more change or suppression practices, other than for the purposes of warning of the harm caused by such practices.
Penalty:In the case of a natural person, level 9 fine (60 penalty units maximum);
In the case of a body corporate, 300 penalty units maximum.
(2)It is a defence to a charge under subsection (1) if the accused proves that the accused took reasonable precautions and exercised due diligence to prevent the publication or display.
14Production of documents relating to advertising offence
(1)For the purpose of proceedings under section 13, the Commission may, by written notice, require any person to produce any documents specified in the notice to the Commission.
(2)A person must not refuse, without reasonable excuse, to produce a document referred to in subsection (1) to the Commission.
Penalty:In the case of a natural person, level 9 fine (60 penalty units maximum);
In the case of a body corporate, 300 penalty units maximum.
Division 2—General matters relating to offences against this Part
15Corporate criminal responsibility for offence against this Part
(1)For the purposes of a proceeding against a body corporate for an offence against this Part, the following must also be attributed to the body corporate—
(a)relevant conduct engaged in by an associate of the body corporate;
(b)knowledge of an associate of the body corporate;
(c)intention—
(i)of the body corporate's board of directors; or
(ii)of an officer of the body corporate; or
(iii)of any other associate of the body corporate if a corporate culture existed within the body corporate that directed, encouraged, tolerated or led to the formation of that intention.
(2)If an officer of a body corporate engages in conduct that constitutes an offence against this Part, the body corporate must be taken to have also engaged in conduct constituting the offence, and may be proceeded against and found guilty of the offence whether or not the officer has been proceeded against or found guilty of that offence.
(3)In a proceeding against a body corporate for an offence against this Part brought in reliance on subsection (2), it is a defence to the charge for the body corporate to prove that it exercised due diligence to prevent the conduct engaged in by the officer.
16Who may bring proceedings for an offence under section 13
Proceedings for an offence under section 13 may be brought by—
(a)the Commission; or
(b)a police officer; or
(c)a person who is authorised to do so, either generally or in a particular case, by the Commission.
Part 3—Civil response scheme
Division 1—Functions and powers of Commission
17Functions and powers of Commission
(1)The Commission has the following functions—
(a)to develop and provide education in relation to change or suppression practices;
(b)to receive reports about change or suppression practices from any person;
(c)to request further information regarding reports of change or suppression practices from persons who make a report and persons or organisations alleged to be engaging in change or suppression practices;
(d)to determine appropriate responses to reports on the basis of information provided and the wishes of persons affected where those persons are involved in making reports;
(e)to offer education to persons and organisations engaged in change or suppression practices;
(f)to establish processes for facilitating an outcome in relation to matters in certain reports that meet the needs of persons affected by change or suppression practices;
(g)to focus on ensuring that persons affected by change or suppression practices receive support by directing them to appropriate support services;
(h)to support persons who are or may be victims of criminal offences under this Act to voluntarily report these to police.
(2)The Commission has all the powers necessary to enable it to perform its functions.
18Functions of Commission—educative function
(1)The Commission must—
(a)establish and undertake information and education programs in relation to change or suppression practices; and
(b)promote and advance the objects of this Act and be an advocate for this Act.
(2)The Commission must undertake programs to disseminate information and educate the public with respect to—
(a)the objects of this Act; and
(b)any other matters relevant to the provisions of this Act.
19Functions of Commission—research function
(1)The Commission may undertake research into any matter arising from, or incidental to, the operation of this Act that it considers would advance the objects of this Act.
(2)The Commission may collect and analyse information and data relevant to the operation and objects of this Act.
20Commission may report on educative or research functions
The Commission may, at any time, submit a report to the Attorney-General on any matter arising from the performance of the Commission's functions under section 18 or 19.
21Functions of Commission—receiving reports and facilitating outcomes
The Commission must—
(a)receive reports under section 24 from persons affected by change or suppression practices (or persons acting on their behalf), or other persons; and
(b)establish policies and issue procedures and directions on the manner in which such reports should be dealt with; and
(c)in the case of a reports made by persons affected by change or suppression practices (or persons acting on their behalf), establish policies and procedures for the facilitation of an outcome in relation to the matters in the report.
22Staff of Commission
Any staff that are necessary for the purposes of administering this Act are to be employed under Part 3 of the Public Administration Act 2004.
23Delegation
The Commission, by instrument, may delegate to the Commissioner or a member of staff of the Commission referred to in section 22 any of the Commission's functions, duties or powers under this Act other than this power of delegation.
Note
Under an Order made by the Governor in Council under section 16 of the Public Administration Act 2004, the Commissioner has all the functions of a public service body Head in relation to employees of the Commission.
Division 2—Reporting change or suppression practices to Commission
24Reporting change or suppression practices
(1)A person affected by a change or suppression practice, or any other person, may make a report to the Commission in relation to an alleged change or suppression practice.
(2)A report must be in the prescribed form (if any).
25Principles for responding to reports
The principles for the Commission responding to reports are—
(a)a response should be provided to the person who made the report; and
(b)a response should be informed by the needs and wishes of persons affected by change or suppression practices; and
(c)a response should be appropriate to the report; and
(d)a response should be fair to all persons; and
(e)a response should be consistent with the objects of this Act.
26Commission may request more information
The Commission may request a person who makes a report or a person or organisation who is alleged to be engaging in a change or suppression practice to provide any further information that the Commission considers necessary to assist in determining its response to a report.
27Consideration of reports
(1)This section applies if, in considering a report, the Commission is satisfied that a person or organisation is engaging in, or has engaged in, a change or suppression practice.
(2)In responding to the report, the Commission must as far as practicable have regard to the following matters, to the extent that information about the matters is reasonably available to the Commission—
(a)the wishes of the person or persons affected by the change or suppression practice;
(b)whether the change or suppression practice was a one-off event or a pattern of behaviour;
(c)the number of people affected by the change or suppression practice;
(d)the nature and extent of the harm caused by the change or suppression practice;
(e)any steps taken by a person or organisation to stop engaging in the change or suppression practice or to address the harms caused by the change or suppression practice.
28Responding to reports
(1)The Commission, after considering a report, may do one or more of the following—
(a)offer targeted education to persons or organisations reported to have engaged in change or suppression practices;
(b)in the case of reports made by persons affected by a change or suppression practice, offer facilitation of an outcome in relation to the matters in the report;
(c)refer the report to another person or body under section 29;
(d)decline to respond to the report in accordance with section 30.
(2)Participation in facilitation of an outcome in relation to matters in a report is voluntary.
29Referral of reports
(1)Subject to subsection (3), if the Commission considers that a report relates to conduct that would be more adequately dealt with by another person or body, the Commission may refer the report to the other person or body.
(2)The persons or bodies to which the Commission may refer a report include, but are not limited to, the following—
(a)the Health Complaints Commissioner;
(b)the Australian Health Practitioner Regulation Agency;
(c)the Ombudsman;
(d)Victoria Police.
(3)The Commission must not refer a report under subsection (1) without the consent of the person affected by the change or suppression practice to which the report relates, unless required to do so by a law dealing with mandatory reporting.
30Discretion to decline to respond to report
The Commission may decline to respond to a report if—
(a)the report refers to persons or organisations who can no longer be located; or
(b)the report relates to conduct in respect of which sufficient information is no longer available; or
(c)the report relates to conduct that has been adequately dealt with in another forum or would be more appropriately dealt with in another forum; or
(d)having regard to all the circumstances, the Commission considers it is not appropriate to respond to the report.
31Withdrawal from facilitation of an outcome
If the Commission is facilitating an outcome in relation to a matter in a report, any person involved in the facilitation may withdraw at any time by informing the Commission that the person no longer wishes to participate.
32Agreements resulting from facilitation
(1)This section applies if, after the Commission facilitates an outcome in relation to a matter in a report, the persons engaged in the facilitation (the parties) reach agreement with respect to any of the matters.
(2)Any party may request that a written record of agreement be prepared by the parties or the Commission.
(3)A request must be made within 30 days after the agreement is reached.
(4)If a record of agreement is prepared by the Commission following a request under subsection (2)—
(a)the record of agreement must be signed by or on behalf of each party; and
(b)the Commission must certify the record of agreement.
(5)If a record of agreement is prepared by the parties following a request under subsection (2)—
(a)the record of agreement must be signed by or on behalf of each party; and
(b)on the request of a party, the Commission may certify the record of agreement.
(6)If the Commission certifies a record of agreement under subsection (4)(b) or (5)(b), the Commission must give each party a copy of the signed and certified record of agreement.
(7)The refusal of the Commission to certify a record of agreement does not affect the validity of the agreement.
33Registration of agreements
(1)Any party to an agreement reached under section 32 may, after notifying each other party in writing, lodge a copy of the signed and certified record of agreement with the Tribunal for registration.
(2)Subject to subsection (3), the Tribunal must register the record of agreement and give a certified copy of the registered record of agreement to each party.
(3)If the Tribunal, constituted by a presidential member, considers that it may not be practicable to enforce, or to supervise compliance with, a record of agreement or part of a record of agreement, the Tribunal—
(a)in the case of a record of agreement, may refuse to register the record of agreement; or
(b)in the case of a part of a record of agreement, may refuse to register the part of the record of agreement that it considers may not be practicable to enforce, or to supervise compliance with.
(4)On registration, a registered record of agreement or a registered part of a record of agreement—
(a)is taken to be an order of the Tribunal in accordance with its terms; and
(b)may be enforced accordingly.
(5)The refusal of the Tribunal to register a record of agreement or any part of a record of agreement does not affect the validity of the agreement.
Division 3—Investigations
34When investigation may be conducted
The Commission may conduct an investigation under this section into any matter relating to this Act—
(a)that raises an issue that is serious in nature or indicates change or suppression practices that are systemic or persisting; and
(b)that indicates a possible contravention of this Act; and
(c)that relates to a class or group of persons; and
(d)that would advance the objects of this Act.
35Commission to conduct investigation as it considers fit
(1)Subject to this Division, the Commission may conduct an investigation in the manner it considers fit.
(2)In conducting an investigation, the Commission is bound by the principles of natural justice, unless otherwise expressly provided in this Division.
36Power to compel provision of information and production of documents
(1)If the Commission reasonably believes that—
(a)a person is in possession of information or a document that is relevant to an investigation; and
(b)the information or document is necessary for the conduct of the investigation—
the Commission may by written notice require the person to provide the information or document or both.
(2)A notice referred to in subsection (1) must specify that the person must do either or both of the following within a reasonable period specified in the notice, or on a reasonable date and at a reasonable time specified in the notice—
(a)give the Commission a document containing information required by the notice;
(b)produce to the Commission the documents specified in the notice.
(3)A document referred to in subsection (2)(a) must be signed by the person or, in the case of a notice served on a body corporate, an officer of the body corporate.
(4)If a document is produced to the Commission in accordance with a notice under this section, the Commission may—
(a)take possession of the document; and
(b)make copies of the document or take extracts from the document; and
(c)retain possession of the document for as long as is necessary for the purposes of the investigation to which the document relates.
(5)The Commission must allow a document retained under this section to be inspected, at all reasonable times, by any person who would be entitled to inspect the document if it were not in the possession of the Commission.
37Power to compel attendance
(1)The Commission by written notice may require a person to attend before the Commission, at a reasonable time and place, to answer questions if the Commission reasonably believes that—
(a)the person has information that is relevant to an investigation; and
(b)the information is necessary for the conduct of the investigation.
(2)A person who is required under this section to attend before the Commission—
(a)is entitled to be paid a reasonable sum for the person's attendance; and
(b)is entitled to have a legal or personal representative present.
38Compliance with notice requiring attendance or production of documents
A person must not, without reasonable excuse, fail to comply with a notice of the Commission under section 36 or 37.
Penalty:In the case of a natural person, level 9 fine (60 penalty units maximum);
In the case of a body corporate, 300 penalty units maximum.
39Protection against self-incrimination
It is a reasonable excuse for a natural person to refuse to give information, answer a question or produce a document under this Act if the giving of the information, the answering of the question or the production of the document would tend to incriminate the person.
40Disclosure of identity of persons who give information or documents
(1)This section applies to a person who has given or who will give evidence, information or documents to the Commission as part of an investigation, whether or not the person is compelled to do so under section 36 or 37.
(2)The Commission may give directions prohibiting the disclosure of the identity of the person, or prohibiting the disclosure of information that would be reasonably likely to identify the person, if the Commission considers that preservation of the person's anonymity is necessary—
(a)to protect the person's security of employment, privacy or any right protected by the Charter of Human Rights and Responsibilities Act 2006; or
(b)to protect the person from victimisation.
41Publication of evidence, information or documents
(1)The Commission may give directions prohibiting or limiting the publication of—
(a)any evidence given before the Commission or any information given to the Commission as part of an investigation; or
(b)the contents of any document produced to the Commission as part of an investigation.
(2)Subsection (1) applies whether or not a person was compelled to give the evidence or produce the information or document under section 36 or 37.
(3)In deciding whether or not to give a direction under subsection (1), the Commission must have regard to the need to prevent such of the following as are relevant to the circumstances—
(a)prejudice to the relations between the Government and the Commonwealth Government or between the Government and the Government of another State or a Territory;
(b)the disclosure of deliberations or decisions of the Cabinet, or of a Committee of the Cabinet;
(c)prejudice to the proper functioning of the Government;
(d)the disclosure, or the ascertaining by a person, of the existence or identity of a confidential source of information in relation to the enforcement of the criminal law;
(e)the endangering of the life or physical or psychological safety of any person;
(f)prejudice to the proper enforcement of the law or the protection of public safety;
(g)the disclosure of information the disclosure of which is prohibited, absolutely or subject to qualifications, by or under another Act;
(h)the unreasonable disclosure of the personal affairs of any person or organisation;
(i)the unreasonable disclosure of confidential commercial information.
42Outcome of an investigation
(1)After conducting an investigation, the Commission may take any action it considers fit.
(2)Without limiting subsection (1), the Commission may do any of the following—
(a)take no further action;
(b)enter into an agreement with a person about action required to comply with this Act;
(c)accept an enforceable undertaking;
(d)issue a compliance notice to a person.
Division 4—Remedies
43Enforceable undertakings
If, following an investigation, the Commission believes that a change or suppression practice has occurred, is occurring or is likely to occur, the Commission may accept a written undertaking from a person under which the person undertakes to take certain actions or refrain from taking certain actions to comply with this Act.
44Register of enforceable undertakings
The Commission may keep a register of enforceable undertakings that is available to the public.
45Compliance notices
(1)If, following an investigation, the Commission believes that a change or suppression practice has occurred or is occurring, the Commission may issue a compliance notice to a person who is wholly or partly responsible for the change or suppression practice.
(2)A compliance notice must set out the following—
(a)the basis for the Commission's belief that a change or suppression practice has occurred or is occurring;
(b)the provisions of this Act (if any) that the Commission believes the person has contravened;
(c)the date by which the person must take or refrain from taking specified actions in relation to the change or suppression practice;
(d)the further action that the Commission may take if the person does not take or refrain from taking specified actions;
(e)that the person may apply to the Tribunal for review of the issuing of the notice or any term of the notice.
(3)A person may, within 28 days of receiving the compliance notice, apply to the Tribunal for a review of the issuing of the compliance notice or of any term of the compliance notice.
46Failure to comply with enforceable undertaking or compliance notice
(1)This section applies if—
(a)the Commission has accepted an enforceable undertaking from a person; or
(b)the Commission has issued a compliance notice to a person.
(2)If the person fails to comply with the enforceable undertaking or the compliance notice—
(a)the Commission may apply to the Tribunal to enforce the undertaking or the notice; and
(b)the Tribunal may make an order requiring the person to comply with the undertaking or notice.
Note
Under section 133 of the Victorian Civil and Administrative Tribunal Act 1998, non-compliance with an order of the Tribunal is an offence.
47Vicarious liability
(1)For the purposes of this Part, if a natural person engages in a change or suppression practice in the course of employment (including as a volunteer) or while acting as an agent—
(a)subject to subsection (2), both the natural person, and the employer or principal, as the case requires, are taken to have engaged in the change or suppression practice; and
(b)the person towards whom the change or suppression practice was directed or another person may make a report under section 24 in respect of—
(i)the natural person; or
(ii)the employer or principal; or
(iii)both the natural person and the employer or principal.
(2)The employer or principal is not taken to have engaged in the change or suppression practice if the employer or principal proves, on the balance of probabilities, that the employer or principal took reasonable precautions to prevent the natural person engaging in a change or suppression practice.
48Who may bring proceedings for an offence under this Part
Proceedings for an offence under this Part may be brought by—
(a)the Commission; or
(b)a police officer; or
(c)a person who is authorised to do so, either generally or in a particular case, by the Commission.
49Reports etc. that relate to organisations
If a report under this Act relates to change or suppression practices alleged to have been engaged in by an organisation—
(a)the Commission may request information under section 26 from the president, secretary or other similar officer of the organisation; and
(b)the Commission may offer targeted education to the president, secretary or other similar officer of the organisation; and
(c)the president, secretary or other similar officer of the organisation may be a party to facilitation of an outcome for the purposes of Division 2 of this Part.
Part 4—General matters
Division 1—Secrecy
50Definition
In this Division—
protected information means information concerning the affairs of a person or organisation, being information obtained by a person to whom section 51 applies—
(a)in the course of performing functions or duties or exercising powers under this Act; or
(b)as a result of another person performing functions or duties or exercising powers under this Act.
51Secrecy
(1)This section applies to a person who is or has been—
(a)the Commissioner; or
(b)a member of the staff of the Commission referred to in section 22;
(c)a person (other than a person referred to in paragraph (b)) acting under the authority of the Commission or the Commissioner.
(2)A person to whom this section applies must not, either directly or indirectly, make a record of, disclose or communicate protected information to any person unless —
(a)it is necessary to do so for the purposes of, or in connection with, the performance of a function or duty or the exercise of a power under this Act; or
(b)it is necessary to do so to prevent a credible and imminent threat of harm to one or more persons; or
(c)it is necessary to do so to comply with a mandatory reporting obligation; or
(d)the disclosure, communication or production is to a court in accordance with section 52; or
(e)the information is already in the public domain; or
(f)the information does not identify any person or organisation; or
(g)all persons or organisations identified by the information have consented to the disclosure of the information.
Penalty:Level 9 fine (60 penalty units maximum).
52Disclosure to courts
(1)Subject to this section, a person to whom section 51 applies must not be required—
(a)to produce in a court any document containing protected information; or
(b)to disclose or communicate protected information to a court.
(2)Subsection (1) does not prevent a person to whom section 51 applies disclosing or communicating protected information or producing in a court any document containing protected information if the disclosure, communication or production —
(a)is necessary for the purposes of, or for a prosecution under or arising out of, this Part; or
(b)is required by an order of a court for the purposes of a criminal proceeding; or
(c)is with the consent of the person or organisation to whose affairs the information relates.
Division 2—Provisions relating to certain proceedings
53Commission not to prejudice certain proceedings or investigations
(1)The Commission must not perform the functions or duties or exercise the powers of the Commission under this Act in a manner that would prejudice any—
(a)criminal proceedings or criminal investigations; or
(b)investigations by the IBAC or the Victorian Inspectorate.
(2)For the purposes of ensuring compliance with subsection (1), the Commission may consult any of the following—
(a)the Director of Public Prosecutions;
(b)the Chief Commissioner of Police;
(c)the IBAC;
(d)the Victorian Inspectorate.
54Person bringing proceedings presumed to be authorised to do so
In a proceeding for an offence against this Act it must be presumed, in the absence of evidence to the contrary, that the person bringing the proceeding was authorised to bring it.
55Commission may assist in proceedings as amicus curiae
(1)The Commission may assist a court or tribunal as amicus curiae in the following proceedings, with the leave of the court or tribunal—
(a)proceedings in which the Commission considers that the orders sought, or likely to be sought, may significantly affect the rights relating to change or suppression practices in relation to persons who are not parties to the proceedings;
(b)proceedings that, in the opinion of the Commission, have significant implications for the administration of this Act;
(c)proceedings where the Commission is satisfied that it would be in the public interest for the Commission to assist the court or tribunal as amicus curiae.
Division 3—Annual report and review of Act
56Annual report
In its report of operations for a financial year under Part 7 of the Financial Management Act 1994, the Commission must include a description of the performance of its functions in relation to change or suppression practices during the financial year.
57Review of this Act
(1)The Attorney-General must ensure that an independent review of the operation and effectiveness of this Act commences 2 years after the commencement of this Act and is completed within 6 months.
(2)The Attorney-General must ensure that the review is conducted by a person who, in the opinion of the Attorney-General, possesses appropriate qualifications and expertise related to change or suppression practices.
(3)The person conducting the review must consider the following—
(a)whether the criminal offences contained in this Act are effective;
(b)whether the civil response scheme is effective, including whether broader investigation and enforcement powers are required;
(c)whether a redress scheme should be developed.
(4)A person who undertakes the review must give the Attorney-General a written report of the review as soon as practicable after completing the review.
(5)The Attorney-General must cause a copy of the review to be laid before each House of the Parliament within 15 sitting days of that House after receiving the written report.
Division 4—Regulations
58Regulations
(1)The Governor in Council may make regulations for or with respect to the following matters—
(a)forms to be used for the purposes of this Act;
(b)any other matter or thing required or permitted by this Act to be prescribed or necessary to be prescribed to give effect to this Act.
(2)Regulations made under this Act—
(a)may be of limited or general application; and
(b)may differ according to differences in time, place or circumstance; and
(c)may confer powers or impose duties in connection with the regulations on any specified person or specified class of persons; and
(d)may apply, adopt or incorporate, with or without modification, any matter contained in any document, code, standard, rule, specification or method formulated, issued, prescribed or published by any person—
(i)wholly or partially or as amended by the regulations; or
(ii)as formulated, issued, prescribed or published at the time the regulations are made or at any time before then; or
(iii)as formulated, issued, prescribed or published from time to time.
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Endnotes
1 General information
See for Victorian Bills, Acts and current Versions of legislation and up-to-date legislative information.
Minister's second reading speech—
Legislative Assembly: 26 November 2020
Legislative Council: 10 December 2020
The long title for the Bill for this Act was "A Bill for an Act to prohibit change or suppression practices, to amend certain definitions in the Equal Opportunity Act 2010 and for other purposes."
The Change or Suppression (Conversion) Practices Prohibition Act 2021 was assented to on 16 February 2021 and came into operation as follows:
Sections 1, 2, 59–61 on 26 October 2021: Special Gazette (No. 580) 19 October 2021 page 1; sections 3–58, 62–66 on 17 February 2022: section 2(2).
INTERPRETATION OF LEGISLATION ACT 1984 (ILA)
Style changes
Section 54A of the ILA authorises the making of the style changes set out in Schedule 1 to that Act.
References to ILA s. 39B
Sidenotes which cite ILA s. 39B refer to section 39B of the ILA which provides that where an undivided section or clause of a Schedule is amended by the insertion of one or more subsections or subclauses, the original section or clause becomes subsection or subclause (1) and is amended by the insertion of the expression "(1)" at the beginning of the original section or clause.
Interpretation
As from 1 January 2001, amendments to section 36 of the ILA have the following effects:
• Headings
All headings included in an Act which is passed on or after 1 January 2001 form part of that Act. Any heading inserted in an Act which was passed before 1 January 2001, by an Act passed on or after 1 January 2001, forms part of that Act. This includes headings to Parts, Divisions or Subdivisions in a Schedule; sections; clauses; items; tables; columns; examples; diagrams; notes or forms. See section 36(1A)(2A).
• Examples, diagrams or notes
All examples, diagrams or notes included in an Act which is passed on or after 1 January 2001 form part of that Act. Any examples, diagrams or notes inserted in an Act which was passed before 1 January 2001, by an Act passed on or after 1 January 2001, form part of that Act. See section 36(3A).
• Punctuation
All punctuation included in an Act which is passed on or after 1 January 2001 forms part of that Act. Any punctuation inserted in an Act which was passed before 1 January 2001, by an Act passed on or after 1 January 2001, forms part of that Act. See section 36(3B).
• Provision numbers
All provision numbers included in an Act form part of that Act, whether inserted in the Act before, on or after 1 January 2001. Provision numbers include section numbers, subsection numbers, paragraphs and subparagraphs. See section 36(3C).
• Location of "legislative items"
A "legislative item" is a penalty, an example or a note. As from 13 October 2004, a legislative item relating to a provision of an Act is taken to be at the foot of that provision even if it is preceded or followed by another legislative item that relates to that provision. For example, if a penalty at the foot of a provision is followed by a note, both of these legislative items will be regarded as being at the foot of that provision. See section 36B.
• Other material
Any explanatory memorandum, table of provisions, endnotes, index and other material printed after the Endnotes does not form part of an Act.
See section 36(3)(3D)(3E).
2 Table of Amendments
This publication incorporates amendments made to the Change or Suppression (Conversion) Practices Prohibition Act 2021 by Acts and subordinate instruments.
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Change or Suppression (Conversion) Practices Prohibition Act 2021, No. 3/2021
Assent Date: 16.2.21 Commencement Date: S. 66 on 17.2.22: s. 2(2) Note: S. 66 repealed Pts 5–7 (ss 59–66) on 17.2.23 Current State: This information relates only to the provision/s amending the Change or Suppression (Conversion) Practices Prohibition Act 2021
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3 Explanatory details
No entries at date of publication.
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