Commissioner of the Australian Federal Police v Hills Greenery Pty Ltd
[2024] NSWSC 189
•01 March 2024
Supreme Court
New South Wales
- Amendment notes
Medium Neutral Citation: Commissioner of the Australian Federal Police v Hills Greenery Pty Ltd [2024] NSWSC 189 Hearing dates: 23 February 2024 Decision date: 01 March 2024 Jurisdiction: Common Law Before: Ierace J Decision: (1) Prayers 2 and 3 of the notice of motion are dismissed;
(2) The third defendant to pay the plaintiff’s costs in respect of the hearing on 23 February 2024;
(3) The third defendant is granted leave to file a further amended notice of motion;
(4) The issue of leave in respect of the amended notice of motion is stood over for hearing on 14 March 2024;
(5) The third defendant is to file and serve notice of grounds and written submissions in respect of the issue of leave by 8 March 2024;
(6) The plaintiff to file and serve submissions in reply by 13 March 2024.
Catchwords: CONSTITUTIONAL LAW — The Judiciary — Notice of constitutional matter — whether the Proceeds of Crime Act 2002 (Cth) ‘otherwise provides’ for law within the meaning of Judiciary Act 1903 (Cth) s 79(1) — whether application of the Uniform Civil Procedure Rules excluded
Legislation Cited: Commonwealth Constitution s 109
Proceeds of Crime Act 2002 (Cth) ss 1, 5(g), 14A, 17, 18, 19, 20, 29, 30, 31, 42, 43, 44, 61, 64, 73, 74, 75, 76, 77, 335, 338
Judiciary Act 1903 (Cth) s 79(1)
Uniform Civil Procedure Rules r 36.16(2)(b)
Acts Interpretation Act 1901 (Cth) s 15A
Cases Cited: Commissioner of the Australian Federal Police v Hills Greenery P/L [2023] NSWSC 288
Commissioner of the Australian Federal Police v Hills Greenery P/L [2023] NSWSC 559
Commissioner of the Australian Federal Police v Pratten [2021] NSWSC 69
International Finance Trust Company v NSW Crime Commission (2009) 240 CLR 319
Kable v Director of Public Prosecutions (NSW) (1996) 189 CLR 51; [1996] HCA 24
Masson v Parsons (2019) 266 CLR 554; [2019] HCA 21
Rizeq v Western Australia (2017) 262 CLR 1; [2017] HCA 23
Work Health Authority v Outback Ballooning Pty Ltd (2019) 266 CLR 428; [2019] HCA 2
Category: Procedural rulings Parties: The Commissioner of the Australian Federal Police (Plaintiff)
Hills Greenery (First Defendant)
NSW Greenery Pty Limited (Second Defendant)
Bilal Hassan Allam (Third Defendant)
ATM Greenland Pty Limited (Fourth Defendant)
Belal El Alami (Fifth Defendant)Representation: Counsel:
Solicitors:
Ms S Clemmett (Plaintiff/Respondent)
Mr G Jones; Mr G A F Connolly (Third Defendant/Applicant)
MinterEllison (Plaintiff/Respondent)
Allied Lawyers (Third Defendant/Applicant)
File Number(s): 2020/102598
JUDGMENT
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HIS HONOUR: This is the hearing of certain prayers in a notice of motion filed by the third defendant on 16 May 2023 (the Notice of Motion), concerning forfeiture orders made by Walton J on 27 March 2023 pursuant to the Proceeds of Crime Act 2002 (Cth) (POCA): Commissioner of the Australian Federal Police v Hills Greenery P/L [2023] NSWSC 288.
The relevant background to the motion
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The background to the matter is as follows. By an amended summons filed by the plaintiff on 29 May 2020, a restraining order was sought in respect of a rural property (the Bevendale property), which was owned by the third defendant, on the basis of a suspicion that it was an instrument of tobacco growing offences. On that date, pursuant to s 19 of POCA, Cavanagh J made a restraining order. On 27 June 2020, the third defendant was personally served with the restraining order, affidavit evidence, the amended summons and certain other material, including a covering letter addressed to him from a senior litigation lawyer with the Australian Federal Police (the AFP), which explained his rights under POCA, including a right to apply to the Court to revoke the order within 28 days of notice of it pursuant to s 42 of that Act.
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On 9 July 2020, a notice of appearance was filed by James Pope, the solicitor who was acting on behalf of the third defendant. On 22 April 2022, a notice of change of solicitor was filed by Steve Kassem, the new solicitor appointed by the third defendant.
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Examination orders were made on 3 November 2020. Pursuant to those orders, the third defendant was examined on four occasions, with legal representation each time: 22 November 2021, 4 February 2022, 13 April 2022 and 19 October 2022. On the first three dates, Mr Hogan of counsel appeared. Mr Hogan was instructed by Angelo Bilias, solicitor, on the first date, and by Mr Kassem on the second and third dates. On the fourth date, Steven Nazarian, solicitor, appeared for the third defendant.
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On 2 March 2023, a solicitor of the plaintiff’s legal representative MinterEllison (Rimma Miller), wrote to Mr Kassem, the third defendant’s solicitor on the record at that time, informing him that at the next directions hearing, on 27 March 2023, the plaintiff intended to request a referral to the Duty Judge to seek forfeiture of the Bevendale Property to the Commonwealth, pursuant to s 49 of POCA. Ms Miller delivered the letter by attaching it to an email to Mr Kassem.
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Between 2 March 2023 and 24 March 2023, Ms Miller took numerous steps to contact Mr Kassem, but did not receive any communication from him. On 15 March 2023 at about 12.15pm, she phoned Mr Kassem on the number indicated on his filed notice of change of solicitor form and had a conversation with his assistant, in which she requested that Mr Kassem contact her, concerning the matter of the third defendant. On 16 March 2023, at about 1pm, she phoned the same number and left a further message with his assistant to phone her back. She then phoned a mobile number for Mr Kassem that she obtained from his filed notice of change of solicitor form and left a voicemail, identifying herself and asking him to call her.
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On 21 March 2023, at about 11.50am, Ms Miller sent Mr Kassem an email which had a letter attached to it, in which she enclosed documents upon which the Commissioner intended to rely for his application for forfeiture of the Bevendale property, including a copy of the proposed orders. On the same date, Ms Miller caused to be sent from her office a copy of the letter and attachments to Mr Kassem’s address by registered post, as indicated on his filed notice of change of solicitor form. An email was received from Australia Post on 24 March 2023, advising that the letter had been returned to sender, and that the receiver was not known at the address. On the same date, Ms Miller took steps to arrange for the letter and its attachments to be delivered to an address listed for Mr Kassem on the Law Society website. At 2.30pm that day, a process server left them at Mr Kassem’s office with a person at that address, who informed the process server that Mr Kassem was “not in at the moment”.
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There was no appearance by or on behalf of the third defendant on 27 March 2023. Walton J expressed satisfaction that the third defendant had been properly served with the materials that were relevant to the application on the evidence before the Court, “including a supplementary statement after inquiry made by the legal representative for the Commissioner upon the request of the Court”. On 11 May 2023, Sam Abbas, solicitor, wrote to the plaintiff, advising that he now acted for the third defendant. The plaintiff replied the same day, attaching the forfeiture orders made by, and judgment of, Walton J.
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In an affidavit affirmed on 15 May 2023, Mr Abbas stated that on 11 May 2023, the third defendant handed him his file that he collected from James Pope. In the file was a letter addressed to Mr Kassem dated 2 March 2023, which I note is the same letter of that date sent by Ms Miller to Mr Kassem. Mr Abbas continued:
“8. I am instructed by [the third defendant] and verily believe that:
a. [The plaintiff’s] letter of 2 March 2023 was never brought to [the third defendant’s] attention.
b. [The third defendant] originally instructed James Pope solicitor in the matter back in 2020.
c. Pope had then contacted [the third defendant] stating he was in conflict, and that he forwarded the brief to Steve Kassem.
d. Steve Kassem had on a singular occasion contacted [the third defendant] stating that he had not reviewed the matter and that he would get back to him.
e. About 2022 [the third defendant] was examined pursuant to POCA 2002, there he was represented by Paul Hogan of [counsel] and Steve Kassem solicitor.
9. I am instructed to seek for the current forfeiture orders of Justice Walton to be set aside and to apply for the Bevendale property to be excluded either in whole from restraint or in part from forfeiture.”
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I note that in an affidavit that was affirmed by the third defendant on the same date (15 May 2023), there is no reference at all by him as to the issue of his legal representation or his prior failure to prosecute his interest in the property. In written submissions on his behalf filed on 10 December 2023, his counsel, Greg Jones, said as to this aspect of the history:
“27. The default has occurred by virtue of what appears to be neglect by the solicitor for [the third defendant] in:
(a) not filing a motion pursuant to ss 29/31 or s 77.
(b) not appearing – nor providing the courtesy to [the plaintiff] of a response.”
The constitutional issue
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The orders sought in the notice of motion included the following.
“1 Orders 1 and 3 as made by Walton J on 27 March 2023 be stayed pending determination of prayer 2 below.
2 Pursuant to Uniform Civil Procedure Rules 36.16(2)(b) the orders made by Walton J on 27 March 2023 be set aside.
3 The restraining order made 29 May 2020 pursuant to s 19 Proceeds of Crime Act 2002 (POCA) in respect to [the Bevendale property] is reconfirmed.
4 Pursuant to ss 29/31 POCA the Bevendale property is released from restraint.”
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In the alternative to order 3, the third defendant sought compensation orders pursuant to s 77 of POCA. Those alternative orders are not the subject of this hearing.
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The notice of motion was listed for hearing on 25 May 2023 before Garling J, sitting as the Duty Judge. His Honour adjourned the hearing on the plaintiff’s application, which was unopposed, for the reason that the plaintiff sought time to consider whether order 2 raised a constitutional issue. The question of the constitutional issue arose because the plaintiff sought to rely upon the Uniform Civil Procedure Rules (UCPR), which are an instrument of NSW legislation, to set aside an order made by the Court in the exercise of its federal jurisdiction, thus enlivening s 79(1) of the Judiciary Act 1903 (Cth): Commissioner of the Australian Federal Police v Hills Greenery P/L [2023] NSWSC 559.
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On 3 July 2023, the plaintiff filed a notice of a constitutional matter in respect of prayer 2 of the notice of motion (the constitutional notice). The constitutional notice stated that the notice of motion raised a question of potential inconsistency between the operation of r 36.16(2)(b) of the UCPR and the procedural scheme contained in the POCA for the forfeiture of property; dealing with forfeited property; and the exclusion of an interest in property from forfeiture. It continued:
“In particular, the question is whether r 36.16(2)(b) of the UCPR applies in this proceeding by operation of s 79 of the Judiciary Act 1903 (Cth), or whether the relevant provisions of the POCA (as identified below) ‘otherwise provide’ within the meaning of s 79. It is established that the test for whether a Commonwealth law ‘otherwise provides’ is the same as the test for inconsistency under s 109 of the Constitution (see Masson v Parsons (2019) 266 CLR 554 at [43] (Kiefel CJ, Bell, Gageler, Keane, Nettle and Gordon JJ).”
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A hearing date in respect of prayers 2 and 3 of the notice of motion was set down, with a timetable for the filing of evidence and submissions.
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At the outset of the hearing on 23 February 2024, the third defendant accepted that if the plaintiff succeeded on the constitutional issue, the motion was incompetent. Following the hearing of that aspect, the hearing was adjourned until 1 March 2024 for determination of that issue. The plaintiff’s contention is upheld and, accordingly, prayers 2 and 3 of the notice of motion are dismissed.
The relevant statutory provisions
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Rule 36.16 of the UCPR relevantly provides as follows.
“36.16 Further power to set aside or vary judgment or order
(1) The court may set aside or vary a judgment or order if notice of motion for the setting aside or variation is filed before entry of the judgment or order.
(2) The court may set aside or vary a judgment or order after it has been entered if—
(a) …
(b) it has been given or made in the absence of a party, whether or not the absent party had notice of the relevant hearing or of the application for the judgment or order …
(c) …
(3) In addition to its powers under subrules (1) and (2), the court may set aside or vary any judgment or order except so far as it—
(a) determines any claim for relief, or determines any question (whether of fact or law or both) arising on any claim for relief, or
(b) dismisses proceedings, or dismisses proceedings so far as concerns the whole or any part of any claim for relief.
…
(4) Nothing in this rule affects any other power of the court to set aside or vary a judgment or order.”
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Section 14A of POCA states:
“14A Concurrent operation of State and Territory laws
(1) This Act does not exclude or limit the operation of a law of a State or Territory to the extent that the law is capable of operating concurrently with this Act.
(2) Subsection (1) does not apply to the national unexplained wealth provisions.”
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The Judiciary Act, s 79(1), provides:
“Division 2—Application of laws
79 State or Territory laws to govern where applicable
(1) The laws of each State or Territory, including the laws relating to procedure, evidence, and the competency of witnesses, shall, except as otherwise provided by the Constitution or the laws of the Commonwealth, be binding on all Courts exercising federal jurisdiction in that State or Territory in all cases to which they are applicable.”
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Section 109 of the Commonwealth Constitution states:
“109 Inconsistency of Laws
When a law of a State is inconsistent with a law of the Commonwealth, the latter shall prevail, and the former shall, to the extent of the inconsistency, be invalid.”
The plaintiff’s position on the constitutional issue
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The plaintiff submitted that the issue for determination was whether r 36.16(2)(b) of the UCPR applies in this proceeding by operation of s 79(1) of the Judiciary Act, or whether the relevant provisions of the POCA ‘otherwise provide’. Succinctly stated, the plaintiff’s submission was:
“The provisions in the POCA which provide for the forfeiture of property; dealing with forfeited property; exclusion of an interest in property from forfeiture; and seeking a compensation order, operate as a complete statutory scheme, so that any setting aside of the Forfeiture Order in accordance with r 36.16(2)(b) would alter, impair or detract from the provisions of the POCA concerning exclusion or compensation orders. The statutory scheme does not reveal a legislative intention that allows for the concurrent application of r 36.16(2)(b).”
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Alternatively, the plaintiff submitted that if r 36.16(2)(b) of the UCPR applies by its own force, and not by reason of the operation of s 79(1) of the Judiciary Act, it is inconsistent with the POCA for the purpose of s 109 of the Constitution and, consequently, is of no effect. In the further alternative, the plaintiff submitted that if it is found that r 36.16(2)(b) does apply, the Court ought not exercise its discretion to set aside the forfeiture order.
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The third defendant joined with the plaintiff as to the nature of the issue being whether the provisions of the POCA relevantly “otherwise provided”. It cited observations in Kable v Director of Public Prosecutions (NSW) (1996) 189 CLR 51; [1996] HCA 24 by Gaudron J, at 102, concerning the integrated nature of the Australian judicial system; and International Finance Trust Company v NSW Crime Commission (2009) 240 CLR 319; [2009] HCA 49 by Heydon J at [159] concerning the repugnance of impugned legislative provisions of the Criminal Assets Recovery Act 1990 (NSW):
“The repugnance arises if the legislation ensures that there is no facility for the Court to entertain an application to dissolve an ex parte restraining order once the defendant has received notice of its grant pursuant to s 11(2).”
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The third defendant submitted that this gave rise to two propositions:
“(A) Commonwealth laws investing State courts with Federal jurisdiction take those State courts as they find them as part of the integrated Australian judicial system; and
(B) where property is restrained by Chapter III courts in proceedings commenced by the executive government, there must be a ready means for those affected (such as the Third Defendant) to challenge that restraint and, if successful, obtain dissolution of that restraining order.”
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The third defendant submitted that there is an “absence of any words in the Act that … evince any intention for the Act to be a complete and exhaustive provision” and relied upon s 14A of POCA, as to concurrency.
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The third defendant submitted that s 14A was “reinforced” by s 15A of the Acts Interpretation Act 1901 (Cth), which states that an interpretation that would “best achieve the purpose or object of the Act (whether or not that purpose or object is expressly stated in the Act) is to be preferred to each other interpretation”. He also submitted that s 14A is an “otherwise” provision for the purposes of the phrase “except as otherwise provided” in s 79(1) of the Judiciary Act. Accordingly, it was submitted, “the s 109 issue does not and, simply cannot, arise”.
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The third defendant also submitted that the plaintiff relies upon the UCPR, for example, by seeking a costs order against an impecunious and unrepresented defendant, in Commissioner of the Australian Federal Police v Pratten [2021] NSWSC 69 at [227].
Consideration
A summary of the relevant provisions of POCA
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The Act is titled: “An act to provide for confiscation of the proceeds of crime and for other purposes”. Its “principal objects”, identified at s 5, include depriving persons of the proceeds, instruments and benefits of crime and unexplained wealth. As well, at s 5(g):
“… to provide for confiscation orders and restraining orders made in respect of offences against the laws of the States or the self-governing Territories to be enforced in the other Territories.”
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The provisions concerning the restraining and forfeiture of property are in Ch 2, which is titled “The confiscation scheme”. Part 2-1 is titled “Restraining Orders” and Part 2-2 is titled “Forfeiture orders”. The scheme places an onus upon a person who claims to have a legitimate interest in property which is the subject of restraint or forfeiture proceedings to satisfy a court that their interest is not tainted in the manner set out in the Act.
Restraining orders
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Part 2-1, Div 1 is titled “Making restraining orders”. Sections 17 to 20 specify the circumstances in which a court with proceeds jurisdiction, as defined in ss 335 and 338 [1] (a court) must make a restraining order. Section 19, which is of interest in this application, is titled: “Restraining orders – property suspected of being proceeds of indictable offences etc”. It mandates a court to make a restraining order over property if there are reasonable grounds to suspect it is an instrument of one or more of certain types of criminal offences, pursuant to an affidavit by an authorised officer attesting to a suspicion to that effect.
1. Pursuant to s 338 and an application of s 335(2), the courts of New South Wales have proceeds jurisdiction for orders concerning conduct that occurred or is reasonably suspected of occurring in New South Wales.
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Section 29 mandates a court to exclude a specified interest in property which is subject to a restraining order, if the application for a restraining order has been applied for (s 30) or made (s 31) and the court is satisfied that there is a “relevant reason” to do so. In the case of property that is restrained by an order made pursuant to s 19, a “relevant reason” is that the interest is not the proceeds of certain classes of indictable or serious offences: ss 29(2) and (3). An application pursuant to s 31 requires leave if the applicant was notified of the application for the restraining order and did not appear at the hearing of the application but has “a good reason for not appearing”: ss 31(2)(a) and (3)(a); or if the applicant did appear and “now has evidence relevant to the person’s application that was not available to the person at the time of the hearing”: ss 31(2)(b) and (3)(b)). As well, in either case, there are other “special grounds” for granting leave: s 31(3)(c). Certain procedural measures are specified: s 31(4) to (6) and s 32.
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Part 2-1, Div 6 is titled “Duration of restraining orders”. Section 42 provides that a person who was not notified of the application for a restraining order may apply to the court to revoke the order. The application must be made within 28 days of the person being notified of the order or, if the person applies to the court within that period for an extension of time, within that longer period, not exceeding three months. The court may revoke the order if satisfied there were no grounds for making the order at the time the application was considered, or if it is in the interests of justice to do so: s 42(5). Sections 42 to 44 have procedural provisions concerning such applications.
Forfeiture orders
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Part 2-2, Div 1 is titled “Making forfeiture orders”. Section 49 is concerned with the making of a forfeiture order in respect of property which is suspected of being the proceeds of one of certain classes of offences, that is, property that has been restrained pursuant to s 19 of POCA. It provides that a court must make an order forfeiting the property specified in the order to the Commonwealth if, inter alia, the restraining order has been in force for at least six months and the court is satisfied of certain specified matters. Section 61 stipulates notice requirements upon the “responsible authority” that seeks such an order, including to any person who claims an interest in the property or who the authority reasonably believes may have such an interest. Section 64 concerns procedural aspects of a hearing of a claim of an interest in property that is the subject of an application for a forfeiture order.
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Part 2-2, Div 5 is titled “Reducing the effect of forfeiture orders”. Subdivision B is titled “Excluding property from a forfeiture order”. Section 73 specifies the circumstances in which a court that made, is hearing or is to hear an application for, a forfeiture order, may order that a specified interest in property is excluded from forfeiture. Section 74 provides that a person may apply for an exclusion order in respect of property that is the subject of an application for a forfeiture order, in which the person claims an interest. An applicant for an exclusion order in respect of property the subject of an existing forfeiture order may apply “at any time” after the forfeiture order is made, although leave is required if the applicant was notified of the application for the forfeiture order and did not appear at the hearing of the application but has “a good reason for not appearing”: ss 74(3)(a) and (4)(a); or if the applicant did appear, “now has evidence relevant to the person’s application that was not available to the person at the time of the hearing”: ss 74(3)(b) and (4)(b); or, in either case, there are other “special grounds” for granting leave: s 74(4)(c). Certain procedural measures for such applications are specified: ss 75, 76.
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Div 5, Subdiv C is titled “Compensating for proportion of property not derived or realised from commission of any offence”. Section 77 provides that a court that made a forfeiture order, is hearing or is to hear an application for a forfeiture order, must make a compensation order if the court is satisfied that the applicant has an interest in the property specified in the forfeiture order or the application for the forfeiture order, and it is satisfied that the interest is not tainted in certain specified ways by criminal activity. Procedural matters concerning such an application are the subject of ss 77(2), 78 and 79.
Section 79(1) of the Judiciary Act
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The purpose and scope of s 79 of the Judiciary Act was considered in Rizeq v Western Australia (2017) 262 CLR 1; [2017] HCA 23. Kiefel CJ said of s 79, at [32]:
“Section 79 of the Judiciary Act is directed to courts. Its purpose is to fill the gaps created by a lack of Commonwealth law governing when and how a court exercising federal jurisdiction is to hear and determine a matter and the inability of a State law to apply directly to that court whilst exercising federal jurisdiction. In such a case it is necessary that s 79 adopt the State provision and apply it.”
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At [63], the plurality said:
“The incapacity of a State Parliament to enact a law which governs the exercise of federal jurisdiction by a court, whether it be a federal court or a State court, explains the necessity for s 79 of the Judiciary Act and is the key to understanding the nature and extent of its operation. Section 79 is a law, enacted under s 51(xxxix) of the Constitution, which serves to ensure that the exercise of federal jurisdiction is effective. The section fills a gap in the law governing the actual exercise of federal jurisdiction which exists by reason of the absence of State legislative power. The section fills that gap by picking up the text of a State law governing the exercise of State jurisdiction and applying that text as a Commonwealth law to govern the manner of exercise of federal jurisdiction. The section has no broader operation.”
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The meaning of the expression “otherwise provided” in s 79(1) of the Judiciary Act is to be equated with the concept of inconsistency in s 109 of the Constitution: Masson v Parsons (2019) 266 CLR 554; [2019] HCA 21 per the plurality at [43]. In Work Health Authority v Outback Ballooning Pty Ltd (2019) 266 CLR 428; [2019] HCA 2, the plurality referred to two approaches to the question of inconsistency between State and Commonwealth laws:
“32 The first approach has regard to when a State law would ‘alter, impair or detract from’ the operation of the Commonwealth law. This effect is often referred to as a ‘direct inconsistency’. Notions of ‘altering’, ‘impairing’ or ‘detracting from’ the operation of a Commonwealth law have in common the idea that a State law may be said to conflict with a Commonwealth law if the State law in its operation and effect would undermine the Commonwealth law.
33 The second approach is to consider whether a law of the Commonwealth is to be read as expressing an intention to say ‘completely, exhaustively, or exclusively, what shall be the law governing the particular conduct or matter to which its attention is directed’. This is usually referred to as an ‘indirect inconsistency’. A Commonwealth law which expresses an intention of this kind is said to ‘cover the field’ or, perhaps more accurately, to ‘cover the subject matter’ with which it deals. A Commonwealth law of this kind leaves no room for the operation of a State or Territory law dealing with the same subject matter. There can be no question of those laws having a concurrent operation with the Commonwealth law.” (references omitted)
Determination
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As to the second approach in Work Health Authority v Outback Ballooning Pty Ltd, the substance of Ch 2, as reflected in its title, evidences an intention for it to comprise a legislative regime governing the making of restraining and forfeiture orders and challenges to them by affected persons. As noted, the scheme includes a legislative route for a person who claims a legitimate interest in forfeited property and who did not attend the hearing at which the forfeiture order was made, to set it aside, in whole or in part, or to claim an order for compensation for their legitimate interest. That being so, in my view, the State law remedy of r 36.16(2)(b) of the UCPR as a mechanism to consider setting aside a forfeiture order is, in the terms of s 79(1) of the Judiciary Act, “otherwise provided” for by the remedies in subdivs B and C of Div 5 of Pt 2-2 of Ch 2 of POCA.
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A forfeiture order for the Bevendale property was made by this Court, pursuant to s 49 of POCA, on 27 March 2023, that is, approximately seven weeks before the date of the filing of the notice of motion. There was no attendance by or on behalf of the third defendant. As noted, pursuant to ss 74(3)(a) and (4)(a), a person who claims an interest in a property that is specified in a forfeiture order and who was notified on the application for the forfeiture order but did not appear at the hearing, may seek leave to apply for an exclusion order or a compensation order. The Court may grant leave if the person has “a good reason” for not having made an application before the forfeiture order was made, or if “there are other special grounds for granting the leave”. The alternative order sought by the third defendant, which is a compensation order pursuant to s 77 of POCA, is some acknowledgement by him that this legislative route is open to persons in his position.
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In my view, prayers 2 and 3 of the notice of motion must be dismissed. Rule 36.16(2)(b) of the UCPR is an unavailable remedy, since subdivs B and C of Div 5 of Pt 2-2 of Ch 2 of POCA come within the term “otherwise provided” in s 79(1) of the Judiciary Act, so as to constitute exclusive avenues for the third defendant to seek to set aside the forfeiture order.
Orders
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I make the following orders:
Prayers 2 and 3 of the notice of motion are dismissed;
The third defendant to pay the plaintiff’s costs in respect of the hearing on 23 February 2024;
The third defendant is granted leave to file a further amended notice of motion;
The issue of leave in respect of the amended notice of motion is stood over for hearing on 14 March 2024;
The third defendant is to file and serve notice of grounds and written submissions in respect of the issue of leave by 8 March 2024;
The plaintiff to file and serve submissions in reply by 13 March 2024.
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Endnote
Amendments
04 April 2024 - Minor typographical errors corrected at [2] and [13]
Decision last updated: 04 April 2024
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