Annual Review 2004, Regulations 2004
May 2005
Chapter 1 - Introduction
This Annual Review examines the major issues arising
out of the review and scrutiny by the Regulation Review Subcommittee (the
Subcommittee) of regulations made in Victoria in 2004.
What is the Regulation Review Subcommittee?
The Scrutiny of Acts and Regulations Committee (the Committee)
is a joint investigatory Committee of the Parliament of Victoria with
members from both Houses and from the Government and Opposition. The Regulation
Review Subcommittee is a subcommittee of the Scrutiny of Acts and Regulations
Committee and is responsible for scrutinising regulations and for conducting
any inquiries concerning regulations.[1]
What are ‘Regulations’?
Regulations are often referred to as ‘subordinate
legislation’ or ‘statutory rules’. Legislation made
by Parliament is referred to as primary legislation or Acts of Parliament.
Legislation cannot be made by bodies other than Parliament unless Parliament
authorises those bodies (by means of an Act of Parliament) to make ‘subordinate
legislation’ or ‘statutory rules’. The Subcommittee
prefers the word ‘regulations’ to ‘subordinate legislation’
or ‘statutory rules’ as its members believe this is a more
commonly understood term. In this Annual Review ‘regulations’
will be used to refer to all ‘statutory rules’ or ‘subordinate
legislation’.
The term ‘regulations’ encompasses a variety
of legislative instruments such as statutory rules, court rules, local
laws, orders-in-council, proclamations, notices, guidelines, ministerial
directions, codes of practice and so on. The power to make regulations
is delegated by Parliament to the Executive and other non-Parliamentary
bodies including government departments, statutory authorities and agencies.
The powers delegated to the Executive by Parliament are contained in Acts
of Parliament.
Parliamentary Oversight
The validity of a regulation depends upon the regulation-making
power conferred by the Act under which the regulation is made.
Parliament authorises the Executive to make regulations
because there is insufficient time to debate and pass all the legislation
which needs to be enacted, especially where the proposed legislation is
very technical or scientific. While regulations are sometimes perceived
to be of lesser importance than Acts of Parliament, regulations do control
and prohibit the conduct of citizens and may adversely affect the rights
and liberties of citizens in much the same way as Acts of Parliament.
The potential for abuse of the regulation-making power and erosion of
citizens’ rights always exists. As Mr Justice Stephen commented
in Watson v. Lee [2]
the history of delegated legislation–
reflects the tension between the needs of those who
govern and the just expectations of those who are governed. For those
who govern, subordinate legislation, free of the restraints, delays and
inelasticity of the parliamentary process, offers a speedy and flexible
mode of law-making. For the governed it may threaten subjection to laws
which are enacted in secret and of whose commands they cannot learn: their
reasonable expectations that laws shall be both announced and accessible
will only be assured of realization by the imposition and enforcement
of appropriate controls upon the power of subordinate legislators, whose
power, as Fifoot observed "requires an adequate measure of control
if it is not to degenerate into arbitrary government”.
Parliamentary scrutiny committees, with power to examine
regulations made by the Executive, are one of the most important safeguards
against the misuse of Executive power. Since the 1930s most Westminster
style Parliaments have kept control over regulations through the use of
scrutiny committees. Scrutiny committees exist in all Australian states
and territories. Some of these scrutiny committees examine bills and regulations,
while others examine only regulations.[3]
Victoria has had a committee to scrutinise regulations
since 1956. [4] From
1982 to 1992 the Legal and Constitutional Committee was responsible for
scrutinising regulations. In 1992, the Scrutiny of Acts and Regulations
Committee was created by the Parliamentary Committees (Amendment)
Act 1992 (Vic) and it took over the scrutiny of regulations.
Scope of the Subordinate Legislation Act 1994
The Subordinate Legislation Act 1994 (Vic) (the Act) contains
the procedures for making regulations and the scrutiny functions of the
Regulation Review Subcommittee. Only those regulations which come within
the definition of ‘statutory rule’ as contained in section
3 of the Act are subject to its procedures and to scrutiny by the Subcommittee.
Section 3 defines ‘statutory rule’ to include:–[5]
-
Regulations made, approved or consented to by the Governor-in-Council;
-
Regulations which may be disallowed by the Governor-in-Council
excluding regulations made by local authorities;
-
Rules relating to a court or tribunal or the procedure,
practice or costs of a court or tribunal;
-
Instruments prescribed to be statutory rules by the
Governor-in-Council; and
-
Instruments deemed to be statutory rules by their own
authorising Act.
Regulations in the form of statutory rules constitute only
a small portion of the continually growing number of different types of
regulations made each year. Some examples of regulations which fall outside
the definition of ‘statutory rule’ are – guidelines,
ministerial directions, local laws, codes of practice, notices, declarations
and licences. Regulations which fall outside the definition of ‘statutory
rule’ are not subject to:–
-
the procedures of the Act. However they remain
subject to any requirements contained in legislation under which they
are made;
-
scrutiny by the Subcommittee and generally not subject
to Parliamentary review. However it should be noted that some regulations
which fall outside the definition of ‘statutory rule’
are subject to specific Parliamentary review requirements. For example,
planning schemes (and amendments) must be tabled in Parliament within
10 sitting days after being approved.[6]
The Committee remains concerned about regulations which
fall outside the definition of ‘statutory rule’ because it
means that they are not subject to consistent regulation-making procedures
nor generally to Parliamentary review, allowing the potential for powers
to be used improperly and for rights to be adversely affected. This issue
is discussed in detail in the Committee’s Report on the
Subordinate Legislation Act 1994.[7]
Role of the Subcommittee
The Subcommittee examines and reviews: –
-
regulations within the meaning of ‘statutory rule’
contained in the Act;
-
State Environment Protection Policies and Waste Management
Policies made under the Environment Protection Act 1970 (Vic);
-
Directions made under the Public Sector Management
and Employment Act 1998 (Vic).
The Subcommittee generally meets once each month to discuss
regulations. Meetings of the Subcommittee are not open to the public.
However the Subcommittee may invite members of the public or representatives
from various organisations or government departments and agencies to address
it at one of its meetings. At its meetings the legal adviser presents
the Subcommittee with written and verbal advice in respect of each regulation.
The Subcommittee members discuss each regulation and any issues and concerns.
When the Subcommittee is satisfied that a regulation complies fully with
the requirements of the Act it passes a motion approving the regulation.
Where the Subcommittee is dissatisfied with any matters
or needs clarification, it corresponds with the responsible Minister.
The Subcommittee will highlight its concerns to the Minister. It will
seek in the first instance an explanation or amendment of the regulation.
If the Subcommittee does not receive a satisfactory explanation it may
prepare a Report to Parliament. This Report is submitted to all members
of the Committee for formal approval and adoption.[8]
The Committee may adopt or reject the Report or part of it or make any
changes it thinks necessary.[9]
A Report to Parliament may include a recommendation that a regulation
be amended or disallowed in whole or in part. Alternately a Report provided
by way of information to the Parliament may simply outline the Committee’s
concerns. As a regulation has already commenced operation by the time
it comes before the Subcommittee, the power to recommend disallowance
is only used in exceptional circumstances. Generally, such a power would
be used where all other efforts to resolve the issue have failed.
Where the Committee decides to Report to Parliament it
may also recommend that a regulation be suspended whilst Parliament considers
the issues contained in the Report.[10]
Such a course may be undertaken in the interests of justice and fairness.
When regulations are suspended in this manner they are deemed not to have
been made. This means they have no effect. People are not required to
comply with them during the period of suspension.[11]
Disallowance
Any Member of either House of Parliament may give notice
of a disallowance motion but must do so within 18 sitting days of the
tabling of the regulation in that House. Disallowance will not be effective
unless that House passes a disallowance resolution within 12 sitting days
of the disallowance notice. If the Committee wants to Report to Parliament
recommending disallowance, it must also comply with the 18 sitting days
requirement. This means that the Subcommittee must review and discuss
all regulations within strict time limits.
Scrutiny of Regulations
The Subcommittee scrutinises regulations after they have
been made to determine whether they comply with the legislative principles
specified in the Act.[12] These
principles require the Subcommittee to ensure that regulations do not
unduly trespass on rights and freedoms and comply with the procedural
and practical requirements of the Act. The Subcommittee does not comment
on matters involving government policy. The review focuses on the technical
criteria contained in the Act. More specifically, under section 21 of
the Act the Subcommittee ensures that regulations: –
-
Are within the powers of the authorising Act;
-
Do not, without clear and express authority –
- have a retrospective effect;
- impose a tax, fee, fine, imprisonment or other
penalty;
- purport to shift the onus of proof to a person
accused of an offence;
- provide for the sub-delegation of powers delegated
by the authorising Act;
-
Are consistent with the general objectives of the authorising
Act;
-
Do not make unusual or unexpected use of the powers
conferred by the authorising Act having regard to the general objectives
of the authorising Act;
-
Do not contain any matters which should be contained
in an Act of Parliament rather than subordinate legislation;
-
Do not unduly trespass on rights and liberties of the
person previously established by law;
-
Do not make rights and liberties of the person unduly
dependent on administrative rather than judicial decisions;
-
Do not authorise or require any acts or practices which
may have an adverse effect on personal privacy within the meaning
of the Information Privacy Act 2000 (Vic);
-
Do not authorise or require any acts or practices which
may have an adverse effect on privacy of health information within
the meaning of the Health Records Act 2000 (Vic);
-
Are consistent with principles of justice and fairness;
-
Do not require explanation as to form or intention;
-
Do not substantially or materially contravene the practical
requirements of the Act or the Premier’s Guidelines[13];
and
-
Are not likely to result in administration and compliance
costs which outweigh the benefits sought to be achieved.
The Subcommittee also ensures compliance with the procedural
requirements of the Act. Where a Regulatory Impact Statement (RIS) has
been prepared, some of the procedural issues the Subcommittee examines
include whether: –
-
all appropriate certificates have been received by the
Subcommittee;
-
consultation is adequate and in particular whether
appropriate organisations and individuals have been consulted;
-
certificates are dated and signed by the responsible
Minister;
-
certificates contain all the required information;
-
the competition policy assessment has been completed
in accordance with the Guidelines for the Application of the Competition
Test to New Legislative Proposals; [14]
and
-
the RIS is adequate and in particular whether it properly
explains the nature and extent of the problem to be dealt with by
the new regulation; the extent to which alternatives have been considered
and the appropriateness of those alternatives; the costs and benefits
of the proposed regulations and whether the benefits outweigh the
costs.
Where a regulation is excepted or exempted from the RIS
process, some of the procedural requirements the Subcommittee examines
include whether: –
-
the regulation is correctly exempted or excepted or
whether it should have been made with a RIS;
-
the regulation is exempted or excepted under the appropriate
category in the Act;
-
the exemption or exception certificate specifies the
section under which the exemption or exception was granted;
-
the exemption or exception certificate is signed and
dated by the responsible Minister;
-
the exemption certificate contains reasons for granting
the exemption as required by section 9(2);
-
a regulation exempted by a Premier’s certificate
sunsets within 12 months.
The Subcommittee also ensures that:–
-
explanatory memoranda clearly set out the nature and
extent of any changes and the reasons for the changes; and
-
there is compliance with all notice, gazettal and tabling
requirements of the Act.
Scrutiny of Environment Protection and Waste Management Policies
The Subcommittee also has responsibility for reviewing
policies made under Part 3 of the Environment Protection Act 1970
(Vic). These policies include State Environment Protection Policies and
Waste Management Policies.
More specifically State Environment Protection Policies
include:–
-
policies concerning the environment generally;[15]
-
policies concerning the removal, disposal or reduction
of litter in the environment;[16]
-
policies concerning the re-use and recycling of substances.[17]
Until recently waste management policies made under the
Environment Protection Act 1970 (Vic) applied only to industrial
waste. With changes brought about by the Environment Protection (Resource
Efficiency) Act 2002 (Vic) waste management policies now apply to
waste generally.[18] Waste
management policies are now enacted under s. 16A of the Environment
Protection Act 1970 (Vic).[19]
Waste Management Polices include policies dealing with:–[20]
-
the generation, storage, treatment, transport and disposal
and general handling of waste;
-
the procedures to be implemented in the recycling,
recovery, reclamation and re-use of waste and recycled substances;
-
the methods of disposal of specified substances;
-
the routes and methods of transportation of waste;
-
the location of treatment and disposal plants;
-
the allocation of responsibility for waste management
operations and disposal; and
-
the use and disposal of notifiable chemicals.
State Environment Protection Policies and Waste Management
Policies are made by the Governor-in-Council on the recommendation of
the Environment Protection Authority (EPA) by publishing an Order declaring
the policy in the Victorian Government Gazette.[21]
These policies must be tabled in each House of Parliament on or before
the sixth sitting day after the Order is published in the Victorian
Government Gazette.[22]
Section 18A of the Environment Protection Act 1970
(Vic) sets out the requirements which must be followed when making State
Environment Protection Policies and Waste Management Policies. Certain
policies are excluded from the provisions concerning the preparation of
policies. For example, the variation of a State Environment Protection
Policy or Waste Management Policy which the EPA determines to be fundamentally
declaratory, machinery or administrative in nature. Otherwise the following
procedures must be followed:–
-
during a minimum period of 21 days, the EPA must publish
on three occasions in a relevant newspaper – notice of intention
to declare a policy. The notice must include the area affected and
advise that any person affected may submit information to the EPA;
-
the EPA must consider information provided to it by
any person affected or likely to be affected;
-
the EPA must consult with any government department
or statutory authority whose responsibilities may be affected by the
policy;
-
the EPA must prepare a draft policy;
-
the EPA must prepare a draft impact assessment;
-
during a minimum period of 21 days the EPA must publish
on three occasions in a relevant newspaper – notice of preparation
of a draft policy. The notice must include the reasons for and objectives
of the policy, a description of the area affected, details of where
a copy of the draft policy may be obtained and specify that any person
likely to be affected may make a submission;
-
the EPA must allow a period of at least three months
for submissions;
-
the EPA must consider all submissions; and
-
the EPA must write a separate letter to each person
who has lodged a submission.
Section 18C of the Environment Protection Act 1970
(Vic) sets out the matters which a policy impact assessment must discuss:–
-
the purposes of the policy;
-
the alternatives for achieving the objectives, including
consideration of not declaring the policy or varying the existing
policy; and
-
an assessment of the possible financial, social and
environmental impacts of each alternative in qualitative and, where
practicable, in quantitative terms.
A copy of the following documents must be forwarded to
the Committee:–
-
the final policy impact assessment;
-
a summary of submissions;
-
a statement of the EPA’s evaluation of the submissions
and any changes made to the draft policy;
-
a copy of the review panel’s advice if there
was a review panel.
The Committee may report to Parliament where these policies
are beyond power or do not comply with the provisions of the Environment
Protection Act 1970 (Vic). Section 18D(3) provides that the Committee
may report to Parliament where a policy:–
-
does not appear to be within the powers conferred by
the Environment Protection Act 1970 (Vic);
-
has been prepared in contravention of the Environment
Protection Act 1970 (Vic); or
-
contains any matter in contravention of Environment
Protection Act 1970 (Vic).
Initial reviews of State Environment Protection Policies
and Waste Management Policies are carried out by the Subcommittee. Where
the Subcommittee is unable to resolve any issues, it may recommend to
the Committee that a report be made to Parliament. A report to Parliament
by the Committee may make any recommendations considered appropriate including
that a policy be disallowed in whole or in part.[23]
The disallowance provisions contained in sections 23 and
24 of the Act apply to State Environment Protection Policies and Waste
Management Policies.[24] This
means that the 18 sitting day deadline applies, that is the Committee
must table a motion for disallowance within 18 sitting days after the
Policy has been tabled before that House.
Scrutiny of Directions of the Commissioner for Public Employment
The Subcommittee also reviews Directions made by the Commissioner
for Public Employment. These Directions concern the application of employment
and conduct principles contained in sections 7 and 8 of the Public
Sector Management Employment Act 1998 (Vic). The employment principles
require agency and public sector authority heads to establish employment
processes that will ensure that:–[25]
-
employment decisions are based on merit;
-
employees are treated fairly and reasonably;
-
equal employment opportunities are provided; and
-
employees have a reasonable avenue of redress against
unfair or unreasonable treatment.
The conduct principles require public sector employees
to:–[26]
-
act impartially;
-
act with integrity and avoid any real or apparent conflicts
of interest;
-
be accountable for their results; and
-
to provide responsive service.
Section 40 of the Public Sector Management Employment
Act 1998 (Vic) provides that the tabling and scrutiny provisions
of the Act apply to Directions. This gives the Committee the power of
review. If Directions do not comply with the tabling requirements or the
principles of review contained in section 21 of the Act, the Committee
may report to Parliament recommending disallowance in whole or in part
or amendment.
Directions were last issued in 1998 – Directions
on Public Sector Employment and Conduct Principles in the Victorian Public
Service 1998. These Directions covered five major areas:–
-
selecting on merit;
-
managing and valuing diversity;
-
managing under performance;
-
reviewing personal grievances; and
-
upholding public sector conduct.
The Subcommittee reviewed the 1998 Directions and found
that adequate consultation had taken place and that they complied with
the requirements of the Public Sector Employment and Management Act
1998 (Vic).
Footnotes |
[1] |
It should be noted that prior to 1 May 2000 the
Regulation Review Subcommittee was known as the Subordinate Legislation
Subcommittee. |
[2] |
(1979) 155 CLR 374 at 394. |
[3] |
Australian jurisdictions which examine
regulations and bills include the ACT, the Commonwealth, New South
Wales, Queensland and Victoria and those committees include –
the Standing Committee on Legal Affairs; Scrutiny of Bills Committee
(Cth); Senate Committee on Regulations and Ordinances (Cth); Legislation
Review Committee (NSW), Scrutiny of Legislation Committee (Qld)
and Scrutiny of Acts and Regulations Committee (Vic). The New South
Wales Legislation Review Committee only recently acquired the function
of scrutinising bills under section 8A of the Legislation Review
Amendment Act 2002. Previously the Committee was known as the
Regulation Review Committee and it scrutinised regulations only.
Australian jurisdictions which examine regulations
only include Northern Territory, South Australia, Tasmania and Western
Australia and those committees include – Subordinate Legislation
and Publications Committee (NT); Legislation Review Committee (SA);
Subordinate Legislation Committee (Tas) and Delegated Legislation
Committee (WA). |
[4] |
Subordinate Legislation Act 1956 (Vic). |
[5] |
Subordinate Legislation Act 1994 (Vic),
s. 3. |
[6] |
Planning and Environment Act 1987 (Vic).
|
[7] |
This Report was tabled in Parliament in September
2002. |
[8] |
The Regulation Review Subcommittee has all the
powers and privileges of the full Committee. However it cannot report
directly to Parliament. |
[9] |
Parliamentary Committees Act 1968 (Vic),
s. 4L(5). |
[10] |
Subordinate Legislation Act 1994 (Vic),
s. 22(1). |
[11] |
ibid., s. 22(5). |
[12] |
Subordinate Legislation Act 1994 (Vic),
s. 21. |
[13] |
Department of Premier & Cabinet, Premier’s
Guidelines made December 1997. In this Report ‘Premier’s
Guidelines’ refers to the Premier’s Guidelines made
in 1997 unless it is otherwise indicated. There are new ‘Premier’s
Guidelines’ which were tabled on 9 December 2004. These are
known as the ‘new’ Premier’s Guidelines and will
be the subject of express reference where appropriate. |
[14] |
Competition Policy Taskforce, Guidelines for the
Application of the Competition Test to New Legislative Proposals,
December 1995. |
[15] |
Environment Protection Act 1970 (Vic),
s. 16(1). |
[16] |
ibid., s. 16(1B). |
[17] |
ibid., s. 16(1C). |
[18] |
See definition of ‘waste’ in the Environment
Protection Act 1970 (Vic), s. 4. |
[19] |
Previously Industrial Waste Management Policies
were made under section 16(1A) of the Environment Protection
Act 1970 (Vic). |
[20] |
Environment Protection Act 1970 (Vic),
s. 16A. |
[21] |
ibid., s. 16(1). |
[22] |
ibid., s. 18D(1). |
[23] |
ibid., s. 18D(4). |
[24] |
ibid., s. 18D(6). |
[25] |
Public Sector Management Employment Act 1998
(Vic), s. 7. |
[26] |
ibid., s. 8.
|
Scrutiny
of Acts and Regulations Committee
©
Parliament of Victoria |