The standing of a non-party to obtain leave to appeal
311 In Witness v Marsden (2000) 49 NSWLR 429 (Marsden) a witness who had been subpoenaed to give evidence in a defamation case brought by the defendant, Mr Marsden, applied for an order that he be permitted to give evidence under a pseudonym. The primary judge refused to make that order. The witness applied to the New South Wales Court of Appeal for leave to appeal against the judge's refusal to grant the pseudonym order.
312 Heydon JA (as his Honour then was) accepted that an appeal would only lie against a judgment or order and not against the reasons for judgment. Further, Heydon JA found that even though a person was not a party, and could not have been made a party to the substantive proceeding, this did not disqualify that person from having standing to obtain leave to appeal. Standing depended on whether the non-party was affected or aggrieved by the order made. At [68], Heydon JA observed as follows:
The law permits non-parties to apply for leave to appeal from orders affecting them.
313 In support of that proposition, after having referred with approval to Re Markham, Markham v Markham (1880) 16 Ch D 1 and In re Securities Insurance Company [1894] 2 Ch 410 at 413, Heydon JA cited with approval the following observations of Lord Denning MR in Senior v Holdsworth, Ex parte Independent Television News Ltd [1976] 1 QB 23 at 32:
If the judge makes an order with which the witness is aggrieved, the witness will have an appeal to this court. Although he is not a party to the suit, he is a person who is aggrieved by the order: and he is entitled, by leave, to appeal against it: see In re Markham, Markham v Markham and In re Securities Insurance Co. (Footnotes omitted.)
314 Heydon JA went on to find that the primary judge's decision to refuse the pseudonym was in substance an order, and that the witness's application was in essence "an application for leave to appeal against an order by a person substantially affected by its operation". Accordingly, leave to appeal was granted to the witness.
315 In the case of Commonwealth v Construction Forestry Mining and Energy Union (2000) 98 FCR 31 (CFMEU), the Union had brought a proceeding for the imposition of a penalty on the Employment Advocate pursuant to the Workplace Relations Act 1996 (Cth).
316 In the course of the proceeding, a copy of a letter from a Federal Minister to the Prime Minister was discovered by the Advocate. The Union sought inspection of the copy letter. The Advocate resisted giving inspection on the grounds of public interest immunity privilege. The dispute came before the primary judge in an interlocutory hearing. The Commonwealth filed and served an affidavit by an officer in support of a claim by the Commonwealth for public interest immunity in respect of the copy letter. The Commonwealth was represented at the interlocutory hearing before the primary judge. The primary judge made an order permitting the Union to inspect the copy letter. The Commonwealth filed a notice of appeal.
317 The Full Court considered an application for leave to appeal as a non-party by the Commonwealth against an interlocutory order made by the primary judge. The Union argued that the Commonwealth was not a party to the substantive proceeding and, therefore, had no standing to appeal against the primary judge's decision.
318 The Full Court cited with approval the decision in Marsden. The Full Court also adopted the approach of Heydon JA in that case, and gave the Commonwealth leave to appeal against the interlocutory order permitting inspection of the copy letter in respect of which it had asserted public interest immunity.
319 On the basis of these authorities, the question of whether a non-party to a proceeding has standing to appeal against an interlocutory order made in that proceeding, will depend upon the extent to which that person is aggrieved by the operation of the interlocutory order.
320 In this case, it is apparent that Mr Harmer could never have been a party to the main proceeding which embraced the controversy between Mr Ashby and Mr Slipper and the Commonwealth. Mr Harmer's involvement in that controversy arises from his retainer as a legal practitioner and agent of Mr Ashby for the purposes of Mr Ashby prosecuting his claim against Mr Slipper and the Commonwealth, and, also, from the fact that he was a witness in the interlocutory proceeding. Therefore, Mr Harmer, having no personal interest in the controversy between the parties to the proceeding, is not adversely affected by the interlocutory order dismissing the proceeding to which he was not a party.
321 Rather, as is apparent from his affidavit of 14 January 2013, Mr Harmer's complaint is in relation to the findings which were made by the primary judge in the reasons for judgment published by the primary judge. It is those findings and criticisms which, said Mr Harmer, have affected, or have the potential to affect, his professional reputation and, consequently, his financial interests and that of his firm. It is those findings which Mr Harmer challenges. However, as is evident from the authorities referred to above, this is not a sufficient basis for a non-party to obtain leave to appeal. Rather the non-party must show that he or she is in the words of Heydon JA "substantially affected" by the operation of the interlocutory order.
322 Mr Harmer relied upon the case of Fortress Credit Corporation (Australia) II Pty Ltd v Fletcher (2011) 281 ALR 38 (Fortress Credit). In that case, the Full Court considered an application by Fortress Credit Corporation (Australia) II Pty Ltd (Fortress) for leave to appeal against the decision of the primary judge. The primary judge who had made an order, under s 477(2B) of the Corporations Act 2001 (Cth), approving the entry by Octaviar Ltd (Receivers and Managers Appointed) (In Liquidation) (Octaviar) into an agreement for the funding of public examinations of Fortress's officers and for the funding of proceedings against Fortress by Octaviar. The funder under each of the two agreements was a related company, Octaviar Administration Pty Ltd (Octaviar Administration), which was also in liquidation. The application before the primary judge was made by the liquidators of Octaviar, who were also the liquidators of Octaviar Administration.
323 Fortress had a charge over the assets of Octaviar and so was a secured creditor of Octaviar, which was indebted to Fortress in the sum of approximately $71 million. An asset of Octaviar's was a debt due by Octaviar Administration to Octaviar. If the Fortress charge was valid, the funding agreements, the subject of the order of the primary judge, would have the effect of diminishing an asset over which the charge subsisted to the detriment of Fortress. When Fortress found out about the orders it applied for leave to appeal against the orders.
324 In my view, the Fortress Credit case does not assist Mr Harmer. In that case, the orders made by the primary judge had a direct impact upon the financial position of Fortress in that it had the potential to diminish its security as a secured creditor. Fortress was within the bounds of the principle applied in Marsden and adopted in CFMEU.
325 Mr Harmer's position in this case is quite different from the position of Fortress. As previously mentioned, Mr Harmer cannot demonstrate that he is adversely affected by the order of the primary judge dismissing Mr Ashby's application. There may, however, be cases where a court order may have an adverse effect upon the reputation of a non-party, in which case the non-party may have sufficient standing to appeal (Harmer v Oracle Corporation Australia Pty Ltd (2013) 299 ALR 236). However, this is not such a case.
326 As mentioned, there were two capacities in respect of which Mr Harmer was involved in the interlocutory application, namely, as a legal practitioner, and as a witness for his client.
327 It is the case that the primary judge commented adversely on Mr Harmer's conduct in carrying out his professional duty as a solicitor. In my view, however, there is nothing arising from that circumstance as would take Mr Harmer outside of the operation of the ordinary principles referred to above on the standing of a non-party to obtain leave to appeal.
328 There will be a variety of circumstances where a court may have occasion to comment adversely upon the manner in which a legal practitioner has acted in the conduct of a proceeding before the court. These occasions will arise from time to time, even in circumstances where the practitioner has not been a witness in the proceeding. I refer below to some such circumstances. Of course, the reference to these circumstances is not intended to be exhaustive.
329 One such circumstance may arise in the context of a court being concerned to prevent its process from being abused. It is well recognised that the Court has a duty as part of its inherent or, more accurately, implied jurisdiction, to prevent its process from being abused (Clyne v The New South Wales Bar Association (1960) 104 CLR 186 at 201 (Clyne), Jago v The District Court of New South Wales (1989) 168 CLR 23).
330 The importance of that duty and its rationale, is explained in the following observations of Richardson J in Reid v New Zealand Trotting Conference [1984] 1 NZLR 8 at 9:
Misuse of the judicial process tends to produce unfairness and to undermine confidence in the administration of justice. In a number of cases in recent years this Court has had occasion to consider the inherent jurisdiction of the High Court, and on appeal this Court, to take such steps as are considered necessary in a particular case to protect the processes of the Court from abuse. (See particularly Moevao v Department of Labour [1980] 1 NZLR 464 and Taylor v Attorney-General [1975] 2 NZLR 675.) In exercising that jurisdiction the Court is protecting its ability to function as a Court of law in the future as in the case before it. The public interest in the due administration of justice necessarily extends to ensuring that the Courts' processes are fairly used and that they do not lend themselves to oppression and injustice. The justification for the extreme step of staying a prosecution or striking out a statement of claim is that the Court is obliged to do so in order to prevent the abuse of its processes. In Hunter v Chief Constable of the West Midlands Police [1982] AC 529 Lord Diplock began his judgment, which was concurred in by the other members of the House, with these words:
My Lords, this is a case about abuse of the process of the High Court. It concerns the inherent power which any court of justice must possess to prevent misuse of its procedure in a way which, although not inconsistent with the literal application of its procedural rules, would nevertheless be manifestly unfair to a party to litigation before it, or would otherwise bring the administration of justice into disrepute among right-thinking people. The circumstances in which abuse of process can arise are very varied; those which give rise to the instant appeal must surely be unique. It would, in my view, be most unwise if this House were to use this occasion to say anything that might be taken as limiting to fixed categories the kinds of circumstances in which the court has a duty (I disavow the word discretion) to exercise this salutary power.
Such is the fundamental importance of the doctrine to the fair and proper administration of justice that Lord Diplock characterised the exercise of the power in appropriate cases as a duty rather than a discretion.
331 The duty on a court to prevent an abuse of its process extends to abuses which come to the attention of the court, even if the abuse is not part of a pleaded case before the court. In the case of New Zealand Social Credit Political League Inc v O'Brien [1984] 1 NZLR 84, a case whose facts bear some resemblance to the facts in this case, Cooke J observed at 89, as follows:
Moreover the inherent jurisdiction to strike out a statement of claim as an abuse of process is one which the Court may come under a duty to exercise. It is more than a matter of discretion: Hunter v Chief Constable of the West Midlands Police [1982] AC 529; Reid v New Zealand Trotting Conference [1984] 1 NZLR 8. With this in mind we heard argument extending beyond the scope of the abuse of process ground as formulated in the letter already mentioned. Mr Gazley, while opposing any widening of the ground, was heard on the whole matter. I think that this Court would be failing in its responsibility if we did not approach the issue of abuse of process in a broad way.
332 Somers J, at 95, made observations to similar effect:
It is not in my view material that the League and Mr Riddoch have not pleaded abuse of process save in a limited way. The Court in this field is concerned with proceedings which are ex facie lawful, that is to say are within the rules about procedure. But to prevent those rules being used oppressively the Court will intervene proprio motu if necessary. It recognises that the literal application of the law itself can be a tyranny.
In this case Mr O'Brien wishes to recover damages for a slur which he considers has been cast upon his integrity. He has had one action on the subject heard out. And although it produced no verdict on whether the newspaper article was defamatory those proceedings were sufficiently analogous and relief upon such similar matter that to allow the present action to proceed would be to permit an unfair harassment of the League. It would be to permit an abuse of its procedure by the Court.
333 A court has a duty to supervise the conduct of its officers in order that the public is protected from abuses by its officers and that confidence in the administration of justice is maintained. In Clyne, the High Court cited with approval the following observations of Lopes LJ from the case of Royal Aquarium and Summer and Winter Garden Society Limited v Parkinson [1892] 1 QB 431 at 451, in respect of the privilege accorded to legal practitioners in the conduct of litigation:
This "absolute privilege" has been conceded on the grounds of public policy to ensure freedom of speech where it is essential that freedom of speech should exist, and with the knowledge that the Courts of justice are presided over by those who from their high character are not likely to abuse the privilege, and who have the power and ought to have the will to check any abuse of it by those who appear before them.
334 Further, in Caboolture Park Shopping Centre Pty Ltd (In liquidation) v White Industries (Qld) Pty Ltd (1993) 45 FCR 224 at 233-234 (Caboolture Park), the Full Court observed as follows:
It is of the utmost importance for the administration of justice in this Court that legal practitioners acting in proceedings before the Court are honest, candid with the Court and neither obstruct the administration of justice by the Court, nor abuse the Court's process. It can hardly be accepted that the Court must stand idly by when practitioners appearing before it, or acting in matters in the Court, act with impropriety. (Emphasis added.)
335 It is convenient at this juncture, to observe, in passing, that these authorities are inconsistent with senior counsel for Mr Harmer's confidently expressed contention that once the primary judge had determined that Mr Harmer did not share Mr Ashby's pleaded purpose in commencing the originating application, the primary judge erred by going on to make the findings of abuse of process founded on the impropriety of Mr Harmer's conduct as a legal practitioner. In my view, it was not only open to the primary judge to proceed as he did, but it was his duty to do so. Lord Diplock did not mince his words in describing a court as being under a "duty" to intervene when it is apprised of conduct amounting to an abuse of process. The Full Court in Caboolture Park was also emphatic as to the duty of the court to intervene in cases of abuse of process by practitioners appearing before the court. The New Zealand Court of Appeal also stated specifically that it was open to a court to find an abuse of process even if it was not part of a pleaded case.
336 A court may, also, have occasion to comment adversely on a legal practitioner's conduct in the criminal law context where the court is called upon to consider whether the manner in which the impugned legal practitioner has conducted the proceeding has caused a miscarriage of justice (Libke v The Queen (2007) 230 CLR 559, R v Birks (1990) 19 NSWLR 677, AJ v The Queen (2011) 32 VR 614).
337 A further circumstance is where the conduct of the legal practitioner in question has fallen below the minimum standards of professional competence that should be expected in an application to a court where the applicant is represented by a legal practitioner (Ex-Christmas Islanders Assn Inc v Attorney General (Cth) (2005) 149 FCR 170).
338 A court may also comment adversely about a legal practitioner's conduct of a proceeding in the course of determining whether an indemnity costs order should be made against the legal practitioner's client (Fountain Selected Meats (Sales) Pty Ltd v International Produce Merchants Pty Ltd (1988) 81 ALR 397, Emanuel Management Pty Ltd (in liq) v Foster's Brewing Group Ltd [2003] QSC 299, Grace Worldwide Group v Roberts [2012] NSWSC 1111, Cirillo v Consolidated Press Property Ltd (formerly known as Citicorp Australia Limited) (No 2) [2007] FCA 179. See also the observations of Tomlinson J in Three Rivers District Council v The Governor and Company of the Bank of England [2006] EWHC 816 (Comm), particularly, at [135].)
339 In all of these circumstances, a court's findings or observations may have the propensity adversely to affect the professional reputation of the legal practitioner concerned. However, the authorities do not support a contention that, in relation to standing to appeal, a non-party legal practitioner whose complaint is no more than that he or she has been the subject of adverse judicial comment, is to be treated differently from any other non-party who has been the subject of adverse judicial comment with a propensity to affect his or her professional reputation. Rather, the authorities show that an aggrieved non-party will have the standing to obtain leave to appeal only if that non-party is adversely affected by an order made by the court.
340 Section 43 of the Federal Court Act empowers the Court to order that a legal practitioner pay the costs of a party of a proceeding personally. In the course of considering an application for such an order, the conduct of the legal practitioner against whom the costs order is sought, will be scrutinised, and may well be the subject of adverse comment in the reasons for judgment. However, in the event that an order is made that the legal practitioner pay the costs personally, consistent with the principles referred to above, the practitioner, being substantially affected by the order made by the Court, will have the necessary standing to obtain leave to appeal as a non-party against that order.
341 In this case, Mr Slipper has applied to the Court for orders for indemnity costs and for an order that Harmers pay his costs personally. Accordingly, Mr Harmer will have an opportunity at the hearing of that application to give further evidence and make such further submissions as he may see fit in opposition to the personal costs order sought from his law firm. In the event that costs are ordered against his law firm, Mr Harmer, as proprietor of the firm, will be directly affected by the order and will, on the authorities, have a sufficient interest to give him standing to obtain leave to appeal as a non-party.
342 Further, Mr Harmer did not point to any case where a non-party witness in respect of whom a judge had made findings which had the propensity adversely to affect his or her professional reputation, had been given leave to appeal as a non-party.
343 As I have previously said, Mr Harmer was called to give evidence by his client, Mr Ashby, to rebut Mr Slipper's claim that there was no legitimate forensic purpose in including the 2003 allegations and the impugned Cabcharge allegations in the originating application and that those allegations were included to maximise the damage to Mr Slipper. Mr Ashby has, in his draft notice of appeal, challenged the adverse findings made in relation to Mr Harmer's conduct in drafting and filing the originating application and the genuine steps statement. Senior counsel for Mr Ashby, as he did before the primary judge, made submissions before this Court, seeking to impugn the primary judge's findings in relation to the evidence given by his client's witness, Mr Harmer. This is the usual way in which findings made in respect of a witness to which objection is taken, is dealt with. It is not for the witness to bring his or her own appeal. In any event, the fact that Mr Ashby is challenging the findings made in relation to Mr Harmer's professional conduct would be a factor which would militate against granting Mr Harmer leave to appeal as a non-party in his own right.
344 It follows that I reject Mr Harmer's application for leave to appeal as a non-party against the judgment of the primary judge.
345 I would also add that, in any event, contrary to the contentions of Mr Harmer, in my view, Mr Harmer was given sufficient notification that the Court may make findings that, in preparing an originating application which contained the 2003 allegations and the impugned Cabcharge allegations, Mr Harmer abused the privilege given to legal practitioners to make serious allegations in court documents, and so abused the Court's process.
346 First, in their respective points of claim and submissions, the Commonwealth and Mr Slipper made allegations in respect to the contents of the originating application which Mr Harmer had drafted, which called into question the propriety of Mr Harmer's professional conduct. For example, at para 53 of Mr Slipper's amended points of claim, Mr Slipper pleaded that by making, and subsequently withdrawing, the 2003 allegations and the Cabcharge allegations, Harmers and Mr Ashby:
[I]ntended to expose Mr Slipper to the maximum degree of vilification, opprobrium, sensation and scandal, and to cause the maximum damage to his reputation, to the political advantage of the LNP and Brough".
347 Also, at para 112 of its submissions, the Commonwealth referred to "the impropriety of including sensational but unsupported allegations in the originating application" and then withdrawing them "after they had received blanket media coverage and the predominant purpose of damaging Mr Slipper had been achieved". The Commonwealth went on to contend that this conduct was an abuse of process because:
This use of the Court as a launching pad for publicising damaging allegations against Mr Slipper undermines confidence in and respect for the authority of the Court.
348 Mr Harmer responded to those allegations in his affidavit of 23 July 2012. I will refer in more detail to Mr Harmer's response later in these reasons.
349 Secondly, in his affidavit of 26 September 2012, Mr Harmer recognised in express terms that the Commonwealth's submissions in reply dated 21 September 2012, accused him of engaging in "serious professional misconduct". At para 4, Mr Harmer deposed as follows:
In the CRS, the allegation is made (at [32]) that the matters pleaded in paragraphs 5 to 9 of the originating application "do not appear to have been pleaded in aid of any legitimate cause of action…their inclusion and subsequent withdrawal, is consistent only with the a purpose of harming Mr Slipper". I decided what allegations would be included in the originating application. If true, the Commonwealth's allegation would, in my view, have constituted me engaging in serious professional misconduct. In the course of my professional career I have never included material "only with the purpose of harming" another person and I would not engage in such conduct.
350 This affidavit was sworn a week before Mr Ashby was to open his case in response to the interlocutory application. However, notwithstanding that Mr Harmer recognised that he stood accused of, in his own words, "serious professional misconduct", Mr Harmer did not seek his own representation, nor did he seek to be joined as a party to the proceeding, but continued to represent Mr Ashby as his solicitor.
351 Thirdly, in his affidavit of 2 October 2012, in opposition to a further adjournment of the hearing, Mr Harmer again expressly recognised, in terms, that Mr Slipper's amended points of claim made "very serious allegations" against him which called into question his professional conduct. At para 6 and para 13 of his affidavit, Mr Harmer deposed:
6. First, the allegation made in the Speaker's amended points of claim was foreshadowed as long ago as 18 May 2012 and involves very serious allegations not only against the applicant but also against third parties including Karen Doane, Mal Brough, Steve Lewis, Anthony McLellan, me (and my employees).
…
13. Eighthly, the allegations made against my professional conduct by the Speaker have caused and are causing me distress and I want them resolved as soon as possible.
352 Fourthly, during the hearing on 4 October 2012, the primary judge referred senior counsel for Mr Ashby to the case of Clyne and raised with him his concerns as to whether, by the inclusion of the 2003 allegations and the impugned Cabcharge allegations, Mr Harmer had a legitimate forensic purpose and whether he had breached his professional obligations.
353 Contrary to Mr Harmer's submissions, the primary judge made known his concerns regarding Mr Harmer's conduct during Mr Ashby's case and before evidence in support of that case had closed. The primary judge first made a reference to the observations at 200-201 of Clyne's case in the context of his concern that Mr Harmer's conduct may have amounted to an abuse of process, before any of Mr Harmer's affidavits, other than that of 17 May 2012, had been accepted into evidence. (See, Transcript, 4 October 2012, at 67-69, 71-76.) The primary judge's concern was whether, even if Mr Harmer had an evidential basis to support the 2003 allegations, Mr Harmer had a legitimate forensic purpose in including those allegations in the originating application.
354 Further, at the end of the Court sitting on 4 October 2012, the following exchange occurred (107-108 of the transcript):
HIS HONOUR: As I have mentioned to you, I have looked at what Clyne's case is and about the use of absolute privilege and I have got a concern about all that.
MR LEE: All right. Well, can I address that now perhaps. It might be - I won't finish in five minutes but I can start on that topic because - - -
HIS HONOUR: No, no.
MR LEE: - - - it's obviously one that's a matter of interest to in Clyne.
HIS HONOUR: You do it in your own order, Mr Lee, but I just want to make clear that I have a concern about the use of the court's process. In particular, those that the pleading of both of those matters in the originating application and when I look at what is said by - in the last sentence on paragraph 9:
After viewing the video, Ms Hobson formed the view the relationship was consensual.
You just wonder what on earth that had to do with anything legitimately being pleaded in the proceedings, the paragraphs 5 to 9. And when I look at the way paragraph 55 and 56 are - 55 is pleaded with the Cabcharge allegations, I just do not understand how that was done.
MR LEE: Well, let me - - -
HIS HONOUR: And I'm mindful of those pages in Clyne's case that I referred to.
MR LEE: Yes. Well, I will squarely deal with those - I will read those overnight and - - -
355 Immediately thereafter, the primary judge observed that the issue was "very troubling" and that he regarded the matter as one of "great concern".
356 Then, a short time later (109 of the transcript), the following exchange occurred:
MR LEE: …Now, that involves an analysis of his subjective intention. This is the first matter I want to take you to and then I will take your Honour more directly to the issue that your Honour wishes to address by reference to the comments in Clyne's case and the like.
HIS HONOUR: Well, there are two possible issues and you may need to help me about this but Mr Ashby is the litigant. His conduct was to start these proceedings and he had agents in your instructing solicitors and Mr Harmer. In a situation like this, Mr Harmer may have had a different purpose to your client. The question may or may not be as whether the court's process is being abused by the filing of this document in this form.
MR LEE: Well - - -
HIS HONOUR: I mean, there are plenty of paragraphs in there that have got a perfectly cognisable and objectively understandable forensic purpose that could be proved by admissible and relevant evidence but I don't, at the moment, have any conception how paragraphs 5 to 9 and 55 could have led to anything ever being run in this case.
MR LEE: Well, I - - -
HIS HONOUR: It doesn't seem to me to give rise to any cause of action for which relief could be given or to allow this material to be deployed…..
MR LEE: Well, I have taken that on board. I know I have to address that.
HIS HONOUR: So that's - that is what I am concerned about.
MR LEE: I'm grateful to your Honour. Your Honour mentioned a case that the pages of Clyne is particularly - - -
HIS HONOUR: Yes, 200 to 201.
MR LEE: 200 to 201. I may - I'm - well, what I would propose to do overnight is prepare a short note directed precisely to that point.
HIS HONOUR: Yes.
357 The primary judge's comments on 4 October 2012, clearly put Mr Harmer on notice that the primary judge may make findings to the effect to which he had referred. In response to the comments from the primary judge, Mr Harmer did not seek to be independently represented, nor did he apply to be joined as a party. Nor, importantly, did Mr Ashby in response to the primary judge's comments, seek to lead further evidence on these matters from Mr Harmer either before Mr Ashby closed his case, or by way of an application to reopen. Instead, senior counsel on behalf of Mr Ashby duly prepared written submissions which addressed the question of whether Mr Harmer had acted in abuse of process by including the 2003 allegations and the impugned Cabcharge allegations. Oral submissions addressing these questions were made by senior counsel for Mr Ashby on 5 October 2012.