Whether SEPP 55 applies despite the use of Part 4 language
84SEPP 55 was made and (prior to the 2011 amendment) last amended before the introduction of Part 3A into the EPA Act in August 2005. Therefore, SEPP 55 uses Part 4 language because that was the only relevant statutory language when it was made. Clauses 17(1)(c) and 7(1) use Part 4 language (" consent authority"), which is defined in cl 10 in relation to a "development application", and cl 9(d) also uses defined Part 4 language ("development consent").
85The question is whether the language of SEPP 55 is, as the applicant submits, generic - that is, capable of encompassing Part 3A notions - or, as the respondents submit, specifically crystallized and attaching only to Part 4 notions.
86On the respondents' proposed construction, SEPP 55, which provides for a Statewide planning approach to the remediation of contaminated land is relevantly inapplicable. This may be thought surprising, particularly as the environmental assessment requirements (EARs) of the Director-General of the Department of Planning identified SEPP 55 as a relevant environmental planning instrument applicable to the Barangaroo site: see [39] above.
87Words and expressions in a statutory instrument have the same meanings as they have in the Act under which the instrument is made, unless a contrary intention appears in the statutory instrument: ss 5, 11, Interpretation Act 1987. SEPP 55 is a statutory instrument made under the EPA Act.
88"Development consent" is defined in s 4 of the EPA Act as "consent under Part 4 to carry out development". Therefore "development consent" in cl 9(d) means consent to carry out development under Part 4 of the EPA Act and not an approval to carry out a project under Part 3A unless a contrary intention appears in SEPP 55. Likewise, "consent authority" in cl 17(1)(c) has, in relation to a "development application", the meaning attributed to that expression in cl 10 which does not include the Minister granting approval under Part 3A unless a contrary intention appears. However, the definition of "consent authority" is not exhaustive as it is only "in relation to a development application" (a Part 4 term) and does not necessarily preclude a consent authority being the Minister with power to grant Part 3A project approval.
89The applicant submits that a contrary intention to the definitions is evinced such that "development consent" in cl 9(d) should be construed as including a Part 3A approval and "consent authority" in cl 17(1)(c) and cl 7(1) should be construed as including the Minister empowered to approve under Part 3A.
90If the statutory definition of "development consent" is put to one side for a moment, the term can be read in one of two ways. One is the purely Part 4 concept. The other is the ordinary, generic meaning of consent for development. A Part 3A approval is a consent for development in the generic sense even though Part 3A prefers alternative language. Examples of the use of "development consent" in the generic sense appear in documents in evidence using the terms "development consent" and "consent authority" in the context of the subject Part 3A approvals, including the Director-General's reports to the Minister; and even experienced counsel in Part 3A cases, including this one, occasionally slip into using such terms.
91Where the Major Development SEPP uses a generic term such as "consent", it clearly includes a Part 3A approval: eg cl 14 of Part 12 of Schedule 3 The Major Development SEPP plainly is intended to incorporate references to both Part 4 and Part 3A. The applicant submits that the same reading can be given to SEPP 55. That is the burden of the applicant's contrary intention submission.
92In my view, the following factors support that contrary intention, substantially as submitted by the applicant.
93First, the legislature plainly intended in s 75R(2) that at least some SEPPs would apply to the carrying out of work under Part 3A as at August 2005 when Part 3A commenced. This stops short of saying that s 75A(2) is a deeming provision, that is, deeming that all references to Part 4 language in a SEPP should be construed as Part 3A language. If the respondents are right on their rigorous adherence to Part 4 language not being relevant to Part 3A projects, then most SEPPS in force when Part 3A commenced will not apply to Part 3A projects because they tended to use Part 4 language, which was the only relevant statutory language.
94It is reasonable to suppose that the legislature intended s 75R(2) to be a meaningful provision and that provisions of SEPPs in force when Part 3A commenced would not automatically be outside its ambit merely because these SEPPS used the only language known to them, being Part 4 language.
95Second, the object of SEPP 55 is "to provide for a Statewide planning approach to the remediation of contaminated land": cl 2(1). In particular, SEPP 55 "aims to promote the remediation of contaminated land for the purpose of reducing the risk of harm to human health or any other aspect of the environment by requiring that a remediation work meet certain standards and notification requirements": cl 2(2)(c). Those two provisions are supportive of a generic, State-wide approach to remediation.
96Third, cl 19(1) of SEPP 55 provides that if SEPP 55 is inconsistent with another State environmental planning policy, SEPP 55 prevails (subject to immaterial exceptions). Clause 19(1) and cl 2 in combination manifest an intention that SEPP 55 is a generic, state-wide, fundamental, overriding SEPP in the area of contamination and remediation.
97Fourth, cl 17(1)(c) clearly enough applies to category 1 remediation work in a Part 3A EPA Act project of the kinds referred to in cl 9(b) and (c). The respondents, however, say that cl 17(1)(c) cannot apply to remediation work of the kind referred to in cl 9(d) because it uses the words "development consent", which is a defined Part 4 EPA Act term. It is reasonable to ask why cl 17(1)(c) would have been intended to apply to some kinds of category 1 remediation works referred to in cl 9 but not where cl 9(d) applies. There is no obvious reason.
98Sixth, cl 13(1)(b) of SEPP 55 suggests that SEPP 55 covers "State significant development", which used to be a Part 4 concept but became a Part 3A concept upon the introduction of Part 3A. Clause 13(1)(b) provides:
a category 1 remediation work is identified as advertised development, unless the remediation work is ...State significant development.
99SEPP 55 is a 1998 instrument and, prior to the introduction of Part 3A of the EPA Act in 2005, "State significant development" required development consent under Part 4: see the repealed s 76A(3)(b). At that time "State significant development" was defined in the now repealed s 76A(7)(b)(ii) to include:
State significant development is:
...
(b) particular development, or a particular class of development:
...
(ii) that, in the opinion of the Minister, is of State...environmental planning significance...
100When Part 3A was enacted, s 76A was simultaneously repealed and "State significant development" disappeared from the Part 4 lexicon. However, a provision simultaneously appeared in Part 3A in s 75B(2) which describes the kinds of development that may be declared to be a project to which Part 3A applies including one kind which is substantially the same as that appearing in the old s 76A(7)(b)(ii), namely, "major infrastructure or other development that, in the opinion of the Minister, is of State environmental planning significance".
101One of the stated aims of the Major Development SEPP is to rationalise and clarify the provisions making the Minister the approval authority for "sites of State significance".
102Clause 13(1)(b) of SEPP 55 by its reference to "State significant development" suggests that Part 3A development is governed by SEPP 55, which assists the conclusion that "development consent" in cl 9(d) should be construed as including a Part 3A approval.
103That conclusion is confirmed by cl 89 of Schedule 6 of the EPA Act , which is a savings and transitional provision relating to the operation of Part 3A. Clause 89 provides :
89 State significant development matters
(1) If a development application for State significant development is pending on the commencement of Part 3A of this Act, the application is to be determined (unless withdrawn by the applicant) as if the amendments made to this Act by Schedule 1 to the 2005 Amending Act had not been made.
(2) A reference in any Act or instrument to State significant development within the meaning of this Act is taken to be a reference to a project to which Part 3A of this Act applies.
104Clause 89(1) illustrates that Part 3A of the EPA Act first replaced the previous provisions dealing with State significant development, which were encompassed by SEPP 55. The effect of cl 89(2) is that the reference in cl 13(1)(b) of SEPP 55 to "State significant development" should be read as a reference to a project to which Part 3A applies. Consequently, SEPP 55 can be taken to refer to Part 3A projects, subject to any limitation arising from the terms of s 75R(2) (considered below in the context of Ground 3).
105On the respondents' construction, the reference to "State significant development" in cl 13(1)(b) seems to me to be superfluous. This sits unhappily with the principle that a court "construing a statutory provision must strive to give meaning to every word of the provision": Project Blue Sky Inc v Australian Broadcasting Authority [1998] HCA 28,194 CLR 355 at [7].
106Sixth, the contrary intention finds some support in the principle that legislation should be construed as "always speaking"- that is, as ambulatory, thereby embracing future changes in subject matter - unless it evinces a different intention. The principle casts some light on the issue in the present case, namely, how one reconciles, if at all, the old language of SEPP 55 with the new part 3A concepts introduced subsequently.
107Two High Court cases illustrate the application of the "always speaking" principle. In Lake Macquarie Shire Council v Aberdare County Council [1970] HCA 32, 123 CLR 327 there was a question whether a statutory reference to the power of a council to supply "gas" included the supply of liquefied petroleum gas. The legislature had in contemplation only coal gas when the Act was passed because it was the only type of gas then available. The High Court by majority considered that the word "gas" was used in its generic sense and was thus not limited to coal gas. In Imperial Chemical Industries of Australia and New Zealand v Federal Commissioner of Taxation (1972) 46 ALJR 35 Walsh J had decide whether an operation undertaken by the appellant taxpayer constituted "mining" within the meaning of a tax Act thereby entitling the taxpayer to a deduction for its expenditure. When the word "mining" was inserted in the Act, that operation was not known in Australia. His Honour reasoned that if it had been asked, when the word was being included in the Act, whether this sort of operation was a mining operation, the answer would have been in the affirmative. Accordingly, he held that the activity fell within the meaning of the word. On the Imperial Chemical approach, it may be asked in the present case whether the maker of SEPP 55 would have intended to include Part 3A concepts in the SEPP 55 language if the maker had known about them (the intention, of course, must be objectively ascertained). An affirmative answer seems reasonable.
108The respondents suggest that assistance my be found in authorities concerning whether an expression in a regulation has the same meaning as in the Act under which it was made at the time the regulation was made or at the time when the meaning of the regulation is being considered. The second approach is supported by Birch v Allen (1942) 65 CLR 621. The first approach is supported by Kostrzewa v Southern Electricity Authority of Queensland [1969] HCA 32, (1970) 120 CLR 653, at least per Barwick CJ (who did not refer to Birch ). In Belle Design Group Pty Ltd v Woollahra Municipal Council [2004] NSWLEC 284, 136 LGERA 1, Bignold J held that when the issue of the validity of an instrument is in question, its meaning is fixed at its date of making. See the discussion in Pearce & Geddes, Statutory Interpretation in Australia , 6 th ed (2006) LexisNexis at [6.32] - [6.57]. It is unnecessary to engage in this debate because it is not quite the issue in the present case where it is not so much which meaning is picked up but how to reconcile the old language of SEPP 55 with new language of Part 3A subsequently introduced.
109Seventh, the applicant's contrary intention construction is consistent with cl 17(1)(c) and 7(1) in that they do not speak of development consent or a development application but refer to "consent authority" which is defined in cl 10. The definition is not exhaustively about Part 4 because it is only expressed to be in relation to a development application (a Part 4 concept) and therefore does not necessarily exclude the possibility of a development authority being the Minister under Part 3A. There is no need to define who the consent authority is in relation to a Part 3A application for project approval because there can be only one: the Minister.
110The respondents submit that their construction is supported by Rivers SOS Inc v Minister for Planning [2009] NSWLEC 213 That case was concerned with cl 12 of the SEPP (Mining, Petroleum Production and Extractive Industries) 2007, which provided that: "Before determining an application for consent for development for the purposes of mining... the consent authority must" consider and evaluate certain matters. Preston CJ held (relevantly to Ground 3 in the present case) that SEPPS do not apply to the approval or disapproval of a project under part 3A. In case he was wrong, his Honour held (relevantly to Ground 2 which I am presently considering) that cl 12 only applied to Part 4 EPA Act development consents and not to Part 3A project approvals, at [109] - [111]:
109 ...I consider that in any event cl 12 of the Mining SEPP did not apply to the Minister's determination of the application for approval of the Project under Part 3A of the Act. Clause 12 uses the language found in Part 4 of the Act of "an application for consent for development", "consent authority" and "development". None of these words, phrases or terms are used in Part 3A where, instead, application is made for "approval" (not "consent") to carry out a "project" (not "development") and there is no "consent authority" but simply "the Minister" who may "approve" or "disapprove" of carrying out of the Project. It is to be noted that cl 12, containing this language of Part 4 of the Act, is contained within Part 3 of the Mining SEPP which is entitled "Development application - matters for consideration".
110 The use of the language and concepts of Part 4 of the Act in cl 12 of the Mining SEPP, but not the language and concepts of Part 3A of the Act, would appear deliberate and intended. The Mining SEPP was made after the insertion into the Act of Part 3A. The Mining SEPP does expressly refer to Part 3A in certain provisions. In the interpretation provision of cl 3(2) of the Mining SEPP, the word "approved" is defined to include any development or any use of land, not only for which any required development consent under Part 4 of the Act has been granted but also for which approval under Part 3A of the Act has been granted. Clause 19 of the Mining SEPP, containing savings and transitional provisions, again expressly distinguishes between an application for approval under Part 3A of the Act and an application for development consent under Part 4 of the Act.
111 In circumstances where the legislative draftsperson of the Mining SEPP has expressly referred in some of the provisions of Mining SEPP to the language and concepts of Part 3A of the Act, but not in cl 12 of the Mining SEPP, and has expressly referred in cl 12 to "determining an application for consent for development" by "a consent authority" but not "approving an application for approval of a project", cl 12 should be interpreted as referring only to determining an application for consent for development under Part 4 of the Act and not approving an application for approval under Part 3A of the Act.
111Rivers , in my view, does not support the respondents' contention that cll 17(1)(c) and (7)(1) of SEPP 55 are inapplicable merely because they and cl 9(d) use Part 4 language. Indeed Rivers weighs against that construction. In Rivers Preston CJ was careful not to rest his decision simply on the use of Part 4 language in cl 12 of the Mining SEPP. The central plank of his Honour's reasoning was that the Mining SEPP had been made after the introduction of Part 3A and made a deliberate and intended distinction between development to which Part 3A and Part 4 applies. This central plank is absent in the present case. SEPP 55 was made and last amended before the introduction of Part 3A and, consequently, makes no distinction between Part 4 and Part 3A.
112In my opinion, the contrary intention factors to which I have referred justify the conclusion that cll 17(1), (7)(1) and 9(d) of SEPP 55 are not inapplicable merely because they use Part 4 language.