The judgment of the High Court declared s 10, in its then terms, to be invalid. The orders made by Hoeben J under s 10 had not, for other reasons, survived the judgment of this Court on the first appeal.
30 On 16 May 2008 Hoeben J made further orders pursuant to s 12(1) of the Recovery Act, requiring that certain identified persons having an interest in property subject to the restraining order be examined on oath, concerning their affairs and the nature and location of any property in which they had an interest. Section 12(1) described such orders as "ancillary orders" and as available only upon or after making restraining orders. This Court held on the first appeal that such orders, made on 16 May 2008, should also be set aside. Further, this Court on the first appeal set aside orders requiring the production of documents, also made pursuant to s 12(1) and ancillary to the restraining orders.
31 The orders for the joinder of the appellants, and other parties, also made on 16 May, were not set aside by the orders of this Court on the first appeal. The Court left standing orders made under s 33(2) of the Recovery Act, the validity of such orders not being dependent on the restraining orders. Section 33 appears in Part 4 of the Recovery Act, entitled "Information gathering powers" and, so far as relevant, reads as follows:
" 33 Making of production order
(1) If an authorised officer has reasonable grounds for suspecting that a person has possession or control of a property-tracking document … the authorised officer may:
(a) lay before the Supreme Court an information on oath setting out those grounds, and
(b) apply to the Court, ex parte, for a production order against the person suspected of having possession or control of the document ….
(2) The Supreme Court may order the person against whom an application for a production order is made under subsection (1):
(a) except in the case of bankers' books, to produce to an authorised officer at a specified time … any property-tracking documents that are in the person's possession or control …."
32 Section 4 contains the following definition:
property-tracking document means :
(a) a document relevant to:
(i) identifying, locating or quantifying any interest in property of a person who might reasonably be suspected of being, or of having been, engaged in a serious crime related activity …
(b) a document relevant to:
(i) identifying, locating or quantifying an interest in property that might reasonably be suspected of being an interest that is serious crime derived property …."
33 While the concept of having been engaged in "a serious crime related activity" provides an element of the circumstances in which a restraining order made be obtained under s 10, there is nothing in s 33 which renders the power to make a production order dependent upon the existence of a restraining order or any order ancillary thereto. The procedural steps for obtaining a production order are discrete and self-contained. To the extent that the summons filed by the Commission in the Common Law Division sought such orders, neither the orders originally made by this Court, nor the orders as varied by the High Court, cast any doubt on the validity of s 33 of the Recovery Act or the orders made thereunder.
34 At least by the time the fourth amended summons had been prepared, the Commission had included an application for forfeiture orders under s 22 of the Recovery Act. That section relevantly provides:
" 22 Making of assets forfeiture order
(1) The Commission may apply to the Supreme Court for an order forfeiting to, and vesting in, the Crown all or any of the interests in property that are, or are proposed to be, subject to a restraining order when the assets forfeiture order takes effect.
(1A) An application may be made under subsection (1) before or after or at the same time as an application for the relevant restraining order but may not be determined before the restraining order is granted."
35 No issue arose as to the possible invalidity of an order under s 22, in the light of the findings with respect to s 10. Forfeiture orders appear not to have been sought in the original summons, or not to have been sought with respect to all interests in property, because the orders of 25 October 2008 included a grant of leave to the Commission to amend its summons to seek assets forfeiture orders in respect of certain interests in property. In the High Court, Gummow and Bell JJ concluded at [99], in a passage with which French CJ agreed at [60]:
"The appellants have succeeded in establishing the invalidity of s 10. They also challenged the validity of s 22 on a distinct ground. This is that the assets forfeiture provision is a bill of pains and penalties. Section 22 is not a bill of pains and penalties; it does not operate independently of a judicial determination of liability. As the Commonwealth Solicitor-General correctly submitted, the significance of s 22 lies in its interaction with s 10 and not otherwise."
36 Heydon J also dismissed the challenge to the validity of s 22: at [166]-[169]. While s 22 may have no work to do, absent a valid means of obtaining a restraining order, the independent challenge to its validity was rejected.
37 Reference must be made to the procedure under Part 3, Division 2 of the Recovery Act for the making of "proceeds assessment orders". Section 27, so far as relevant provides:
" 27 Making of proceeds assessment order
(1) The Commission may apply to the Supreme Court for a proceeds assessment order requiring a person to pay to the Treasurer an amount assessed by the Court as the value of the proceeds derived by the person from an illegal activity ….
…
(2B) The Supreme Court may not make a proceeds assessment order in an application that relates wholly to external serious crime related activity, unless it is satisfied that no action has been taken under a law of the Commonwealth or any other place outside this State (including outside Australia) in relation to the proceeds of the external serious crime related activity.
…
(7) The amount a person is required to pay under a proceeds assessment order is a debt payable by the person to the Crown on the making of the order and is recoverable as such.
…
(10) Notice of an application under this section is to be given to the person against whom the order is sought and any other person required by the regulations to be given notice.
…
(12) The Supreme Court may, when it makes a proceeds assessment order [or?] at any later time, make any ancillary orders that the Court considers appropriate."
38 The consequence of the making of a proceeds assessment order is not entirely independent of provisions relating to restraining orders and asset forfeiture orders, because property held under a restraining order may be sold in order to satisfy the debt created by a proceeds assessment order: s 30. However, the procedure for invoking the power of the Court is entirely separate from that involved in seeking a restraining order or an assets forfeiture order. Nor is the making of a proceeds assessment order in any way contingent upon either the existence of, or an application for, a restraining order or an assets forfeiture order. Accordingly, there is nothing in the earlier decisions of this Court and the High Court which called in question the validity of an application for an order under s 27.
39 Section 29 is of importance in relation to the appellants' contention that they were prejudiced by the making of the consent orders without notice to them. It states:
" 29 Enforcement of order against property under effective control
(1) On the application of the Commission, the Supreme Court must, if of the opinion that an interest in property is subject to the effective control of a person in relation to whom the Court has made a proceeds assessment order, make an order declaring that the interest is available to satisfy the order to the extent that other property is not readily available for that purpose.
(2) If the Supreme Court declares that an interest in property is available to satisfy a proceeds assessment order, the proceeds assessment order may be enforced against the property to the extent specified in the declaration.
(3) If application is made for an order under this section:
(a) the Commission must give notice of the application to the person against whose interest in property the order is sought and to any other person who the Commission has reason to believe may also have an interest in the property to which the application relates, and
(b) each person to whom notice is given, and any other person who claims an interest in the property, may appear, and adduce evidence, at the hearing of the application.
(4) Despite section 7, an interest in property is not available to satisfy a proceeds assessment order made against a person who has effective control of the interest unless the Supreme Court makes a declaration under this section in relation to the interest."
40 Section 30 permits the Public Trustee who has property under a restraining order to seek a direction that it sell or otherwise dispose of a specified interest in the property, for the purpose of paying to the Treasurer an amount sufficient to discharge a debt created by s 27 arising under the proceeds assessment order.
41 Subject to extant orders of this Court and of the High Court, the law to be applied by this Court on the third appeal will be the law in force at the date of this Court's judgment: see Victorian Stevedoring and General Contracting Co Pty Ltd and Meakes v Dignan [1931] HCA 34; 46 CLR 73 at 109; CDJ v VAJ [1998] HCA 67; 197 CLR 172 at [111]. The law has changed in a material respect since the delivery of judgment by the High Court. On 26 November 2009, the Criminal Assets Amendment Act 2009 (NSW) ("the 2009 Amendment Act") commenced. Section 10 of the Recovery Act, in its invalid form, was replaced by new provisions. (Other changes to the Recovery Act, which have no present relevance, were also made.) Importantly, new provisions of a savings and transitional nature were included in Schedule 1 of the Recovery Act.
42 Two substantive provisions in the 2009 Amendment Act have relevance for the present proceedings. First, provision is made with respect to "current former restraining orders" which are defined to mean "a former restraining order that had not ceased to be in force before 12 November 2009, other than because of the invalidity of s 10 (as purported to be in force immediately before that date) on constitutional grounds": Schedule 1, cl 15. Thus, cl 16 provides:
16 Current former restraining orders
(1) The provisions of a current former restraining order, as purported to be in force before 12 November 2009, have effect by force of this clause on and from the date on which the order was purported to be made or otherwise purported to take effect.
(2) This Act and any other law apply to or in respect of restraining provisions in the same way that they apply to or in respect of a restraining order or ancillary order of the same kind made under this Act.
(3) Without limiting subclause (2), restraining provisions cease to have effect, in accordance with this Act, as if they were a restraining order or ancillary orders of the same kind made by the Supreme Court under this Act.
(4) Any thing done or omitted to be done under this Act or any other law in respect of a current former restraining order or any interest in property purported to be subject to a current former restraining order is taken to have been done or omitted in respect of the corresponding restraining provisions or interest in property subject to those provisions.
(5) This clause does not give effect to the provisions of any order that is set aside or discharged by a court after 12 November 2009 (for any reason) and before the date of introduction into Parliament of the Bill for the 2009 Act in respect of any period after the order was set aside or discharged.
(6) This clause does not apply to the specific restraining orders the subject of proceedings in the Court of Appeal in International Finance Trust Company Limited & Anor v New South Wales Crime Commission [2008] NSWCA 291."
43 The effect of this provision is to give legislative force to a restraining order made by the Court under the invalid s 10 on and from the date on which it purported to have been made: cl 16(1). While that does not apply to "the specific restraining orders the subject of proceedings in [the first appeal]", there is no reason to suppose that it does not apply in its terms to the orders made by Hislop J on 25 October 2008, which were the subject of the second appeal, but which had not been set aside or discharged by a court within the terms of cl 16(5). The challenge mounted by the second appeal could have had effect pursuant to cl 16(4), the phrase "restraining provisions" being defined to mean the provisions given effect by cl 16(1): see cl 15. The second appeal sought to challenge the orders of Hislop J on bases unrelated to the constitutional question. That appeal having been discontinued (see [24] above), that aspect of the matter need not be addressed further.
44 The 2009 Amendment Act also made provision in Schedule 1 with respect to existing applications for assets forfeiture orders. The phrase "existing forfeiture application" was defined to mean "an application for an assets forfeiture order that was pending immediately before 12 November 2009 and that was not dismissed or discontinued for any reason before the commencement of the 2009 Act": cl 15. Clause 20 provides:
" 20 Existing applications for assets forfeiture orders
(1) An existing forfeiture application is taken to have been validly made and may be granted by the Supreme Court under section 22 whether or not a restraining order is made in respect of interests in property the subject of the application.
…
(3) Nothing in subclause (1) prevents an application being made for a restraining order in respect of an interest in property that is the subject of an existing forfeiture application."
45 The operation of cl 20 in the present case depends upon whether there was an existing forfeiture application pending immediately before the order of the High Court, made on 12 November 2009 (which appears to be the case) and, critically, whether that application was dismissed before the commencement of the 2009 Amendment Act on 26 November 2009. Such dismissal may have occurred pursuant to the order of the High Court itself.
46 Although the parties were invited to address the operation of the 2009 Amendment Act in the course of the hearing on 7 December before this Court, little analysis was undertaken and no request was made to seek to address the legislation in further submissions. Under the old (invalid) s 10, a restraining order only remained in force while there was on foot an application for an assets forfeiture order or for a proceeds assessment order: s 10(9). Whether that provision had any bearing on the current litigation was not explored in argument.
47 Finally, it is necessary to note the effect of orders of the Court. It was not in dispute that orders made in the Supreme Court, being a superior court of record, were valid and effective unless and until set aside: Cameron v Cole [1944] HCA 5; 68 CLR 571 at 590 (Rich J, Latham CJ agreeing); Re Macks; Ex parte Saint [2000] HCA 62; 204 CLR 158 at [20] (Gleeson CJ), [49] (Gaudron J, the orders not being made in the exercise of federal jurisdiction), [135] (McHugh J, on the same basis), [232] (Gummow J), [255]-[256] (Kirby J) and [328] (Hayne and Callinan JJ).
Grounds: Operation of order (2)
48 The primary position put on behalf of the appellants was that the consent orders entered into between the Commission and Mr Grimaldi had been discharged as a result of the dismissal of the proceedings in which they were made. Alternatively, they should now be set aside on the same basis.
49 The Commission denied that the consent orders have already been discharged as a consequence of the High Court's order, because that would disregard the fact that an order made without jurisdiction remains valid until set aside. In so far as order 2 dismissed the proceedings, it should not be understood as having the consequence of setting aside otherwise valid orders made between the Commission and a third party, to which the appellants were, as they accept, not party. Further, the Commission contends, the invalidity of s 10 does not affect an order under s 27 of the Recovery Act and in any event the appellants, not being affected by the order, have no standing to challenge it.
50 It is convenient to defer the question of the appellants' standing.
51 As has been noted, by the time the fourth amended summons was filed on 27 October 2008, the proceedings encompassed numerous forms of relief, sought not merely against the beneficial owners of certain bank and share trading accounts, and against the appellants, but also against two other individuals, being Mr Garry Bonaccorso and Mr Grimaldi, together with four companies having addresses in Vanuatu. To the extent that the proceedings, prior to the judgment of this Court in the first appeal, included prayers for relief against identified individuals pursuant to s 27 of the Recovery Act, such prayers were added only after the hearing of the appeal; there is no indication that this Court was aware of the further orders sought at the time it delivered its judgment. Similarly, they played no part in the appeal to the High Court. There is no indication in its judgment that the High Court was aware, or if it were aware, took into account, the fact that other orders were sought in the proceedings, which were not tainted by the invalidity of s 10. That gives rise to two questions, namely:
was order (2) made by this Court, as varied by the High Court, intended to dismiss the proceedings in relation to:
(i) parties other than the appellants, and
(ii) relief sought against the appellants, untainted by the invalidity of s 10?
52 In one respect, these questions only arise if order (2), as varied, had the effect of invalidating or discharging orders already made, untainted by the invalidity of s 10. Indeed, a question arose as to whether such orders, not the subject of challenge in the first appeal, were affected by the result of the first appeal. Thus, it may follow that the orders made by Hislop J on 25 October 2008 under ss 10 and 12, should be set aside on the basis of the invalidity of s 10. However, the application by the appellants to discontinue and have dismissed the appeal against the orders made by Hislop J, appeared to assume that no such step is necessary.
53 The effect of the appellants' submission was that, the proceedings having been dismissed, all other orders made in the course of the proceedings must be taken to have been discharged, even if not expressly set aside.
54 If that were correct, it would be a consequence which followed inadvertently, at least in relation to the orders made by Hislop J. Further, it is inconsistent with common practice in relation to the exercise of judicial power. Where orders have been made erroneously in favour of an applicant, it is never the case that the only order made by the appellate court is one dismissing the application, as opposed to an order setting aside the orders made below and in place thereof ordering that the application be dismissed. This is consistent with principle, namely that the orders of the superior court will have effect until they are set aside or discharged. It would be inappropriate merely to dismiss the original application without dealing with orders already made. Quite apart from considerations of transparency, there would be a question, as there is in the present case, as to the steps which can properly be taken to undo the consequences of orders which have already been carried into effect. For example, the Public Trustee has taken control of property, with power under certain orders to dispose or attempt to dispose of the property and to acquire listed shares with the proceeds of sale: orders, 25 October 2008; orders 3-5 and 10 of the orders identified as the "IFTC orders".
55 To avoid anomalous results of this kind, order 2, as varied by the High Court, should be read as having the following consequences: