Liberty Financial Pty Ltd (ACN 077 248 983) v Scott
[2002] FCA 345
At a glance
Source factsCourt
Federal Court of Australia
Decision date
1999-01-15
Before
Weinberg J
Source
Original judgment source is linked above.
Judgment (16 paragraphs)
REASONS FOR JUDGMENT 1 By Notice of Motion filed on 5 February 2002, the first respondent seeks orders that the Anton Piller order that I made on 20 December 2001 be set aside and/or discharged and that all documents seized pursuant to that order be returned to the custody of his solicitors. The second respondent by Notice of Motion filed on 12 March 2002 seeks relief in the same terms. 2 The principal ground upon which the respondents move relates to alleged non-disclosure of material facts at the time the Anton Piller order was sought. The applicants deny that allegation.
background 3 The first applicant, Liberty Financial Pty Ltd ("Liberty"), is a specialist lender in the business of providing tailored lending products to customers who are unable to obtain finance from traditional sources ("non-conforming loans"). The second applicant, Mr Sherman Ma, is Liberty's managing director. 4 Liberty commenced operating in January 1997. In May 1997, the first respondent, Mr Trevor Scott, was hired as its Chief Account Manager. In December 1998, he was appointed Senior Relationship Manager. Obviously, in these positions, he had had access to information that was highly confidential and commercially sensitive. 5 During his employment with Liberty, Mr Scott signed three separate agreements. These were: · a Deed of Confidentiality entered into prior to commencing employment; · an Executive Service Agreement entered into on 21 May 1997, upon being appointed Chief Account Manager; and · an Executive Service Agreement entered into on 2 December 1998, upon being appointed Senior Relationship Manager. 6 These three agreements each contained strict clauses concerning the protection of confidential information. According to Mr Ma, Mr Scott was reminded on a number of occasions of the need to ensure that the material to which he was privy was kept confidential. 7 Mr Scott continued as Senior Relationship Manager until 15 December 1999 when he tendered his resignation. He subsequently commenced employment in February 2000 with Australian Financial Group (Victoria) Pty Ltd ("AFG"), an association of financial brokers which was, and still is, one of what Liberty describes as its "introducers". He remained with AFG until about June 2000. He then commenced employment with the second respondent, Bluestone Group Pty Ltd (t/a Bluestone Mortgages) ("Bluestone"). Bluestone is a direct competitor of Liberty in the business of providing non-conforming loans. 8 In February 2001, as a result of certain information which had come to Liberty's notice, its solicitors threatened proceedings against Mr Scott in relation to his alleged disclosure of confidential information. On 2 April 2001, Mr Scott pre-empted these threatened proceedings by instituting his own action against Liberty in the Industrial Relations Commission of New South Wales. By that action he sought to have certain of the provisions of his Executive Service Agreements with Liberty set aside or varied. 9 On 29 June 2001, Mr Scott's solicitors were served with a writ and a statement of claim alleging breach of contract. The action was brought in the County Court of Victoria. On the same day, Liberty, through its solicitors, wrote to Mr Scott threatening to seek interlocutory injunctive relief unless he provided undertakings, within seven days, that he would not, during the term of the County Court proceeding, disseminate any information subject to the Deed of Confidentiality or the Executive Service Agreements. 10 On 5 July 2001, Mr Scott, through his solicitors, informed the applicants by letter that he was prepared to give such undertakings. As a result, Liberty did not make any application for interlocutory injunctive relief. 11 On 13 August 2001, Mr Scott filed his defence in the County Court proceeding. 12 On 19 October 2001, the applicants applied, ex parte, to his Honour Judge Holt in the County Court for an Anton Piller order against Mr Scott. That application was refused. 13 On 20 December 2001, the applicants applied to me, ex parte, for an Anton Piller order against Mr Scott, and also for injunctive relief. They were successful in relation to the Anton Piller order. That order was carefully drawn. In addition to the safeguards normally contained in such orders, it provided for the attendance of two independent solicitors at Mr Scott's home during the execution of the order. Those solicitors were both named, and were members of the firm Blake Dawson Waldron. Their role was to supervise the execution of the order, and to prepare a written report to be filed with the Court. The order also provided for the preparation by the applicant's solicitors of an inventory, specifying and describing each item to be removed from the premises. It further provided that any documents so removed were to be delivered into the custody of the supervising solicitors pending the further hearing of the application for interlocutory relief which I adjourned to 24 December 2001.