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You are here: BAILII >> Databases >> England and Wales High Court (Administrative Court) Decisions >> SD, R (on the application of) v North Yorkshire Police & Anor [2015] EWHC 2085 (Admin) (16 July 2015) URL: http://www.bailii.org/ew/cases/EWHC/Admin/2015/2085.html Cite as: [2015] EWHC 2085 (Admin) |
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QUEEN'S BENCH DIVISION
ADMINISTRATIVE COURT
In an application for Judicial Review: CPR 54
Oxford Row Leeds LS1 3BG |
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B e f o r e :
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The Queen on the application of SD |
Claimant |
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- and - |
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THE CHIEF CONSTABLE OF NORTH YORKSHIRE POLICE - and - THE DISCLOSURE AND BARRING SERVICE |
Defendant Interested Party |
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Ian Skelt (instructed by Emma Morris) for the Defendant
Hearing dates: 9 July 2015
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Crown Copyright ©
Judge Behrens:
1. Introduction
"The information relates to SD's alleged unprofessional behaviour during a college trip
North Yorkshire Police believe this information to be relevant to an employer's risk and suitability assessment when considering SD's application for technician working with children because without this information the registered body may not be able to mitigate and manage any potential risk.
SD underwent a police investigation in November 2011 following an allegation that he had behaved in an unprofessional manner whilst working as a lecturer supervising a college trip in July 2010. SD allegedly made inappropriate comments of a sexual nature in the presence of students aged between 17 - 24 and other adults present on the trip. The findings of the investigation revealed no criminal offences committed.
SD made representations regarding the above information. Mr SD stated that the complaints were made against him after he had made a complaint against another member of staff. He believed that this member of staff had encouraged others to make allegations about him to discredit him and they were only ever based on hearsay. SD further stated that the allegations were untrue.
After careful consideration, North Yorkshire Police believe that this information ought to be disclosed because it shows SD's alleged inappropriate behaviour /language in the presence of students in his care. In this particular case SD's right to privacy is outweighed by the need to protect the interest of children and for the registered Body to have details of the incident in order to make a balanced decision. The potential risk to any child of being exposed to similar behaviour/language in this instance outweighs any prejudicial impact, however regrettable, to SD.
2. The facts
The trip to Romania
(1) That he took photos of male students outdoors with their tops off;
(2) That he made a sexually inappropriate remark on a train "I've never been sucked off on a train before"; and
(3) That he made sexually inappropriate remarks while drinking in a bar, which have been reported in various ways but at their height, include attribution of the remarks "fishy jump" and "nothing like sex with a 12 year old, right juicy fanny."
Events in 2011 and 2012
S has good interpersonal skills and is keen to be involved with the community, youth and voluntary groups.
Events leading to the ECRC.
We have information that suggests that in October 2011 you were subject to disciplinary and grievance proceedings by Craven College in relation to complaints made by staff and students. We are considering releasing this information on your DBS Certificate.
1. The initial decision of Carrie White including her view as to why disclosure was considered appropriate in the light of SD's right to privacy. It is to be noted that she considered that the allegations were more likely to be true than not.
2. That representations had been made by SD with a brief summary of those representations.
3. The amended proposed disclosure
4. That the proposed disclosure was checked by a DBS Quality Assurance Officer, who agreed with the proposed disclosure, a DBS Manager and by Chief Officer (DCC) Tim Madgwick. Each of these persons gave detailed reasons for believing the disclosure to be proportionate. Each of them believed that the allegations were more likely to be true than not and that it was proportionate to release the information as it would enable the employer to manage the risk.
The dispute
"There is no doubt that the disclosure interferes with the Claimant's Article 8 rights and the main issue in this case is whether such disclosure is proportionate to a legitimate aim. The legitimate aim is obvious but the balancing exercise in cases where there is no conviction and the behaviour complained of is not the most serious is a difficult one. The report of the Independent Monitor clearly supports the Defendant's decision and is well reasoned. The test at this stage however is whether the claim is arguable not whether it is likely to succeed."
Impact on SD
3. The Law
II The legal framework
8. This consists of the 1997 Act, the jurisprudence, and statutory guidance issued by the Home Office in 2012. By section 113B(4) of the 1997 Act:
"Before issuing an enhanced criminal record certificate, the Secretary of State must request any relevant chief officer to provide any information which –
(a) the chief officer reasonably believes to be relevant for the purpose described in the statement under sub-section (2), and
(b) in the chief officer's opinion, ought to be included in the certificate."
A chief officer is required to comply as soon as practicable with a request under section 113B. Sub-paragraphs (a) and (b) require an ECRC to contain information which the chief officer "reasonably believes to be relevant" to a post caring for children or vulnerable adults and ought, in the chief officer's opinion to be included in the certificate.
9. The leading decision on section 113B(4) is that of the Supreme Court in R (L) v Commissioner of Police of the Metropolis [2009] UKSC 3, reported at [2010] 1 AC 410 ("L's case"). It is clear from that decision that the information disclosed may be information that does not involve any allegation of criminal behaviour on the part of the person employed in a post caring for children or vulnerable adults or applying for such a post (see [51]). It follows from this that whether any such information which "might be relevant" "ought" to be included requires a balance to be struck between the need to protect children and vulnerable adults from the risk of harm and the employee or prospective employee's right under Article 8 of the European Convention on Human Rights ("the ECHR") to respect for his private life: L's case at [42].
10. In L's case Lord Neuberger (at [81]) gave guidance about the balancing process and examples of the different and sometimes competing factors which have to be weighed up by the decision-maker. He stated:
"Examples of factors which could often be relevant are the gravity of the material involved, the reliability of the information on which it is based, whether the applicant has had a chance to rebut the information, the relevance of the material to the particular job application, the period that has elapsed since the relevant events occurred, and the impact on the applicant of including the material in the ECRC, both in terms of her prospects of obtaining the post in question and more generally."
He continued:
"In many cases, other factors may also come into play, and in other cases, it may be unnecessary or inappropriate to consider one or more of the factors I have mentioned. Thus, the material may be so obviously reliable, relevant and grave as to be disclosable however detrimental the consequential effect on the applicant."
11. In July 2012 the Home Office issued guidance under section 113B(4A) of the 1997 Act ("the statutory disclosure guidance") to assist chief officers of police in (see paragraph 2) "making appropriate, proportionate and consistent decisions in providing information from local police records for inclusion in enhanced criminal record certificates (ECRCs)". The statutory guidance also contained a number of principles. Those material in the present context are principles 2 and 3, respectively that "information must only be provided if it is reasonably believed to be relevant for the prescribed purpose", and "information should only be provided if the opinion is that it ought to be included". Paragraph 13 of the statutory guidance states that, in order to decide whether he or she reasonably believes material to be relevant, the chief officer must consider a number of factors, in particular the credibility and reliability of the information.
12. Paragraph 18 under principle 2 deals with credibility. It states that the question whether information is sufficiently credible:
"…will always be a matter of judgment, but the starting point will be to consider whether the information is from a credible source. Chief officers should consider whether there are any specific circumstances that lead them to consider the information is unlikely to be true or whether the information is so without substance that it is unlikely to be true. In particular, allegations should not be included without taking reasonable steps to ascertain whether they are more likely than not to be true."
13. As to the question whether information that the chief officer has a reasonable belief is relevant should be included in the certificate, paragraph 22 states:
"If there is a legitimate aim pursued, the next step is to consider whether the disclosure of the information is necessary to pursue that aim including consideration of whether there are any other realistic and practical options to pursue that aim. If disclosure is considered necessary to pursue that aim then the question becomes one of proportionality. In practice, this will involve weighing factors underpinning relevancy, such as seriousness, currency and credibility, against any potential interference with privacy. All decisions must be proportionate. This means that the decision is no more than necessary to achieve the legitimate aim and that it strikes a fair balance between the rights of the applicant and the rights of those the disclosure is intended to protect. It is therefore essential that the reasoning in reaching a decision is fully and accurately recorded in each case."
The last sentence of paragraph 22 is also embodied in principle 7, that "information for inclusion should be provided in a meaningful and consistent manner, with the reasons for disclosure clearly set out."
14. Principle 8 concerns delegation of a chief constable's responsibilities. Paragraph 4 inter alia states that "where delegation occurs, the chief officer should ensure that the delegate has regard to this statutory guidance".
36. It was common ground between the parties that, where the question before a court concerns whether a decision interferes with a right under the ECHR and, if so, whether it is proportionate and therefore justified, it is necessary for the court to conduct a high-intensity review of the decision. The court must make its own assessment of the factors considered by the decision-maker. The need to do this involves considering the appropriate weight to give them and thus the relative weight accorded to the interests and considerations by the decision-maker. The scope of review thus goes further than the traditional grounds of judicial review: see e.g. R (Daly) v Secretary of State for the Home Department [2001] 2 AC 532 at [27].
37. There are also clear statements that it is the function of the court to determine whether or not a decision of a public authority is incompatible with ECHR rights. In R (SB) v Governors of Denbigh High School [2006] UKHL 15 at [30], Lord Bingham stated that "proportionality must be judged objectively by the court". See also Lord Hoffmann at [68], Lord Neuberger MR in L's case [2009] UKSC 3 at [74], and Belfast City Council v Miss Behavin' Ltd [2007] UKHL 19. In the last of these decisions Baroness Hale stated (at [31]) that it is the court which must decide whether ECHR rights have been infringed. In Huang v Secretary of State for the Home Department [2007] UKHL 11 Lord Bingham also stated that the court must "make a value judgment, an evaluation". But he made it quite clear (at [13]) that, despite the fact that cases involving rights under the ECHR involve "a more exacting standard of review", "there is no shift to a merits review" and it remains the case that the judge is not the primary decision-maker. In Axa General Insurance Ltd v HM Advocate [2011] UKSC 46, Lord Reed (at [131]) stated that, "although the courts must decide whether, in their judgment, the requirement of proportionality is satisfied, there is at the same time nothing in the Convention, or in the domestic legislation giving effect to Convention rights, which requires the courts to substitute their own views for those of other public authorities on all matters of policy, judgment and discretion".
38. In SB's case Lord Bingham stated (at [30]) that the evaluation of proportionality must be made by reference to the circumstances prevailing "at the relevant time". In these proceedings, possibly the issue between the parties with the widest implications is what his Lordship meant by "the relevant time". I deal with this at [67] – [92] below.
39. Much consideration has also been given to the weight it is "appropriate" for the court to give to the judgment of the person who has been given primary responsibility for the decision. That person has, in the words of Lord Bingham in Huang's case at [16], been given "responsibility for a subject-matter" and "access to special sources of knowledge and advice". If that person has addressed his or her mind at all to the existence of values or interests which, under the ECHR, are relevant to striking the balance, his or her views and conclusions carry some weight. But, if the primary decision-maker has not done so, or has not done so properly, his or her views are bound to carry less weight and the court has to strike the balance for itself, giving due weight to the judgments made by the primary decision-maker on such matters as he or she did consider: see Belfast City Council v Miss Behavin' Ltd [2007] UKHL 19 per Baroness Hale at [37] and Lord Mance at [47].
91. For these reasons I consider that, in a case such as this, where the primary decision-maker is not under a continuing duty in relation to the matter in the way that the Home Secretary is in the cases to which I referred at [77] – [78], the reviewing court should not consider post-decision material when conducting its assessment of whether a prima facie infringement of an ECHR right has been justified as proportionate. In the context of ECRCs issued pursuant to the 1997 Act, the court was informed that, while the trigger for an ECRC is usually an application for a new job, many bodies, in particular NHS Trusts, require an annual ECRC. On the assumption that, on 12 October 2012, when the disclosure that is challenged was made, the decision to disclose the material was proportionate notwithstanding the effect on A, after the 12 December 2012 decision by the NMC, it would, as I stated at [81], have been appropriate for A to make a further application for an ECRC. That, in my judgment, is what should generally happen. I recognise that exceptional circumstances may justify a different approach in a particular fact situation, but the flexibility of the judicial review procedure as seen in the cases to which I have referred (at [77] above) would permit the court to proceed appropriately in such circumstances.
4. Discussion and Assessment
Reliability
Gravity
Relevance
Lapse of Time
Impact
The material in the ECRC
Proportionality
I am satisfied that the impact of a repeat of the types of incident described in the disclosure certificate would have a significant negative impact on the children you would be responsible for in the terms of the undermining of college discipline and/or causing distress to the children under your responsibility such as to outweigh the impact that disclosure may have on you.