This morning I presented to junior family lawyers about issues in parenting cases. My paper is below:
QUEENSLAND
LAW SOCIETY
FAMILY
LAW FUNDAMENTALS
PARENTING
MATTERS
BRISBANE
– 7 MAY 2019
By
Stephen Page
QUEENSLAND LAW
SOCIETY
FAMILY LAW
FUNDAMENTALS
PARENTING MATTERS
Brisbane – 7 May 2019
by Stephen
Page[1]
1.
Getting
instructions
Aside from
the usual processes of trying to get clear instructions from a client, and the
need to proof a client (a skill which is unfortunately so often lacking), as
lawyers our job is to think analytically and hopefully to think several steps
ahead. Negotiating or litigation
concerning children is to think as though you are playing a game of chess and
therefore always think several moves ahead, with the exception of course that
as lawyers in parenting matters, whether acting for a party or as the Independent
Children’s Lawyer, the outcome of negotiations in litigation is much more
significant than that from a board game. We have a duty to the child, as well
as our clients.
Any mistakes
we make, it is likely that the child will wear those. These may have a lifelong impact. Nothing is more sobering when having
practised family law for a long time as I have done to reflect back and wonder
what impact the litigation I engaged in has had on children, knowing that these
children have now grown up and likely had education, jobs, relationships and
children of their own.
My teacher
in grade 2C, Mrs Bray, made a note on my report card along the lines of “Stephen is always looking out the window
daydreaming”. I cannot emphasise
enough that to reflect about a matter, particularly involving children is
essential. Too often solicitors act as
spear chuckers for their clients without reflecting about what ought to be in
the material, what they are writing in correspondence, what positions they are
taking in negotiations and what outcomes they are urging upon a court or a
mediator.
We are not
our clients’ runners. Whilst we are the
advocates for our clients, and owe a duty to our clients, we also owe a duty to
the Court, to the law and to the children who are impacted by our actions.
A reminder
about rule 17.1 of the Australian Solicitors Conduct Rules:
“A solicitor representing a client in a matter that is
before the court must not act as the mere mouthpiece of the client or of the
instructing solicitor (if any) and must exercise the forensic judgments called
for during the case independently, after the appropriate consideration of the
client’s and the instructing solicitor’s instructions where applicable.”
Or to use
the words of Mr Robert Grant: “It is
better to represent the interests of your client rather than their anger.”
At the first
attendance on every client in a parenting matter, I ask to see a photo or
photos of the children. These days it is
pretty easy – everyone has a photo on their mobile phone. The reason that we do family law is because
we want to help people. These people and
especially their children are not numbers.
Too often I have seen affidavit material that refers to “the child”
instead of their son “Fred”.
I encourage
you, if you have the time available, to do volunteer work at a community legal
centre advising about family law and to do duty lawyer work in family law or
domestic violence. Aside from the feel
good factor and know that you are helping others, doing volunteer work at a
community legal centre in family law means you have to sharpen your
skills. Typically you will be given a
sheet setting out the client’s problem.
You have to be able to identify that problem precisely (even when the
person filling out the intake sheet has misidentified it) and give practical
succinct advice to deal with the problem – all in 20 minutes.
If you are a
duty lawyer you will soon experience both the gratitude of judges or
magistrates for your assistance and in turn experience all the challenges of
advocacy:
·
Getting instructions quickly;
·
Analysing those instructions;
·
Giving succinct practical advice;
·
Putting propositions to the Court;
·
Finding out what it’s like when you are
underprepared in dealing with the judge;
·
Learning quickly how to properly advocate before a
judge so you can get to the nub of the issue in the short time that you have
before them.
2.
Have a case
plan
I can’t
emphasise enough the need to have a strategy based on a case plan. Reflect and think through as to the state of
the evidence. What ultimately is your
client seeking? Does the evidence
support those propositions? Test your
client as part of the proofing process. Does
your client come up to proof? Give your
client realistic advice.
Above all,
think and reflect about where you want this case to end up. You are not painting by numbers.
It is
essential in preparing the case plan in my view from the very beginning of any
parenting matter to produce a timeline, or as we lawyers call it, a chronology. You need to revise this document on the way
through and it should capture everything. It should have three columns:
·
Date;
·
Event or Allegation;
·
Source.
In the last
column you set out where the source of the information is – such as from correspondence
or from a particular paragraph of a particular affidavit, for example. It might be from subpoenaed material. It might be from bank documents, for example. When you put a chronology together carefully,
it is extraordinary at times the mosaic that appears before your eyes.
In a trial last
year in which I and an associate prepared a lengthy chronology summarising 7
lever arch folders of court documents, Senior Counsel told me that it was a
blessing to receive, making his job particularly with cross-examination considerable
easier - and could I teach other solicitors to do the same, as it is so rarely
done.
As an
example of what could be in a chronology:
Date
|
Event/Allegation
|
Source
|
12/6/14
|
Child Fred Aloysius Lucius Smith born (4)
|
2 Aff M 3/7/17, 3 Aff F 4/8/17, 2 Aff F 9/4/18
|
|
Father present at birth
|
29 Aff M 3/7/17, 41 Aff F 4/8/17
|
26/6/14
|
Mother registers the birth but father unknown
|
44 Aff F 4/8/17, subpoena docs from BDM
|
14/7/14
|
Child’s passport obtained by mother, but without father’s consent
|
45, “A” Aff F 4/8/17
|
21/7/14
|
Mother signs stat dec that father is unknown
|
Stat dec 21/7/14 BDM subpoenaed docs
|
1/2/15
|
Father registered on the birth register
|
Email from BDM 3/9/17
|
Similarly a
well prepared chronology will also reveal, hopefully, to you the gaps in the
evidence for your client’s case.
This year I
had a trial as independent children’s lawyer. Something bothered me about the
matter, but I didn’t know what. I just had a feeling that something was awry.
It was only when I did the chronology, and then reread the subpoena material
that something did not add up about when the child was conceived. I then spoke
to one of the parties’ witnesses before he gave oral evidence. His sworn
affidavit on the point was before the court. No one else sought for him to give
evidence. I was concerned about this point, as I mentioned.
After
speaking to him, I again trawled through the subpoena material during the
trial, one night from 8pm to 1am when EUREKA I found the clue.
That
evidence uncovered by me, through the use of the chronology, reading the
subpoena material carefully and talking to the witness, directed the form of
cross-examination of one of that witness and one of the parties the next day. It
proved by underlying hypothesis. It meant that while before that evidence was
uncovered I was of the view that the child should live with one of the parties
(and have no time with the other), after putting all the evidence together, I
was of the view that the child should live with the other side (and have no
time with that first party).
That
evidence was crucial.
3.
KISS
If we are
fortunate enough to have a client who has unlimited funds and wants to spend
that on litigation, we could possibly make that litigation as complex as
possible. Aside from any issue of
overcharging and making the lives of all concerned miserable (especially that
of the children), you should at all times consider what you do proportionately. The KISS principle (keep it simple, stupid) has
much going for it.
Remember
Judge Harman’s triangle of dispute resolution:
·
Most cases (about 70%) are resolved without any
third party intervention (for example, no action taken, self-help, direct
discussions)
·
Then in a series of smaller groups (each of which
requires more and more resources), we see:
o
Resolved with third party intervention (e.g. lawyer
negotiation, mediation)
o
Proceedings commenced (but resolved without
hearing)
o
And the smallest group, in the past 1-3% of cases,
currently I understand about 5%- proceedings heard and determined by a court.
4.
Learn to
negotiate
It is fundamental to the practice of being
a solicitor or barrister to be able to negotiate. Whether you settle a matter
without going anywhere near a court, or attend mediation or even have a trial-
at all stages sooner or later you will be negotiating on behalf of a client.
Don’t make ambit claims. Put forward
reasonable positions. Particularly in
parenting disputes, generate other options. What other ways can work for this
family and child? Engage in brainstorming if necessary. I suggest in writing
letters or emails when you are putting forward offers to set out succinctly why your client is putting an offer as
well as what the offer is. That way
even if the other side doesn’t agree with the specifics of the offer, you have left
the door open, increasing the chances of negotiating a deal.
Many years ago when I did a mediation
course, the attendees including me were told that we were great at beating up
the parties, but not good at option generation. A negotiation involves option
generation. The more options on the table, the more likely that the matter will
settle.
Last year I was surprised at the last
minute while negotiating at court by the other side putting an offer on one
issue. No explanation was given as to what was sought. We didn’t have time to
ask why. Once we were in court, an explanation was given as to the drafting What
looked on paper to be highly objectionable was in fact- when recast- quite a
reasonable proposal.
While emails are extremely useful, as a means
of negotiating, they are not particularly good. A letter, after all, is a
monologue. To have dialogue is very difficult with an email. Much better to
pick up the phone. Before you do, find out about your opponent, so you have
some idea of who you are speaking with. Look at the QLS website, and Google
their firm website or their Linkedin profile at the least. Ask colleagues about
them.
If you know nothing about negotiation, get
taught! Do a course.
And remember this rule about negotiation
(and of being a practising lawyer): reputation is everything. Your reputation,
once you are known, comes before you- for good or bad. A bad reputation can
take a long time to shake off.
Example: how
not to negotiate
My client saw me about a parenting matter
for the first time, brandishing a letter from her ex’s solicitors. The letter
then listed 5 pages of conditions of an offer. On and on it went, including on
about page 3 a requirement for the children to attend a particular child
psychiatrist for the purposes of psychotherapy. The children had never been for
psychotherapy. On the last page came the clincher. It was along the lines of –
accept our client’s offer or our client
will institute proceedings and obtain an indemnity costs order!
There was next to no chance that a parent,
faced with 5 pages of conditions, including a condition that the children
attend a particular child psychiatrist, would agree to the offer. Not
surprisingly, my client rejected the offer.
The matter ran all the way to trial. My
client was wholly successful, and obtained a substantial costs order against
her former partner.
5.
Be courteous
It is much
easier to catch flies with honey, they say, than with vinegar.
It is very
easy when clients tell you about horrific things that have occurred to be
extremely angry when dealing with the other side. To do so is a mistake. Whilst it is necessary to be assertive for
your client, you have professional responsibilities. If in doubt don’t send that email
straightaway or make that angry phone call but think about it overnight. Alternatively, talk to colleagues to make
sure that anything you draft along those lines is checked. Don’t engage in a slanging match with the
other side in correspondence. It is easy
to do but really should be avoided at all costs. Too often, lawyers let their
egos get in the way of a good outcome for their clients.
If possible,
think about other ways that you may be able to tackle the issue without
inflaming the dispute. Or other ways to get the evidence without turning into a
wild goose chase.
6. Think laterally
Whilst the
focus today is about the Family Law Act,
remember that there is other legislation that might be on point and that you
may need to read and know well. If you
are in the Federal Circuit Court, read the Federal
Circuit Court Rules. If you are in
the Family Court, read the Family Law Rules. These may sound basic and obvious, but you
would be surprised how often practitioners don’t do them.
A couple of
years ago I was sitting in the back of Judge Jarrett’s court on a Tuesday
morning. I had a family law matter, but most of the matters were general
federal law. A migration matter was called. The lawyer for the Department told
his Honour that she had not read the file! She said that she had just come back
from holidays and it was not her matter. Not surprisingly, his Honour told her
not to appear before him again unless she was prepared. “Next matter!” She was
still standing at the Bar table. Not surprisingly, she said she was in this
matter too- and knew nothing about it. His Honour then asked questions of the
applicant’s solicitor, who answered rote like: “I don’t know your Honour. I only got instructions on Thursday.”
After several rounds of this, his Honour finally exclaimed: “Will somebody appear before me this morning
who knows what they’re doing?!”
I was next.
My consent parenting orders, with three parties, were made in a couple of minutes
without fuss.
Other
legislation that might pop up in your case could be the:
·
Adoption Act
2009 (Qld)
·
Child Protection
Act 1999 (Qld)
·
Child
Support (Assessment) Act 1989 (Cth)
·
Domestic and
Family Violence Protection Act 2012 (Qld)
·
Family Law
Regulations 1984 (Cth)
·
Family Law
(Child Abduction Convention) Regulations 1986 (Cth)
·
Family Law
(Child Protection Convention) Regulations 2003 (Cth)
·
Status of
Children Act 1978 (Qld)
·
Surrogacy
Act 2010 (Qld)
·
Trans-Tasman
(Proceedings)Act 2010 (Cth).
Be aware
that this legislation exists. You may need to use it.
7. ADR and section 60I
You may have
a client who is keen to get into court straightaway. Alternatively, you may have a client who
wishes to settle but is fearful that the other side is angling to get into court. When considering whether ADR should occur, is
it appropriate? Do you have a matter
that falls within one of the exceptions to section 60I:
·
Allegations of abuse or family violence;
·
The party is unlikely to attend because for example
they are overseas;
·
The matter might be deemed by the mediator to be
too complex under regulation 25 of the Family
Law (Family Dispute Resolution Practitioners) Regulations 2008 (Cth).
·
Is the matter truly urgent?
A purist
would say that if there has been family violence there should not be ADR. Unfortunately, family violence is
pervasive. When acting for a victim of
family violence, often the process of ADR – if
properly handled – is much more respectful to a client who is the victim of
family violence than an interim hearing, followed by a family report and then a
final hearing. With some clients who are the victims of family violence, ADR
will never be an option. You have to
make an assessment in each case. If in doubt, call a colleague or a counsellor
who is familiar with the dynamics of domestic violence and ADR, and ask. The
point of asking will usually give you the clue. If you are in doubt about your
client’s ability to attend ADR due to domestic violence issues and therefore
you have to phone a friend- will normally tell you of itself that in all
probability your client should not attend ADR. Err on the side of caution and safety
at all times.
There are
few less enjoyable parts of the job in being in a mediation when your client
says: “I will sign this because you are
forcing me to do so”, or worse: “I
signed that deal yesterday because you forced me to do so. I was under duress.”
Knowing your
client, and the stresses and strains they are under will be the surest guide as
to what they can handle. If you have a concern before a mediation that they
will be under duress at the mediation, identify that issue and hopefully work out
a way to minimise the chances of that complaint happening, including identifying
the possible issue with the mediator before or at the commencement of the
mediation.
However, clients
rarely like the prospect that they are going to court, if they had the ability
to settle a matter first.
The items
under regulation 25(2) of the Family Law
(Family Dispute Resolution Practitioners) Regulations 2008 (Cth) are a good
checklist:
·
A history of family violence, if any, among the
parties;
·
The likely safety of the parties;
·
The equality of bargaining power among the parties;
·
The risk that a child may suffer abuse;
·
The emotional, psychological and physical health of
the parties;
·
Any other matter that the family dispute resolution
practitioner considers relevant to the proposed family dispute resolution.
You may have
a client who is poor and therefore has to wait for a Family Relationships
Centre or a conference through Legal Aid Queensland. Your job as far as you can
(depending on your funding) is to try and push that matter as quickly as you
can (unless of course it may be to your client’s advantage to be as slow as
possible!). Unless you are in a regional
or remote area, you may find that the length of the queue at each Family
Relationships Centre or branch of Relationships Australia is different. Get your client to ring around. If the delay in one centre is two months and
somewhere else is four months, go to the place that’s two months. I know it sounds basic, but too often people
forget to do so.
Too often clients
or practitioners don’t think of making enquiries, and when they make enquiries
it’s on the web. The telephone at times
can be a remarkable device for getting information!
Is it to
your client’s advantage to go through a Family Relationships Centre? If your client wants to get into court
quickly, it is often preferable to have a private mediator. These can be expensive. Who is going to pay? How is agreement going to be reached on who
is engaged? If necessary, come up with a
list of three and present it to the other side.
Put a proposal about payment, for example, half each or your client pays
for the cost. Your client may be
reluctant to pay the cost, but it might be a lot cheaper to them to settle it
at mediation rather than to spend tens of thousands of dollars in
litigation.
In your
opening letter to the other side, put an offer.
That offer should say in there somewhere that part of the reason that
your client is putting forward the offer is because your client wants to avoid
the delay, stress, including impact on the children, and of going to trial at a
cost estimated by our client to be up to (say) $100,000. Work out what the figure is likely to
be. Don’t say that it is your estimate
and that you have advised your client.
You don’t want to be waiving privilege, but you do want your client to say
through you as to what the cost is to the other side. Of course, only 5% of matters go to trial,
but it is important to focus on costs from the beginning.
Rest assured
that those who talk to each other after the litigation is over compare notes
about how much their lawyer has charged them.
Clients will always be able to tell you how much they have spent with you
even if you’re not entirely sure how much they have paid. By putting a dollar figure in that first
letter, it is extraordinary how often that helps resolve a matter. Invariably
the party on the other side sees that figure, even if they don’t absorb anything else.
8. Focus on safety
It is
imperative that if you are practising in family law that you know about
domestic violence. Regrettably, domestic violence is pervasive in family law.
My first family law cases- back in 1985- had domestic violence at their core.
Regrettably I am still getting cases now that have domestic violence as a feature. According to the Bryce Taskforce report, Not Now, Not Ever, domestic violence
rates have gone up, not down. However recent statistics published in Queensland
by the Department of Justice and Queensland Police Service indicate that
domestic violence incidents are down, while prosecutions are up[2].
It is good
to ensure that your client undertake a risk assessment about family violence-
and then does a safety plan. You may need to consider your safety too. Just
because you act for a party does not make you immune. It may make you a target.
Familydoors.com contains good, albeit
cumbersome, screening tools. I was shocked in March to be acting for a new
client in a parenting matter. She had been the subject, according to her, of
terrible domestic violence (including attempted strangulation) over several
years. The matter had been litigated for 2 years. The husband had been
convicted of assault occasioning bodily harm to her and of breaching a
protection order- the latter of which he received probation. And yet, despite
receiving expert legal advice before me from various sources, and attending
various counsellors, including a domestic violence service:
·
No risk assessment had been carried out!
·
She did not have a will.
·
There had been no discussion with her about severing
the joint tenancy.
It is
essential to focus on safety for your client, your client’s children, and you. A
safe client is better than a dead one.
9.
Off to Court
You
act for the applicant and it is the type of matter that ordinarily would be
dealt with in the Family Court or the Federal Circuit Court. If you had an international child abduction
matter of course, unless you are the respondent you won’t be going there but likely
taking the matter elsewhere through International Social Services in Sydney.
It’s your
client’s choice as to in which court the matter is filed. Of course if you choose the Family Court and
the matter should be in the Federal Circuit Court (or vice versa) the matter
will likely be transferred later.
Ordinarily
you would pick the Family Court for more complex matters such as:
·
You expect the matter will take greater than 4 days
at trial;
·
There are allegations of child sexual abuse,
meaning that the matter will likely end up on the Magellan List;
·
You have an international relocation case.
A likelihood
with the current ALRC review of the system is that we will end up with one
court- one part to do trials and the other to do appeals- but we not there yet.
All other
matters will ordinarily be dealt with in the Federal Circuit Court. If you are filing in the Family Court,
following changes in 2018, you won’t be filing annexures and exhibits. You will have a brief description of the
document and you will have a separate tender bundle, a “paper” version of which
has to be served at the same time as the affidavit being served. Electronic service is not sufficient. I
understand if you then try and seek to tender that tender bundle, one judge,
Carew J, will require you to tender each item separately, and to be able to justify
why that item is able to be tendered.
If you are
commencing in the Federal Circuit Court, then on an interim basis your client’s
affidavit must be no longer than 10 pages.
It must have no more than 5 annexures.
It is tricky about how to properly particularise domestic violence in
those circumstances. This will be our
continuing challenge. Be very sparse
about how you plead your client’s affidavit.
Avoiding flowery language helps.
Cut your material to the bone. It
will probably mean that you engage in numerous drafts of your client’s
affidavit until you get it right.
If your
client has the benefit of a protection order and you are the applicant, then
attach a copy of that order to the initiating application. Voila!
You have one less annexure!
For those in
the Brisbane Registry, interim applications are with by their Honours Judges
Jarrett, Spelleken and Coates. When
drafting the orders sought and the affidavit material, bear in mind who the
judicial audience might be.
Judge
Jarrett, for example, seeks great particularity as to the precise orders that
your client is seeking both on an interim and final basis. Knowing the level of the dispute between the
parties, think carefully about the length of the orders that your client is
seeking. I have seen draft orders in
parenting matters go for 13 pages with umpteen clauses. While one might imagine that in a highly
complex matter, is it needed in this case?
Think of the KISS principle. Don’t just copy and paste from a precedent.
These are real people who seek our assistance- and for whom you are sending a
bill for your services.
The old rule
was the fewer matters in dispute/the better behaved the parties – the shorter the
orders. Conversely, the more matters in
dispute/the worst behaviour of the parties – the longer the orders.
Think
carefully about whether or not your client is seeking equal shared parental
responsibility. If you act for the
mother, for example, who asserts that the father is a violent misogynist,
drinks all day and night and leaves the children unattended whilst he falls
asleep in a coma, should you be seeking on behalf of your client an order for
equal shared parental responsibility?
By contrast,
if you act for the mother and she asserts that the father is a good carer, but
they have minor disputes about a series of items, such as the school that the
child might attend, is it appropriate to say that your client has sole parental
responsibility? What kind of case are
you trying to put before the Court?
If your
client asserts that the parties should have equal care for the children on say
a week about basis, does that theory fit with the evidence that your client
puts in material that shows that these parties could not agree whether it is
night or day and are simply unable to cooperate on anything? What must life be like for that child moving
between those households?
Reflect on
the orders that your client is seeking.
Don’t do it by the numbers but think about this particular case and about
how these particular children will be provided for in the making of these
orders.
10. Is your client a parent?
A parenting
order under section 65C in relation to a child may be applied for by:
(a) either or both of the child’s parents;
(b) the child;
(ba) a grandparent of the child; or
(c) any other person concerned with the care,
welfare and development of the child.
As to the
last phrase, the Full Court has said that there must be an existing relationship
between that person and the child before they satisfy section 65C(c)[3]. Furthermore, the Court must be satisfied – as
a threshold issue – that the person meets the criteria, before any
consideration is given to any application that might be before the Court. If they don’t have standing, that’s the end
of the matter.
You should always
ask your clients about how their children were conceived. This is useful to know whether a child was
planned or unplanned (and for that matter I always ask why they separated). It may not be directly relevant to the
evidence but it will give you a good dynamic of what might be in store. For example, the parties may have grown apart
– a low key separation; the husband may have had an affair with the wife’s
sister – bombshell separation and likely to lead to litigation, similarly for
severe domestic violence, for example.
Why it is
important to ask about how the child was conceived was if the parties engaged
in assisted reproductive treatment or surrogacy. If the former, for example there is a lesbian
couple, was the sperm donor a known donor and active in the child’s life or an
anonymous donor through a clinic? If the
latter, both parties, or one of them, may not be parents under the Family Law Act, meaning that section
65C(c) has to be traversed as a threshold issue first.
Packer and Irwin [2013] FCCA 658
Ms Packer and Ms Irwin were a couple who wanted to have children. A good friend of theirs donated his
sperm. They entered into a sperm donor
agreement in effect saying that they were the parents and he was not.
Ms Irwin gave birth to both children using their friend’s sperm.
Ms Packer and Ms Irwin separated.
After several years of separation, Ms Packer instituted proceedings in
the Federal Circuit Court for parenting orders.
The donor played an active role in the children’s lives. In fact he spent more time with the
children than did Ms Packer. He took
them to extracurricular activities, for example. In every sense, he was the dad of the
children save that no-one referred to him as dad.
A family report was prepared which said that the children in effect
had three parents. The donor
intervened in the proceedings, powerfully supporting Ms Irwin’s case. Ms Packer was unsuccessful in her
application.
|
Bernieres and Dhopal [2017] FamCAFC 180
Mr and Mrs Bernieres wanted to have a child. They lived in Victoria. They travelled to India and underwent
surrogacy there. To do so was lawful under
Victorian law, but non-compliant.
Victorian law concerning surrogacy required that the IVF be undertaken
at a Victorian IVF clinic.
All went according to plan. The
child was born, handed over by the surrogate and her husband. A birth certificate issued in India naming
Mr and Mrs Bernieres as the parents.
The child obtained Australian citizenship. Mr and Mrs Bernieres returned to Victoria
with their baby.
They then applied to the Family Court for three orders:
1.
That they had equal shared
parental responsibility;
2.
That the child live with them;
3.
That they be declared to be the
parents.
They had no difficulty with the first two orders. At first instance Berman J declined the
declaration because they were outside the scope of section 60HB of the Family Law Act (which recognises
someone as a parent if a State or Territory surrogacy order has been made.
Mr and Mrs Bernieres appealed. The
Full Court found that they were not parents under the Family Law Act because they had not complied with Victorian law
and the Lacuna in Victorian law under its Status
of Children Act was not able to be cured by judicial action.
There are likely hundreds or thousands of children throughout
Australia who have been conceived and born through overseas surrogacy. It should not be assumed that the intended
parents are the parents under the Family
Law Act of those children.
|
Parsons and
Masson [2018] FamCAFC 115
The first Ms
Parsons and Mr Masson decided to co-parent a child. Ms Parsons was single. She
was found to later have formed a de facto relationship with another woman, whom she later married, also Ms
Parsons. Mr Masson produced the sperm. The first Ms Parsons became pregnant in
an at home insemination. At trial, Mr Masson was found to be the father, based
on biology, intention and parenting.
On appeal,
Thackray J (with whom Murphy and Aldridge JJ agreed) held that who was a parent
was determined either under specific provisions of the Family Law Act, or
otherwise the provisions of the relevant Status of Children Act, and that they
determined who was or was not a parent. Biology, intention and parenting a
child did not determine who was a parent.
Mr Masson has
sought leave to appeal. That application is to be heard on 16 April 2019. The
Commonwealth Attorney-General has intervened, essentially saying that who is a
parent under
the Family Law Act is to be determined on a case by case basis, and that the
Full Court was in error. We shall see what develops.
11. The family law pathway
There are
two cases amongst all the others that really stand out to illuminate the
pathway:
·
Goode &
Goode [2006] FamCA 1346; and
·
MRR v. GR [2010] HCA 4.
Goode & Goode sets out an excellent summary of the 2006
amendments, which form the basis of the various presumptions and pathway that
we are still dealing with years later.
Commencing
at [11] their Honours note the framework for determining parenting orders:
(1)
Under section 61DA(1) when making a parenting order
in relation to a child [including an order for parental responsibility] the court
must apply the presumption that it is in the best interests of the child for
the child’s parents to have equal shared parental responsibility for the child.
(2)
The presumption does not apply if there are
reasonable grounds to believe that a parent of the child (or a person who lives
with the parent of the child) has engaged in:
a.
abuse of the child or another child who, at the
time, was a member of the parent’s family (or that other person’s family); or
b.
family violence. [Note the wide definition of family
violence in s.4AB.]
(3)
When the court is making an interim order the
presumption applies unless the court considers that it not be appropriate in the
circumstances for the presumption to be applied when making that order.
(4)
The presumption may be rebutted by evidence that
satisfies the court that it would not be in the best interests of the child for
the child’s parents to have equal shared parental responsibility for the child.
Section 61DB
provides that if there is an interim parenting order in relation to the child,
the court must, in making a final parenting order in relation to the child,
disregard the allocation of parental responsibility made in the interim order.
The court
noted that the relevance of the presumption of shared parental responsibility,
where it applies, is that it triggers the application of section 65DAA, which
provides for the court to consider whether the child spend equal time with each
of the parents would be in the best interests of the child, and consider
whether the child spending equal time with each of the parents is reasonably
practicable and if it is, consider making an order to provide (or including
provision of the order) for the child to spend equal time to each of the
parents.
If a
parenting order is to provide the child’s parents are to have equal shared
parental responsibility for the child and the court does not make an order for
the child to spend equal time with each of the parents, then the court must:
·
Consider whether the child spending substantial and
significant time with each of the parents would be in the best interests of the
child; and
·
Consider whether the child spending substantial and
significant time each of the parents is reasonably practicable; and
·
If it is, considering making an order to provide
(or including a provision in the order) for the child to spend substantial and
significant time with each of the parents.
Under
section 65DA(3) substantial and significant time is considered to be both:
(1)
Days that fall on weekends and holidays;
(2)
Days that do not all on weekends or holidays and
allows the parent to be involved in:
(i)
the child’s daily routine; and
(ii) occasions
and events that are of particular significance to the child and for the child
to be involved in occasions and events that are of special significance to the
parent.
The court
can have regard to other matters in determining whether the time a child spends
with a parent will be substantial and significant: section 65DAA(4).
Under
section 65DAA(5) in determining for the purposes of subsections of (1) and (2)
whether it is reasonably practicable for a child to spend equal time, or
substantial and significant time, with each of the child’s parents, the Court
must have regard to:
(a)
how far apart the parents live from each other; and
(b)
the parents’ current and future capacity to
implement an arrangement for the child spending equal time, or substantial and
significant time, with each of the parents; and
(c)
the parents’ current and future capacity to
communicate with each other and resolve difficulties that might arise in the
implementing and arrangement of that kind; and
(d)
the impact that an arrangement of that kind would
have on the child; and
(e)
such other matters as the Court considers relevant.
The Full
Court answered a number of questions:
(1)
Is there a difference between parental
responsibility and equal shared parental responsibility?
The Full
Court noted that parental responsibility is defined in section 61B and its
effect is explained in sections 61C and 61D.
Section 61B provides that parental responsibility for a child means all
the duties, powers and responsibilities and authority which by law, parents
have in relation to children. Section
61C provides that each parent has parental responsibility for a child who is
not 18 years, despite any changes in the nature of the relationship with the
child’s parents and in particular it is not affected, for example, by the
parties becoming separated or by either or both of them marrying or
remarrying. This section provides that
it has effect, by operation of law, subject to any order of a Court.
Section 61D
provides that a parenting order confers parental responsibility for a child on
a person, but only to the extent to which the Court confers on the person
duties, powers, responsibilities or authority in relation to the child. Section 61D(2) provides that a parenting
order in relation to a child does not take away or diminish any aspect of the
parental responsibility of any person for the child except to the extent, if
any, expressly provided for in the order or necessary to give effect to the
order.
The Court
stated at [37]:
“Where no contrary order has been made, parents may exercise this responsibility
independently or jointly. This would be
so whether the parties were married, living together, never lived together or
separated as long as there was no contrary order in force.”
The Court
noted that section 65DAC sets out the effect of a parenting order that provides
for shared parental responsibility. The
section requires decisions about major long-term issues about children to be
made jointly by those persons who are to share parental responsibility and that
they are required:
(a)
To consult the other person in relation to the
decisions to be made about that issue;
(b)
To make a genuine effort to come to a joint
decision about that issue.
Section
65DAE provides that if a child is spending time with a person under a parenting
order, then that person is not required to consult with a parent or other
person who shares the parental responsibility about decisions that are not
major long-term issues, unless the Court has made a contrary order.
Major long-term issues is defined
in section 4:
“In relation to a child, means issues about the care, welfare and
development of the child of a long-term nature and includes (but it not limited
to) issues of that nature about:
(a)
the child’s
education (both current and future); and
(b)
the child’s
religious and cultural upbringing; and
(c)
the child’s
health; and
(d)
the child’s
name; and
(e)
changes to
the child’s living arrangements that make it significantly more difficult for
the child to spend time with the parent.”
The Court
said at [39]:
“We therefore consider it clear that there is a difference between
parental responsibility which exists as a result of section 61C and an order
for shared parental responsibility, which has the effect set out in section
65DAC. In the former, the parties may
still be together or may be separated. There
will be no Court order in effect and the parties will exercise the
responsibility either independently or jointly. Once the Court has made an
order allocating parental responsibility between two or more people, and
including an order for equal shared parental responsibility, the major
decisions for the long-term care and welfare of children must be made jointly,
unless the Court otherwise provides.”
(2)
Does the presumption that equal shared parental
responsibility is in the best interests of the child carry with it any
presumption about time?
The Court
stated at [40] – [41]:
“Neither counsel submitted to us that there was any presumption about
time arising from the application of section 61DA, namely the application of a
presumption that it is in the best interests of the child for the child’s
parents to have equal shared parental responsibility. So much is clear from the note to section
61DA(1) itself, which provides:
40. The
presumption provided for in this subsection is a presumption that relates solely
to the allocation of parental responsibility for a child as defined in section
61B. It does not provide for a
presumption about the amount of time the child spends with each of the parents
(this issue is dealt with in section 65DAA).
41. We
do not consider, nor was it submitted to us by either counsel, that there was
any doubt about the meaning of the note or the section.”
(3)
Can one make an order for equal shared parental
responsibility or equal time, other than by application of the presumption?
The Court
stated at [43] – [48]:
“When
making a parenting order in relation to a child, the Court must apply the presumption that it is in the best interests of the
child for the parents to have equal shared parental responsibility. The presumption however does not apply where
there are reasonable grounds to believe there has been abuse of the child or
family violence (section 61DA(2)) or, when making an interim order, the Court
does not consider application of the presumption appropriate (section 61DA(3)). The presumption may be rebutted if the Court
is satisfied that it would conflict with the child’s best interests (section
61DA(4)).
The
importance of section 61DA is that if the Court applies the presumption of
equal shared parental responsibility when making parenting orders, then that
presumption is the starting point for a consideration of the practicality of
the child spending equal time with each of the parents and, if it is consistent
with the best interests of the child and not impracticable, the Court must
consider making an order that the child spend equal time with each of the
parents. If the Court does not make such
an order, it must consider whether making an order that the child spend
substantial and significant time with each of the parents would be in the best
interests of the child and not reasonably impracticable and, if so, must consider
making such an order (see section 65DAA).
Section 65DAA(3) explains the meaning of “substantial and significant
time”.
Section
65DAA(5) provides some guidance to determining whether it would be reasonably
practicable for a child to spend equal time or substantial and significant time
with both parents and includes, but is not limited to, proximity, capacity to
implement the arrangements under consideration, current and future capacity to
communicate and resolve difficulties, the impact such an arrangement would have
on the child and other relevant matters.
It is clear that if the presumption that it is in the best interests of
the child for the parents to have equal shared parental responsibility is
applied, then the path described in section 65DAA needs to be followed,
starting with an order for a child spending equal time with both parents would
be appropriate.
However,
this is not the only way in which the Court could consider equal time. Even if the presumption is rebutted or is not
to apply in the interests of the child, if one or both of the parties is
seeking such an order, the Court would normally consider, in the making of an
order, what each party was seeking when considering the child’s best interests
in accordance with the objects in section 60B and the primary and additional
considerations in section 60CC.
Similarly,
even if the presumption of equal shared parental responsibility is not applied
and neither party seeks an order for equal time (or by implication substantial
and significant time), the Court is nonetheless required to consider, in
determining what is in the best interests of the child, the arrangements that
will promote the child’s best interests.
Subject to according procedural fairness to the parties, this could include
a proposal that neither party had advanced, if it was in the Court’s view
ultimately in the child’s best interests for such an order to be made…
Therefore,
whilst the application of the presumption of equal shared parental
responsibility may be the trigger for the operation of section 65DAA, it is not
the only basis upon which the Court may make an order for equal or substantial
and significant time to be spent by the parents with the child. However, in our view where the presumption of
equal shared parental responsibility is to apply, the starting point is the
consideration of whether it would be in the child’s best interests to spend
equal time with both parents and the practicability of such an
arrangement. Where neither an outcome
providing for equal time or substantial and significant time promotes the
child’s best interests, the Court determines the parenting applications and the
best interests of the child having regard to the matters found in the objects
(section 60B) and section CC.”
(4)
What is the significance of the specific references
to parental responsibility and interim proceedings in the Act?
The Court
stated at [51]:
“It is not necessary to seek an order for equal shared parental
responsibility to trigger the presumption in section 61DA. All that is required is that the Court be
making a parenting order. Thus, it does
not matter whether the issue of equal shared parental responsibility was put in
issue by the parties, or either of them, as the Court is required to apply
section 61DA in any case in which a parenting order is to be made.”
The Court
stated at [56]:
“In our view the Act makes it clear that when a parenting order is
sought, whether it be an interim or final order, the starting point is the
application of a presumption that it is in the best interests of the child that
the child’s parents have equal shared parental responsibility as expressed in
section 61DA, subject to the qualifications in subsections (2), (3) and (4).”
(5)
What does “consider” mean?
The Court
stated at [57]:
“When any parenting order is made for equal shared parental
responsibility then the Court must apply section 65DAA. This requires the Court to consider the child spending equal time
or substantial and significant time with each parent in certain circumstances. The question therefore arises, what does
“consider” mean?”
The Court
stated at [64]:
“The juxtaposition of sections 65DAA(1)(a), 65DAA(1)(b) and 65DAA(1)(c)
suggests a consideration tending to a result, or the need to consider
positively the making of an order, if the conditions in section 65DAA(1)(a),
being the best interests of the child, and section 65DAA(1)(b), reasonable
practicability, are met. The same considerations apply to section 65DAA(2).”
The Court
then set out what the effect of the 2006 amendments to Part VII at [65]:
“(1) Unless the Court makes an order changing the statutory conferral
of joint parental responsibility, section 61C (1) provides that until a child
turns 18, each of the child’s parents has parental responsibility for the
child. “Parental responsibility” means
all the duties, powers, and authority which by law parents have in relation to
children and parental responsibility is not displaced except by order of the
Court or the provisions of a parenting plan made between the parties.
(2) The making of a parenting order triggers the application of a
presumption that it is in the best interests of the child for each of the
child’s parents to have equal shared parental responsibility. The presumption must be applied unless there
are reasonable grounds to believe that a parent or a person who lives with the
parent has engaged in abuse to the child or family violence (section 61DA(1)
and section 61DA(2)).
(3) If it is appropriate to apply the presumption, it is to be
applied in relation to both final and interim orders unless, in the case of the
making of an interim order, the Court considers it would not be appropriate in
the circumstances to apply (section 61DA(1) and section 61DA(3)).
(4) The presumption may be rebutted where the Court is satisfied
that the application of a presumption of equal shared parental responsibility
would conflict with the best interests of the child (section 61DA(4)).
(5) When the presumption is applied, the first thing the Court must
do is to consider making an order if it is consistent with the best interests
of the child and reasonably practicable for the child to spend equal time with
each of the parents. If equal time is
not in the interests of the child or reasonably practicable the Court must go
on to consider making an order if it is consistent with the best interests of
the child and reasonably practicable for the child to spend substantial and
significant time with each of the parents (sections 65DAA(1) and (2)).
(6) The Act provides guidance as to the meaning of “substantial and
significant time” (sections 65DAA(3) and (4)) and as to the meaning of
“reasonable practicability” (section 65DAA(5)).
(7) The concept of “substantial and significant time” is defined in
section 65DAA.
(8) Where neither concept of equal time nor substantial and
significant time delivers an outcome that promotes the child’s best interests,
then the issue is at large and to be determined in accordance with the child’s
best interests.
(9) The child’s best interests are ascertained by a consideration of
the objects and principles in section 60B and the primary and additional
considerations in sections 60CC.
(10) When the presumption of equal shared parental responsibility is
not applied, the Court is at large to consider what arrangements will best
promote the child’s best interests, including, if the Court considers it
appropriate, an order that the child spend equal or substantial and significant
time with each of the parents. These
considerations would particularly be so if one or other of the parties was
seeking an order for equal or substantial and significant time but, as the best
interests of the child are the paramount consideration, the Court may consider
making such orders whenever it would be in the best interests of the child to
do so after affording procedural fairness to the parties.
(11) The child’s best interests remain the overriding consideration.”
(6) What process
should apply in interim parenting proceedings?
The Court
stated at [68]:
“The
procedure for making interim parenting orders will continue to be on a bridge
process where the scope of the enquiry is “significantly curtailed”. Where the Court cannot make findings of fact
it should not be drawn into issues of fact or matters relating to the merits of
the substantive case where findings are not possible. The Court also looks to the less contentious
matters, such as the agreed facts and issues not in dispute and would have
regard to the care arrangements prior to separation, the current circumstances
of the parties and their children, and the parties’ respective proposals for
the future.”
Furthermore,
at [72] to [74]:
“In our view, it can be fairly said that there is a
legislative intent evinced in favour of substantial involvement of both parents
in their children’s lives, both as to parental responsibility and as to time
spent with the children, subject to the need to protect children from harm,
from abuse and family violence and provided it is in their best interests and
reasonably practicable. This means where
there is a status quo or well settled environment, instead of simply preserving
it, unless there are protective or other significant best interest concerns for
the child, the Court must follow the structure of the Act and consider
accepting, where applicable, equal or significant involvement by both parents
in the care arrangements for the child.
That is not to say that stability derived from a
well settled arrangement may not ultimately be what the Court finds as being
the child’s best interests, particularly where there is no ability to test
controversial evidence, but that decision would be arrived at after a consideration
of the matters contained in section 60CC, particularly section 60CC(3)(d) and
section 60CC(3)(m) and, if appropriate, section 60CC(4) and section 60CC(4A).
We also acknowledge that, because of the
circumscribed nature of the proceedings, the reasons given at an interim
hearing may be brief. So too, the filing
of lengthy affidavits is unlikely to be helpful where the Court is unable to
make findings about disputed facts.”
(7) In what
circumstances will section 61DA(3) of the Act be properly invoked?
Section
61DA(3) says:
“When
the Court is making an interim order, the presumption applies unless the Court
considers it would not be appropriate in the circumstances for the presumption
to be applied when making that order.”
The Court
said at [78]:
“The
combination of the Revised Explanatory Memorandum and the comments of the House
of Representatives Standing Committee on Legal and Constitutional Affairs
suggests that section 61DA(3) provides a discretion not be exercised in a broad
exclusionary manner, but only in circumstances where limited evidence may make
the application of the presumption, or its rebuttal, difficult.”
12. How should interim proceedings be conducted?
Somewhat acerbically,
the Court stated at [81]:
“When
making interim decisions the Court will still often be faced with conflicting
facts, little helpful evidence and disputes between the parties as to what
constitutes the best interests of the child.
However, the legislative pathway must be followed.”
The Court
said at [82] an interim case that would involve the following:
(a)
Identifying
the competing proposals of the parties;
(b)
Identifying
the issues in dispute in the interim hearing;
(c)
Identifying
any agreed or uncontested relevant facts;
(d)
Considering
the matters in section 60CC that are relevant and, if possible, making findings
about them (in interim proceedings there may be little uncontested evidence to
enable more than a limited consideration of these matters to take place);
(e)
Deciding
whether the presumption in section 61DA that equal shared parental
responsibility is in the best interests of the child applies or does not apply
because there are reasonable ground to believe there has been abuse of the
child or family violence or, in an interim matter, the Court does not consider
it appropriate to apply the presumption;
(f)
If the
presumption does apply, deciding whether it is rebutted because application of
it would not be in the child’s best interests;
(g)
If the
presumption applies and is not rebutted, considering making an order that the
child spend equal time with the parents unless it is contrary to the child’s
best interests as a result of consideration of one or more of the factors in
section 60CC, or impracticable;
(h)
If equal
time is found not to be in the child’s best interests, considering making an
order that the child spend substantial and significant time as defined in section
65DAA(3) with the parents, unless contrary to the child’s best interests as a
result of consideration of one or more of the matters in section 60CC, or
impracticable;
(i)
If neither
equal time nor substantial and significant time is considered to be in the best
interests of the child, then making such orders in the discretion of the Court
that are in the best interests of the child, as a result of consideration of
one or more of the matters in section 60CC;
(j)
If the
presumption is not applied or is rebutted, then making such order as is in the
best interests of the child, as a result of consideration of one or more of the
matters in section 60CC; and
(k)
Even then,
the Court may need to consider equal time or substantial and significant time,
especially if one of the parties has sought at all, if neither has sought it,
if the Court considers after affording procedure fairness to the parties it is
to be in the best interests of the child.
When
preparing a matter for interim hearing, I strongly urge you to follow that
pathway. It will focus your mind, focus
the evidence and submissions and hopefully focus the mind of the judicial
officer and will less likely lead the judicial officer to error, resulting in
an avoidable appeal.
MRR v. GR [2010] HCA 4
The parties
lived in Mt Isa. Orders were made that
the parties have equal shared responsibility for the child and that she spend
equal time with each of them. The orders
were made on the basis that (contrary to the mother’s expressed wish) both
parties would live in Mt Isa. The
parties had lived in Sydney from 1993 until January 2007, when they moved to Mt
Isa in order that the father could gain work experience as a graduate
mechanical engineer. He was initially to
be there for two years. By the time of
the hearing in the Federal Magistrates Court, the indications were that his
contract would be extended.
The parties
separated in August 2007 shortly after they travelled to Sydney to attend an
awards ceremony connected with the father’s graduation. The father returned to Mt Isa and advised the
mother that it would be necessary for her to find alternative accommodation
there. The mother returned only to collect
her belonging and remained living with the child at her father’s residence in
Sydney. Interim orders were made for the
mother and child to return to Mt Isa, which then happened. At the time of hearing, the child was living
with each parent in Mt Isa on a week about basis. The mother’s initial proposal involved her
living in Sydney with the child. The
father would not consider living in Sydney and was determined to remain
employed in Mt Isa. The mother amended
her proposal to add two further alternatives – that she remain in Mt Isa or the
parties both live in Sydney.
In
considering section 65DAA, French CJ, Gummow, Hayne, Kiefel and Bell JJ stated
at [9]:
“Each
of subsections (1)(b) and (2)(d) of section 65DAA require the Court to consider
whether it is reasonably practicable for the child to spend equal time or
substantial and significant time with each of the parents. It is clearly intended that the Court
determine that question. Subsection (5)
provides in that respect that the Court “must have regard” to certain matters,
such as how far apart the parents live from each other and their capacity to
implement the arrangement in question, and “such other matters as this court
considers relevant”, “[I]n determining for the purposes of subsections (1) and
(2) whether it is reasonably practicable for a child to spend equal time, or
substantial and significant time, with each of the child’s parents”.”
Coker FM said that he applied the presumption of
equal shared parental responsibility.
His Honour noted that he was obliged, pursuant to section 65DAA, to
consider:
“Whether
equal time with each parent would be in the child’s best interests and is
reasonably practicable, and if equal time is not appropriate then whether
substantial and significant [time] would be in the best interests and
reasonably practicable”.
Their Honours stated at [11]:
“Because
the father had said he would not move from Mt Isa, the only possibility for
equal time parenting would arise if the parties both remained in Mt Isa.”
In
what follows his Honour was clearly of the view that they should do so. His Honour said:
“If
[the] parties remain in Mt Isa as the father suggests, then they are in the
same locality. They are proximate to
each other and there can be the opportunity for equal time which would be, in
my assessment, in the best interests of this child.”
His
Honour noted that the Family Consultant had recommended a continuation of the
existing arrangements. His Honour said
that he too did not consider it would be beneficial to the child if the parents
lived “thousands of kilometres apart”; it was in the child’s interest that
there be equal time spent with each parent.”
“Sections
65DAA(1) is expressed in imperative terms.
It obliges the Court to consider both the question whether it is in the
best interests of the child to spend equal time with each of the parents (par
(a)) and the question whether it is reasonably practicable that the child spend
equal time with each of them (par (b)). It
is only where both questions are answered in the affirmative that consideration
may be given, under par (c), to the making of an order. The words with which par (c) commences (“if
it is”) refer back to the two preceding questions that make plain that the
making of an order can only be considered if the findings mentioned are
made. A determination is a question of
fact that it is reasonably practicable that equal time be spent with each
parent is a statutory condition which must be fulfilled before the Court has
power to make a parenting order of that kind.
It is a matter upon which power is conditioned much as it is where a
jurisdictional fact must be proved to exist
If such a finding cannot be made, sub-ss(ii)(a) and (b) require that the
prospect of the child spending substantial and significant time with each
parent could then be considered. That
sub-section follows the same structure as sub-s(i) and requires the same
questions concerning the child’s best interests and reasonable practicability
to be answered in the context of the child spending substantial and significant
time with each parent.
His
Honour treated the answer to the first mentioned question, whether it was in
the best interests of the child to have equal time with each parent, as
determinative of whether an order should be made. His Honour did not consider, as he was obliged
to do, whether it was reasonably practicable in all the circumstances. The Full Court acknowledged that his Honour
“…did not expressly address the issue of whether an equal time arrangement
would be ‘reasonably practicable’”.
However, the Court observed, his Honour went on to consider, at length,
the matters to be considered under section 60CC in determining what
arrangements are in the child’s best interests.
But those matters could be relevant only to the question posed by par
(a) of section 65DAA(1), not the question in par (b), which required
consideration with other, different matters.
Section 65DAA(1) is concerned with the
reality of the situation of the parents and the child, not whether it is
desirable that there be equal time spent by the child with each parent. The
presumption in section 61DA(1) is not determinative of the questions arising
under section 65DAA(1). Section 65DAA(1)(b)
requires a practical assessment of whether equal time parenting is
feasible. Since such parenting would
only be possible in this case if both parents remained in Mt Isa, Coker FM was
obliged to consider the circumstances of the parties, more particularly those
of the mother, in determining whether equal time parenting was reasonably
practicable.
Had
consideration been given to the question only one conclusion could have been
reached, one which did not permit the making of the order. From the time that she returned to Mt Isa to
the date of the hearing the mother had been required to live in a caravan park,
and live there with the child on alternate weeks. Apart from the facilities being limited, it
could not be said that such an environment is usually ideal for a child. The availability of alternative accommodation
did not seem likely. Rental accommodation
is scarce in Mt Isa and the waiting lists are long. The mother said that she could not afford
good quality accommodation in any event and the cheaper rental properties were
in “rough” areas.
The
mother had limited opportunities for employment in Mt Isa. When the parties
lived in Sydney she had worked part-time.
She had full-time opportunities available to her with her previous
employer in Sydney which provided her with flexibility of hours. In Mt Isa the mother supported herself on
social services payments and income from casual employment. The disparity between her income and that of
the father had not been addressed by the time of the hearing. She said there was no employment in Mt Isa
for someone of her experience and there were limited opportunities for flexible
hours.
The
evidence of the family consultant was that the mother was “definitely
despondent” about being in Mt Isa, as the living conditions were not good and
she was isolated from her family. The
family consultant said that the mother was depressed and recommended that she
attend counselling. The finding of Coker
FM that “the mother’s anguish and depression in being in Mt Isa…can, to a significant
degree if not in their entirety, be dealt with by…counselling” is not supported
by this evidence.
The
evidence before his Honour did not permit an affirmative answer to the question
in section 65DAA(1)(b). It follows that
there was no power to make the orders for equal time parenting. It was necessary for his Honour to proceed to
consider whether substantial and significant time spent by the child with each
parent was in the child’s best interests (given that equal time was not possible)
and whether that was reasonably practicable.
That would require consideration of the mother being resident in
Sydney. But without a finding as to
practicability no conclusion could be reached.
At the re-hearing of this matter afresh, the necessary determinations
were made on the evidence as to the practicability of such orders, given the
circumstances pertaining to the parties as they then stand.
The
orders made by his Honour did include one to the effect that if the mother did
not live in Mt Isa, then the child should live with the father and the mother
spend time with and communicate with the child at reasonable times to be
agreed. No reasons were given concerning
the order. It may have been intended as
an interim order, to cover the contingency that the mother did not remain in Mt
Isa and make provision for what was to occur until further consideration could
be given by the Court, having regard to the changed circumstances of the
parties. There could not be an order
under section 65D, the statutory criteria not having been addressed.”(emphasis
added)
BEST INTERESTS
Of course we often bandy about the
term best interests of a child on a
daily basis, but it is good to remember where it comes from. Section 60CA of the Family Law Act merely says:
“In
deciding whether to make a particular parenting order in relation to a child, a
court must regard the best interests of the child as the paramount
consideration.”
The term best
interests is a variant of several terms used over the years, but ultimately
the current form comes from the International
Convention on the Rights of the Child.
Given that it is a particular difficult convention to
find on the web, I have put the Austlii reference in the footnote[5].
The language of best interests is taken from Article 3
of the Convention:
“1. In all actions concerning children,
whether undertaken by public or private social welfare institutions, courts of
law, administrative authorities or legislative bodies, the best interests of
the child shall be a primary consideration.
2. States
Parties undertake to ensure the child such protection and care as is necessary for
his or her well-being, taking into account the rights and duties of his or her
parents, legal guardians, or other individuals legally responsible for him or
her, and, to this end, shall take all appropriate legislative and
administrative measures.
3. States
Parties shall ensure that the institutions, services and facilities responsible
for the care or protection of children shall confirm with the standards
established by competent authorities, particularly in the areas of safety,
health, and the number of suitability of their staff, as well as competent
supervision.”
Section 60B, which I am sure that you are well
familiar with, sets out the objects of Part VII of the Act. Much of the language of section 60B comes
directly from the Convention.
The provisions with which you should be all too
familiar are section 60B(2)(a) and (b):
“The
principles underlying these objects are that (except when it is or would be
contrary to a child’s best interests):
(a)
Children
have the right to know and be cared for by both their parents, regardless of
whether their parents are married, separated, have never married or have never
lived together; and
(b)
Children
have a right to spend time on a regular basis with, and communicate on a
regular basis with, both their parents and other people significant to their
care, welfare and development (such as grandparents and other relatives).”
Article 7.1 provides:
“The
child shall be registered immediately after birth and shall have the right from
birth to a name, the right to acquire a nationality and, as far as possible,
the right to know and be cared for by his or her parents.”
Article 8.1 provides:
“States
Parties undertake to respect the right of the child to preserve his or her
identity, including nationality, name and family relations as recognized by law
without unlawful interference.”
Article 9.1 provides:
“States
Parties shall ensure that the child shall not be separated from his or her
parents against their will, except when competent authorities subject to
judicial review determine, in accordance with applicable law and procedures,
that such separation is necessary for the best interests of the child. Such
determination may be necessary in a particular case such as one involving abuse
or neglect of the child by the parents, or one where the parents are living
separately and a decision must be made as to the child’s place of residence.”
Article 9.3 provides:
“States
Parties shall respect the right of the child who is separated from one or both
parents to maintain personal relations and direct contact with both contacts on
a regular basis, except if it is contrary to the child’s best interests.”
Article 10.2 provides, relevantly:
“A
child whose parents reside in different States shall have the right to maintain
on a regular basis, save in exceptional circumstances personal relations and
direct contacts with both parents.
Towards that end and in accordance with the obligation of States Parties
under Article 9, paragraph 1, States Parties shall respect the right of the
child and his or her parents to leave any country, including their own, and to
enter their own country…”
Often we
forget about the Convention but one of the additional objects of Part VII, by
virtue of section 60B, is to give effect to the Convention.
The Convention is not part of our domestic law, as the
High Court made plain in Teoh’s case
(1995)[6]. Mason CJ and Deane J stated at [25] – [29] as
to the status of the Convention in Australian law:
“25. It is well established that the provisions
of an international treaty to which Australia is a party do not form part of
Australian law unless those provisions have been validly incorporated into our
municipal law by statute. This principle
has its foundation in the proposition that in our constitutional system the
making and ratification of treaties fall within the province of the Executive
in the exercise of its prerogative power whereas the making and the alteration
of the law fall within the province of Parliament, and not the executive. So, a treaty which has not been incorporated
into our municipal law cannot operate as a direct source of individual rights
and obligations under that law. In this
case, it is common ground that the provisions of the Convention have not been
incorporated in this way…
26. But
the fact that the Convention has not been incorporated into Australian law does
not mean that its ratification holds no significance for Australian law. Where a statute or subordinate legislation is
ambiguous, the courts should favour that construction which accords with
Australia’s obligations under a treaty or international convention to which
Australia is a party, at least in those cases in which the legislation is
enacted after, or in contemplation of, entry into, or ratification of, the
relevant international instrument. That
is because Parliament, prima facie, intends to give effect to Australia’s
obligations under international law.
27. It
is accepted that a statute is to be interpreted and applied, as far as its
language permits, so that it is in conformity and not in conflict with the
established rules of international law.
The form in which this principle has been expressed might be thought to
lend support to the view that the proposition enunciated in the preceding
paragraph should be stated so as to require the courts to favour a
construction, as far as the language of the legislation permits, that is in
conformity and not in conflict with Australia’s international obligations. That indeed is how we would regard the
proposition as stated in the preceding paragraph. In this context, there are strong reasons for
rejecting a narrow conception of ambiguity.
If the language of the legislation is susceptible of a construction
which is consistent with the terms of the international instrument and the
obligations which it imposes on Australia, then that construction should
prevail. So expressed, the principle is
no more than a canon of construction and does not import the terms of the
treaty or convention into our municipal law as a source of individual rights
and obligations.
28. Apart
from influencing the construction of a statute or subordinate legislation, an
international convention may play a part in the development by the courts of
the common law. The provisions of an
international convention to which Australia is a party, especially one which
declares universal fundamental rights, may be used by the courts as a
legitimate guide in developing the common law.
But the court should act in this fashion with due circumspection when
the Parliament itself has not seen fit to incorporate the provisions of a
convention into our domestic law.
Judicial development of the common law must not be seen as a backdoor
means of importing an unincorporated convention into Australian law. A cautious approach to the development of the
common law by reference to international conventions would be consistent with
the approach which the courts have hitherto adopted to the development of the
common law by reference to statutory policy and statutory materials. Much will depend upon the nature of the
relevant provision, the extent to which it has been accepted by the
international community, the purpose to which it is intended to serve and its
relationship to the existing principles of our domestic law.
29. In
the present case, however, we are not concerned with the resolution of an
ambiguity in a statute. Nor are we
concerned with the development of some existing principle of the common
law. The critical questions to be
resolved are whether the provisions of the convention are relevant to the
exercise of the statutory discretion and, if so, whether Australia’s
ratification of the Convention can give rise to a legitimate expectation that the decision-maker will exercise that
discretion in conformity with the terms of the Convention. The foregoing discussion of the status of the
Convention in Australian law reveals no intrinsic reason for excluding its
provisions from consideration by the decision-maker simply because it has not
been incorporated into our municipal law.” (Emphasis
added)
Their
Honours then go on to say at [31]:
“The
concluding words of Art.3.1 are “the best interests of the child shall be a
primary consideration” (our emphasis).
The article is careful to avoid putting the best interests of the child
as the primary consideration, it does no more than give those interests first
importance along with such other considerations as may, in the circumstances of
a given case, require equal, but not paramount, weight.”
An example of where legitimate expectation was the
recent decision of Forrest J in Sigley and Sigley [2018] FamCA 3. This concerned the registration of a US
surrogacy order under section 70G of the Act. The machinery provision to enable registration
is under reg.23 of the Family Law
Regulations. In considering whether
to exercise his discretion to allow the order to be registered, Forrest J
stated at [33]:
“The
two children are both Australian citizens now as well, with legitimate
expectations that the legal nature of their parent-child relationship with both
of their loving parents is appropriately recognised in this country of theirs.”
A provision of the Convention which I believe has
attracted too little attention in Australia is Article 8.1:
“States
Parties undertake to respect the right of the child to preserve his or her
identity, including nationality, name and family relations as recognized by law
without unlawful interference.”
We often talk about the identity of a child and how
they fit in to their family constellation, and the identity of the child may be
more relevant in adoption, child protection and surrogacy proceedings than
those under the Family Law Act. Nevertheless, it is worth remembering Article
8. A useful discussion of Article 8 is
contained in the English case of Re X (a
child) (surrogacy: time limit) [2014] EWHC 3135 (Fam), which was a
surrogacy case. The Court was being
asked to make a parentage order under English surrogacy law, under the
equivalent of section 22 of the Surrogacy
Act 2010 (Qld). Mumby P said at
[54]:
“Section
54 goes to the most fundamental aspects of status and, transcending even
status, to the very identity of the child as a human being: who he is and who his
parents are. It is central to his being,
whether as an individual or as a member of his family. As Ms Isaacs correctly puts it, this case is
fundamentally about X’s identity and his relationship with the commissioning
parent. Fundamental as these matters
must be to commissioning parents they are, if anything, even more fundamental
to the child. A parental order has, to
adopt Theis J’s powerful expression, a transformative effect, not just in its
effect on the child’s legal relationships with the surrogate and commissioning
parents but also, to adopt the guardian’s words in the present case, in relation
to the practical and psychological realities of X’s identity. A parental order, like an adoption order, has
in effect extending far beyond the merely legal. It has the most profound personal, emotional,
psychological, social and, it may be in some cases, cultural and religious
consequences. It creates what Thorpe LJ
in Re J (Adoption: non-patrial) [1998] INLR 424, 429, referred to as “the
psychological relationship of a parent and child with all its far-reaching
manifestations and consequences.” Moreover,
these consequences are lifelong and, for all practical purposes, irreversible…”
The point I make about identity is that often the
child’s identity is relied upon by decision-makers (typically Child Safety
officials) to say that the child’s identity is with its parents and family of
origin. The difficulty with this
argument, I would suggest, is that the child’s lived experience and their sense
of who they are and their identity may in fact be with someone else, for
example, the foster carers who have cared for the child since he was a baby and
who he considers for all intents and purposes to be his parents.
This is a matter that may not necessarily often arise
under the Family Law Act, at least in
a direct sense – except maybe when considering whether to grant leave to adopt
under section 60G or making parenting orders in favour of a non-parent by
consent under section 65G.
A rights based approach
Of course who you appear before will weigh up the
factors in their own particular manner, but it is important to remember that
there is a rights based approach under Part 7.
I remember when the changes to the Act occurred in 1996. I then disagreed with what Warnick J said at
the time. He said that because there was
a specific reference to rights, such as a right of a child to spend time on a
regular basis and communicate on a regular basis with both parents and other
significant to them that this would change the thinking of the Courts. I thought that not much would change. Of course, he was right and I was wrong. How frequently do we hear Judges say that a
child has the right to have a meaningful relationship with both parents?
Are best interests the only consideration?
Of course not.
Section 60CA makes plain that the best interests of a child are the
paramount consideration, but as the Full Court has told us repeatedly, every
case is different and needs to be decided on its own facts. Best interests while the paramount
consideration is not the only consideration.
Section 60CC makes things more complicated for everyone because it talks
about both primary considerations and additional
considerations.
Balancing of the primary considerations
The current version under the continued gender wars as
to primary consideration represents a win for the women’s lobby: section
60CC(2):
“(a) The benefits of the child of having a
meaningful relationship with both of the child’s parents; and
(b) The
need to protect the child from physical or psychological harm from being
subject to, exposed to, abuse, neglect or family violence.”
The
criticism of the women’s lobby had was that not putting a preference on the
latter meant that the impact of violence upon women and children was being
minimised. Now of course the latter
prevail because in the weighing up exercise it is given greater weight: section
60CC(2A).
Allegations of abuse, neglect and family violence
Each party must file a Notice of Risk at the beginning
of the matter. I note that the Family
Court has new Notice of Risk forms. The
temptation with these notices is to fill them out quickly and lodge them. This would be a grave error. They need to be given particularly careful
treatment. Aside from being sent to the
State welfare authority and all concerned, judges read them very
carefully. Time and time again I am
seeing judges who when considering making consent orders for children reach
into the file, drag out the Notice of Risk of each of the parties and then quiz
the parties about how the proposed orders reconcile with the Notice of
Risk. If it doesn’t, the judges then
require the parties to file an Affidavit explaining why.
When you fill out the Notice of Risk, set out the
basis in the Notice of the concern. Particularise it. Don’t just say- see para
13 of my affidavit. The Court Services section of the Department of Child
Safety, Youth and Women may not receive your client’s affidavit. If you don’t
set it out in the Notice, then all you have supplied to the Department is
useless gobbledygook. Provide something useful, so the Department can assess or
reassess risk.
The Family Court requires an explanation in the making
of consent orders about how allegations of abuse, neglect or family violence
are dealt with. I note rule 13.04A of
the Federal Circuit Court Rules and
Rule 10.15A of the Family Law Rules.
Example
The parties were New Zealand citizens living
in Australia. There were no orders in
place regarding the children, although there was a parenting plan for equal
shared care.
The mother decided to return home
to New Zealand. The children stayed in
the father’s care as he did not consent to the children living in New
Zealand.
The mother communicated both
directly and through solicitors that she understood her obligations under the
Hague Convention. The children then travelled to New Zealand
and spent time with their mother during the Easter and June/July school
holidays. At the conclusion of the
June/July school holidays, the mother swore her material to commence
proceedings in the Federal Circuit Court.
In her Notice of Risk, she said there was no risk for the children to
be in the father’s care. She did not
then file proceedings, as there had not been compliance with sections
60I.
The children went to New Zealand
for the September/October school holidays. At the conclusion of those school
holidays, the mother held them over.
The mother sought that the father undertake mediation. He refused.
A section 60I certificate issues and the mother then instituted
proceedings in the Federal Circuit Court.
The father responded to those
proceedings in the Federal Circuit Court and at the same time put in place
steps for the New Zealand Central Authority to commence Hague proceedings in
New Zealand to ensure the return of the children.
As luck would have it, the
Australian proceedings were first returnable one day before the first return
date of the New Zealand proceedings.
The mother was not present in the Australian Court on the first
day. The Judge insisted that the
mother return with the children the following week (without making an order
to that effect). The mother through
her solicitor agreed to that course.
The following day the mother’s
Australian solicitor sought for the mother to return to Australia. The mother’s New Zealand counsel resisted
that approach. The mother’s case under
the Hague Convention in New Zealand was to rely on a grave risk if the
children were to return to Australia.
A copy of the Australian Court
documents was provided to counsel for the New Zealand Central Authority. This included the Notice of Risk that said
there was no risk to the children
in the father’s care. Faced with that
damning document, the mother consented to the return of the children to
Australia and then returned with them the following week to face the stinging
words from the judge that she was “gaming
the system”.
Many months later the mother
consented to final orders that the children reside with the father in
Australia (and have time with her in New Zealand) which orders were ultimately
registered in New Zealand.
|
Allegations of domestic violence in interim hearings
This is always tricky.
On the one hand is the desire to fully particularise all the allegations
of violence and the other is the desire to ensure that the affidavit is not
prolix. The problem is highlighted by
the Chief Judge’s practice note that the affidavit of a party on an interim
application in the Federal Circuit Court is to be limited to 10 pages and no
more than 5 exhibits. Not surprisingly
the Family Law Practitioners Association of Queensland has reported that the
Registry in Brisbane has noted that since the change, practitioners have been
lodging affidavits with smaller font and fewer gaps – with the inevitable
outcome that sooner or later they will be rejected.
Younger practitioners will for the first time have to
engage in pleading and precision in drafting.
Gong and Wei [2017] FamCAFC
55
The mother appealed against interim
parenting orders which provide for equal shared parental responsibility. The
mother submitted that the trial judge had erred by not properly considering
her allegations of family violence. The mother asserted that the family violence
included:
·
2010 – She heard
the father threaten to hit N and then say to the mother “If you stand in the way, I’ll hit you too”. N was then 1 year old.
·
In 2012 the
father threw a pot of boiling water at the mother and the children resulting
in O suffering a burn on her shoulder which left a scar. O was 1 year old.
·
In about 2013
the father physically disciplined N by smacking him on the bottom multiple
times with force after which the child urinated in his own clothing. N was 4 years old.
·
In August 2014
the mother observed the father to kick P in her back and heard her cry out in
pain. P was 2 years old.
·
In early 2015
the mother saw the father hit P with a plastic pole from a golf club set on
her legs and thighs, after which the mother observed bruising and heard the
child cry uncontrollably. P was 3
years old.
·
In February 2015
the mother observed the father attempt to kick P in her back, but when the
child moved he inadvertently kicked the maternal grandmother in the shin, for
which she suffered bruising. P was 3
years old.
·
On at least
three occasions over 2 years the father forced P to stand up straight in her
bed when she refused to go to bed and told her that she was not permitted to
go to sleep.
·
When O was 2
years old the mother saw the father slap her across the face.
·
The mother
observed the father verbally abusing the children shouting at them in an
aggressive fashion no less regularly than weekly and heard him say demeaning
and offensive things to them. The
mother said that she had been the subject of regular verbal abuse from the
father throughout the marriage no less than once a week and to have been
subjected to controlling behaviour by him.
·
The father spoke
to the children in a disparaging way including having told O that her mother was
dead.
·
The father
regularly slammed doors and threw objects around the house in anger.
The father made a general denial of
the allegations of violence and abuse made against him by the wife, asserting
that they were made up.
At the trial counsel for the mother
made no submissions about parental responsibility.
On appeal the mother contended that
the Trial Judge had failed to have regard to the provisions of section
61DA(3) namely that the presumption of equal shared parental responsibility
applies when the Court is making an interim order unless the Court considers
that it would not be appropriate in the circumstances for the presumption to
be applied when making that order.
Senior counsel for the mother
further contended that the Trial Judge erred in at least considering section
61DA(3) particularly having regard to the mandatory terms of sections 60CG(1)(b).
Section 60CG provides:
1.
In considering
what order to make, the Court must, to the extent that it is possible to do
so consistently with the child’s best interest being the paramount
consideration, ensure that the order:
(a)
is consistent
with any family violence orders; and
(b)
does not expose
a person to an unacceptable risk of family violence.
2.
For the purposes
of paragraph (1)(b), the Court may include in the order any safeguards that
it considers necessary for the safety of those affected by the order.
|
The Court noted that in Salah and Salah (2016) FLC 93-713 at [37] the Full Court observed
that it very common in interim parenting proceedings that factual disputes “cannot be determined without the evidence
being tested in the context of a trial”.
These words follow the approach in Goode and Goode which I have set out
above at length.
The Court said at [37]:
“That
said though, such an approach does not mean that issues of disputed fact must
be disregarded in interim proceedings or the case determined solely by
reference to the agreed facts: Eaby v. Speelman (2015) FLC 93-654 at
[18].”
However, the need for findings in disputed interim
proceedings to be “couched with great
circumspection” was stressed in Eaby
v. Speelman.
It appears that the trial judge made a simple error as
to the child’s complaint about the father, which the Full Court thought was
most likely directed to the time that the child was spending with the father
under supervision.
The court said at [43]:
“Considering
that both parents conceded the children would benefit from a meaningful
relationship with each parent and the fact that the mother was not urging that
the children should spend no time with the father, her Honour clearly also
balanced and weighed the factual matters alleged by the mother with the
observations that the independent, professional supervisors reporting upon the
“comfortable and loving interaction” between
the children and their father when deciding on the proper interim parenting orders
to make.”
The court went on to say at [44] to [48]:
“We
also consider it is quite clear that her Honour had regard to the obligation
imposed by section 60G(1)(b) of the Act, although she did not expressly refer
to the section, by her expression of a lack of satisfaction that there was
actually a need for a continuation of supervision of the children’s time with
their father, notwithstanding the disputed allegations of violence. Similarly, we do not accept the submission
that her Honour did not consider whether in the circumstances she would find
the presumption of equal shared parental responsibility not to apply in
accordance with section 61DA(3) of the Act.
Although her Honour did not expressly refer to that subsection, or any
of the subsections of section 61DA, that in itself is not sufficient to
establish a failure to consider the matters contained therein. Her reasons clearly demonstrate that her
Honour took all of the matters contained in the relevant statutory provisions
into account.
45. Her
Honour acknowledged and discussed the mother’s allegations and the father’s
denials, as well as the other independent evidence of observations of the
children’s relationships and interactions with their father. Her Honour then expressed observed that she
was not satisfied that the evidence led her to a conclusion that the
presumption of equal shared parental responsibility was rebutted (section
61DA(4)) or that the presumption should not apply because of a belief that the
father had engaged in family violence (section 61DA(2)). Clearly then, she considered section 61DA,
albeit without direct reference to it.
Consequently, her Honour went on to determine that she would order that
the parents share equally the parental responsibility for the children.
46. Clearly
also implicit in those reasons, is a consideration of section 61DA(3) of the
Act. As her Honour has:
(i) determined
the presumption provided for in section 61DA(1) has not been rebutted (section
61DA(4)) or shown not to apply (section 61DA(2));
(ii) not
express the view that she considers it would not be appropriate in the
circumstances surrounding the making of the interim parenting order for the
presumption to be applied (section 61DA(3));
(iii) gone on to order equal shared parental responsibility; and
(iv) expressed
a lack of satisfaction that supervision of the children’s time with the father
is necessary to ameliorate unacceptable risk,
then the obligation to properly consider
the legislative provisions of section 60CG and section 61DA, including section
61DA(3), has been met.
47. There
is no obligation on a Trial Judge in determining an interim parenting order to
find that the presumption provided for in section 61DA(1) of the Act has been
rebutted or shown not to apply, or defined that it would not be appropriate to apply,
simply because allegations of family violence have been raised by one parent
against the other and are not able to be determined definitively one way or the
other. Of course, such allegations must
be considered carefully, particularly having regard to all of the provisions of
section 60CG and section 61DA, but such allegations are but part of the
evidence that must be evaluated in determining the proper order to make in the
children’s best interests and the fact they play in the determination is a matter
within the discretion of the Trial Judge.
48. As
was submitted by senior counsel for the father on this appeal, it was perhaps
unsurprising that her Honour’s determination on parental responsibility
ultimately evince satisfaction that it was in the children’s best interests for
an equal shared parental responsibility order to be made given that counsel for
the mother at the hearing made no submission to the contrary or at all on the
issue of parental responsibility.”
Section
60CC(3)(j) and (k)
Section 60CC(3)(j) and (k) provide:
“(j) Any family violence involving the child or a member of the
child’s family;
(k) If
a family violence order applies, or has applied, to the child or a member of
the child’s family – any relevant inferences that can be drawn from the order,
taking into account the following:
(i) the
nature of the order;
(ii) the
circumstances in which the order was made;
(iii) any evidence admitted in proceedings for the order;
(iv) any
findings made by the court in, or in proceedings for, the order;
(v) any
other relevant matter.”
If you haven’t read it, I strongly
suggest that you read the decision of Chisholm J in JG and BG (1994) FLC 92-515.
His Honour stated that domestic violence was not only relevant with the
violence directed at the children themselves, or when committed in their
presence, but even when they do not witness it.
He set out the following principles at p.81, 318:
“1. In proceedings
relating to custody, guardianship and access evidence of family violence is
relevant insofar as it assists the court in determining what orders will best
promote the welfare of the children.
2. The court will have regard to the fact
that family violence may be directly or indirectly relevant to the children’s welfare
in a variety of ways, and may be relevant even where it is not directed at or
witnessed by the children.
3. So far as the evidence allows, the
court will attempt to understand the nature of any family violence that has
occurred and the potential effect on the children.
4. Where the evidence permits the court to
make findings of contested allegations of family violence, and where such
findings are necessary in order to determine what orders will promote the
child’s welfare, that a court will make the findings.
5. Where the court is in a position to
make findings on allegations of family violence which are relevant to the
children’s welfare, but does not need to do so in order to determine what
orders will promote the welfare of the children, it may be open to the court to
refrain from making the findings. If
such a discretion exists, the court will exercise that on the basis of a
consideration of whether the children’s welfare is not likely to be promoted by
making or declining to make such findings.”
In McCawley and Stewart (2005) FLC 93-250 the Trial Judge ordered that
the child live with the father because if the child were to live with the
mother there would be “an unacceptable risk
that she would be exposes to scenes of violence”.
Amongst the bases for the mother’s
appeal were that the Trial Judge erred:
·
in failing to apply the high degree
of certainty required under Briginshaw;
·
in failing to place any or
sufficient weight on the evidence of the father’s violence towards the mother;
·
in finding that a “possibility of exposure to violence”
constitutes an unacceptable risk;
·
in finding that there was an
unacceptable risk to the child being exposes to violence if she resided with
her mother.
In the case, there was no
allegation that the child was abused in any way and accordingly the test in
Briginshaw did not apply. The finding in
the first instance was that there was an unacceptable risk that the child would
be exposed to scenes of violence, not to violence towards the child. A finding that there was an unacceptable risk
was not necessary to justify the Trial Judge’s decision.
The evidence included a statement
given by the mother to police where she said:
“I think I threw the cordial from the glass
I was holding towards (her partner’s) face, which hit him. I did not throw the glass though.
I then walked quickly into the
kitchen as I didn’t know what to expect…our verbal argument continued and I
think I was yelling and crying.
To get his attention I pushed [him]
as he was making me angry. At this time
we were facing each other.
I saw [him] put his right arm back
behind his shoulders. Then I felt a
sharp pain in my left ear and side of my face.
He then pushed me with both hands
out of the hallway before slamming the bedroom door. I looked at the door and saw that the door had
broken near the bottom.
I then went into the lounge room and
rang the police…After I hung up the phone I noticed that [he] had destroyed the
bedroom door and ripped it off its hinges.
The door was in my daughter’s room in pieces…I remember trying to hurt
[him], maybe by pushing him but I didn’t end up hurting him in any way.
At this time [he] had grabbed me
from behind to stop me hurting him. We
then pushed each other a number of times while we continued to argue.
I remember picking up a dolls house
that was in the lounge room and throwing it onto the ground towards [him]. I don’t think this landed on or struck
[him]…[He] and I have been partners since March 2003 and I am currently 15
weeks pregnant with a child to him.
During the time we have been
together there has been a number of incidents of domestic violence. [He] is a much larger person than I am. [He] is about 6’1 and weighs about 90kgs. I am 5’11 and weigh about 75kgs.”
Finn J noted the Trial Judge’s finding was:
“If the child was to live full-time with her
mother, there would have been an unacceptable risk “that she would be exposed
to scenes of violence”. His Honour’s
reference to “the possibility of exposure to violence” was made in the context
of his interpretation of the various provisions of the Act which are concerned
with the protection of children from violence or from exposure to violence
including section 68F(2)(g) which contemplates “the need to protect the child
from psychological harm that may be caused by …being directly or indirectly
exposed to abuse, ill-treatment, violence or other behaviour that is directed
towards, or may affect, another person.”
The Trial Judge had noted that the
mother had now adopted her new partner’s version of a second incident of
violence and that she had resiled from her statement to the police that there
had been a number of instances of domestic violence. The mother also challenged the Trial Judge’s
rejection of her explanation that the police had pressured her into making the
allegations to them which she had made, with it being submitted that it was not
open to the Trial Judge to attach the weight which he did to her alleged
statement to the police, given that she had not been cross-examined
specifically in relation to that statement or any retraction of it.
Finn J sets out at length the
cross-examination of the mother on these matters for the reason that it
established that notwithstanding the somewhat confused or even equivocal
quality of her evidence, a finding that the child could well be exposed to
scenes of violence in her household was open to the Trial Judge. It also showed that, at least so far as the
Trial Judge was concerned, the issue of violence was very much a live issue
from an early stage in the trial.
Her Honour found that it would have
been open to the Trial Judge on the basis of the evidence before him to
conclude that there would be a risk of the child being exposed to scenes of
violence if she resided with the mother.
It was open to the Trial Judge to describe that risk is unacceptable,
however he could have reached the conclusion that the child live with her
father on the evidence concerning the violence which had occurred in the
mother’s home without using the expression unacceptable
risk as that was a phrase that did not appear in section 68F(2) and the
case was not conducted on the basis of the need for a finding of unacceptable
risk of some form of abuse or exposure to some form of abuse.
Putting your eggs in one basket
The mistake that is sometimes made
when there has been a catastrophic event of violence is to focus just on that
incident. As Judge A Kelly said in Germain and Germain [2017] FCCA 1980 at
[76]:
“Applied to the present case, a single and
historical notification of domestic violence may, viewed in isolation, be
insufficient to support a conclusion of a real or immediate risk of physical or
psychological harm to a child. By
contrast, a documentary record that discloses the repeated or systemic pattern
of such behaviour might do so more persuasively.”
In A v A [1998] FamCA 25; (1998) FLC 92-800, when the children were on
contact with their father, the wife was violently assaulted in the home in what
appeared to be an attempt to kill her.
She suffered serious injuries and was hospitalised for over a month. The evidence suggested that the injuries
included a sexual assault. During the
period of hospitalisation, the children lived with the maternal grandparents
and the husband had supervised contact.
After a discharge from hospital,
the wife lived with her parents for about two months and then returned with the
children to her home.
The wife had no recollection of
those events. She however believed the assailant
was the husband and there were a number of objective facts which supported that
belief. The husband was interviewed by
the police immediately after the assault.
He denied involvement. No charges
were laid. The wife gave evidence of a
number of assaults upon her by the husband during the course of the marriage. At trial the Trial Judge concluded that it
was not the role of the Court to “investigate
criminal activity, even though such activity may have a direct bearing upon the
issues which the court is called upon to decide”. It approached the matter on the basis of
determining whether the wife believed that the husband was the assailant and
whether there were reasonable grounds for that belief. He concluded in the wife’s favour on both
issues. The evidence given by the court
appointed psychiatrist indicated that the children, who were at that time
unaware of the belief of the wife that the husband may have been responsible
for the assault upon her, had a good relationship with their father and a
strong desire to spend time with him.
The psychiatrist attached significance to the probable sexual nature of
the assault and concluded that if the husband were the assailant, there was a
risk that he would reoffend primarily against her but that there was a
possibility that the children themselves could be assaulted.
The Trial Judge ordered contact at
weekends and school holidays to be supervised for nine months and thereafter
not to be supervised. The Judge also
ordered that the psychiatrist and the child representative explain to the
children the orders of the Court and that the wife and the family believe that
the husband is the assailant and that the husband and his family believe the
husband is not the assailant. He
restrained the parties and the maternal grandparents from discussing the events
of the night in question with the children.
The wife appealed, contending there
should be no contact and that she should have the right to inform the children
of the assault. The appeal was opposed
by the husband. The child representative
supported the husband, submitting that the assault was a one-off affair, there
was no evidence of previous assaults by the husband directed to the children
and there was no unacceptable risk to them.
The Full Court held:
“In cases of this sort often it is not
possible for the court to form a positive view at one end or the other end of
the sale of persuasion and it is not necessary for it to do so…the term
identified by the High Court in M and M of “unacceptable risk” provides the
touchstone for such an enquiry. Usually
they are sexual abuse or similar cases, but this approach includes cases of the
type identified here which involved the assessment of the risk of future
physical and/or emotional harm…” [3.25]
Here the primary question which his
Honour should have addressed was, looking at the whole of the evidence, where the contact (or at least contact which
was not strictly supervised) might expose the children to an unacceptable risk
because, although it is almost impossible to quantify in any precise way, may
place those children in circumstances of potential jeopardy in the future in
their father’s care.
His Honour said (quoted by the Full
Court at [3.32]:
“Although there have been allegations made
by the wife of violence perpetrated upon her by the husband, culminating in the
vicious assault…there is no evidence to suggest that the husband has behaved
inappropriately towards the children, or exhibited any violence towards
them. The wife admitted in cross-examination
that the children had never been caused any harm by the husband, except what
she described as “emotional harm” which appeared to relate to allegations that
the husband grabbed and yelled at the children on occasion. The case mounted by the wife is that it was
the husband who perpetrated the assault upon her and that any parent who would
behave in such a manner towards the mother, or indeed the father, of his or her
children, represents a poor role model for the children, thereby calling into
question his or her suitability as a contact parent…”
The Full Court, criticising this
approach said at [3.33]:
“It appears to us that the opening sentences
undervalue the concerns for which the court must have assessing the role of a
parent as a contact parent where there
has been domestic violence over a period of time. Similarly the reference to the circumstance
if the husband perpetrated the December assault that “represents a poor role
model for the children, thereby calling into question (his) suitability as a
contact parent” also undervalues what this case is about.” [Emphasis added]
Particularisation
The difficulty about raising
violence is properly particularising. A
case, albeit in a property context, where this was front and centre was that of
Britt and Britt [2017] FamCAFC
27. The wife contended that her
contributions towards the property of the parties and the welfare of the family
were made more onerous by the coercive and controlling behaviour of the husband
and the physical violence he inflicted upon her, consistent with the principles
set out in Kennon [1997] FamCA 27;
(1997) FLC 92-757.
That contention was not accepted by
the primary judge for essentially two reasons.
First, much of the evidence relied upon by Mrs Britt was successfully
objected to by Mr Britt and rejected by the Trial Judge. Secondly, ultimately the Trial Judge did not
accept the evidence that Mrs Britt had been admitted saying:
“I cannot be satisfied on the balance of
probabilities that any of the evidence the wife gave about the husband’s
aggression or violence is true. The wife
was not a witness of credit and the evidence of Mr [K] is only as good as the
truth of the things the wife told him.
The wife clearly has aggressive tendencies herself which leads open to
question whether she would have meekly put up with her husband assaulting her. The first ground of appeal was whether the
evidence of family violence had been properly rejected by the primary judge.”
The Full Court said at [25] to
[27]:
“25. The primary judge, on the application of
counsel for the respondent, rejected parts of the appellant’s evidence as to
family violence essentially on the basis that the evidence was not in “proper
form”. The primary judge considered that
the evidence consisted of conclusions, was “just too general” and lacked
particularity. In particular, her Honour
was critical of adjectives such as “regularly”, “routinely”, “repeatedly” and
“often”. This was because these words
lacked specificity and were too general.
Her Honour was of the view that such evidence gave no indication as to
“whether [the family violence] happened once a week or once a decade”. Further, scattered throughout the transcript
are statements made by the primary judge to the effect that the evidence was
not relevant to the issues before the court.
26. The primary judge rejected the following
evidence from the appellant’s affidavit:
“I have been having a
sexual relationship with [the respondent] since I was 11 years old.”
“Our first sexual acts
were not consensual on my part”.
“[The respondent]
dominated me throughout our relationship.
He has been violent and aggressive towards me prior to the time I
commenced cohabitation with him. He
regularly forced me to have vaginal and anal sex with him without my consent,
often causing me considerable pain and discomfort, throughout our
relationship. Our first sexual
interactions were without my consent. He
routinely punched and beat me and was verbally rude and aggressive throughout
our relationship. He also routinely
denigrated me in public, called me a “slut” and “scum” and regularly told
people, including our children, that I was having affairs with other
people. He regularly drank heavily. He would drink until he was extremely
intoxicated. He was always violent,
aggressive and abusive after drinking, particularly towards me. On numerous occasions during the marriage he
said:
‘Why don’t
you pack your shit and fuck off’ and
‘You are a
bloody [dodo] ([a reference to] my maiden name). Without me you would be back in the gutter
where you started from. That’s where you
really belong’.”
“For a long time while living at
[property D] we only had one motor vehicle.
If [the respondent] left the farm he left in the vehicle and took the
phone with him so I could not contact anybody”.
“[The respondent] regularly left me
alone on the property for days at a time while he went away socialising and
drinking. Sometimes he left in the
afternoons saying he was going to the local hotel for a drink and would not
return for a day or more. He regularly
came home extremely intoxicated. When he
was in this condition he was always aggressive and violent. On these occasions he would punch me, hit me,
try to choke me and grab me and dragged me around by my hair. It usually took him more than a day of
sleeping to recover. Usually he had no
recollection of what he had done to me when he awoke”.
“I had no close family and few close
friends. My only contact with the
outside world was on monthly and sometimes fortnightly shopping visits to [F
town] when we went to one of the local hotels on the odd social occasion
involving local people”.
“I am aware that [the respondent]
has been charged with drink driving offences on at least three occasions and he
has wrecked at least two motor vehicles through crashing them whilst
intoxicated. In both cases the vehicle
was uninsured and we suffered financial loss as a consequence. In one of these cases he wrecked our
[vehicle] the day we made the last payment on it. [The respondent] developed an aversion to
driving after these incidents and thereafter I always drove when we went
anywhere”.
“Whenever he was unhappy with me
[the respondent] would hit and punch me, throw me to the ground, choke me or
drag me somewhere by the hair to make his point”.
“I lived my life in fear of him and
often intervened when he attempted to hurt the children physically usually with
the result that I was assaulted physically myself. I was always anxious when he was drinking or
when he returned to the farm after drinking.
If we socialised in the local area be (sic) would not stop drinking
until he was extremely intoxicated and he would never leave the hotel until
closing time. On numerous occasions the
children and I waited outside a hotel in the car until it closed and he was
required to leave”.
“Prior to the final separation in in
November 2011 I had left [the respondent] for short periods of many
occasions. Every time my responsibility
to my children and financial necessity caused me to return. On many of these occasions [the respondent]
came and found me and forced me to return to the farm. On other occasions he prevented me from
leaving the farm by depriving me of the car keys and…”
“I complained to [G town] police who
spoke to [the respondent] about [his behaviour toward me on one occasion]. Thereupon [the respondent] started acting in
a very caring way towards me. He
repeatedly said to me words to the effect:
‘If you drop the
complaint I will never hurt you again. I
promise. I am very, very sorry. I was
pissed when I did it. I will give up
drinking. I didn’t know what I was
doing. I didn’t mean to hurt you. I will never call you “a slut” again. I promise.’
“This behaviour continued for a
couple of days until I relented and contacted the police and withdrew the
complaint. I did so partly because my
self-esteem was so low after years of [the respondent]’s treatment that I did
not consider anyone would believe my story against his. I was at the point where I believed I
deserved his treatment of me. I still
experience those feelings today”.
“[The respondent] was not violent to
me when other people were around although he still regularly denigrated me in
front of other people. I still feel
guilty about the sexual acts he has forced me to perform although they are
against my will”.
“[The respondent] was never satisfied
with the standard of my cooking, housekeeping or parenting. He regularly criticised the meals I cooked to
the standard of my housekeeping. I had
to wash up immediately after every meal.
If he was not satisfied with something he would make me do it
again. He sometimes made me repeat
vacuuming several times a day. He
required me to clean the house and wash up the dishes from the family’s evening
meal when I came home from the second or third jobs after midnight. He was usually in bed asleep when I got home
but if I didn’t do the cleaning I was abused and assaulted in the morning. At the same time he required me to rise
before him and do my morning chores and jobs before breakfast. He remained in bed while I did this. He usually got up about 8:10am when I had
returned home from the 40 minute round trip to the bus stop. In winter I had to get up at 5:30am to light
the fire so the house would be warm when he got up. He repeatedly said about my cooking:
‘What is this shit,
can’t you cook something better than this?
I’m sick of eating the same shit all the time’.
Then he would throw his food out the
door to the dogs and say:
‘Now get your arse in
there and cook something decent.’
I would then have to prepare another
meal. I had never had any cooking
training but learnt how to cook meat and vegetables. We rarely ate meat other than lamb because we
killed our own sheep and struggled to afford other food stuff. At one time he agreed I could go to cooking
classes. After 4 classes he stopped me
attending because he thought I was having an affair with someone there.
He repeatedly made me re-iron
clothes. If he took a freshly ironed
pair of trousers from a coat hanger and there was a slight mark where they had
been hanging over the hanger he would throw the trousers at me and say:
‘Have a fucking look at
me. I look like a fucking ragman. I’m not going out looking like a fucking
ragman. Go and iron the fucking thing again
and do it properly this time and don’t let it happen again. Can’t you do anything properly’.”
“Often
whilst he was abusing me he would punch and hit me, push me to the floor or
pull my hair and drag me. I used heavy
makeup and frequently wore long sleeve shirts, jeans and large dark glasses to
conceal my bruising and black eyes. I
was sensitive and embarrassed about it in public especially when I had to turn
up to work with bruises, black eyes and still emotionally upset…I even lied to
a doctor when I had ear trouble and he asked me about the cause of it. A hearing defect I have had for some years has
since been diagnosed as being due to the beatings I received from [the
respondent]”.
“[The respondent] regularly
administered corporal punishment to the children when they were young. I often had to intervene to protect them and
was punched and beat in the process”.
“I eventually left [the respondent]
because I could no longer tolerate the violent and abusive way in which he
treated me throughout our relationship”.
27. The appellant had also adduced evidence
which, if accepted, was the third party had, on three occasions, observed
bruising and been told that it had been caused by the respondent.”
The Full Court quoted the High
Court decision in IMM v. The Queen (2016)
330 ALR 382 which explained sections 55 (relevant evidence) and 56 (relevant
evidence to be admissible) of the Evidence
Act and in particular at [40]:
“Because evidence which is relevant has the
capability to affect the assessment of the probability of the existence of a
fact in issue, it is “probative”. Therefore,
evidence which is relevant according to section 55 and admissible under section
56 is, by definition “probative”. But
neither section 55 nor section 56 requires that evidence be probative to a
particular degree for it to be admissible.
Evidence that is of only some, even slight, probative value will be
prima facie admissible, just as it is at common law.”
The Full Court stated at [32] – [35]:
“32. As
the above passage makes clear, section 55 of the Evidence Act proceeds on the
basis that a trial judge cannot take the credibility, or lack thereof, of a
witness into account when determining the admissibility of evidence. Any issue of credit is taken into account
later, when considering the weight or importance the evidence should be
given.
33. Therefore, in determining the admissibility
of the proposed evidence set out above, the primary judge was obliged to
consider whether the evidence could rationally affect the assessment of the
existence of family violence, which led to the appellant’s contributions
becoming more onerous. If the evidence
could do so – that is, if it was not “inherently incredible, fanciful or
preposterous” – it should have been admitted.
34. In this regard it is important to note
that the probative value of a particular piece of evidence should not be considered
in isolation from the rest of the evidence, including the proposed
evidence. This is particularly so where
the court is asked to draw an inference from all of the evidence, that is to
say, all of the circumstances of the matter.
This is because one piece of evidence may affect the probative value of
another and a number of pieces of evidence when considered together may have a
probative value greater than if each is considered individually.
35. Evidence is capable of being relevant to
an issue if it puts other evidence into context, such as explaining the nature
of the relationship in which other events occurred.”
The Full Court stated at [38] to [41]:
“38. The proposed evidence went to the
relationship between the parties. In
proceedings of the Family Law Act, evidence of relationships and the parties’
contributions to their property is commonly given in general terms and in terms
which are redolent of being a conclusion.
Affidavits would be excessively long otherwise. For example, parties often describe
“relationship commencing” or starting “to live together” and this evidence is
routinely and unremarkably admitted.
Judges use their experience and, importantly, all of the evidence in a
case to understand such statements.
39. It is true, of course, that complaints of
family violence raise serious issues.
Even so, there is not a higher standard for the admissibility of
evidence of family violence compared to evidence on other issues. In determining whether or not allegations of
a serious nature have been proven, the Court will apply section 140 of the
Evidence Act, but such a task is undertaken after issues of admissibility have
been decided.
40. The issue of whether or not the
particular passages set out above were impermissible conclusions is more
difficult. There is nothing in the
Evidence Act that prevents evidence being given as a conclusion (save for
expert opinion expressed as conclusions which can only be given by expert
witnesses). The test remains that posed
by section 55 and section 56. Thus a
trial judge is required to consider whether the proposed evidence has
sufficient, even if slight, probative value to make it admissible. If the nature of the conclusion is such that
it has no probative value, the evidence should be rejected.
41. It was not entirely clear what evidence
was rejected by the trial judge solely on the ground that it was a
conclusion. We are, however, of the view
that none of the evidence which was excluded should have been excluded on the
basis that it had no probative value at all, simply because it was expressed as
a conclusion.”
The issue then became whether the excluded evidence
would have made no difference to the outcome if it had been admitted. The Court said at [76]:
“The
evidence is capable of suggesting, at least, that the appellant was often left
alone at the property with the children, made to repeat tasks, work long hours
and remained in the relationship because of her responsibility for the children
and out of economic necessity. The
evidence is capable of establishing that the respondent was violent, to the
extent of leaving bruises that were noticed by a third party.”
As to credit issues, the Full Court stated at [80] to
[83]:
“80. Further, we are concerned about the primary
judge’s credit finding. The primary
judge rejected the appellant’s evidence for two reasons. They were that:
The appellant gave “a number of
demonstrably false pieces of evidence during the proceedings” and
Since separation the appellant “has
behaved in an aggressive and confrontational way” towards the respondent and
members of his family. This conduct led
to Apprehended Violence Orders (“AVO”) and to the appellant pleading guilty to
assault and was placed on a good behaviour bond for breaching the AVO,
intimidation and damage to property.
This led the primary judge to find that “the wife clearly has aggressive
tendencies herself which leaves open to question whether she would have meekly
put up with the husband assaulting her”.
81. As to the first, this finding is, of
course, based on the evidence that was before the primary judge. We have, however, concluded that the primary
judge did not have before her all of the available evidence. If all the rejected evidence had been before
her Honour it is impossible to be sure that the same credit finding would have
been made.
82. As to the second, the conduct of a person
after separation may not be a reliable guide to their behaviour during the
relationship. Further, it does not
following assuming that one party was aggressive and violent at times during
the relationship, that the other party was not also violent.”
Not surprisingly, the Full Court remitted the matter
for a re-hearing.
Some
tips
As illustrated above, the usual test is
whether there is an unacceptable risk.
Even if there is not an unacceptable risk, has there been an exposure of
the child to family violence or abuse.
When you draft material, is the evidence relevant? Where is the risk? Too often I have heard judges say to solicitors
or counsel: “But where is the evidence of risk?”
If there are mental health issues, how are they
relevant? Be careful not to put a
diagnosis of the other party in the material.
There is nothing quite like reading: “My wife has Munchausen
syndrome by proxy” to set the mind racing to
ask the Court to draw inferences about propensity to throw mud at the other
side. Put the symptoms in the material
instead.
A boss of an old friend used to say to her: “Come
to me with solutions, not problems”. Work the matter up. Come to the court with your proposals about
how to deal with the problem. Make the enquiries. Don’t leave it to the court. It might mean supervised time with a specific
contact centre, which is available next week for 2 hours every fortnight on a
Saturday, at a cost to each of the parties of $***. Intakes can be had tomorrow.
Draft your proposed orders (either in the application
or for the court on the day) accordingly.
It might be, for example, that QML is able to undertake urine drug screen
tests at a cheap cost when there has been marijuana usage alleged – and they
have a collection facility around the corner from the husband’s home that is
open 12 hours Monday to Friday.
The more work you do in finding solutions for the
court and your client will mean that not only will the court be grateful, but
there is a high chance that some or all of your solutions will be accepted –
either by the other side or by the courts.
Get your subpoenae out. Don’t forget to count the number of subpoenae your
client causes to issue. Your judge may be insistent on a limit of 5: rule
15A.05 in the FCCR. Get the court to get the file of the Magistrates Court if
needed. Comply with rule 15A.03 of the Federal Circuit Court Rules. Have a look
at the rule as to what should be in your letter to the Federal Circuit Court as
to what you are seeking from the Magistrates Court. Some judges prefer you
write to their associate when seeking this information, others to the
Registrar. I suggest the latter- who can then send it to the judge’s associate
if needed.
An often overlooked tool is a Notice to Admit. Try and get admissions from the other
side. If they don’t provide you with the
Notice Disputing Facts or the authenticity of documents within 14 days of
having been served, they are deemed to have admitted it. If they do dispute the matters and your
client has to go to the cost of proving the matter, a costs order may be
warranted in favour of your client. A
Notice to Admit can often save a lot of time, effort, anguish and cost. FCC Rule 15.31.
What’s your case plan? At all times during the case from the moment
the client first sat in your office to the end of the matter, focus on that
case plan and your theory of the case.
How does the evidence stack up?
Changes
of mind
What if someone changes their mind – so
in the heat of the moment they mention what they think was abuse in the Notice
of Risk, but by the time of the trial, are happy for the other parent to have
unsupervised time?
A person as they say can be hoist on their own
petard. A Notice of Risk can do
that. Recently I had a client in that
category. The other party and the
Independent Children’s Lawyer were quite rightly pointing out the inconsistencies
of my client’s position. A word to the
wise is to be careful what you allege.
Your client’s words could come back and haunt them. As happens sometimes, a party is hell bent on
throwing muck at the other, may find themselves have very little time with
their child or the care of the child being given to the other.
Don’t gild the lily.
Always ensure that your client is reality tested. Test the evidence. Always better to be tested
in your office than for the first time in court. There is an art in obtaining a
statement from your client. It is not getting written instructions from your
client, nor even from one meeting. An extreme example was some years ago when I
had a trial where my client alleged that she had been raped by her ex,
resulting in the conception of their second child. The judge didn’t believe her.
The trial was going badly. The trial was adjourned part heard.
Out of the blue a mystery witness parachuted in,
corroborating much of what my client said. I was highly suspicious, as was my
client’s counsel. After a brief chat by her with my client’s dad, all
communication with her was by me and then by counsel and me. I spoke to her at
length on the phone. I interviewed her in my office and then at counsel’s
chambers. That witness was proofed! When the trial resumed, we relied on the
evidence. The judge was highly cynical about the witness - but when he heard
her give evidence he had no doubt she was telling the truth. She was a witness
of truth. Her evidence changed the outcome of the trial. If she hadn’t been so
highly proofed, who knows what could have happened - but it could have had a
disastrous outcome for my client.
Practice issue with family violence orders
Section
30CC(3)(k) notes that when a family violence order is made, the circumstances
in which it was made, any admitted evidence and any findings can be relevant.
Do not make the mistake that merely because an order
is made then certain inferences can be drawn from that. Check your State legislation. Check the form of the order. Often orders are made by consent without
admission.
Beware sections 46 and 51 of the
Domestic and Family Violence Protection Act 2002 (Qld).
Section 46 provides:
“A
temporary protection order need only be supported by the evidence that the court
considers sufficient and appropriate having regard to the temporary nature of
the order.”
It is a very low bar. An application that sets out one
allegation of domestic violence (given the wide definition of that term in that
Act) may be sufficient to justify a temporary order.
Section 51 provides
relevantly:
“(1) If the parties to a proceeding for a domestic violence order…consent
to the making of the order, or do not
oppose the making of the order, the Court may make the order –
(a)
if
the Court is satisfied that a relevant relationship exists between the
aggrieved and the respondent;
(b)
without
being satisfied as to any other matter mentioned in:
(i)
for
a proceeding for a protection order – section 37(1)(b) or (c) [
i.e. any act of domestic violence or whether necessary or desirable to make an
order];
(ii)
proceeding
for a temporary protection order – section 45(1)(b) [i.e.
any act of domestic violence] ; and
(c)
whether
or not the respondent admits to any or all of the particulars of the
application.”
Section 37(1)(b) is “the respondent has committed domestic violence against the aggrieved”. Section 37(1)(c) is “the protection order is necessary or desirable to protect the
aggrieved from domestic violence”.
Section 45(1)(b) is “the
respondent has committed domestic violence against the aggrieved”. In other words, the Court does not need to be
satisfied that any domestic violence has occurred at all or that an order is
necessary or desirable.
Careful inquiry needs to be undertaken by you as to
how the order was made. For example, was
it made after a 2 day trial when there was extensive cross-examination of each
of the parties? Has a transcript been
obtained? Or was it made by consent
without admission? For the sake of completeness
I have set out below the additional considerations under section 60CC(3):
“(3) Additional considerations are:
(b)
the
nature of the relationship of the child with:
(ii)
other
persons (including any grandparent or other relative of the child);
(c)
the
extent to which each of the child's parents has taken, or failed to take, the
opportunity:
(i)
to
participate in making decisions about major long-term issues in relation to the
child; and
(ii)
to
spend time with the child; and
(iii)
to
communicate with the child;
(ca) the extent to which each of the child's parents has fulfilled,
or failed to fulfil, the parent's obligations to maintain the child;
(d)
the
likely effect of any changes in the child's circumstances, including the likely
effect on the child of any separation from:
(i)
either
of his or her parents; or
(ii)
any
other child, or other person (including any grandparent or other relative of
the child), with whom he or she has been living;
(e)
the
practical difficulty and expense of a child spending time with and
communicating with a parent and whether that difficulty or expense will
substantially affect the child's right to maintain personal relations and
direct contact with both parents on a regular basis;
(f)
the
capacity of:
(i)
each of the child's parents; and
(ii)
any
other person (including any grandparent or other relative of the child);
to provide for the needs of the
child, including emotional and intellectual needs;
(g)
the
maturity, sex, lifestyle and background (including lifestyle, culture and
traditions) of the child and of either of the child's parents, and any other
characteristics of the child that the court thinks are relevant;
(h)
if
the child is an Aboriginal child or a Torres Strait Islander child:
(i) the
child's right to enjoy his or her Aboriginal or Torres Strait Islander culture
(including the right to enjoy that culture with other people who share that
culture); and
(ii) the likely impact any proposed parenting order under this Part
will have on that right;
(i)
the
attitude to the child, and to the responsibilities of parenthood, demonstrated
by each of the child's parents;
(j)
any
family violence involving the child or a member of the child's family;
(k)
if
a family violence order applies, or has applied, to the child or a member of
the child's family--any relevant inferences that can be drawn from the order,
taking into account the following:
(i)
the
nature of the order;
(ii)
the
circumstances in which the order was made;
(iii)
any
evidence admitted in proceedings for the order;
(iv)
any
findings made by the court in, or in proceedings for, the order;
(v)
any
other relevant matter;
(l)
whether
it would be preferable to make the order that would be least likely to lead to
the institution of further proceedings in relation to the child;
(m)
any
other fact or circumstance that the court thinks is relevant.”
One that is often overlooked but one that I ask that
you consider carefully is item (i) the
attitude to the child, and to the responsibility of parenthood, demonstrated by
each of the child’s parents.
This is a useful catchall that is often forgotten. As
the authors of the CCH Family Law Service state:
“From
a practitioner’s point of view this is a particularly important section dealing
with the issues that go to the core of their client’s case.
It
is the one that the court places a lot of reliance upon in making orders
regarding children as it demonstrates such things as:
·
whether
a parent is child focused;
·
the
majority of a parent;
·
the
long term parenting issues such as attitudes to schooling, childcare,
television, diet and all the other parenting issues.”
Drafting issues
Before you draft anything, I suggest that you look
carefully at section 60CC. Keep the
material relevant. Try and keep hearsay
and opinion out. While section 69ZX
gives great latitude as to what material may be admitted, what weight should it
have? Time and again poorly drafted
affidavits full of hearsay and opinion are filed, with very little weight. Sooner or later a practitioner engaging in this
practice will have a costs order made against them. There are few things more
embarrassing than having material you have drafted being debated in court about
whether they are admissible, and then ruled as inadmissible. Even worse, your
client may well ask you for a reduction of the bill, as a result.
If you have time, go over your affidavit again and
again until it is right. Use
headings. Paginate long annexures or
numerous annexures. Now in the Family
Court you will be paginating a tender bundle.
Have a scheme about how the affidavit is set out. Imagine you have a lazy judge and put the
knockout bits right at the beginning, the dull stuff at the end. Draft consistently with your case plan.
Again, it helps if you know who your judge is and what
their likes and dislikes are.
Try and keep it as short as possible. No-one, not even judges, wants to read War and Peace. Your version is unlikely to be as
entertaining as Tolstoy’s.
Stephen Page
26 March 2019
26 March 2019
[1]
Stephen Page
is a partner of Page Provan, Brisbane. Stephen
was admitted in 1987 and has been an accredited family law specialist since
1996. He is a Fellow of the International
Academy of Family Lawyers and of the Academy of Adoption and Assisted
Reproduction Attorneys. Stephen is an international
representative on the ART Committee of the American Bar Association and he is
the founder of the LGBT Family Law Institute Australia. He has written and presented around the world
concerning family law and surrogacy matters.
[2]
https://www.police.qld.gov.au/rti/published/about/crime+statistics.htm
, https://www.courts.qld.gov.au/court-users/researchers-and-public/stats,
cf. https://www.dvconnect.org/education-resources/public-awareness-campaigns/
viewed on 26 March, 2019.
[4]
[13] – [20]
[6]
[1995] HCA 20; (1995) 183 CLR 273.
No comments:
Post a Comment