![]() |
[Home]
[Databases]
[WorldLII]
[Search]
[Feedback]
Federal Court of Australia |
Last Updated: 24 August 2011
FEDERAL COURT OF AUSTRALIA
Woodside Burrup Pty Ltd v Construction, Forestry, Mining & Energy Union [2011] FCA 949
|
Citation:
|
Woodside Burrup Pty Ltd v Construction, Forestry, Mining & Energy Union
[2011] FCA 949
|
|
|
|
|
|
|
Parties:
|
||
|
|
|
|
|
File number:
|
WAD 16 of 2010
|
|
|
|
|
|
|
Judge:
|
GILMOUR J
|
|
|
|
|
|
|
Date of judgment:
|
||
|
|
|
|
|
Catchwords:
|
INDUSTRIAL LAW – orders for payment
of compensation and penalties as well as injunctive relief by consent –
whether penalties ought be paid to
applicant or to the Commonwealth –
construction of Building and Construction Industry Improvement Act 2005
(Cth) s 49(5) – relevant considerations
|
|
|
|
|
|
|
Legislation:
|
Building and Construction) s 23
Industry Improvement Act 2005 (Cth) ss 4(1), 4(1), 38, 49(1)(b), 49(4)(a)
and (c), 49(5) , s 69(1), 71
Workplace Relations Act 1996 (Cth) ss s 170NC, 187AB, 824 Federal Court of Australia Act 1976 (Cth |
|
|
|
|
|
|
Cases cited:
|
A & L Silvestri Pty Ltd v Construction,
Forestry, Mining and Energy Union [2008] FCA 466
Alfred v Construction, Forestry, Mining and Energy Union [2011] FCA 556 Alfred v Construction, Forestry, Mining and Energy Union (No 2) [2011] FCA 557 Australian Building & Construction Commissioner v Construction, Forestry, Mining and Energy Union (No 2) (2010) 199 IR 373 Australian Communications and Media Authority v Radio 2UE Sydney Pty Ltd (No 2) [2009] FCA 754; (2009) 178 FCR 199 Australian Ophthalmic Supplies Pty Ltd v McAlary-Smith [2008] FCAFC 8; (2008) 165 FCR 560 Cahill v Construction, Forestry, Mining and Energy Union (No 4) [2009] FCA 1040; (2009) 189 IR 304 Commonwealth Bank of Australia v Finance Sector Union of Australia [2007] FCAFC 18; (2007) 157 FCR 329 Communications, Electrical, Electronic, Energy, Information, Postal, Plumbing and Allied Services Union of Australia v QR Ltd (No 2) [2010] FCA 652 Construction, Forestry, Mining & Energy Union v Coal & Allied Operations Pty Ltd (No 2) [1999] FCA 1714; (1999) 94 IR 231 Construction, Forestry, Mining and Energy Union v Williams [2009] FCAFC 171; (2009) 262 ALR 417 Cozadinos v Construction, Forestry, Mining and Energy Union [2011] FMCA 284 Cruse v Construction, Forestry, Mining and Energy Union [2009] FMCA 236; (2009) 182 IR 60 Community & Public Sector Union v Telstra Corporation Ltd [2001] FCA 1364; (2001) 108 IR 228 Draffin v Construction, Forestry, Mining and Energy Union [2009] FCAFC 120; (2009) 189 IR 145 Fair Work Ombudsman v Kentwood Industries Pty Ltd (No 3) [2011] FCA 579 Finance Sector Union of Australia v Commonwealth Bank of Australia [2005] FCA 1847; (2005) 224 ALR 467 Finance Sector Union of Australia v Australia & New Zealand Banking Group Ltd [2002] FCA 1035 Gibbs v Mayor, Councillors and Citizens of City of Altona [1992] FCA 374; (1992) 37 FCR 216 Hardwick v Australian Manufacturing Workers’ Union (2010) 198 IR 312 John Holland Pty Ltd v Construction, Forestry, Mining and Energy Union (No 2) [2009] FCA 865; (2009) 187 IR 400 Kelly v Fitzpatrick [2007] FCA 1080; (2007) 166 IR 14 Leighton Contractors Pty Ltd v Construction, Forestry, Mining and Energy Union [2006] WASC 317; (2006) 164 IR 375 McDonald v Australian Building and Construction Commissioner [2011] FCAFC 29 McIlwain v Ramsey Food Packaging Pty Ltd (No 4) [2006] FCA 1302; (2006) 158 IR 181 Mornington Inn Pty Ltd v Jordan [2008] FCAFC 70; (2008) 168 FCR 383 National Tertiary Education Industry Union v Central Queensland University [2008] FCA 481 Plancor Pty Ltd v Liquor, Hospitality and Miscellaneous Union [2008] FCAFC 170; (2008) 171 FCR 357 Ponzio v B & P Caelli Constructions Pty Ltd [2007] FCAFC 65; (2007) 158 FCR 543 QR Ltd v Communications, Electrical, Electronic, Energy, Information, Postal, Plumbing and Allied Services Union of Australia [2010] FCAFC 150 Rojas v Esselte Australia Pty Ltd (No 2) [2008] FCA 1585; (2008) 177 IR 306 R v McInerney (1986) 42 SASR 111 Seven Network (Operations) Ltd v Communications, Electrical, Electronic, Energy, Information, Postal, Plumbing and Allied Services Union of Australia (No 2) [2001] FCA 672; (2001) 110 IR 372 Stuart-Mahoney v Construction, Forestry, Mining and Energy Union [2008] FCA 1426; (2008) 177 IR 61 Stuart v Construction, Forestry, Mining and Energy Union [2010] FCAFC 65; (2010) 185 FCR 308 Temple v Powell [2008] FCA 714; (2008) 169 FCR 169 Thomson Australian Holdings Pty Ltd v Trade Practices Commission [1981] HCA 48; (1981) 148 CLR 150 Veen v R (No 2) [1988] HCA 14; (1988) 164 CLR 465 White v Construction, Forestry, Mining and Energy Union [2011] FCA 192 Williams v Construction, Forestry, Mining and Energy Union (No 2) [2009] FCA 548; (2009) 182 IR 327 Wotherspoon v Construction, Forestry, Mining and Energy Union [2010] FCA 111 |
|
|
|
|
|
|
|
|
|
|
Place:
|
Perth
|
|
|
|
|
|
|
Division:
|
GENERAL DIVISION
|
|
|
|
|
|
|
Category:
|
Catchwords
|
|
|
|
|
|
|
Number of paragraphs:
|
||
|
|
|
|
|
|
|
|
|
Solicitor for the Applicant:
|
Blake Dawson
|
|
|
|
|
|
|
Counsel for the First Respondent:
|
Mr R L Kenzie QC with Mr T J Dixon
|
|
|
|
|
|
|
Solicitor for the First Respondent:
|
Construction, Forestry, Mining & Energy Union
|
|
|
|
|
|
|
Counsel for the Second Respondent:
|
Mr S Millman
|
|
|
|
|
|
|
Solicitor for the Second Respondent:
|
Slater & Gordon
|
|
|
|
|
|
|
Counsel for the Third Respondent:
|
Mr I M Neil SC
|
|
|
|
|
|
|
Solicitor for the Third Respondent:
|
Clayton Utz
|
|
|
IN THE FEDERAL COURT OF AUSTRALIA
|
|
|
|
|
|
AND:
|
JOSEPH MCDONALD
Second Respondent AUSTRALIAN BUILDING & CONSTRUCTION
COMMISSIONER
Intervener |
BY CONSENT OF THE APPLICANT AND RESPONDENTS THE COURT ORDERS THAT:
1. The first respondent, whether by itself,
its employees or its agents or otherwise howsoever, and the second respondent,
whether
by himself or his agents or otherwise howsoever, be permanently
restrained from:
(a) engaging in any industrial action;
or
(b) threatening, organising, counselling, encouraging, procuring, or
otherwise being involved in any industrial action by any
person;
on or in
connection with any of:
(c) the Pluto LNG Project;
(d) the North West
Shelf Project; and
(e) the Browse LNG Project;
including construction and operations, and
any future expansions of those projects.
Definitions
“the Browse LNG Project” means the project known by that name for the development, production and processing of petroleum and includes the off-shore and on-shore components of that project. The off-shore components of that project relate to the production of petroleum from the Brecknock, Calliance and Torosa fields located approximately 425 kilometres north of Broome, Western Australia and the on-shore components of that project relate to the on-shore processing of petroleum, currently anticipated to be located at James Price Point, near Broome, Western Australia.
“industrial action” has the meaning given in s 19 of the Fair Work Act 2009 as amended from time to time and any successor legislation but does not include protected industrial action.
“the North West Shelf Project” means the project known by that name for the development, production and processing of petroleum and includes the off-shore and on-shore components of that project. The offshore components of that project relate to the production of petroleum from various fields located in the region approximately 130 kilometres north west of Karratha, Western Australia and the on-shore components of that project relate to the on-shore processing of petroleum at the Karratha Gas Plant in Karratha, Western Australia.
“the Pluto LNG Project” means the project known by that name or by the name Pluto LNG Development Project for the development, production and processing of petroleum and includes the off-shore and on-shore components of that project. The onshore part of that project includes the construction of a single gas processing train and ancillary facilities between Onslow and the Burrup Peninsula in Western Australia.
“protected industrial action” has the meaning given in s 408 of the Fair Work Act 2009 as amended from time to time and any successor legislation.
“related body corporate” has the meaning given in s 50 of the Corporations Act 2001.
2. The first respondent indemnify the applicant for 25% of all liabilities, costs (including on an indemnity basis) and expenses which the applicant may incur as a result of or in relation to any and all claims by contractors against the applicant arising out of the industrial action at the Pluto LNG Project on 1 and 2 December 2009 to a maximum of $500,000.
3. The first respondent pay the applicant within 14 days of this order $1,500,000 as compensation for damages suffered by the applicant as a result of the above contraventions and a contribution towards its costs of and incidental to these proceedings.
AND THE COURT FURTHER ORDERS THAT:
4. The first respondent pay
the applicant within 14 days of this order a pecuniary penalty of $71,500 for
(a) engaging in; and (b)
being involved in unlawful industrial action in
contravention of s 38 of the BCII Act.
5. The second respondent pay the applicant within 14 days of this order a pecuniary penalty of $14,300 for (a) engaging in; and (b) being involved in unlawful industrial action in contravention of s 38 of the BCII Act.
6. There be liberty to the parties to apply in relation to the costs of the issue as to whom the penalties ought be paid.
Note: Entry of orders is dealt with in Rule 39.32 of the Federal Court Rules 2011.
|
|
|
|
WESTERN AUSTRALIA DISTRICT REGISTRY
|
|
|
GENERAL DIVISION
|
WAD 16 of 2010
|
|
BETWEEN:
|
WOODSIDE BURRUP PTY LTD
Applicant |
|
AND:
|
CONSTRUCTION, FORESTRY, MINING AND ENERGY UNION
First Respondent JOSEPH MCDONALD
Second Respondent AUSTRALIAN BUILDING & CONSTRUCTION
COMMISSIONER
Intervener |
|
JUDGE:
|
GILMOUR J
|
|
DATE:
|
22 AUGUST 2011
|
|
PLACE:
|
PERTH
|
REASONS FOR JUDGMENT
INTRODUCTION
(a) engaging in unlawful industrial action in the form of a ban on the performance of building work by employees employed on the Pluto LNG Development Project on 1 and 2 December 2009; and
(b) aiding, abetting, counselling and procuring, and so being involved in, unlawful industrial action in the form of a failure to attend for building work by those employees on 1 and 2 December 2009.
(a) the contraventions arose out of the one course of conduct; and
(b) the penalty for the two contraventions should be $71,500 in the case of
the CFMEU and $14,300 in the case of the McDonald.
The parties also contend
that these penalties are within the permissible range for the
contraventions.
(a) permanently restraining the CFMEU and McDonald from:
(i) engaging in any industrial action; or
(ii) threatening, organising, counselling, encouraging, procuring, or otherwise being involved in any industrial action by any person;
on or in connection with any of the Pluto LNG Project, the North West Shelf Project or the Browse LNG Project, including construction and operations, and any future expansions of those projects. The last two projects are resources projects in which the applicant and its related bodies corporate have interests: SOAF at [5];
(b) for judgment in the sum of $1,500,000, being compensation for damages claimed by Woodside as a result of the above contraventions and as a contribution towards its costs of and incidental to these proceedings; and
(c) requiring the CFMEU to indemnify Woodside for 25% of all liabilities, costs and expenses which Woodside may incur as a result of or in relation to claims by contractors against Woodside arising out of the industrial action on 1 and 2 December 2009 to a maximum of $500,000.
QUANTUM OF PENALTIES
(a) it is the responsibility of the Court to determine the appropriate penalty;
(b) determining the amount of penalty is not an exact science;
(c) within a permissible range, the courts have acknowledged that a particular figure cannot necessarily be said to be more appropriate than another;
(d) there is public interest in promoting settlement of litigation, particularly where it is likely to be lengthy;
(e) the view of the regulator, as a specialist body, is a relevant, but not determinative, consideration;
(f) in determining whether the proposed penalty is appropriate, the Court examines all of the circumstances of the case; and
(g) where the parties have jointly proposed a penalty, it will not be useful to investigate whether the Court would have arrived at that precise figure in the absence of agreement. The question is whether that figure, in the Court's view, is appropriate in the circumstances of the case. In answering that question, the Court will not reject the agreed figure simply because it would have been disposed to select some other figure. It will be appropriate if it is within the permissible range.
[8] The authorities make it clear that, notwithstanding the agreement of the parties to a particular proceeding, the determination of the correct penalty is a matter for the court. The court is not obliged to accept the parties' agreement; nor is it entitled to take the easy course of doing so without deliberation. However, the authorities also show that, where the parties have agreed on a penalty, the court should give weight to that agreement, and should generally give effect to it so long as the agreed penalty falls within the appropriate range, that is, so long as it may be described as neither manifestly inadequate nor manifestly excessive ...
...
[27] The touchstone by reference to which to approach the question whether the penalties agreed in the present case are either manifestly inadequate or manifestly excessive is that the penalties should pay "appropriate regard to the circumstances in which the contraventions have occurred and the need to sustain public confidence in the statutory regime which imposes the obligations.": Australian Ophthalmic Supplies Pty Ltd v McAlary Smith [2008] FCAFC 8; (2008) 165 FCR 560 at 580 [91]: Construction, Forestry, Mining and Energy Union v Williams [2009] FCAFC 171; (2009) 262 ALR 417 at 428. Although it is not the function of the court to substitute its own preferred penalties for those agreed by the parties, it is necessary for the court to come at least to a general view about the seriousness of the conduct involved in the admitted contraventions of s 38 of the BCII Act.
. . . additional regard should be had in this matter to the presence of the ABCC as the industry regulator, and the support he has given to the agreement in determining whether the agreed penalties are appropriate.
The task which a sentencing judge is faced with is one of "instinctive synthesis": Australian Ophthalmic Supplies Pty Ltd v McAlary-Smith [2008] FCAFC 8; (2008) 165 FCR 560 (Australian Ophthalmic Supplies), Gray J at [27] and Graham J [55]. Such a process requires that a court take into account all relevant factors and to arrive at a single result which takes due account of them all: see Wong v The Queen [2001] HCA 64; (2001) 207 CLR 584 at [74]-[76]; Markarian v The Queen [2005] HCA 25; (2005) 228 CLR 357 (Markarian), Gleeson CJ, Gummow, Hayne and Callinan JJ at [37]-[39]. The penalty must not be so great as to crush the person upon whom the penalty is imposed or reveal the person as a scapegoat: Ponzio at [93] (Lander J); McDonald v R [1994] FCA 956; (1994) 48 FCR 555 at 563. The maximum penalty is reserved for only the most serious of contraventions: Markarian at [31]. Proportionality and consistency commonly operate as a final check on the penalty assessed: Australian Ophthalmic Supplies at [53].
(a) the nature and extent of the contravening conduct;
(b) the circumstances in which the conduct took place;
(c) the period of the conduct;
(d) the nature and extent of any loss or damage sustained as a result of the conduct;
(e) whether the contraventions were distinct or arose out of the one course of conduct;
(f) whether or not the breaches were deliberate;
(g) whether senior management was involved in the conduct;
(h) whether there had been any contrition exhibited;
(i) whether the party committing the breach had taken any corrective action;
(j) whether the party committing the breach had cooperated with the prosecutor;
(k) whether there has been similar previous conduct by the respondent;
(l) the size of the business enterprise involved; and
(m) the need for general and specific deterrence.
... It may be that breaches by unions and employers of industrial legislation from time to time have been accepted as part of the give and take of industrial disputation. However, in recent years industrial legislation has increasingly codified and prescribed what is acceptable, and what is unacceptable, industrial conduct. The legislature has, over time, also moved to increase the penalties that may be imposed in respect of unlawful industrial conduct. In my view, any light-handed approach that might have been taken in the past to serious, wilful and ongoing breaches of the industrial laws should no longer be applicable. As is apparent from the penalties that I have imposed, I have not accepted that such an approach, which was urged by CBA (which contended that either no penalty or only a nominal penalty was appropriate), is applicable in the present case.
The nature of the contravening conduct; the circumstances in which the conduct took place; the period of the conduct
(a) the CFMEU arranged to hold a meeting outside the front gate to the Gap Ridge Village on the afternoon of 27 November 2009;
(b) at about 4.00pm, McDonald attended outside the front gate to the Gap Ridge Village where there was a large flag bearing the letters "CFMEU" and a large blue "Eureka flag" on the median strip outside the front gate to the Gap Ridge Village;
(c) the CFMEU, together with officials from other unions, at or about 5.45pm, conducted a meeting which then took place and was attended by a large number of employees, including Construction Employees, by addressing those present using a megaphone or PA system;
(d) McDonald addressed the meeting from time to time and informed the meeting that those attending should meet on the following Monday morning and then commence strike action if Woodside did not reverse the decision to introduce Motelling;
(e) McDonald called for a motion from those attending to reconvene a meeting at 8.00am on the following Monday 30 November 2009, and to "sit on the grass" if the decision by Woodside to introduce Motelling was not reversed; and
(f) in the absence of a motion forthcoming from those attending, McDonald informed the meeting that it would be reconvened at 5.00pm pm the following Monday to assess what Woodside had to say about Motelling in the interim.
(a) Pallot asked that Woodside defer the implementation of Motelling to allow discussions to occur after Christmas; and
(b) Gibson, speaking on behalf of FWW and Woodside, informed Pallot that Woodside would not agree to defer the implementation of Motelling, and the reasons why that could not occur.
(a) attended the vacant land outside the Gap Ridge Village where several large flags were displayed including a large flag with the words "CFMEU" and several blue "Eureka flags";
(b) together with officials from other unions, conducted a meeting of at least several hundred employees including Construction Employees who attended on the vacant land outside the Gap Ridge Village where the flags were displayed;
(c) from time to time addressed the meeting and encouraged those present to take industrial action in support of their demands;
(d) informed the meeting that he could not make decisions for the employees present;
(e) informed the meeting that the employees present needed to decide whether they would prefer to go on a one, two, three or seven day strike;
(f) towards the end of the meeting:
(i) repeated a motion from the floor to take industrial action for 48 hours; and
(ii) called for a vote on that motion, saying the words: "The motion is...", immediately following which another speaker said "we're out the gate for 48." McDonald then said "Those in favour raise your hands"; and
(iii) immediately following a show of hands from those present said the words "So we go back to work on Thursday", thereby informing those present that they would go back to work on "Thursday", by which was meant Thursday, 3 December 2009.
Relevant prior conduct
(1) Similar prior relevant conduct may be taken into account in assessing penalty, but it cannot be given such weight as to lead to the imposition of a penalty that is disproportionate to the gravity of the instant contravention: Veen v R (No 2) [1988] HCA 14; (1988) 164 CLR 465 (Veen), Mason CJ, Brennan, Dawson and Toohey JJ at 477.
(2) Similar previous conduct may demonstrate that a respondent has a history of engaging in the particular conduct in question, that the penalties previously imposed were insufficient to deter the respondent from re-engaging in that conduct and that the respondent has failed to take adequate steps to prevent further contraventions Veen at 477; Mahoney at [44]; Temple v Powell [2008] FCA 714; (2008) 169 FCR 169 (Temple) at [64].
(3) A respondent is not to be punished again for the prior conduct. Prior conduct may diminish leniency by reason of good character, having an upward affect on penalty, albeit within the proper limits indicated by the circumstances of the immediately contravening conduct: R v McInerney (1986) 42 SASR 111 (McInerney), King CJ at 113.
(4) The effect of prior contravening conduct is more cogent if it has been the subject of conviction. If not, the prior conduct is still relevant but perhaps of less weight: McInerney, King CJ at 113 and Cox J at 124; Williams v Construction, Forestry, Mining and Energy Union (No 2) [2009] FCA 548; (2009) 182 IR 327 (Williams (No 2)), Jessup J at [26]-[28].
(5) Whether previous misconduct is relevant to fixing a penalty is a question of logic: Temple at [63].
(6) Conduct of a different character does not assist: Leighton Contractors Pty Ltd v Construction, Forestry, Mining and Energy Union [2006] WASC 317; (2006) 164 IR 375 (Leighton Contractors) at [67]; Mahoney at [44].
(7) The quality of the conduct and its relevance to the industrial behaviour which the instant legislation seeks to address is determinative, not whether the prior conduct arose under different legislation or different provisions of the instant legislation: Mahoney at [46]; Williams (No 2) at [16]-[17].
(8) Prior relevant conduct includes prior relevant conduct of officials from other branches of the union: Williams (No 2) at [19]-[25].
(a) conduct that occurred, and which led to contraventions being recorded, prior to the conduct the subject of this proceeding; and
(b) conduct that occurred prior to the conduct the subject of this proceeding, and which led to contraventions being recorded, but those contraventions were not recorded until after the conduct which is the subject of this proceeding.
(a) conduct that contravenes the BCII Act and conduct that contravenes the provisions of the Workplace Relations Act 1996 (Cth); and
(b) conduct that took place in Western Australia and conduct that took place in other states.
It is not appropriate to consider all contraventions of any industrial legislation by any branch of the first respondent anywhere in Australia. The first defendant is a very large organization that operates throughout Australia. Branches, Divisions, officers and representatives of the first defendant are involved with employers in relation to industrial matters every day. It is inappropriate to take account of conduct of the first defendant through various branches, divisions & officers or representatives that is of a different character than the contravening conduct in question and are contraventions of different legislation.
The deterrent effect of a penalty would be significantly compromised if the court were obliged to turn a blind eye to a prior contravention merely because it occurred in a different division or branch of an organisation.
One course of conduct
Deliberate conduct
Size of the contravener
(a) current assets were $9,255,266;
(b) net assets were $7,706,249; and
(c) there was a surplus of income ($10,114,934) over expenditure ($9,879,071) of $235,863.
Involvement of senior management
(a) Joint Divisional Senior Vice President of the CFMEU’s Construction and General Division; and
(b) Assistant Secretary of the CFMEU’s Construction and General Division, Western Australia Divisional Branch.
Contrition
(a) the matter was referred, by consent, to mediation at an early stage of the proceedings;
(b) at the commencement of the mediation proceeding, the respondents indicated a clear willingness to try and resolve all issues without the need for the filing of witness statements and so as to avoid a trial; and
(c) the admission of liability and consent to all the orders now sought by Woodside is capable of being viewed as an acceptance of wrongdoing and a suitable and credible expression of regret.
... a discount should not be available simply because a respondent has spared the community the cost of a contested trial. Rather the benefit of such a discount should be reserved for cases where it can fairly be said that an admission of liability: (a) has indicated an acceptance of wrongdoing and a suitable and credible expression of regret; and/or (b) has indicated a willingness to facilitate the course of justice.
(a) pay a large sum by way of compensation;
(b) a significant curtailment of its future industrial activity with a view to achieving industrial peace; and
(c) provide an indemnity in respect of its future conduct,
which will ensure many years of industrial peace on a major project of significant national interest.
[37] The CFMEU acknowledged that it had not apologised for its contempt of the Court’s orders. It did, however, contend that the absence of an apology was not an aggravating circumstance that might justify higher penalty than might otherwise be justified.
[38] The CFMEU’s submission in this regard is supported by authority: see BHP Steel (AIS) Pty Ltd v Construction, Forestry, Mining and Energy Union [2001] FCA 336 (per Kiefel J at [10]). I accept it.
Cooperation
(a) the Rules allow for a short time in which to file a Defence (O11 rule 20) and where, in this case, the settlement involved complex multi-party negotiations which ultimately took many months to resolve; and
(b) the ABCC commenced against the CFMEUW (a union registered under state industrial legislation) in WAD 27 of 2010, and where no contraventions or penalties formed part of the ultimate settlement involving that organisation.
Deterrence
. . . Deterrence, both general and specific, is the very reason why, at least in the case of the BCII Act, the statute imposes criminal liability on a corporation for the misdeeds of its officers of employees. It follows that deterrence lies at the heart of the imposition of a penalty on a corporate offender. In the present case, general deterrence is directed towards dissuading other corporations, unions and individuals in the industry covered by the BCII Act from engaging in similar conduct.
The need for specific deterrence is underscored by the Union's history of similar conduct . . . and its continuing involvement in the building and construction industry.
The nature and extent of any loss and damage sustained as a result of the conduct
(a) 1200 employees not attending for building work on the Project on 1 December 2009; and
(b) 1340 employees not attending for building work on the Project on 2 December 2009.
(a) significant loss and damage; and
(b) to be exposed to claims by some contractors for losses allegedly suffered by those contractors.
Conclusion on quantum of penalties
(a) $71,500 against the CFMEU; and
(b) $14,300 against McDonald;
are proportionate to the conduct and in each case in the upper range for the breaches. It submits that the quantum is thus within the permissible range for such breaches and reflects appropriately the gravity of the breaches and the other sentencing principles referred to above.
Payment of penalties
A pecuniary penalty is payable to the Commonwealth or some other person if the Court so directs.
[82] ... The term that is used for this type of proceeding, brought by someone other than an officer of the executive government, is a proceeding brought by a common informer. There may, perhaps, unless the detail of what lies behind that description is understood, be thought to be a pejorative quality in that terminology. There truly is not. Rather, what it is, is the bringing to the attention of the courts of a transgression of a public obligation.
[83] In industrial law, there is a very particular benefit in that occurring for the community, so that the need for adherence to obligations can be brought home more widely. In bringing the present proceedings, the applicant trade unions have done a singular service not just to their members and other workers in QR Ltd and its subsidiaries, but also to the wider community.
[84] ... A trade union (or, for that matter, an employer organisation or employer which might inform), may render a particular service in circumstances where, even though a government officer such as an inspector might be permitted to bring a proceeding, for one reason or another, the executive government chooses not to do that.
[t]he usual order, when [a] proceeding is not brought by an inspector appointed under the Act, is for payment to the person or organisation applying for the penalty.
... where the conduct in question targets a particular organisation or person and that person is authorised to commence and commences a proceeding for the imposition of a penalty, in the usual course it is appropriate to order that the penalty be paid to the organisation or person.
The correct view is that the initiating party is normally the proper recipient of the penalty as part of a system of recognising particular interests in certain classes of persons (now specified in s 718 of the WR Act) in upholding the integrity of awards and agreements the subject of penal proceedings. Where a public official vindicates the law by suing for and obtaining a penalty, it is appropriate that the penalty be paid to the Consolidated Revenue Fund. Otherwise, the general rule remains appropriate, that the penalty is to be paid to the party initiating the proceeding, with the Gibbs [1992] FCA 374; 37 FCR 216 exception that the penalty may be ordered to be paid to the organisation on whose behalf the initiating party has acted.
Since John Holland is the party affected by the conduct and there is no compensation order, the appropriate course is to order that the pecuniary penalty be paid to the applicant.
It is a distinct power and, in my view, it is strongly arguable that it should be viewed as a power which should not be treated as impliedly constrained by the limitations imposed on a power to award costs . . . If a person or organisation successfully brings penalty proceedings, then I see no reason why an order cannot be made that the penalty be paid to that person or organisation without regard to whether the penalty might be used to defray legal costs. The use to which the penalty is put would be a matter for that person or organisation.
In CPSU Finkelstein J suggested that such an order should not be made if it is likely to result in a "windfall to the organisation". I am not sure I agree with that; the rationale of the practice is that it tends to encourage a "common informer" to police the relevant legislation: see Vehicle Builders' Employees' Federation of Australia v General Motors-Holden Pty Ltd (1977) 32 FLR 100 at 113. That rationale is likely to be defeated if the common informer is not to be allowed to make a profit.
The qualification upon the exercise of the power is that such an order ought not to be made if it will result in a windfall gain. Such a windfall might arise in circumstances where the party receiving the benefit of the order has already received compensation pursuant to s 298U both as to any economic loss in respect of the contravention and any non-economic loss in the nature of general damages.
The notion that the order to pay a penalty to the initiating party could produce a windfall is a false notion. If the true purpose of such an order is taken into account, and the order is not regarded as compensatory in any way, any notion of a windfall disappears.
[77] Subsection 49(5) of the Act provides that a pecuniary penalty is payable to the Commonwealth, or to some other person if the Court so directs. The parties have agreed that the penalties payable by the defendants should be paid to the plaintiffs. I consider that to be appropriate. The penalties are imposed for conduct which is all directed to, and has caused damage to, the plaintiffs. The plaintiffs, not the Commissioner have prosecuted these proceedings. The plaintiffs have been put to the expense and inconvenience of doing so. The plaintiffs have risked both their own legal costs and paying the defendants' legal costs by bringing the proceedings.
[78] The objects of the Act will be advanced by parties affected by unlawful industrial action bringing proceedings against the offenders. Affected parties will be encouraged to do so if there is a likelihood that the costs, inconvenience and risks associated with doing so will be offset by the receipt of the penalties paid by the offenders.
(a) expending significant resources before and after the commencement of proceedings to gather evidence to support its case;
(b) preparing a statement of claim (which the ABCC substantially adopted);
(c) carrying the vast bulk of the settlement negotiations; and
(d) preparing comprehensive submissions in relation to penalty (which the ABCC has again adopted) and the other relief sought (in respect of which the ABCC has made no submissions).
OTHER ORDERS
Injunction
(i) engaging in any industrial action; or
(ii) threatening, organising, counselling, encouraging, procuring, or otherwise being involved in any industrial action by any person;
on or in connection with any of the Pluto LNG Project, the North West Shelf Project or the Browse LNG Project, including construction and operations, and any future expansions of those projects.
Compensation
Indemnity
DEED OF SETTLEMENT
(a) clause 5 of the deed, whereby Woodside agrees to forebear to recover part of the compensation payment, subject to the conditions set out in the clause; and
(b) clause 3.4 of the deed, which deals with the position where the Court declines to make some or all of the orders sought.
Conclusion
|
I certify that the preceding one hundred and sixty-five (165) numbered
paragraphs are a true copy of the Reasons for Judgment herein
of the Honourable
Justice Gilmour.
|
Dated: 22 August 2011
Date revised: 14 June 2011
|
Tab
|
Date on which conviction recorded
|
Case name and citation
|
Unlawful conduct engaged in
|
Date conduct occurred
|
Legislation
|
Total penalties imposed on CFMEU and officers
|
|---|---|---|---|---|---|---|
|
WA
|
||||||
|
1.
|
3 September 2010
|
ABCC v CFMEU (No 2) (2010) 199 IR 373
Affirmed: McDonald v ABCC [2011] FCAFC 29 (8 March 2011)
|
McDonald attended a meeting of employees at about 7 am. Initial vote to
strike for 24 hours lacked support.
|
15 July 2009
|
$40,000 CFMEU
$8,000 McDonald
|
|
|
2.
|
23 May 2008
|
Temple v Powell [2008] FCA 714; (2008) 169 FCR 169
|
17 August 2005 - McDonald and Powell attended a meeting of employees where
a motion to strike for 48 hours was put.
|
Workplace Relations Act 1966 (Cth) ss 170MN and 178
|
$18,000 CFMEU
$12,000 CFMEUW
$1,500 McDonald
Powell
|
|
|
3.
|
3 November
2006 |
Leighton Contractors Pty Ltd v CFMEU [2006] WASC 317; (2006) 164 IR 375
|
See ABCC v CFMEU (No 2) (2010) 199 IR
373 at [60] and [63].
|
9 March 2005 – February 2006
|
$90,000 CFMEU
$30,000 CFMEUW
$30,000 McDonald
|
|
|
OTHER STATES
|
||||||
|
4.
|
2 June 2011
|
Alfred v CFMEU & Ors [2011] FCA 556
[Victoria]
Also: Alfred v CFMEU & Ors (No 2) [2011] FCA 557 - $150,000 fine
imposed for continuing blockade for 7 days in contempt of court orders
|
Establishing and maintaining a total ban on the performance of work by
enforcing a blockade for 10 days of the main entrance of a
building site
|
19 to 28 May 2010
|
$100,000 CFMEU
|
|
|
5.
|
7 April 2011
|
Cozadinos v CFMEU & Ors [2011] FMCA 284
[Victoria]
|
Counselling or encouraging stoppages of building work by approximately 23
employees
|
31 January and 1 February 2008
|
$30,000 CFMEU
$5,000 Powell
$2,500 Tadic
|
|
|
6.
|
8 March 2011
|
Heyman v CFMEU & Ors [2011] FMCA 145
[Victoria]
|
Climbing a tower crane.
Blocking access to the tower crane by placing a piece of plywood flat
across the manhole.
Taking possession of the crane for about three hours.
|
21 May 2008
|
$30,000 CFMEU
$6,000 Washington
$5,000 Hudson
|
|
|
7.
|
7 March 2011
|
Michelle White v CFMEU [2011] FCA 192
[Victoria]
|
Holding of unauthorised meetings attended by employees (held by various
union officials on two separate days), including parking in
a way to block
access to site and refusing to allow employees to enter site.
Following the meetings, employees failed or refused to attend work (for
example, some employees failed to report to work at their
usual start time, some
employees left their compound close to the start of the day without performing
any work and some employees
sat in the sheds).
|
16 and 28 May 2008
|
$105,000 CFMEU
$13,000
Edwards |
|
|
8.
|
3 March 2011
|
Wotherspoon v CFMEU (No 2) [2011] FCA 158
Statement of agreed facts admitting liability and agreed penalties tendered
on 25 September 2009 in Wotherspoon v CFMEU [2010] FCA 111 (23 February
2010)
[Victoria]
|
Holding and conducting unauthorised meetings where votes to strike were
held (including seeking, supporting and procuring motions
to strike).
Restricting the performance of building work (including directing or
requesting concreters not to perform a scheduled concrete pour).
Employees failed or refused to attend for work.
|
23 May 2008, 14 and 28 August 2008
|
$48,250 CFMEU
$5,000 Spernovasilis
$4,500 Christopher
$8,500 McLoughlin
$2,500 Hudson
|
|
|
9.
|
28 January 2011
|
Flynn v CFMEU & Anor; Mathers v Feehan & Anor [2011] FMCA
32
[South Australia]
|
Conducting meetings that employees left site to attend.
Following the meetings employees did not return to work or failed to attend
for and perform work.
|
30 May 2008 and 15 July 2008
|
$37,000 CFMEU
$8,000 Feehan
|
|
|
10.
|
20 October 2010
|
Gregor v Berardi & Anor [2010] FMCA 805
[Victoria]
|
Holding a meeting during which employees were told to stop work for a day
or two.
Following the meeting, the employees refused or failed to perform work for
the remainder of the day.
|
7 October 2008
|
$25,000 CFMEU
$5,000 Berardi
|
|
|
11.
|
21 September 2010
|
White v CFMEU (2010) 198 IR 325
[Victoria]
|
Directing members to attend an unauthorised meeting.
Refusing to leave site.
|
19 February 2008
|
$38,500 CFMEU
$7,700 McLoughlin
|
|
|
12.
|
4 August 2010
|
Hardwick v AMWU (2010) 198 IR 312
[Victoria]
|
Threatening an intention to "shut the job down".
Organising and participating in protests (including preventing workers from
entering site) with the intent to coerce sub-contractors
to enter into a union
building agreement.
|
12 February 2009
|
$9,000 CFMEU
$3,500 Parker
|
|
|
13.
|
28 July 2010
|
Williams v Automotive, Foods, Metals, Engineering, Printing and Kindred
Industries Union (2010) 196 IR 365
[Victoria]
|
Various conduct, including:
On various instances, employees did not
return to work, refused to return to work and/or failed to attend to work.
|
5 and 6 February 2009, 3-10, 11-13, 12-13, 16-21 and 26-31 March 2009,
7-9, 14-16 and 29 April 2009
|
$858,000 CFMEU
$71,000 Powell
$71,000 Stephenson
|
|
|
14.
|
22 March 2010
|
Wotherspoon v CFMEU (2010) 192 IR 475
[Victoria]
|
Engaging in meetings and work stoppages on site.
Employees and others subsequently withdrew their labour and failed to
perform their work.
|
30 April 2008
|
$25,000 CFMEU
$5,000 Stephenson
$1,000 Slater (wholly suspended for 12 months)
|
|
|
15.
|
9 February 2010
|
Cozadinos v CFMEU [2010] FCA 48
[Victoria]
|
Organising and attending a meeting on site.
Stating that the site was being shut down and that the workers would go
home.
|
8 March 2007
|
$40,000 CFMEU
$5,000 Mates
|
|
|
16.
|
23 December 2009
|
Wilson v Nesbit (2009) 195 IR 399
[Queensland]
|
Stating (among other things) that:
|
23 June 2008
|
$40,000 CFMEU
$9,000 Nesbit
|
|
|
17.
|
16 December 2009
|
Gregor v CMFEU & Anor [2009] FMCA 1266
[Victoria]
|
Arranging for workers on site to stop work and attend a meeting.
Encouraging and directing attendees to leave site and not perform any
further work that day.
Some employees did not perform work for the remainder of that day, other
employees did not perform work for the remainder of that
day and for the
following two days.
|
19 – 21 July 2007
|
$7,500 CFMEU
$1,000 Berardi
|
|
|
18.
|
14 December 2009
|
John Holland Pty Ltd v CFMEU & Ors [2009] FMCA 1248
[Victoria]
|
Conducting stop-work meetings at two sites.
Inciting, encouraging and directing employees to cease work without
authorisation.
The majority of the workers who attended the meetings refused to perform
work for the remainder of the day.
|
24 March 2009
|
$23,000 CFMEU
|
|
|
19.
|
20 October 2009
|
Alfred v CFMEU & Ors (No 2) [2009] FMCA 1003
Affirmed: Construction, Forestry, Mining and Energy Union v Alfred
[2011] FCAFC 13 (10 February 2011)
[NSW]
|
Threatening to organise or take action against a subcontractor with intent
to coerce him and his workers to become members of the
CFMEU.
|
11 April 2006
|
$13,000 CFMEU
$13,000 CFMEU (NSW)
$2,600 Manna
|
|
|
20.
|
2 October 2009
|
[Victoria]
|
Organising and conducting a stop-working meeting on site.
Refusing to induct employees without a CFMEU enterprise bargaining
agreement, asserting that the work was CFMEU work exclusively (and
not AMWU
work) and organising a stop work meeting with the intent to apply undue pressure
on employees to make an enterprise bargaining
agreement.
|
19 September 2006, 3 October 2006
|
$25,000 CFMEU
|
|
|
21.
|
16 September 2009
|
Cahill v CFMEU (No 4) [2009] FCA 1040; (2009) 189 IR 304
Affirmed: CFMEU v Cahill [2010] FCAFC 39; (2010) 194 IR 461 (18 May 2010)
[Victoria]
|
On multiple occasions, threatening "trouble" at the project and that the
project would never recommence if the following demands were
not met:
• the company employ two former shop stewards and the OHS officer
who had been employed by the previous contractor; and
• the company appoint these people as shop stewards and OHS
officer respectively.
Organising and directing the crane crew to stop work and leave the
site.
|
15, 17 and 21 February 2006
|
$75,500 CFMEU
$10,000 Mates
|
|
|
22.
|
29 July 2009
|
Cruse v CFMEU [2009] FCA 787; (2009) 187 IR 46
[Victoria]
|
Holding a stop work meeting.
Making threats that a picket would occur.
Placing a ban on crane installation work by workers.
|
6 October 2006
|
$10,000 CFMEU
$5,000 Washington
|
|
|
23.
|
28 May 2009
|
Williams v CFMEU (No 2) [2009] FCA 548; (2009) 182 IR 327
[Victoria]
|
Procuring a work stoppage to coerce a builder to employ or engage a
building employee or contractor.
|
31 July 2006
|
$35,000 CFMEU
$7,500 Mates
|
|
|
24.
|
7 May 2009
|
Cozadinos v CFMEU [2009] FMCA 272; (2009) 183 IR 406
[Victoria]
|
Telling an employee not to drive a forklift and removing the keys from the
forklift.
|
19 March 2007
|
$5,000 CFMEU
$7,000 Johnston
|
|
|
25.
|
9 April 2009
|
Cruse v CFMEU [2009] FMCA 236; (2009) 182 IR 60
[Victoria]
|
Calling employees to the sheds for a site meeting during work hours.
Holding a site meeting.
Following the meeting, the majority of the employees failed or refused to
return to work and left the site for the remainder of the
day.
|
25 September 2006
|
$27,500 CFMEU
$11,000 McLoughlin (50% suspended)
|
|
|
26.
|
31 March 2009
|
Duffy v CFMEU (No 2) [2009] FCA 299
[Victoria]
|
Imposing bans on the performance of earthworks and concreting work.
|
20 and 21 October 2005
|
$5,500 CFMEU
|
|
|
27.
|
17 March 2009
|
Draffin v CFMEU [2009] FCA 243
|
Exerting pressure and coercion on the head contractor to stop using the
services of a subcontractor because that subcontractor employed
workers under
AWAs.
|
16 November 2005
|
Workplace Relations Act 1996 (Cth) ss 298P(3)
and 298K(2)
|
$52,750
CFMEU $10,000 each
Allen, Oliver, Benstead (50% suspended for 12 months) |
|
28.
|
5 November 2008
|
Cruse v CFMEU (No 2) [2008] FCA 1637
[Victoria]
|
Making a false and misleading representation regarding a building
contractor's obligation to join the union.
Making a false and misleading representation about the requirement to have
an enterprise bargaining agreement to perform construction
work on the site with
the intent to coerce the person to agree to the making of an agreement.
|
May 2005
|
Workplace Relations Act 1996 (Cth), ss 170NC and 298SC(c)
|
$4,000
CFMEU |
|
29.
|
5 November 2008
|
Cruse v Multiplex Ltd and Others [2008] FCAFC 179; (2008) 172 FCR 279
[Victoria]
|
Making a claim for strike pay for Multiplex to pay the employees for the
period during which they took industrial action. (Employees
on site stopped
work to attend a meeting and then did not work for the rest of that day.
Employees attended a further meeting the
next day.)
Organising and engaging in industrial action with an intent to coerce
Multiplex to make payments (in circumstances where Multiplex
would breach the
Workplace Relations Act 1996 (Cth) by making such payments).
|
5 and 6 August 2003
|
Workplace Relations Act 1996 (Cth), ss 187AA and 187AB(1)
|
$2,500 CFMEU
|
|
30.
|
27 October 2008
|
Stuart-Mahoney v CFMEU (No 3) [2008] FMCA 1435; (2008) 177 IR 75
Varied: CFMEU v Stuart-Mahoney [2011]
FCA 56 (8 February 2011)
[Victoria]
|
Taking action against the employee with intent to coerce him to become a
union member.
Making false and misleading statements at an induction to the effect that
an employee could not work unless he was a member of the
union.
|
12 September 2006
|
$24,775 CFMEU
$6,000 Deans (50% suspended)
|
|
|
31.
|
25 September 2008
|
Alfred v Wakelin [2008] FCA 1455
[NSW]
|
Holding a meeting that went over the authorised 15 minutes during which a
motion was called regarding not returning to work.
Some employees who were at the meeting resolved to go on strike for the
remainder of the day.
|
10November 2005
|
$8,000 CFMEU
$1,100 Wakelin
|
|
|
32.
|
19 September 2008
|
Stuart-Mahoney v CFMEU [2008] FCA 1426; (2008) 177 IR 61
[Victoria]
|
Recommending and supporting an overtime ban which lasted 7 days.
|
6 – 12 October 2005
|
$55,000 CFMEU
$8,000 Parker (wholly suspended)
|
|
|
33.
|
11 April 2008
|
A & L Silvestri Pty Limited v CFMEU [2008] FCA 466
[NSW]
|
Making threats of industrial action and disruption to back up demands for a
site agreement and enterprise bargaining agreement to
cover the project and to
cause all subcontractors engaged on site to have an enterprise bargaining
agreement with the union. The
threats caused work on the site to cease for
periods of time.
|
20 and 21 October 2003
|
Workplace Relations Act 1996 (Cth), s 170NC
Trade Practices Act, s 45D
Tort of interference with contract
|
$5,500 CFMEU
$1,800
Lane |
|
34.
|
11 April 2008
|
Cahill v CFMEU [2008] FCA 495
[Victoria]
|
Repeatedly requesting the company to make payments for work
stoppages.
Threatening to, and organising, further work stoppages when the company
refused to make the payments.
|
13, 14 and 18 May 2004
|
Workplace Relations Act 1996 (Cth), s 187AB(1)
|
$4,000 CFMEU
|
|
35.
|
14 November 2007
|
Cruse v CFMEU & Anor [2007] FMCA 1873
[Victoria]
|
Attending a mass meeting and not taking any steps to persuade those present
against taking strike action.
Failing to call off strike action that was in breach of certified
agreements.
|
22, 23, 27 and 28 September 2005
|
$35,000 CFMEU
$7,000 Stewart (50% suspended)
|
|
|
36.
|
4 July 2007
|
Alfred v Lanscar [2007] FCA 1001; (2007) 167 IR 320
[NSW]
|
Advising, encouraging or inciting a painting contractor to refuse to engage
painters on the basis that they were not union members
(ie to take
discriminatory action).
Threatening industrial action with the intent to coerce the contractor to
refuse to use non-union member painters.
|
9 February 2005
|
Workplace Relations Act 1996 (Cth), s 298S(2)(a) and (b)
|
$10,000 CFMEU
$2,000 Lanscar
|
|
37.
|
14 May 2007
|
Ponzio v B & P Caelli Constructions Pty Ltd and Others [2007] FCAFC 65; (2007)
158 FCR 543
Varying: Ponzio v B & P Caelli Construction
Pty Ltd [2006] FCA 1221; (2006) 157 IR 80 (11 September 2006)
|
Making claims for strike pay. (Following industrial action taken in which
workers stopped work for a mass meeting after a fatality,
pursuant to union
policy.)
Placing bans on the use of certain equipment and making threats about
further industrial action to force payment.
|
5 and 6 August 2003
|
Workplace Relations Act 1996 (Cth), ss 187AA and 187AB(1)
|
$5,000 CFMEU
|
|
38.
|
10 May 2006
|
Martino v CFMEU (unreported, Magistrates Court (Industrial
Division), Vic, 10 May 2006)
[Victoria]
|
Preventing a subcontractor from entering site to perform soil testing
unless the subcontractor agreed to enter an enterprise bargaining
agreement with
the CFMEU.
|
26 and 28 October 2004
|
Workplace Relations Act 1996 (Cth), s 170NC
|
$13,500 CFMEU
$450
Maher |
|
39.
|
3 May 2005
|
Alfred v Walter Construction Group Limited [2005] FCA 497
[NSW]
|
Engaging in conduct calculated to prevent a subcontractor from continuing
to work on site following unsuccessful negotiations for
a federal enterprise
bargaining agreement.
|
April 2003
|
Workplace Relations Act 1996 (Cth), s 170NC
|
$7,500
CFMEU |
|
40.
|
13 July 2004
|
Hadgkiss v Blevin [2004] FCA 917
[NSW]
|
Coercing an employee of a building contractor to join the CFMEU, including
by threatening "trouble" if he did not become a member.
The employer paid the
employee's union fees.
|
November 2002
|
Workplace Relations Act 1996 (Cth), s 298P(3)
|
$5,500 CFMEU
$1,100 McGahan
$1,100 Blevin
|
|
41.
|
9 May 2002
|
Hamberger, Employment Advocate v CFMEU [2002] FCA 585
Varied: CFMEU v Hamberger, Employment Advocate [2003] FCAFC 38; (2003) 127 FCR 309
(10 March 2003)
[Queensland]
|
Attempting, on two occasions, to coerce an employer to remove an employee
from the site on the basis that the employee refused to
join the CFMEU.
|
29 January 1999, 26 February 1999
|
Workplace Relations Act 1996 (Cth), s 298P(3)
|
$3,000 CFMEU
$1,500 McHugh
$750 Ravbar
|
AustLII:
Copyright Policy
|
Disclaimers
|
Privacy Policy
|
Feedback
URL: http://www.austlii.edu.au/au/cases/cth/FCA/2011/949.html