BAILII is celebrating 24 years of free online access to the law! Would you consider making a contribution?
No donation is too small. If every visitor before 31 December gives just £1, it will have a significant impact on BAILII's ability to continue providing free access to the law.
Thank you very much for your support!
[Home] [Databases] [World Law] [Multidatabase Search] [Help] [Feedback] | ||
First-tier Tribunal (General Regulatory Chamber) |
||
You are here: BAILII >> Databases >> First-tier Tribunal (General Regulatory Chamber) >> Williams v Information Commissioner & Anor [2023] UKFTT 898 (GRC) (26 October 2023) URL: http://www.bailii.org/uk/cases/UKFTT/GRC/2023/898.html Cite as: [2023] UKFTT 898 (GRC) |
[New search] [Printable PDF version] [Help]
(General Regulatory Chamber)
Information Rights
B e f o r e :
____________________
EDWARD WILLIAMS |
Appellant: |
|
- and - |
||
THE INFORMATION COMMISSIONER |
First Respondent: |
|
and |
||
CHIEF CONSTABLE OF SOUTH YORKSHIRE POLICE |
Second Respondent: |
____________________
____________________
Crown Copyright ©
Hearing: On 17 October 2023 on GRC CVP.
For the Appellant: as a Litigant in person in writing of the Grounds of Appeal dated 23 March 2023 and his oral submission at hearing.
For the First Respondent: , Eric Metcalf of Counsel by way of written Response to the Grounds of Appeal, dated 24 July 2023.
For the Second Respondent: Jessica Denby-Hollis, in house Solicitor by way of written Response to the Grounds of Appeal, dated 23 August 2023, together with oral and Outline Written submissions from Alex Ustych of Counsel dated 17 October 2023.
Decision: The appeal is dismissed in relation to the substantive application of exemptions s31 and s38 which apply to Parts 1 and 2 to the Freedom of Information request made by the Appellant. The hearing on further unresolved issues pertaining to Part 3 of the request is hereby Adjourned (see Reasons below).
Introduction:
Factual Background to this Appeal:
"Disclose:
(1) The police disciplinary/personal investigatory record of PC [redacted]. This includes but is not limited to punishments or censure or other disciplinary matters.
(2) All complaints made against PC [redacted]. This includes but is not limited to child abuse and sexual matters.
(3) All IPCC/IOPC and police reports relating to misconduct, wrongdoing, etc. by PC [redacted]."
(i) the SYP's power to hold misconduct hearings under Schedule 2 to the Police (Conduct) Regulations 2012 was a relevant function within the scope of s31(1)(g) and 31(2)(b) FOIA, which was specifically entrusted to SYP as a police force to fulfil (DN, paragraph 18);
(ii) despite the conclusion of Operation Linden, the disclosure of this type of information might undermine future misconduct enquiries and could lead to the public being reluctant to report matters to the police. There was, therefore, a causal link between the disclosure of the requested information and the prejudice envisaged (DN, paras 23-24);
(iii) in this case, the question was whether the disclosure of the requested information "would be likely" to prejudice law enforcement (DN, para 26);
(iv) in relation to the public interest factors in favour of disclosure, the Appellant did not offer any arguments as to why he thought the information should be disclosed. The Commissioner, however, accepted SYP's submission that disclosure would demonstrate the Force's openness and transparency concerning officers' misconduct and disciplinary records, increasing public confidence in the Force and creating a better public understanding of the circumstances surrounding police complaints and the use of public funds to investigate such allegations (DN, paras 27-28);
(v) there was a "very strong" public interest in protecting the law enforcement capabilities of a police force and avoiding prejudice to the purpose of ascertaining whether any person is responsible for any conduct which is improper. It was not in the public interest to disclose information that may compromise the police's ability to accomplish its core function of law enforcement. Nor was it in the public interest to reduce the willingness of individuals to volunteer information to the police (DN, paras 31-32);
(vi) To the extent that there was a public interest in the Operation Linden investigation, this was met by the publishing of its findings and outcome and the extensive media reporting on the issue. There was, by contrast, little public interest in the disclosure of one officer's discipline/conduct record, particularly given he was deceased. Nor could the complainant have any expectation that their complaint would now be placed into the public domain. There was no plausible suspicion of any lack of probity in relation to the wider Operation Linden investigation (paras 33-35);
(vii) In the circumstances, the public interest in maintaining the exemption outweighed that in the disclosure of the requested information. SYP was entitled to rely on s31(1)(g) and (2)(b) FOIA in this case (para 36);
(viii) In light of the Commissioner's findings on s31, it was unnecessary to consider SYP's further reliance on s38 FOIA.
The Grounds of Appeal:
"(i) concluding that the SYP's power to hold misconduct hearings was a relevant function within the scope of s31(1)(g) and (2)(b) FOIA;
(ii) concluding that the disclosure of the requested information would be likely to prejudice SYP's function of ascertaining whether any improper conduct has
occurred;
(iii) taking account of the "policing system as a whole" since it did not relate to s31(2)(b) FOIA;
(iv) attaching insufficient weight to the public interest in disclosure; and
(v) attaching undue weight to the prospect of prejudice being caused to any person in relation the record of a deceased officer."
The Commissioner's Response:
"Ground (i) – whether the SYP was exercising a function within s31(1)(g). The Appellant complains that the Commissioner erred in concluding that SYP's power to hold misconduct hearings under Schedule 2 to the Police (Conduct) Regulations 2012 was a "function" within the meaning of s31(1)(g) for the purpose of ascertaining whether any person is responsible for any conduct which is improper under s31(2)(b). The Appellant argues that the Schedule merely identifies standards, rather than a function which he describes as "powers and duties entrusted to a PA by Parliament". The Appellant is correct that, by itself, Schedule 2 does no more than identify the applicable standards by which improper conduct is to be ascertained. The Appellant, however, misses the wood for the trees. The entire framework of the 2012 Regulations is devoted to the investigation of misconduct and the holding of misconduct proceedings.
Specifically:
(i) The Regulations apply whenever "an allegation comes to the attention of an appropriate authority which indicates that the conduct of a police officer may amount to misconduct or gross misconduct" (Regulation 5);
(ii) Regulation 12(1) requires the authority to assess the conduct in question, including whether to take "management action against the officer concerned" (Reg 12(2)(b)) or, where a misconduct hearing may be held, to appoint an investigator (Reg 12(3)(a));
(iii) Regulations 13 and 14 set out the procedure to be followed for the appointment of an investigator and the purpose of such investigations; and
(iv) Regulation 19 et seq govern the procedure that the authority must follow in referring a case to misconduct proceedings. There is, in light of the above, no substance to the Appellant's complaint. The Commissioner correctly identified the 2012 Regulations as the source of SYP's function to identify misconduct.
Ground (ii) – whether the Commissioner identified how disclosure would prejudice the SYP's functions. The Appellant argues that the Commissioner failed to adequately explain how the release of the requested information would be likely to prejudice SYP's function of ascertaining whether any improper conduct occurred. The Appellant overlooks, however, those parts of the DN where the Commissioner precisely addressed these points:
(i) At paragraph 23 of his DN, the Commissioner set out SYP's arguments that
disclosure of the requested information could:
i. "make people more reluctant to come forward and report information to the police in the future. Under-reporting leads to an increase in undetected crime where this has occurred, which has an adverse effect on the community and South Yorkshire Police's ability to enforce the law"; and
ii. "compromise the right for an individual's [sic] to have a fair hearing and more importantly the rights of a complainant for a resolution".
(ii) At paragraph 24 of his DN, the Commissioner accepted that the disclosure of this type of information "might undermine misconduct enquiries, and that it could lead to the public being reluctant to report matters to the police". At paragraph 34 of his DN, the Commissioner stated that he recognised that "if disclosure of the withheld information is likely to cause prejudice to the policing system by inducing a potential reluctance to voluntarily provide information, upon which the effective running of the policing system relies, this would not be in the public interest";
(iii) At paragraph 34, moreover, the Commissioner noted that "any individual who has lodged a complaint against [the deceased PC] at any point will have been updated regarding their complaint and will have no expectation that this could now be placed into the public domain, thereby undermining their trust in the complaints system".
It is clear from the above that the Commissioner properly addressed himself as to the likelihood of prejudice arising from the disclosure of the requested information in this case and his assessment cannot be faulted.
Ground (iii) – whether the Commissioner was entitled to take into account 'policing as a whole'.
The "policing system as a whole" since it did not relate to s31(2)(b) FOIA. This is denied. The Commissioner's reference to the "policing system as a whole" was not made in relation to whether the exemption under s31 FOIA was engaged but instead formed part of his assessment of the balance of the public interest under s2(2)(b). It was, therefore, entirely appropriate that the Commissioner took account of broader factors and not just the narrow operation of the system for identifying misconduct by police officers.
Grounds (iv) and (v) – whether the Commissioner attached the correct weight to different factors when assessing the balance of the public interest:
The Appellant takes issue with the Commissioner's assessment of the balance of the public interest, complaining on the one hand that the Commissioner attached insufficient weight to the public interest in disclosure, while, on the other hand, arguing that he attached undue weight to the prospect of prejudice being caused to any person in relation the record of a deceased officer. Both complaints are misconceived. First, in relation to the media report relied on by the Appellant, the Commissioner correctly noted that there had been widespread media interest and, indeed, took this into account in assessing the extent to which the disclosure of the requested information would further the public interest. In this case, however, the Commissioner found that there was "little public interest" in the disclosure of the particulars of the investigation into the deceased officer (DN, para 34), particularly as there could be no resolution of the matter.
Nor did the Commissioner attach undue weight to the prospect of disclosure causing
prejudice to living individuals. The Appellant has submitted that he sees "no prejudice or other harm being caused to any person in releasing the record of a deceased officer" but the Commissioner was plainly entitled to find that the complainant had "no expectation of their complaint being placed into the public domain, thereby undermining their trust in the complaints system" DN, para 34)."
The Second Respondents' Response:
Legal Framework:
Section 31 – law enforcement provides:
Information which is not exempt information by virtue of section 30 is exempt information if its disclosure under this Act would, or would be likely to, prejudice— …
…
(g) the exercise by any public authority of its functions for any of the purposes specified in subsection (2) -
(2) The purposes referred to in subsection (1)(g) to (i) are—
…
(b) the purpose of ascertaining whether any person is responsible for any conduct which
is improper.
" - it is plain from reading the activities listed in section 31(1) and the purposes specified in s31(2) that they include activities that go beyond actual law enforcement in the sense of taking civil or criminal or regulatory proceedings. They include a wide variety of activities that can be regarded as in aid of or related to the enforcement of the criminal law…"
The Hearing of the Appeal:
"Q3 - Any information the requester wants from the IOPC has to be submitted to them. Please direct this to the IPPC/IOPC FOI Team who are better placed to provide such information. Their contact details are IOPC. - - - -" The Appellant's complaint to the Commissioner OB [D64-65] focused on issues of prejudice and stated in this respect "no reasons given, no confirm or deny if information held".
"(par. 7) It [SYP] advised him to contact the IOPC directly for part (3) of the request. OB [A2]
(par 12 (under 'Scope of the case') The Commissioner will consider the application of exemptions to parts (1) and (2) of the request below. No further comment was made by the complainant regarding part (3), so this will not be further considered. OB [A7]
(par. 7) It [SYP] advised him to contact the IOPC directly for part (3) of the request. OB [A2]
(par 12 (under 'Scope of the case')) Commissioner will consider the application of exemptions to parts (1) and (2) of the request below. No further comment was made by the complainant regarding part (3), so this will not be further considered OB [A7]. The DN, in respect of part 3, stated only: Appellant's Notice of Appeal [A10-11] advances several specific grounds, but none of them relate to the above paragraphs of the DN or Part 3 of the FOIA request." On behalf of the SYP it is argued: "The Commissioner's Response did not address Part 3 of the FOIA request—which is unsurprising given that the preceding complaint/appeal documents suggested it was outside the scope of this appeal, with only Parts 1 and 2 being challenged. Part 3 was therefore first raised at today's hearing; the Appellant should have raised it much earlier, which would have enabled enquiries to have been made by the Commissioner and SYP. The practical effect is that SYP only had a very limited time to address the matter, creating significant prejudice."
a. The Part 3 issue is outside the scope of this appeal—it is not a Ground of appeal within the Notice of Appeal. No prior application was made to amend/expand the scope of the appeal;
b. In any event, the late reliance on a new ground of appeal is subject to the Tribunal's case management powers (applying the overriding objective under Rule 2), which should be exercised against allowing a significant new issue on the day of the hearing, where there is:
1. significant prejudice to SYP;
2. no reason given for the lateness. The Appellant had since 22 September 2022 (the date of SYP's decision) to raise the point, including in a Reply in accordance with the case management directions in this appeal. Permitting reliance on a completely new ground would make Case Management meaningless.
IOPC reports request:
"2.12 In most cases where a public authority does not hold the information, but thinks that another public authority does, they should respond to the applicant to inform them that the requested information is not held by them, and that it may be held by another public authority. The public authority should, as best practice where they can, provide the contact details for the public authority they believe holds the requested information."
Request for police reports:
"Insofar as any such police reports may have existed before 2014, they have been 'weeded out' and so not held. The officer sadly died in early 2015;
Any other 'police reports' (i.e. any misconduct papers to do with the officer, whether relevant to Operation Linden or otherwise) have been handed over to the IOPC for the investigation and are not (and were not at the time of the request/response) held by SYP. "
(i)"Given the information now provided, the Appellant discontinues any appeal in respect of Part 3—as he has the confirmation he sought at the start of the hearing;
(ii) If the Appellant does not wish to accept option (a) because he wants more formal confirmation, then SYP will support his request to adjourn that aspect of the appeal only. During the adjournment, written confirmation can be provided (whether by way of witness statement or otherwise) and—bearing in mind Rule 2—the parties can try to resolve the matter to avoid holding an adjourned hearing;
(iii) Only if (a) and (b) are not deemed suitable, then a substituted DN on the narrow issue of 'police reports' within Part 3 of the request be issued by the Tribunal."
s. 31 (1) (g) law enforcement exemption
Whether SYP was exercising function within s. 31 (1) (g)
a. The entire framework—as the name suggests—is about investigating misconduct allegations and holding misconduct proceedings.
b. (i) The Regulations apply whenever "an allegation comes to the attention of an appropriate authority which indicates that the conduct of a police officer may amount to misconduct or gross misconduct" (Regulation 5); OB [G130]
c. (ii) Regulation 12(1) OB [G133] requires the authority to assess the conduct in question, including whether to take "management action against the officer concerned" (Reg 12(2)(b)) or, where a misconduct hearing may be held, to appoint an investigator (Reg 12(3)(a));
d. Regulations 13 and 14 OB [G134] set out the procedure to be followed for the appointment of an investigator and the purpose of such investigations; and
e. Regulation 19 OB [G137] et seq govern the procedure that the authority must follow in referring a case to misconduct proceedings.
f. Schedule 2—Standards of Professional Behaviour OB[G163] are the substantive framework which underpins the investigation/hearing process in the 2012 Regulations. OB [G129] The Standards of Professional behaviour are those in Schedule 2. Regulation 15 (1) (a) sets out how the whole investigation process starts out with the investigator providing a notice of how the allegation is alleged to fall below the Schedule 2 standards OB [G135].
g. They are indivisible from the functions set out in the Regulations, which are clearly a function for "purpose of ascertaining whether any person is responsible for any conduct which is improper". Trying to salami-slice the Regulations by saying that Schedule 2 is not a function but standards, is a completely artificial exercise which takes Appellant nowhere.
Whether disclosure of information 'would be likely' to prejudice law enforcement:
a. This type of disclosure would undermine ability to conduct misconduct investigations in future. Evidence/data collected as part of misconduct processes is always handled sensitively to maintain confidence of the public and officers in the process.
b. Even after the death of the officer complained about, such disclosure may affect perception and confidence in the process. It would make people more reluctant to come forward, to report information in future.
c. Under reporting leads to increase in undetected crime and misconduct, which plainly prejudices law enforcement;
d. Releasing such information would undermine SYP's commitment to protecting information submitted to it for misconduct purposes—i.e. using it only for the relevant purpose;
e. Disclosure of information may undermine misconduct enquiries—rights of individual for a fair hearing and rights of complainants for resolution.
Public interest balancing:
"Disclosure would make people more reluctant to report misconduct, which would limit its ability to respond or deal with issues
Under reporting leads to undetected crime, which impacts the community".
a. Public interest inherent in exemption—clearly in public interest to avoid prejudice to law enforcement;
b. 'very strong public interest' in protecting law enforcement capabilities—not in public interest to compromise capabilities
c. Stronger public interest in ensuring effectiveness of the misconduct regime, by avoiding reluctance for people to come forward with information.
d. Op Linden already attracted considerable attention, contributing to transparency and accountability (par 33)—those ends have been met by IOPC's work;
e. Par 34—little public interest in disclosing the particulars of a late officer's complaint history, where there can be no follow-up disciplinary investigation. Individuals who lodged complaints have had final updates from IOPC so placing in public domain would undermine confidence in system;
f. Par 35—no plausible suspicion of lack of probity in IOPC investigation.
a. IOPC would have had access to disciplinary records. Any material or evidence from that source—which was probative to IOPC's Operation Linden work—would have been incorporated into that investigation. This is not the case where this disclosure is the exclusive means by which public interest material can be considered.
b. The two articles—from the Guardian and Irish Times—put forward by Appellant as indicators of public interest--are now historic, they are from 2015. Of course, interest of the public is not the same as public interest in any event.
c. Appellant is asking for all disciplinary records, not just items related to the child sexual exploitation investigation—any other records are not relevant to the public interest in respect of child sexual exploitation issues which is the public interest basis of the request. This is more consistent with a 'fishing expedition' attracting minimal public interest. OB [D70].
(1) Information is exempt information if its disclosure under
this Act would, or would be likely to-
(a) endanger the physical or mental health of any individual, or
(b) endanger the safety of any individual.
"- - someone who has died (and is therefore not covered by the personal information exemption) where disclosure might endanger the mental health of surviving relatives, particularly if they had been unaware of it;
…
The use of the phrase "any individual" in section 38 includes any specific individuals, any member of the public, or groups within society…
The effect cannot be trivial or insignificant. In the context of section 38, even if the risk falls short of being more probable than not, it needs to be such that there may very well be endangerment.
There needed to be "'a very significant and weighty chance'", a "'real risk'" was not enough.
…Endangering mental health implies that the disclosure of information might lead to a psychological disorder or make mental illness worse. This means that it must have a greater impact than causing upset and distress.
a. At least the lower 'would be likely to' standard is engaged;
b. Disclosure here is to the world, likely to attract media attention;
c. Releasing information about disciplinary record now—some years since he was the focus of reporting—would likely endanger health of friends, family. Both mental and physical health—more than just distress [C51]
d. Those suffering from complex grief or post trauma issues will often avoid anything associated with the death. Disclosure and related reporting create very significant risk that re-exposure will result in deterioration in mental health [C52];
e. Similar impact on any complainants against officer, if disclosure prompts renewed and more detailed reporting after a gap of years. The context is that complainants of child sexual abuse have suffered psychological harm. As noted in IC's DN on the law enforcement exemption, the complainants would have no expectation of complaints being placed in public domain years later;
f. [C52]—impact on driver prosecuted for officer's death. Tried for causing death by careless driving and acquitted. Very significant and weighty chance of risk to his health if story reemerges after 7 years.
a. There are risks of 'mosaic effect identification' of victims and family;
b. Duty of care to complainants and families—complainants identifying themselves from records published, suffering adverse effects;
c. Police place significant weight on its duty to safeguards individuals from risks to their mental and physical health, especially where the harm would likely be due to release of information held by police;
d. SYP adopts IC analysis of public interest here—'little public interest' in disclosure of particulars of allegations/investigations, after Operation Linden already dealt with it.
e. Significant weight in protecting individuals from risk of injury, versus a comparatively low level of public interest in disclosure.
Conclusions:
Application of s.31(1)(g) :
Prejudice:
Application of s.38:
Public Interest:
Generally:
(i) first, the actual harm which SYP alleges would, or would be likely to, occur if the withheld information was disclosed has to relate to the applicable interests within the relevant exemption (in this case, the purpose of ascertaining whether any person is responsible for any conduct which is improper);
(ii) - secondly, SYP must be able to demonstrate that some causal relationship exists between the potential disclosure of the information being withheld and the prejudice which the exemption is designed to protect. Furthermore, the resultant prejudice which is alleged must be real, actual or of substance; and,
(iii) - thirdly, it is necessary to establish whether the level of likelihood of prejudice being relied upon by SYP is met – i.e. disclosure 'would be likely' to result in prejudice or disclosure 'would' result in prejudice.
Brian Kennedy KC 23 October 2023.