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You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> SA v The Secretary of State for the Home Department [2013] ScotCS CSIH_62 (06 June 2013) URL: http://www.bailii.org/scot/cases/ScotCS/2013/2013CSIH62.html Cite as: 2013 GWD 26-535, 2013 SLT 1132, [2013] ScotCS CSIH_62, 2014 SC 1, [2013] CSIH 62 |
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SECOND DIVISION, INNER HOUSE, COURT OF SESSION
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Lord Justice ClerkLord BrodieLord Drummond Young
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Alt: McGregor; Office of the Advocate General
6 June 2013
Background
[1] The
reclaimer (appellant) has an immigration history which is best described as protracted.
She maintains that she arrived in the United Kingdom clandestinely in or about
December 2004 via Ghana. She came by boat and found herself in London,
where she boarded a bus to Aberdeen; all of this accompanied by her daughter,
who is now aged 9. She now also has a son aged 5. The respondent does not
accept this version of events for a variety of reasons and considers that the
reclaimer is in fact SOA, who arrived with her daughter directly from Nigeria
on a visitor's visa, granted on 23 November 2005.
[2] The
reclaimer's troubles in the UK began in March 2007, when she was arrested for possession
of a forged Nigerian passport. In October 2007, the sheriff put her on
probation for three years. Very soon after that, on 2 November 2007, the
reclaimer claimed asylum. This was refused on 2 February 2009. On
31 March 2009, her appeal against that refusal was dismissed by an Asylum
and Immigration Tribunal and, on 1 May 2009, her application for that
decision to be reconsidered failed.
[3] In both
June and September 2009 the reclaimer produced new information, which she
maintained satisfied the terms of paragraph 353 of the Immigration Rules
regarding "fresh" claims. The rule requires the information to contain facts
which are significantly different from those before the original Tribunal;
meaning that the new grounds must create a realistic prospect of success (ie a
reversal of the original decision) upon a re-assessment of the situation. On
15 and 24 September 2009, the reclaimer's new claims were rejected
but, following an interview with the reclaimer and her instigation of judicial
review proceedings, it was decided that her position should be revisited. Mental
health reports were obtained relative to the new material. However, on 20 August
2011, her claim was again rejected by the respondent. This was on the same basis
that the new information did not create a realistic prospect of success. In
the body of this decision were significant adverse findings concerning the
credibility of the reclaimer.
[4] On
14 October 2011, a First Tier Tribunal refused the reclaimer's appeal
against the respondent's decision. The issue at the hearing of the appeal was
whether the reclaimer and/or her two children were entitled to humanitarian
protection in terms of articles 3 and 8 of the European Convention on
Human Rights. It was noted by the FTT that, during the course of her previous
asylum claim, the designated immigration judge had considered the reclaimer's
account to be "garbled and self-contradictory" and that she could not be
regarded as "a reliable witness". Although, as the FTT correctly stated, the
findings on credibility were not binding, nor were they challenged. They were
based, in summary, upon the recovery of material, notably photographs, bank
statements, children's clothing and the application for the visitor's visa (supra)
in the flat of a male person (also Nigerian), which demonstrated fairly
convincingly that the reclaimer had fabricated material parts of her account,
especially that she had had no contact with the father of her youngest child
since 2006. The findings were strongly indicative of the reclaimer: (1) not
being who she said she was; (2) not having entered the UK as she said she did;
and (3) living in family with the male person at the flat.
[5] Notwithstanding
the somewhat damning criticisms of the reclaimer's credibility, the FTT went on
to consider the new material presented in relation to the reclaimer's mental
health. This revealed that the reclaimer did have significant problems, for
which she had received medical treatment and substantial social work support. However,
the FTT paid particular attention to the lack of credibility attaching to the
account given by the reclaimer about her past history, not only as narrated in
the immigration process but also to both a psychiatrist and a psychologist. The
FTT concluded as follows:
"21 The evidence before me does not indicate that the [reclaimer] is currently threatening suicide or harm to her children, although she has done so in the past. Her children have been returned to her and it is anticipated that compulsory protection measures will soon be removed because of the progress she has made. There is a possibility that the appellant's mental health may deteriorate if faced with imminent removal, but that is a situation that can be managed and monitored, with appropriate support being given to the appellant and her children before and during the journey if it is required. By the time the appellant and her children reach Nigeria, the threat of removal will have passed, the stress of uncertainty will have been removed and the fact of return will have become a reality ... The evidence does not suggest that there is a reasonable degree of likelihood that, given her current state of mental health, she will deliberately harm either herself or her children. She has improved considerably since her low point in 2010. Should her mental health deteriorate again in the future, there is treatment available for mental health problems in Nigeria, albeit that it may not be of the same standard as that offered in the UK and may not be free of charge. The risks and difficulties of her life in Nigeria may be much greater than would be the case if she were permitted to remain in the UK. She and her children may well have a happier life and better prospects in the UK, but that is not the test. I find that the evidence before me does not indicate that there is a real risk of the appellant and her children being exposed to conditions of such harshness and difficulty as to result in intense physical and mental suffering".
On this basis the FTT rejected the reclaimer's case for protection under Article 3.
[6] The FTT then
assessed the Article 8 claim, under reference to R (on the application
of Razgar) v Secretary of State for the Home Department (No. 2) [2004] 2 AC 368. The FTT was particularly concerned about the position of the two
children. The children were described (para 25) as "clearly ... in no way
responsible for" the reclaimer's actions in entering the UK and remaining there
illegally. They were said to be "innocent children". The FTT noted that it
required to have regard to their welfare and best interests as "a primary
consideration". The effect of a decision to return the family to Nigeria
would, the FTT expressly stated, be:
"27 ... to uproot the children from their present environment and require them to relocate to a very different environment. ... The obvious conclusion is that it would be in the children's best interest to avoid this scenario and permit them to remain in the UK".
Nevertheless, the FTT reasoned, it was necessary to see whether there were other factors, the cumulative effect of which would outweigh the primary consideration of the children's welfare. The FTT decided that there were such factors. The FTT concluded that:
"33 ... their interests in remaining in the UK are outweighed by the public interest in maintaining economic order and the rights of others by applying a consistent immigration control. The [reclaimer's] conduct in deliberately flaunting the UK's immigration laws is a matter which must be weighed in the balance. There is a strong public interest element in sending the message that persons breaching the rules will not be allowed to benefit from doing so. The [reclaimer] has proved herself to be a valued and well-liked member of the community during her time in the UK, but article 8 is not intended to be used as a vehicle for rewarding good behaviour. The Convention is designed to give direction to the protection of fundamental human rights, not the conferment of individual advantages or benefits".
Accordingly, the FTT found that the decision to remove the reclaimer was proportionate in terms of Article 8(2) of the Convention.
[7] The reclaimer
applied to the FTT for permission to appeal to the Upper Tribunal. This was,
broadly, on the basis of errors in the assessment of the psychiatric and
psychological evidence and in the balancing exercise relative to the best
interests of the children, as set against the other factors. A differently
constituted FTT refused leave to appeal, holding that the grounds advanced
disclosed no arguable error of law and simply amounted to disagreement with the
"careful and fully reasoned findings of the immigration judge".
The Decision of the
Upper Tribunal
[8] The
reclaimer applied to the Upper Tribunal for leave to appeal. Since this reclaiming
motion proceeds upon an application for judicial review of the UT's decision
(and not that of the FTT), it is of critical importance to note, first, the
precise nature of the application for leave to appeal to the UT and, secondly,
the exact terms of the decision made. Leave to appeal, or "permission" to do
so, as it is put in section 11 of the Tribunals, Courts and Enforcement Act
2007, may be granted in respect of "any point of law arising from a decision
made by" a FTT.
[9] Form
1AUT-1 (Upper Tribunal (Immigration and Asylum Chamber) - Application for
Permission to Appeal") is available for completion. Section F (Reasons for
appealing) asks the applicant to state what error(s) of law have been made by
the FTT. The reclaimer completed this form by inserting three paragraphs, the
second of which is no longer relevant. The first paragraph refers to the
description of the "Innocent children" in paragraph 25 of the FTT's
determination (supra) and identifies this description as reflective of
the comments of Lady Hale in ZH (Tanzania) v Secretary of State for
the Home Department [2011] 2 AC 166 (at para 33). It continues:
"The immigration Judge singularly fails to address how she is not visiting upon the children the faults of the [reclaimer]. The Immigration Judge is in effect blaming the children for something in which they are blameless and exacting retribution upon them for that by reaching the decision he (sic) did. Despite recording that the children are blameless the Immigration Judge left that out of account in the proportionality balancing exercise. In leaving a relevant matter out of account the Immigration Judge erred in law".
The third paragraph observes that the Immigration Judge had said (at para 21 supra) that the reclaimer's mental health could potentially deteriorate but that it could be monitored. It is then contended that:
"Whether that deterioration was manageable was irrelevant, if the very act of seeking to enforce removal was reasonably likely to bring a deterioration in mental health that would breach the [reclaimer's] physical and psychological integrity. In failing so to recognise the Immigration Judge left out of account a relevant matter".
It can instantly be seen that the error of law identified by the reclaimer in both paragraphs is a failure to take into account a relevant factor in the decision making process (and possibly taking into account an irrelevant one). That then was the issue focussed for the UT.
[10] On 12
December 2011, the UT refused leave to appeal. After three paragraphs of
narrative, the UT stated its reasons for refusal as follows:
"The Immigration Judge considered the fresh evidence relied on by the [reclaimer]. She found, however, ... that the [reclaimer] had lied about how and when she had entered the UK and about who she was. There were serious problems with her evidence that she had no contact with her child's father (also Nigerian but without any immigration status) as her personal possessions and documents were found in his accommodation. The Immigration Judge took account of the psychiatric evidence which suggested that return to Nigeria would have a devastating effect on her mental health but quite rightly found that this was diagnosed on the basis that the [reclaimer] had no family support network to rely on which was found to be untrue. Contrary to what is argued in the grounds, the Immigration Judge was very much aware that the children were blameless victims (paragraph 25). She considered their situation with care and applied relevant case law. Both are Nigerian citizens. The Immigration Judge balanced their situation against the countervailing factors. She reached a conclusion that removal would be appropriate and although the grounds take issue with that, it was a conclusion properly open to the Immigration Judge on the available evidence.
The decision of the Tribunal is sustainable. No arguable error of law has been identified".
The Petition for
Judicial Review
[11] The reclaimer presented a petition for judicial review, seeking reduction
of the UT's refusal to grant leave to appeal. The petition purports to be in
line with the guidance on the scope of such a review set out in Eba v Advocate
General 2012 SC (UKSC) 1. It is accepted by the reclaimer that the dictum
of Lord Hope in Eba (at para [48]) defines the scope as applicable
only to cases in which there is "some important point of principle or practice"
or "some other compelling reason" why an appeal should be allowed to proceed
(see infra).
[12] The
petition proceeds (statement of fact 10) to aver, as a generality, the
existence of a number of obvious errors of law in the UT decision which provide
"other compelling reasons" to allow review. The singular feature of the
petition thereafter is that it does not identify any such errors of law on the
part of the UT at all, but focuses on errors said to have been made by the FTT.
The first of these (statement 11) is that the FTT made a finding that was based
on "conjecture or speculation" and failed to ask the correct question in
relation to the stresses on the reclaimer's mental health and the availability
of treatment in Nigeria. The second and third errors (statements 12 and
13) are that the FTT erred in failing properly to evaluate the best interests
of the children.
[13] The
petition moves on to the separate category of "important point of principle or
practice". Once again, as a generality, it is said that it is the UT's
decision which contains an error, but the attack which follows on the
responsibility of children for the illegal actings of their parents (statements
15 and 16) is all against the FTT's reasoning. The next ground (statement 17)
relates to the FTT's reliance on a factor not presented by the respondent.
[14] The
petition reverts to the "compelling reasons" category (statement 19) and
once more avers the generality of errors on the part of the UT. What follows
(statement 22) is a contention that the FTT's finding, that the best interests
of the children were outweighed by the cumulative effect of other matters, was
"clearly wrong given the length of time the children had been in the United
Kingdom". This is followed by a statement that the UT had made an error in
failing to find that the FTT's erroneous balancing exercise founded a "right of
appeal". Finally, it is said (statement 23) that it was clearly wrong for the
FTT to fail to consider that the removal of the reclaimer would breach her
"psychological and physical integrity". Again it is stated that the UT had
erred in holding that this did not create a "right of appeal".
[15] This would
all be very interesting, if the court were to be engaged in an exercise of
identifying an error of law on the part of the FTT. It is not. This is, quite
rightly in terms of process, a petition for judicial review of the decision of
the UT to refuse leave to appeal. In order to succeed, and before the guidance
in Eba v Advocate General (supra) comes into play, it must
identify an error in law on the part of the UT.
[16] The UT was
asked to grant leave to appeal on the basis of two errors on the part of the
FTT, both concerned solely with failing to take into account relevant
considerations or taking into account an irrelevant one. The UT made a
decision on the only two matters which it was asked to address. That decision
was simply that the contentions of the reclaimer were wrong. It was clear
that, whatever the merits of any balancing exercise or the accuracy of any
findings in fact, the FTT had taken into account the innocence of the children
(at para 25) and the potential for deterioration in the reclaimer's mental
health (at para 21). As was correctly recognised at the hearing on the
reclaiming motion, that is essentially an end of the matter. The reclaimer
accordingly advisedly abandoned the reclaiming motion.
[17] It is
regrettable that the Lord Ordinary was led down a path which involved a
detailed and time consuming consideration of the FTT's lengthy determination. The
court can readily understand why that happened, given the state of the record
on the petition and answers. However, in an application for review in this
category of case, it is of vital importance that the court focus upon what is
actually being reviewed. Here it was a faultless determination of two
straightforward grounds of appeal proffered by the reclaimer about whether
relevant considerations had been left out of account.
[18] It is, of
course, conceivable that a party could maintain that the UT had omitted to spot
an obvious point of Convention jurisprudence (R v Secretary of State
for the Home Department, ex parte Robinson [1998] QB 929). However, in
order to do so, that party would have to have included that contention in any
petition for judicial review. That was not done in this case; nor indeed could
it have been done, given the lack of any obvious merit in the grounds which
were advanced.
Submissions
[19] Notwithstanding
the abandonment of the reclaiming motion, the parties were invited to address
the court on the important points of practice and procedure arising, not in
respect of the petitioner's appeal, but out of the use of judicial review in
this type of case.
Petitioner and Reclaimer
[20] The
petitioner argued that it would be appropriate for the court to hold that,
whilst the tests in Eba (infra) of an "important point of principle
or issue of general importance" and "other compelling reason" emphasised the
need for judicial restraint, they did not restrict the grounds available
for judicial review. The status quo had been rejected as untenable due to a
perceived lack of judicial restraint (R (Cart) v Upper Tribunal [2012] 1 AC 663, Lady Hale at para 50). It was to be assumed that specialist
tribunals were unlikely to make mistakes and the court should not be astute to
pick up errors of law (Cooke v Secretary of State for Social Security
[2002] 3 All ER 279, Lady Hale at paras 15-17, quoted in Cart, Lady
Hale at para 49, under reference to R (Wiles) v Social
Security Commissioner [2010] EWCA Civ 258, Dyson LJ at paras 53-54).
However, whether an error was sufficiently serious to justify review depended
on the circumstances of the particular case (PR (Sri Lanka) v
Secretary of State for the Home Department [2012] 1 WLR 73). It was an
inherently flexible test and a balance had to be struck between the strength of
a point and the consequences of getting it wrong (JD (Congo) v Home
Secretary [2012] 1 WLR 3273, Sullivan LJ at paras 23-27).
[21] The laws of
Scotland and England ought to be the same in this area (Eba, Lord Hope
at para [43]), but it remained to be determined how the test would operate in
Scotland. The "second appeals test" criterion had not been applied to the
judicial review of UT decisions on leave to appeal prior to Eba, but it
was relatively well-known and considered in Eba to be appropriate in
order to ensure the necessary level of restraint. Accordingly, it was to be
applied by analogy.
[22] Plainly the
test was intended in Eba to be applied in Scotland at the stage of first
orders, but it was designed to apply when seeking leave to raise judicial
review proceedings under English rules of procedure. An analogy could be drawn
between granting first orders and granting permission to raise proceedings. In
either case, the test should be applied prior to reaching the stage of
substantive review. It was not a straightforward test to apply, given its
relative novelty, and thus unlikely to be conducted as a paper exercise.
Considerations of practicality and judicial time explained why the test was to
be applied, but these were not additional qualifications. The test remained
"perversity" and not whether the judge could be persuaded of the merits of the
appeal quickly. The second appeals test ensured the appropriate degree of
judicial restraint, but it did not necessarily entail that applications should
be dealt with by undue expedition. Otherwise there would be a risk that
complex or legal points, which were not readily obvious, would be wrongfully
excluded (see BM, Petnr [2012] CSOH 142, Lady Clark at para
[20]).
Respondents
[23] The Eba test
should be considered at an early stage (Eba, Lord Hope at para [49];
A v Secretary of State for the Home Department 2012 SLT 1075, Lord
Brodie at para [31]). In cases of this nature, first orders were granted as a
matter of routine and substantive first hearings fixed (EY v
Secretary of State for the Home Department 2011 SC 388). However, it would
be appropriate for analysis of the Eba test to be undertaken at a much
earlier stage. The practice of the respondent had been to enrol a motion for
the Eba test to be considered at a procedural first hearing (see the
Practice Note No 1 of 2012). There had been some reluctance in the Outer House
to entertain substantive considerations at that stage because of the phrasing
in the Practice Note (para 11, infra).
[24] It was
envisaged that the first consideration of matters ought to be a paper exercise
at the outset of the process (Eba, Lord Hope at para 49). The new
procedural first hearing, at which all parties would be represented, was
tailor-made for applications of this nature. Parties could simply lodge short
statements of their positions in advance without the need for further
timetabling.
[25] In order to
pass the Eba test, the grounds for review ought to leap off the page.
If days of constrained argument were required, this would suggest the test
could not be satisfied. The point to be advanced should be capable of being
stated succinctly in order to come within the second appeals test. The
alternative analysis (BM Petnr (supra), Lady Clark at para [19])
represented a departure from the clear statement of intention in Eba.
Only in exceptional circumstances, where there might otherwise be dire
consequences, would review be justified (JD (Congo) v Secretary of
State for the Home Department (supra) at para 32).
[26] The courts
in Scotland had always exercised significant restraint in the judicial review
of specialist tribunals. However, the new tribunal structure, which had judges
of the higher courts sitting at the Upper level, was a clear reason for
limitation of the court's supervisory role. The enhanced structure required a
more restrained approach than has existed previously. The second appeals test
encapsulated the high level at which standards should be set (Cart (supra),
Lady Hale at para 56). A threshold of arguable or real prospects of success
was not sufficient; there must be a new point arising for determination (Uphill
(supra), Dyson LJ at para 18).
[27] It was
extremely difficult to suggest a form of wording which would provide guidance
on the Eba test. However, very high prospects of success were required
such that the decision was perverse or plainly wrong (Uphill (supra),
Dyson LJ at para 24). If a party were at fault in not raising the
existence of an error of law at an earlier stage, that may be a reason why the
"compelling reasons" test would not be satisfied notwithstanding its apparent
merit (ibid). The test was not concerned with minor errors of
procedure. Rather, a wholescale collapse of fair procedure was required. Second
appeals were strongly to be discouraged and the courts had to fulfil a
gatekeeping function (A (supra), Lord Brodie at para [27] et
seq). This could be achieved on paper in the first instance followed by
a fairly limited oral hearing (ibid at para 46).
Procedure
[28] In
Eba v Advocate General 2011 SC 70, the Lord President (Hamilton)
outlined (at para [34]) the origins of the Court of Session's supervisory
jurisdiction in relation to quasi-judicial bodies. He explained that a party
was entitled, as of right, to apply to the court to exercise this
jurisdiction. Leave of the court was not required. The method of review was
formerly by ordinary action for reduction of the particular determination, often
accompanied by a petition for suspension and interdict in order to secure
interim remedies. It was the cumbersome nature of such a process that prompted
the introduction of the hybrid petition for judicial review following upon the
observations of Lord Fraser in Brown v Hamilton District Council 1983 SC (HL) 1, at 49). However, the use of petition procedure meant that, rather
than simply passing the signet, the relevant writ required orders for service
(first orders) from the court before the process could commence (see now RCS
58.7).
[29] The power
of the court to refuse to grant first orders was considered by the Extra
Division in EY v Secretary of State for the Home Department 2011 SC 388. It had been exercised by the Lord Ordinary (Gill) in Butt v
Secretary of State for the Home Department, 15 March 1995, unreported, but
in circumstances where all relevant parties were present and the respondent had
pressed for such a decision. Reference was made to Maclaren: Bill Chamber
Practice (at 11), where it is said that a Lord Ordinary can "refuse" a Note
(petition) if it is manifestly incompetent. No doubt that is still the position,
in the sense that the court will not grant orders for service of a "manifestly
incompetent" writ. In Eba (supra at para [35]), the Lord
President suggested that the court could refuse to grant a first order if the
merits of the petition were "manifestly without substance". However, the Division
in EY held (at para [16]) that, whereas a party could not obtain
first orders as of right, the process of seeking such orders was a procedural
step which should not be equiperated with an application for leave to present
the petition (as is required in England and Wales). Thus, it was not necessary
for a petitioner to persuade the court that there was an arguable case.
[30] The court
left open the possibility of refusing first orders in "exceptional
circumstances", such as a clear lack of jurisdiction or incompetency and where
the averments were "incomprehensible or gibberish" or "out of step with
received and long established canons of law". Although it might not be
entirely clearly where any "bright line" may be drawn using this test, the
court seemed to accept that "manifestly without substance" could be an accurate
description of the standard required before first orders could be refused (para
[16]). That is where the law stands at present in relation to the powers of a
judge to grant or refuse first orders.
[31] In Eba v
Advocate General 2012 SC (UKSC) 1, the United Kingdom Supreme Court (per
Lord Hope (at para [49](c)) stated that the low threshold for first orders
described in EY (supra) needed to be reconsidered (presumably by
the Court of Session) for the category of judicial review, which challenged an
unappealable refusal of leave to appeal to an Upper Tribunal. The reasons for his
recommendation appear to be pragmatic rather than principled. In particular,
it was said that:
"The ever-increasing pressure on the court's business by applications for judicial review... together with the fact that the new tribunal structure requires that a more restrained approach be taken to judicial review of decisions of this kind, suggests that the Lord Ordinary... should be encouraged to consider the question whether there is an arguable case... is satisfied before he or she decides whether or not a first order should be granted".
[32] At present,
at the stage of granting first orders, the Lord Ordinary fixes a "first
hearing" (RCS 58.7.(1)(iii)). At that hearing, which occurs after any answers
are lodged, the Lord Ordinary is obliged to hear the compearing parties and is
entitled to determine the petition (58.9.(2)(a)). In terms of the Practice
Note No 1 of 2012, which is applicable solely to "immigration and asylum
judicial reviews", the court is ordinarily expected to appoint a date for a
"procedural first hearing" (para 8(c)) rather than one simpliciter.
This device is designed to focus the issues and to identify the best way of
resolving them efficiently. The Note states:
"11. At the procedural first hearing the Lord Ordinary will consider the pleadings and the statement of issues, ascertain the parties' state of preparation, the likely duration of the hearing and identify whether the case can be heard along with other similar cases. The Lord Ordinary will exercise any of the powers set out in Rule of Court 58.9 as may be appropriate, for example to require the lodging of notes of argument and authorities, and, after consulting the Keeper of the Rolls, allocate the case to a substantive hearing".
It is important to recognise that this is a Practice Note and not a Rule of Court, far less a provision in primary legislation. However, it appears that the intention is to divide the first hearing into two parts. The first part is "procedural" and the second "substantive". Although paragraph 11 states that, at the procedural hearing, the court "will" exercise any of the powers in RCS 58.9 as may be appropriate (and this theoretically includes determination of the petition), it goes on to state separately (and not as an example of a power that may be used) that, whatever else the court does, it will allocate a substantive hearing. This strongly suggests that petitions are not normally to be determined at procedural first hearings. In this respect, the court endorses the reasoning of the Lord Ordinary (Boyd) in MUB, Petnr [2013] CSOH 19.
[33] It is
likely that there will be significant changes in the procedure in the near
future. The draft Courts Reform (Scotland) Bill introduces (section 84), into
the Court of Session Act 1988, a new provision (section 27B) whereby leave will
be required before a petition for judicial review can proceed. This follows
the recommendations in the Report of the Scottish Civil Courts Review (the Gill
Report) to this effect (chapter 12 paras 40-54, recommendation 152). There is
a specific test laid down for leave to be granted. That is, following the
practice in England and Wales, whether the application "has a real prospect of
success" (recommendation 153). Presumably, consideration of whether there are
prospects of success in a petition for review of an unappealable refusal of
leave by an Upper Tribunal will involve the court determining whether the test
in Eba (infra) is capable of being met. At all events, it would
seem that, in the not too distant future, there will be scope for deciding that
question as a preliminary issue at the outset of the proceedings.
[34] Standing
the terms of the Bill as presently drafted (section 27C), it is likely that
there will require to be an oral hearing where any Lord Ordinary is considering
refusing leave. If there is no such hearing then, somewhat unusually, the
applicant can subject the refusal by a single Lord Ordinary to review by a
different single Lord Ordinary at a requisitioned oral hearing. Such
elaboration is likely to result in oral hearings in every case where leave is
not immediately granted. Any refusal of leave may be "appealed" to the Inner
House. All of these provisions may require new rules of court to facilitate
their implementation, perhaps especially in relation to the involvement of any
respondent. Meantime, it may be that the court should consider whether the
existing Practice Note should be amended so that it is clear whether (or not)
the Eba test (infra) can be considered as a preliminary issue at
a procedural first hearing.
The test in Eba
[35] In
Eba, Lord Hope, in delivering the judgment of the United Kingdom Supreme
Court, stated (para [48]) that, in cases which seek judicial review of
unappealable decisions refusing leave to appeal to an Upper Tribunal, the Court
of Session must limit ("use as a benchmark") the use of its powers of judicial
review to cases in which the error of law identified falls into one or other or
both of two categories. The first is where the error involves "some important
point of principle or practice". This is said to require a petitioner to raise
an issue "of general importance and not one confined to the petitioner's own
facts and circumstances". The second is where there is "some other compelling
reason" for allowing an appeal to the UT (not for allowing the review). This
category "includes" decisions which are "perverse or plainly wrong or where,
due to some procedural irregularity, the petitioner had not had a fair hearing
at all" (see, for an earlier similar exposition, Uphill v BRB
(Residuary) [2005] 1 WLR 2070, Dyson LJ at para 24).
[36] The test is
said to have been adopted "by analogy" from the "second appeals criterion".
This criterion is apparently well established in England and Wales as the
hurdle which has to be surmounted when a party is seeking to make a second tier
appeal to the Court of Appeal in that jurisdiction. It is enshrined in statute
in relation to the grant of leave to appeal from the UT to the Court of Appeal
(2007 Act section 13(6) and Appeals from the Upper Tribunal to the Court of
Appeal Order 2008). Lord Hope considered it appropriate to transfer this test
to Scotland partly because RCS 41.59, which was introduced in 2008, contained
very similar wording in relation to the grant of leave by the Court of Session to
appeal from decisions of the UT. This rule was, somewhat anomalously,
determined to have been ultra vires in KP v Secretary of State
for the Home Department [2012] CSIH 38, because it was not a matter of
practice and procedure capable of being regulated by Act of Sederunt. This
decision merely prompted the introduction of section 23 of the Crime and Courts
Act 2013 whereby the 2007 Act is amended to allow the Court of Session to make
rules providing that leave ("permission") should not be granted to appeal from
the UT unless: "(a)... the proposed appeal would raise some important point of
principle, or (b)... there is some other compelling reason for the court to hear
the appeal".
[37] This is the
first occasion in which a Division of the court has had the opportunity of
giving "such further guidance as may be needed as to how this analogy with the
second appeals criterion should be applied in practice" (Eba, para
[49]). In order to do so, the court must first wrestle with the meaning of the
two principal elements of the benchmark test, which are soon, presumably, also
to apply to applications for the grant of leave to appeal from the UT. The
court has not found this task to be an easy one. The court notes that its
difficulty is shared in the Outer House where there has been considerable
judicial thought put into the matter, without achieving any unanimity of
approach. Thus, as Lord Boyd recently said in MUB, Petnr (supra
at para [13]) "There is however a divergence amongst the judges in the Outer
House as to the correct approach to the Eba test...". There is perhaps a
degree of understatement in this expression.
[38] The extent
of the problem is exemplified by two cases (although there are others, see infra).
In A v Secretary of State for the Home Department 2012 SLT 1075,
the Lord Ordinary (Brodie) conducted an extensive analysis of the meaning of
the two benchmark elements after hearing detailed argument from skilled counsel
over the equivalent of two whole days (see para [10]). It is instructive to
note in limine that the argument for the petitioner in that case, as in
the present, was essentially that the Eba test did not alter the
existing, and some would say fundamental, principle that the identification of
a material error of law on the part of the inferior body provides sound grounds
for the exercise of the power of judicial review. This argument (see para
[24]) is, quite respectably, built upon the use in Eba of the words
"plainly wrong" as illustrative of what may constitute a compelling reason to
grant leave. On the not unreasonable assumption that the words mean, or
include being, "plainly wrong in law" (see PR (Sri Lanka) v Home
Secretary [2012] 1 WLR 73, Carnwath LJ at para 36), if a party can
show that a tribunal has been wrong in law and that the "wrongness" is "plain",
in the sense of being evident, albeit perhaps after extensive legal analysis,
that was sufficient. Alternatively, as Lord Brodie put it, the same result
could be achieved in immigration and asylum cases by using the illustration of
a "strongly arguable" "error of law which has caused truly drastic
consequences" (R (Cart) v Upper Tribunal [2012] 1 AC 663, Lord
Dyson at para 131).
[39] Lord Brodie
rejected the argument (para [27]). The fundamental reasoning for this is that
it runs contrary to the general policy that second appeals should be strongly
discouraged, other than in rare and exceptional cases (see Cart (supra),
Lady Hale at paras 29 and 31), which escape exclusion through a "safety valve"
applied to ensure that no "compelling injustice" occurs (PR (Sri Lanka) (supra),
Carnwarth LJ at para 6, quoting Lord Woolf). Thus, a material error of law is
not enough (see Cart (supra), Lord Brown at paras 99 and 100).
Lord Brodie concluded that, whilst an analogy with the "sifting" of criminal
appeals might not be quite accurate, the exercise involved in applying the
second appeal criterion was a gate keeping one (para [28]) and not one which ought
to involve a substantive hearing such as that which had taken place before him.
What was involved was "an expeditious and fairly summary procedure" (para
[29]).
[40] The
contrasting case is BM, Petnr [2012] CSOH 142, in which the Lord
Ordinary (Lady Clark) expressly disagreed (at para [19]) with Lord Brodie's
approach. Lady Clark reasoned that:
"In cases with the potential harmful and sometimes fatal consequences which may occur in asylum cases... an examination by a judge, at whatever level... requires to be both detailed and very careful".
She continued (para [20]) that:
"...not every error of law, however, minor and tangential, would lead to a successful judicial review. ...however, ...if a judge concludes that a decision going to the heart of the merits of the case is perverse or plainly wrong in a situation relating to the petitioner's own facts and circumstances, that seems a compelling reason... for giving a remedy in the situation where the potential consequences of enforced return to the Country of Origin for example involve risk of death or injury".
Although stating that she would do her best to apply the principles expressed by Lord Hope (supra), the test which Lady Clark has applied is the same as that for the judicial review of asylum and immigration cases (indeed all cases) prior to Eba. Put another way, it is tantamount to sustaining the argument that Eba has had no effect whatsoever and that, as Lord Brodie put it, quoting counsel in A (supra at para [25]), "the lengthy judgments of the Supreme Court in Cart and Eba amounted to no more or less than...'an exercise in judicial masochism'".
[41] The
reasoning in BM, Petnr (supra) is out of kilter not only with A
(supra) but with several other Outer House decisions (eg MUB, Petnr
(supra), Lord Boyd at para [9]; and AK, Petnr [2012] CSOH 17, Lady
Dorrian at para [10]). The court has no difficulty in holding that the
approach of Lord Brodie is to be preferred, standing the clear terms of what
was said in Eba. Eba did not simply direct the Court of Session
to exercise an appropriate level of restraint when asked to review unappealable
refusals of leave to appeal. It altered the test to be applied when considering
applications for judicial review in this particular category of case. The
court now requires to be satisfied that the error identified by the petitioner
in the decision of the UT fits into one or other of the two Eba
categories.
[42] Eba
suggested that this court should give further guidance on how the second
appeals criterion should be applied in practice. That does not so much involve
adding to the many glosses upon the criterion evident in the decisions from
England, some of which appear to differ from others. Rather, the real guidance
required is how the court should, as Eba states, actually apply the test
in practice.
[43] In
disapproving of the approach in BM, Petnr (supra), the court
stresses that, as Lord Brodie stated in A (supra), the court's
role should be seen as a gate keeping or sifting one. The decision should
proceed upon a petition which clearly and unequivocally avers not only a
specific error on the part of the UT in refusing leave, but also either the
important point of principle/practice not yet established (Uphill (supra),
Dyson LJ at para 18) or the other compelling reason why an appeal should
be allowed to proceed. Before the petition progresses, the court should be
able, quickly and without difficulty, to identify from the averments the point
or reason advanced.
[44] As was said
in JD (Congo) v Home Secretary [2012] 1 WLR 3273 (Sullivan LJ at
para 23), no doubt the test must be sufficiently flexible to take into account
the circumstances of the particular case. Nevertheless, as was stated in the
same passage, the test is a "stringent one". It is designed to allow review
only in rare and exceptional cases (see Cart (supra) Lady Hale at
paras 29 and 31) in order to ensure that no "compelling injustice" occurs (PR
(Sri Lanka) (supra), Carnwarth LJ at para 6). The error normally
requires to be one which "cries out for consideration" (PR (Sri Lanka) (supra),
Carnwath LJ at para 35), and not just potentially arguable, upon a reading
of the petition. In so far as an oral hearing may be required, it should be
relatively short and certainly last no more than an hour. The court's decision
should be capable of succinct expression, at not much greater length than is
currently employed by the UT itself, if refusing leave.