EE,
Communication Mo. 491/1992,_J.L. y. Australia (decision
of 28 July 1992. adopted at the forty-fifth session)
Submitted by:
J,L. (name deleted)
Alleged victim:
The author
State party:
Australia
Date of communication:
7 August 1991 (initial submission)
The Human Rights Committee, established under article 28 of the
International Covenant on Civil and Political Rights,
Meeting on 28 July 1992,
Adopts the following!
Decision on admissibilitv
1.
The author of the communication is J.L., an Australian citizen residing
in Moorabbin, Victoria, Australia. He claims to be a victim of violations by
Australia of article 14 of the International Covenant on Civil and Political
Sights. The Optional Protocol entered into force for Australia on
25 December 1991.
Facts as submitted by the author
2.1 The author is a solicitor; in the State of Victoria, the practice of law
is regulated by the Legal Profession Practice Act of 1958. Pursuant to
section 83 (1), no one may practise law unless he or she is duly qualified and
holds a certificate issued by the Law Institute of Victoria. Under the Act,
two fees must be paid before a practising certificate is issued: an annual
practising fee and a compulsory professional indemnity insurance premium.
Pursuant to section 90, anyone without a practising certificate is not
qualified to practise law.
2.2 Section 88 (2) (c) stipulates that the rules determining a practising fee
for solicitors have no effect unless approved by the Chief Justice. The
latter may also approve the regulations concerning the professional indemnity
insurance. In 1985, the Chief Justice approved a new insurance scheme
proposed by the Law Institute, under which its Solicitors' Liability Committee
was entitled to henceforth determine the insurance premium.
2.3 In 1986, J.L* refused to pay the increased premium for the new insurance
scheme, since he considered it to be invalid. Re claimed that, apart from
being a tax which had to be determined by Parliament, the Institute had not
sought the necessary recommendations from its members for the new rules, nor
had it complied with the so-called regulatory impact statement requirements of
the Subordinate Legislation Act of 1962.
2.4 The Institute refused to issue the author's practising certificate; the
latter did, however, continue to practise. On 13 May 1986, the Secretary of
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