Open justice and freedom of information – Browning in the Court of Appeal

June 18th, 2014 by Anya Proops

The issue of just how open our justice system should be is an issue which is or should be of fundamental concern to all practising lawyers. If, as Jeremy Bentham once stated ‘publicity is the very soul of justice’ (cited by Lord Shaw in the leading case of Scott v Scott [1913] AC 477), then an open justice system is the corporeal expression of that soul. However, we now live in times where open justice is increasingly under threat. Indeed, as last week’s headlines reminded us all, matters have now got to a stage where some judges at least have been prepared to allow, not merely the deployment of a limited closed procedure to deal with certain aspects of a case, but a completely secret trial. It no doubt came as a relief to many that the Court of Appeal was not prepared to sanction such a comprehensive departure from the open justice principle: Guardian News v AB CD. However, the mere fact that the judiciary was prepared to contemplate such a procedure shows how far we have come since the days of Scott v Scott.

Today the open justice principle is back before the Court of Appeal as it hears the case of Browning v IC & DBIS (the Court comprises Maurice Kay LJ (Vice President of the Court of Appeal, Civil Division), Patten LJ and McCombe LJ). This time the core issue for the Court of Appeal to determine is the extent to which secrecy in judicial proceedings is a necessary evil in the context of appeals concerning the application of the FOIA regime (see Robin Hopkins’ post about the Upper Tribunal decision being appealed here).

Of course, the starting point in such a case must be that the information which is itself the subject of the appeal (i.e. the disputed information) should be withheld from the applicant and the wider public pending the outcome of the appellate process. Were it otherwise, an applicant would be able to access information which the legislation had designated as exempt simply by mounting an appeal. Plainly this cannot be the right result and it is not the result which Mr Browning is seeking in his case. Rather the issue which arises in Browning is the extent to which other sensitive evidence and submissions, which the public authority wishes to advance in support of its case on appeal, can equally be shrouded in secrecy.

This is a major issue both for applicants, the media and the wider public. This is so for two reasons.

–        First, if an applicant is unable to gain access to key evidence relied upon by the public authority in support of its case on appeal, then inevitably they will be substantially handicapped in advancing their case on appeal. In effect, they are conducting the litigation blindfolded and with one arm tied behind their back. Even if they are given the gist of the evidence in question, typically the devil is in the detail, with the result that the applicant is unable to fathom the substance of the case being put against them. Faced with that scenario, the applicant can only hope that the tribunal, possibly with the assistance of the Commissioner, will itself have the imagination, legal acuity and strength of resolve to subject the public authority’s closed evidence and submissions to proper testing during the closed session.

–        Second, the adoption of closed procedures substantially prevents any rigorous public scrutiny of the ways in which the judiciary is discharging its functions in the context of FOIA appeals. If open justice is, as Lord Shaw put it in Scott v Scott ‘the keenest spur to [judicial] exertion and the surest of all guards against improbity’ then the adoption of closed procedures is the surest way to strip the public of what has been described as its constitutional right to put the judges on trial and ensure that they are discharging their functions in a just manner.

That the latter concern is of real practical importance has been illustrated not least in a recent case in which I acted on behalf of an applicant: Brown v Attorney General, which you can read about here. In Brown, which concerned a request to access a so-called judicial practice direction concerning the sealing of Royal wills, the Upper Tribunal refused Mr Brown permission to appeal against the First-Tier Tribunal’s decision. It was clear that, in refusing permission, the Upper Tribunal had relied heavily on closed material to which Mr Brown had not been privy, although its open written reasons did not indicate how consideration of the closed material warranted this result. However, when the issue of the legality of the Upper Tribunal’s decision came before the High Court by way of a judicial review claim brought by Mr Brown, the Court, which had not been provided with the closed material, readily granted permission for Mr Brown’s claim to proceed. Thereafter the Attorney-General conceded the claim with the result that the appeal against the First-Tier Tribunal’s decision is now due to be substantively heard by the Upper Tribunal. The lesson one draws from this case is that it cannot be presumed that tribunals which reach decisions based on their analysis of closed materials consistently get the approach right.

Of course, it might be said that the appellate process is itself sufficient to address this problem, as it was in the case of Brown. However, there are three difficulties with this argument. First, it presumes, rather unrealistically, that applicants will themselves always have the courage and resources to take their cases to the higher courts. Second, it fails to address the significant point that very often, as a result of their exclusion from the closed process, applicants will have little clue whether or not an appeal would have legs, which very often will deter an applicant from even contemplating an appeal and will in any event substantially inhibit the formulation of potentially relevant grounds of appeal. Third, it ignores the constitutional right of the wider public to scrutinise the judicial process. Significantly, members of the general public, including members of the media, will themselves have no right to appeal in a case in which they were not a party.

So there we have the problem. What is the solution? Well Mr Browning’s case is simple: (a) the tribunal should ensure at a minimum that it rigorously tests assertions by the public authority that particular evidence or particular submissions need to be dealt with on a closed basis (this should now in any event be happening on a routine basis in the tribunal) and (b) in cases where some evidence or submissions have to be dealt with as part of the closed process, the tribunal should allow the applicant’s legal representative to see any closed material and take part in any closed hearing, on condition that he or she does not disclose any part of the closed material to the applicant or any third party. (Interestingly, and by way of contrast, in the Guardian v ABCD case, in the course of the first instance hearing of the application for the trial to be conducted in secret, the court permitted counsel for the media to see relevant closed materials and participate in the closed part of the hearing).

In view of the conclusions reached by the Upper Tribunal, one can anticipate that that the ICO and DBIS, who both resist the appeal will argue: (a) that a core difficulty with an approach which permits the applicant’s representative to access the closed materials/closed session is that it lacks the procedural safeguards available, for example where ‘special advocates’ are used – see further the Upper Tribunal’s decision where reference is made for example to the risk that the applicant’s representative will inadvertently leak closed material to the applicant and, further, (b) that the inquisitorial manner in which the tribunal approaches the exercise of its functions substantially diminishes the pressure to involve the applicant’s representative in the closed part of the hearing.

It remains to be seen what the Court of Appeal will make of these arguments. However, no one can doubt the importance of this case, not only in terms of establishing the applicable procedural rules for the information tribunal, but also in terms of the wider constitutional vitality of the open justice principle.

11KBW’s Ben Hooper is acting for the ICO.

Anya Proops

Section 14 in the Court of Appeal

June 10th, 2014 by Christopher Knight

Just when you thought it was safe to go back in the water. Just when you had got your head round the decisions of Judge Wikeley in Information Commissioner v Devon CC & Dransfield 2012] UKUT 440 (AAC); [2013] 1 Info LR 360 and Craven v Information Commissioner & DECC [2012] UKUT 442 (AAC); [2013] 1 Info LR 335, and the Information Commissioner has issued spangly new guidance on section 14, and the FTT has been merrily applying the new tests to a host of appeals. Just when all that had become de rigeur and everyone was settling back down…

The Court of Appeal, in the form of Briggs LJ at an oral renewal hearing, has granted Mr Dransfield and Ms Craven permission to appeal against the judgments of Judge Wikeley on the issues of the proper interpretation of section 14(1) FOIA and regulation 12(4)(b) EIR (respectively), and the application to their requests for information. Briggs LJ also granted both appellants the necessary extension of time for their appeals. He refused their applications to admit fresh evidence.

No appeal date has been set – the Order granting permission was only sent on 9 June. But the various members of 11KBW involved below (Tom Cross for the ICO, Rachel Kamm for Devon CC, James Cornwell for DECC) will enable Panopticon to ensure that it continues to cause readers to gaze in horror at their screens with the latest updates. Our work here is only just beginning…

Christopher Knight

Cyril Smith and the FTT

June 9th, 2014 by Christopher Knight

Although not a decision of any particular legal significance, it is perhaps worth mentioning the judgment last week of the First-tier Tribunal in Corke v Information Commissioner & Crown Prosecution Service (EA/2014/0012), if only because it is one of those relatively rare occasions on which the work of the FTT itself (as opposed to the information it results in) has been the subject of news coverage, ranging from the Daily Mail to the BBC.

The request was for disclosure of information relating to the now fairly notorious decisions made over time not to prosecute Sir Cyril Smith (a Liberal MP who died in 2010) for offences against children. The disputed material consists of two Minutes prepared by a CPS lawyer in 1998 and 1999. The first reviewed case papers considered in1970 and looked at the weight of the evidence, reflected on the changing approach to the investigation and prosecution of such crimes between 1970 and 1998 and considers bars to a prosecution being launched in 1998. The second considered two more allegations. The material contains the names of individuals concerned in the case in particular the youths who made allegations against Sir Cyril.

The CPS withheld information within the scope of the request, citing section 30(1)(c) (information held for the purpose of criminal proceedings), section 42(1) (legal professional privilege), and section 40(2) (third party personal data). The ICO issued a DN which held that the public interest was finely balanced, but upheld the refusal to disclose. Amongst other things, the ICO noted that the CPS had provided some public explanation of its past decisions and made clear that the same approach would be unlikely to be taken now.

The FTT disagreed with the DN and found that the public interest favoured disclosure of almost all of the requested information (with some redactions). It held that the safe space of the CPS would be unlikely to be harmed given the unique nature of the particular case involved, and the professionalism (and professional obligations) of CPS lawyers. It considered that the documents were in themselves significant historical documents which cast light on changes in the law as it has responded to the evolution of understanding of these crimes and changing social attitudes to them, as well as casting light on Sir Cyril himself. The unusual nature of the case also meant that the public interest in disclosing material covered by section 42 also favoured disclosure. Not surprisingly, the death of Sir Cyril Smith was also mentioned. The FTT redacted material which went beyond the names of the complainants, which might conceivably be used to identify them.

Christopher Knight

Data Protection and Child Protection

June 6th, 2014 by Christopher Knight

One of the difficulties users and practitioners have with the Data Protection Act 1998 is that there is so little case law on any of the provisions, it can be very hard to know how a court will react to the complicated structure and often unusual factual scenarios which can throw up potential claims. There are two reasons why there is so little case law. First, most damages claims under the DPA go to the County Court, where unless you were in the case it is hard to know that it happened or get hold of a judgment. Secondly, most damages claims are for small sums, which is it is more cost-effective to settle than fight.

Neither of those problems applied in MXA v Hounslow LBC, West Berkshire Council, Taunton Dean BC & Wokingham BC (QBD, 4 June 2014, not yet reported), in which M had filed claims in the High Court against a series of local authorities alleging that they held inaccurate and damaging information about him (presumably under sections 10 and 14 DPA, although the limited report available does not make clear). The local authorities applied to strike out the claims, and M failed to attend the hearing. M also alleged a breach of Article 8 ECHR in the data handling.

The facts as summarised are regrettably common. Harrow received information alleging that the step-daughter of M, E, was being physically and sexually abused by M. M complained about records of allegations of sexual misbehaviour towards a child in 2007 set out in a police report, which he denied. Harrow passed the information to Wokingham when E moved into that area. Wokingham recorded and reviewed the material and passed it on to West Berkshire when E moved again. Further allegations received by West Berkshire were sufficiently serious to require an investigation. M had signed forms consenting to the sharing and collection of information. Care proceedings were later initiated.

Perhaps not surprisingly, Bean J granted the application to strike out. He held that the local authorities were conducting child protection functions under their statutory duties (see, for example, the Children Act 1989).  In relation to the fifth data protection principle that personal data should not be held for longer than necessary, Harrow had received a recent complaint and had been provided with police records of convictions and other allegations. The duty of the local authorities, as the baton passed to each of them, was to keep those records for as long as necessary to ensure E’s welfare. The welfare investigation was at an early stage and the local authorities would clearly be acting in breach of their duty if they shredded the information. M could not argue that the information was so historic and uncorroborated that it ought to have been wiped and not disseminated. It had not been disseminated to the public, but passed only to local authorities where the family had lived.

Data controllers recorded a variety of information including allegations and mere suspicions due to the nature of the investigation. The suggestion that the information should not have been recorded unless the data controller was satisfied of its truth to a civil standard was unsustainable, as to which Bean J cited Johnson v Medical Defence Union [2007] EWCA Civ 262; [2011] 1 Info LR 110. Any claim based on the fourth data protection principle that information should be accurate and up to date was met by para 7 of Part II of Schedule 1 as the purpose for which the data was obtained was child protection. Reasonable steps had been taken to ensure its accuracy and the record indicated those matters which M had said were inaccurate. M had twice signed forms consenting to the retrieval of medical and criminal records.

Moreover, M’s section 10 claim to prevent processing likely to cause damage or distress was excluded by section 10(2) and para 3 of Schedule 2, as the processing was necessary to enable the local authorities to comply with their statutory obligations. They were doing no more than performing a proper statutory function.

Bean J also struck out claims of negligence, held that Articles 3 and 6 ECHR were irrelevant, and that there was an interference with M’s Article 8 rights but that it was plainly proportionate in order to protect E.

All of which goes to show that the DPA does not stop public authorities carrying out their important duties, even where underlying facts or allegations are disputed, and that on the occasions where the DPA makes it to court the judges can be trusted to understand both the context in which the authority must operate and that the DPA is intended to recognise that context. Perhaps DPA users have nothing to fear but fear itself after all.

11KBW’s Timothy Pitt-Payne QC acted for West Berkshire Council.

Christopher Knight

Google Spain – article in The Lawyer by Anya Proops

May 24th, 2014 by Rachel Kamm

Ahklaq Choudhury posted this week about the Google Spain judgment. For more 11KBW commentary on the topic, see the article in The Lawyer by Anya Proops: “Privacy but at what price?“. Anya’s article concludes:

Of course, it may well be that these issues will be resolved in the context of the new Data Protection Regulation which is still being debated in Europe. However, in the meantime, the judgment in Google Spain means we may well find ourselves exposed to a degree of data impoverishment which augurs ill for the development of our information society.”

Rachel Kamm, 11KBW

The Common Law and the Spirit of Kennedy

May 20th, 2014 by Christopher Knight

Following the Supreme Court’s lengthy, slightly unexpected, and difficult to grasp judgment in Kennedy v Charity Commission [2014] UKSC 20 (on which I have been quiet because of my involvement, but see Tom Cross’s blogpost here) there has been room for quite a large amount of debate as to how far it goes. Was the majority only suggesting access to the Charity Commission’s information under the common law principle of open justice applied because of the particular statutory regime and/or the nature of the statutory inquiry involved? Or was the principle rather more wide-ranging?

An answer has perhaps begun to emerge, as there was some discussion of this in the judgment of Green J in R (Privacy International) v HMRC [2014] EWHC 1475 (Admin). The judgment is, again, a long one, but the case was a judicial review of a decision of the HMRC that they had no power or duty to disclose information about their export control functions and in particular any investigations into the export by United Kingdom companies of software used for covert surveillance of political activists by repressive foreign regimes. Green J held that section 18 of the Commissioners for Customs and Revenue Act 2005 did provide such a power, and the HMRC had construed it too narrowly, when the power existed but was fact and context-dependent: see too R (Ingenious Media Holdings Plc) v HMRC [2013] EWHC 3258 (Admin), [2014] S.T.C. 673.

The judgment in Kennedy came out shortly after the oral hearing in Privacy International and it obviously sparked something of a debate. Green J accepted that the type of legal process involved was different to that in Kennedy, but he was of the view that Kennedy was authority for a more general proposition, or at least approach: at [62]:

I do not consider that the judgments in Kennedy lack all relevance. The Supreme Court was at pains to point out that the common law treated openness as very important and, with all the ecessary provisos and caveats, that message can in some measure carry through into section 18(2) CRCA 2005. In Kennedy Lord Mance, who gave the leading judgment for the majority, introduced his judgment with the following message which goes well beyond the narrow confines of the Charity Commission:

“1. Information is the key to sound decision-making, to accountability and development; it underpins democracy and assists in combatting poverty, oppression, corruption, prejudice and inefficiency. Administrators, judges, arbitrators, and persons conducting inquiries and investigations depend upon it; likewise the press, NGOs and individuals concerned to report on issues of public interest. Unwillingness to disclose information may arise through habits of secrecy or reasons of self-protection. But information can be genuinely private, confidential or sensitive, and these interests merit respect in their own right and, in the case of those who depend on information to fulfil their functions, because this may not otherwise be forthcoming. These competing considerations, and the balance between them, lie behind the issues on this appeal”.

The claimant conceded in the light of the Supreme Court decision that Article 10 ECHR did not give it a right of access to information, but argued that Article 10 did prevent one state body from stopping another state body imparting information which it wished to impart. Green J felt it unnecessary to decide the point because it added nothing to the common law: at [176], [179].

For various reasons on the facts of the case, and the particular context of HMRC’s approach to section 18, the decision was quashed. But it is a useful indication of how the courts have begun to think about the impact of Kennedy and other information access provisions.

Christopher Knight

Open Justice in the Supreme Court

May 8th, 2014 by Christopher Knight

The principle of open justice has been reaffirmed today by the Supreme Court in A v BBC [2014] UKSC 25, as have its limits. In A, a foreign national had been given notice of deportation following conviction for a sexual offence against a child. In the subsequent tribunal appeals (dating back to 2001), A was anonymised because of the Article 2 and 3 ECHR concerns he had over his treatment if deported. That anonymisation position was retained by the Court of Session in 2012 when A sought to judicially review the refusal of the Upper Tribunal to grant him permission to appeal. The Court of Session’s directions were made under section 11 of the Contempt of Court Act 1981. The BBC, having learned of the directions, applied to set them aside.

The Supreme Court unanimously held that it could be in the interests of justice to limit the open justice principle, considering the purpose of the open justice principle, the potential value of the information in advancing that purpose, and any risk of harm that its disclosure may cause to the maintenance of an effective judicial process or to the legitimate interests of others (see at [41]). Lord Reed held that the order allowing A to withhold his identity was in accordance with the court’s common law powers; the section 11 order was made in accordance with the power conferred by that provision; and it was not incompatible with the BBC’s Article 10 ECHR rights. Lord Reed also reiterated that the common law principles applied just as vigorously, even where the ECHR was engaged (at [55]-[57]), reiterating a point he had made at length in Osborn v Parole Board [2103] UKSC 61.

Christopher Knight

Open Justice and Court Files

May 8th, 2014 by Christopher Knight

Perhaps not hot off the press, but nonetheless worth noting, is the decision of the High Court last month in NAB v Serco & Home Office [2014] EWHC 1225 (QB), which reiterates the Court’s commitment to the open justice principle and press access.

B had been a detainee in an immigration removal centre, in which she alleged she had been sexually assaulted by a male nurse employed by Serco. She brought claims against Serco (in vicarious liability for the assault) and the Home Office (for false imprisonment) for damages. A statement was filed which exhibited Serco’s internal investigation report into B’s complaint of assault. Serco settled the claim, but the claim proceeded against the Home Office. The exhibited report remained part of the trial bundle but was not referred to in the judgment and was not relevant to the issues between B and the Home Office. After the judgment, the Guardian applied for a declaration that B could lawfully provide it with a copy of the report, under CPR r.31.22.

Bean J granted the declaration. It is now fairly well-established that in R (Guardian News and Media Ltd) v City of Westminster Magistrates’ Court [2012] EWCA Civ 420, [2013] QB 618 it had been held that in a case where documents had been placed before a judge and referred to in the course of proceedings, and the default position should be that access to those documents should be permitted on the open justice principle. Although it was an unusual feature that Serco was no longer a party to the claim and the report was no longer relevant to the issues in the case, those matters were not decisive. The particulars of claim and other pleadings were public documents subject to inspection as of right under CPR r.5.4C(1). The fact of the allegations having been made was therefore in the public domain. If after the settlement, but before the case against the Home Office had come to trial, the Guardian had applied under r.5.4C(2) for access to the report, the application, would have succeeded, just as it would had it been made at any time before the Court disposed of the file. There was a proper journalistic reason for seeking the report, and it was sometimes important to understand why a claim had settled. Providing the individuals were anonymised, the Guardian could be provided with the report.

The application of the open justice principle, and the ability of journalists to access court documents remains a current trend in the case law – given a kick-start by Guardian v Westminster and an unexpected sidewind in Kennedy v Charity Commission [2014] UKSC 20 – and NAB is a helpful reminder of its utility when using the existing court records access provisions in the CPR.

Christopher Knight

Local Government Transparency Code

May 2nd, 2014 by Christopher Knight

The Secretary of State for Communities and Local Government has just issued a Local Government Transparency Code in exercise of his powers under section 2 of the Local Government, Planning and Land Act 1980 to issue a Code of Recommended Practice as to the publication of information by local authorities about the discharge of their functions and other matters which he considers to be related.

The Code sets out in some detail in Part 2 the type of information held by local authorities which must be published (some of it annually) and in Part 3 the information which, in the view of the Secretary of State, ought to be published. A helpful Annex A provides the details in tabular form.

Paragraph 14 of the Code provides that: “Where information would otherwise fall within one of the exemptions from disclosure under the Freedom of Information Act 2000, the Environmental Information Regulations 2004, the Infrastructure for Spatial Information in the European Community Regulations 2009 or falls within Schedule 12A to the Local Government Act 1972 then it is in the discretion of the local authority whether or not to rely on that exemption or publish the data.” There is therefore no attempt to override the FOIA exemptions. But where a qualified exemption applies, the appearance of the requested information in one of the categories set out in the Code will have a role (possibly a significant role) in establishing the public interest in support of disclosure.

Christopher Knight

Universal Credit reports

March 31st, 2014 by Rachel Kamm

The Tribunal has ordered disclosure of information about Universal Credit, in three appeals which were heard together: John Slater v ICO and DWP EA/2013/0145; DWP v ICO and John Slater EA/2013/0148; and DWP v ICO and Tony Collins EA/2013/0149. The Tribunal dismissed both of DWP’s appeals and allowed Mr Slater’s appeal (subject to the removal of some names from the information).

The disputed information in Mr Collins’s appeal was a Project Assessment Review of the Universal Credit Programme (UCP), which was prepared by the Cabinet Office’s Major Projects Authority in early November 2011 and requested by Mr Collins on 1 March 2012.

In Mr Slater’s case, the disputed information was the Risk Register, Issues Register and the High Level Milestone Schedule for UCP and he made the request on 14 April 2012. As described by the Tribunal, “All three categories of document are essential risk management and planning tools in any large long – running project. They are designed to identify and reduce uncertainty and to gain uncompromising input from the widest possible spectrum of participants. UCP, on which work began in 2011, is scheduled for completion in 2017” (§22).

In response to both requests, the DWP relied on the exemption in section 36 FOIA, on ground that, in the reasonable opinion of a qualified person (the Minister), disclosure of the information under FOIA would be likely to inhibit the free and frank provision of advice, or the free and frank exchange of views for the purposes of deliberation, or would be likely otherwise to prejudice the effective conduct of public affairs and that the balance of the public interest was in favour of maintaining this exemption.

The ICO found that the qualified exemption in section 36 was engaged, but that the balance of the public interest favoured disclosure of the Project Assessment Review, Issues Register and  High Level Milestone Schedule (but not the Risks Register).

On appeal, the Tribunal agreed with DWP and the ICO that the exemption in section 36 was engaged i.e. it was reasonable for the Minister to conclude that disclosure would be likely to inhibit the free and frank provision of advice, or the free and frank exchange of views for the purposes of deliberation, or would be likely otherwise to prejudice the effective conduct of public affairs. The test was whether there was a realistic possibility, not a 51%+ probability (§49).

Turning to the public interest, the Tribunal attached great importance “not only to the undisputed significance of UCP as a truly fundamental reform but to the criticism and controversy which it was attracting by the time of these requests in March and April, 2012″ (§55). The Tribunal also noted “the unfailing confidence and optimism of a series of press releases” and that UCP was described as on track when milestones had not been achieved on time. It commented that “Where, in the context of a major reform, government announcements are so markedly at odds with current opinion in the relatively informed and serious media, there is a particularly strong public interest in up to date information as to the details of what is happening within the programme, so that the public may judge whether or not opposition and media criticism is well – founded” (§56). It took into account the costs of the programme and the size of the IT interface with local authority systems (§57). Publication of the disputed information upon completion of UCP, “would be a wholly inadequate answer to the demands for transparency” (§58).

On the other hand, the Tribunal acknowledged that the ‘safe space’ requirement can apply in section 36 (as well as section 35) cases (§59). The Tribunal did not take into account evidence which had been given by the Department of Health in a different Tribunal appeal, but which this Tribunal had not seen and which had not been tested in cross examination §61). There was no evidence that disclosure of another risk document, the Starting Gate Review, had inhibited frank discussion (§62). In this context, the need for a degree of deference to the experience of senior public authorities was not as pressing as when tackling questions of security or foreign policy: “The duty of the Tribunal is to consider government evidence on issues such as these carefully, conscious of the experience and expertise of the witness, but using its own knowledge of appeals of this kind, of institutions and behaviour in the workplace to determine whether government information requires the protection claimed, considering the importance of the subject matter to the public. We are not persuaded that disclosure would have a chilling effect in relation to the documents before us” (§63).

As to diversion of resources if the disputed information was disclosed, the Tribunal commented that “a programme such as UCP required at the outset a clear public relations strategy and a substantial staff to handle the inevitable flow or even torrent of inquiries and bad news stories which such an important change must attract” and that delivery of UCP may be facilitated by good communication (§64).

Having reached the above general conclusions, the Tribunal considered each of the requested documents in turn. It found that the public interest was in favour of disclosing the information, taking into account in particular that “Ordinary people, properly informed, are capable of grasping why a document dwells on problems rather than successes” and that whilst there may be some prejudice to DWP, the public interest required disclosure. It dismissed DWP’s appeals and allowed Mr Slater’s appeal (subject to the removal of some names from the information), thereby ordering disclosure under FOIA of each of the documents.

Julian Milford represented DWP and Robin Hopkins represented the ICO.

Rachel Kamm, 11KBW