Melbourne Law School - Theses

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    Reaching Out From the Ocean: Women's Experiences Navigating the Anti-Domestic Violence Law in Aceh, Indonesia
    Jones, Balawyn Jane ( 2021)
    This thesis investigates the barriers to access to justice faced by domestic violence victims when seeking to exercise their rights under the Indonesian Anti-Domestic Violence Law (the Law). Applying a qualitative socio-legal methodology, I analyse how the intersections between religion, gender, and law affect the implementation of the Law in Aceh – a 98 percent Muslim-majority province in Indonesia. My thesis navigates the different avenues that a hypothetical victim could take when seeking help or attempting to assert her rights under the Law. Victims generally seek help first at the community level via adat (customary) mediation, before filing for divorce at the Mahkamah Syariah (Islamic Court) and/or reporting violence to the police, which may be followed by prosecution of the perpetrator at the Pengadilan Negeri (State Court). By analysing these avenues, I identified three key sites of contestation relating to access to justice. First, the intersection between religion and gender. Community understandings of domestic violence are informed by gender norms which, in Aceh, are constructed based on local religious interpretations. Hegemonic norms that embody patriarchal ideas about gender and marriage operate as a barrier to access to justice for women, particularly at the community level. Second, the intersection between gender and law. The implementation of the Law is affected, at every stage, by the operation of religiously informed gender norms. In addition to analysing the Mahkamah Syariah approach toward domestic violence and divorce, I examine 70 domestic violence cases decided by the Pengadilan Negeri between 2013-2017. Based on this analysis, I argue that judges are influenced by gender bias in exercising their discretion when deciding and sentencing domestic violence cases, and this leads to a failure to protect women’s rights and a culture of impunity for perpetrators. Third, the intersection between religion and law. The competition between moral-religious law (prevalent in the community) and positive-State law (applied by the State) is a barrier to victims seeking a divorce to escape domestic violence at the Mahkamah Syariah. The dominance of moral religious law at the community level, to an extent, undermines the implementation of the law and protection of women’s rights. This thesis also draws out theoretical implications from the data relating to women’s agency and the role of the State in protecting women’s rights.
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    When seeing is no longer believing: Is Australian law ready for deep fakes?
    Nikolin, Daniel ( 2021)
    Deep fakes are currently proliferating in our society, and they are becoming increasingly indistinguishable from genuine photographs, audio or video recordings. In this paper, I explore the challenges that deep fakes present for individuals who may suffer harm as a result of these engines of disinformation targeting their identities. But at the same time, I point to some positive use cases involving deep fakes. As with many new technologies, I argue that a rush to regulate deep fakes risks stifling innovation and competition in the still fledgling market for synthetic media as a result of the shift it would entail from research and development to compliance costs. My argument therefore is for a more carefully considered, targeted approach designed to minimise the harms associated with deep fakes while leaving space for benefits.
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    The war of the wrongdoers: When are wrongdoers truly unequal?
    Cvjetanovic, Maja ( 2021)
    The law relating to multiple wrongdoers for civil wrongs has a chequered history. For centuries, solidary liability, which applies where wrongdoers jointly or independently cause the same loss, indivisible loss, has ensured that the plaintiff is able to seek full recourse from any defendant who was a necessary ingredient or cause of the harm suffered. Undoubtedly, the system has led many “deep-pocketed” defendants – who are the obvious targets of any plaintiff - to question whether they should be left on the hook for loss which the law recognises as the shared and indivisible fault of multiple defendant parties. In the relatively recent spate of reforms, the system of attributing fault between multiple defendants has been overhauled by a myriad of reforms. The reforms achieve multiple ends in different contexts. What this paper will refer to as “contribution reforms” have achieved two main ends. Firstly, they have enabled courts to order defendants to ‘contribute’ in the context of tortious wrongs an area in which the law has previously disallowed contribution. Secondly, the reforms have enabled courts to attribute liability on a pro rata basis which reflects the defendants’ respective wrongdoing – whereas previously the courts were only able to attribute a pro rata percentage of liability. What the paper will call “proportionate liability” reforms have removed solidary liability from the law altogether – in certain legislatively defined contexts. Similar to the contribution reforms, the court is empowered to apportion blame based on the respective wrongdoings of the wrongdoers or defendants. Drawing on from the law of contributory negligence, both sets of reforms rely on the dual tests of “causal potency” and “moral blameworthiness” when assessing the proportion of liability that should be attributed to either of the defendants. The focus of this paper will be to draw from the learnings of each of the “contribution” and contribution-like regimes: contribution as it applies in the general law, the contribution reforms and the proportionate liability reforms, in search of a unified approach to the principle of contribution in the context of civil wrongs. Section [II] of the paper considers the principle of contribution. It argues that that “eligibility” limitation, which requires that the defendants each be liable for coordinate liabilities is difficult to apply and unsound in principle. The Section concludes by arguing that unjust enrichment provides an adequate and unifying “eligibility” criterion, in preference to the existing “coordinate liabilities,” test. However, unjust enrichment does not provide an adequate basis upon which the court can attribute liability between the defendants. (The pro rata attribution of liability is an outworking of contribution’s paradigmatic or early cases which arose from surety situation – something which cannot be readily applied in the context of torts and civil wrongs, more generally). Sections [III] and [IV] consider how both the contribution and proportionate liability reforms manage apportioning liability regarding the perceived or actual responsibility for the loss (rather than pro rata) and the lessons that could be learned from the dual tests of causal potency and moral blameworthiness, which the reforms apply in attributing liability between multiple wrongdoers. The section concludes that the dual tests of “causal potency” and “moral blameworthiness” are inadequate and present no better or legitimate alternative to the pro rata status quo that applies under the general law of contribution. Section [V] provides an alternative approach to the apportionment of responsibility by referencing criminal law principles applicable to sentencing. The argument is underpinned by the acknowledgement that, once the plaintiff’s loss is determined as a loss necessarily caused by either defendant, the question necessarily becomes one of comparing and adjudging blame – a task which the criminal law courts conduct expertly.
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    Procedurally Fair? – the efficacy and use of the principles of natural justice in the (disciplinary) tribunals of sporting organisations
    Dickson, Craig James ( 2021)
    While elite athletes have access to skilled representation and international arbitral tribunals in seeking to overcome disputes with their sporting organisations, the relevance of similar rules and processes to recreational participants is not clear. Moreover, appeal to a supra-national forum is generally beyond the reach of the lay athlete placing a heavy emphasis on first instance disciplinary tribunals. Where tribunal determinations proved unsatisfactory, the final recourse will in practice, be the regular courts. This emergence of legal effects on sporting endeavour has been described as a process of juridification characterised by the ‘legalisation’ of a social sphere (demonstrated by the development of sporting rule books and codes); its ‘bureaucratisation’ (visible in the establishment of internal tribunal mechanisms); and the ‘judicialisation’ of sport (as those mechanisms amend their practices in order to conform with accrued decisions and other judicial norms). Notwithstanding the historical reluctance of the regular courts to intervene in the operations of private tribunals, one area where contemporary courts will provide clear oversight is in ensuring compliance with the principles of natural justice. This research has sought then to discover whether sporting bodies are cognisant of those principles and whether (or not) they comply with them in their disciplinary tribunals. Initially, the provenance and substance of natural justice principles and how they have been reflected and defined by the courts both generally and with regard to the specific sporting context have been canvassed. Subsequently, through an analysis of the relevant sporting rule books and through empirical observation of disciplinary tribunals in action, the research investigated whether or not those tribunals were adhering to the norms of procedural fairness. The conclusion drawn is that the observed sporting organisations do include procedural fairness principles in their relevant rules and are largely compliant with those principles in their operations. However, the impact of issues emerging in areas of arbitral neutrality, tribunal independence and human rights factors will doubtless provide greater challenges.
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    Making-good-again? Law, Aesthetics and Responsibility
    Petersen, Laura Elizabeth ( 2021)
    Over the last 75 years since the end of WWII, the state-based gestures of taking responsibility for Wiedergutmachung (restitution) in the aftermath in Germany have been the most visible. But in this thesis, I argue for a new understanding of restitution, encapsulated by the literal translation of Wiedergutmachung in English which is ‘making-good-again.’ I examine the work of selected jurists, authors and artists who all engage with the NS regime and the Holocaust and contend they also offer accounts of restitution; they take responsibility for restitution through the ‘making’ of texts and objects. Parallel to this, I highlight the jurisprudential commentary within their accounts, focusing on questions of form and technique. This thesis therefore tells a different story about restitution which expands across genres, sites and temporalities; it re-writes the jurisprudence of restitution within the context of law and humanities scholarship. There are four main areas of focus. I begin by analysing a form of writing called the ‘gloss’ as published by a German-Jewish lawyer, Dr Walter Schwarz. Dr Schwarz returned to Berlin in the 1950s and practiced as a restitution lawyer, setting up a legal journal, where he also (pseudonymously) published ‘glosses’ which offer an account of the legislative restitution process. The first chapter sets up the way giving an account of restitution can be an ethos – of writing, but also of conduct, of practice. Chapter two is on the theme of writers, audience and responsibility, taking as a starting point the exhortation by W. G. Sebald regarding the role of literature to undertake restitution, and analysing literary works by Alexander Kluge and Heimrad Baecker. Chapter three focuses on visual art and its display, examining art works by Anselm Kiefer and Gerhard Richter. Finally, chapter four is a walking tour of Berlin’s memorial art, following the way making-good-again in the streets of Berlin becomes a question of legal place and movement. The practices of making-good-again examined in this thesis are dynamic, iterative and incomplete: they are practices of failure. Nevertheless, the question of how to conduct restitution emerges as a material question of responsibility asked through the making of texts and objects in different genres, including law. Responsibility in this context is shown to be shaped by practices, personae and places. The resulting thesis is an expansion and re-conceptualisation of the practices of jurisprudence, restitution and responsibility in the context of the aftermath in Germany.
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    Imagining new modes of cultural co-existence for ethnocultural groups in Australia: An interdisciplinary study
    Mihalopoulos, Anthony ( 2021)
    This thesis utilises a variety of disciplines such as politics, philosophy, history and law and systems and structures in other jurisdictions and at different historical times to argue that modern democratic nation states need to be better attuned to cultural, religious and legal diversity and to the issues faced by members of ethnocultural communities. The main areas of focus are faith-based dispute resolution and religious divorce.
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    Taxation of Charities and Not-for-Profits
    O'Connell, Ann Margaret ( 2021)
    This thesis is based on scholarly work which consists of a sole-authored book, Taxation of Charities and Not-for-Profits, published by LexisNexis in 2020, a number of chapters in books, and articles in highly regarded journals as well as submissions to government and other bodies on taxation of NFPs. I was also the lead Chief Investigator on and Australian Research Council Project, Defining, Regulating and Taxing Not-for-Profits in the 21st Century (2010 to 2014) that culminated in an edited collection of international contributions, Not-for-Profit Law, published by Cambridge University Press in 2014 of which I was co-editor. The principal aim of my research has been to identify complex issues in the field of taxation of charities and NFPs, and to put forward solutions for policy development. My general thesis is that the important charitable and NFP sector is shaped, at least in part, by taxation laws that have developed with scant policy analysis and lack of appetite for reform. The result is a system that is overly complex, contains many anomalies and does not take account of changing social and economic conditions. Although there is significant scholarship relating to the law of charity and the NFP sector more broadly, both in Australia and elsewhere, there has been a lack of scholarship relating to taxation despite the fact that taxation shapes much of the jurisprudence in the area and that the fiscal impact of the tax relief continues to grow. My scholarship in this area is unique as most of those working in the area are concerned with charity law more generally.
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    Empowering customary land rights: can Indonesia rise to the challenge?
    Rennie, Sarah ( 2021)
    The struggle within Indonesia to resurrect strong customary tenure takes place within a highly contested legal landscape. Land administration is bifurcated, complex, uncertain and often contradictory. This paper analyses attempts to recognise and empower customary land rights in Indonesia's 2018 Draft Bill on Customary Legal Communities. It employs comparative analysis with another jurisdiction that has long grappled with the inherent compromises involved in enacting and empowering customary tenure: the Northern Territory of Australia. In doing so, it seeks to identify shared challenges as well as to highlight alternative responses to these challenges.
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    Rights, Risks and Rules: The Rise of Human Rights Due Diligence and Implications for Transnational Labour Governance
    Landau, Ingrid Mary ( 2021)
    Over the last decade, the concept of human rights due diligence (‘HRDD’) has emerged as a dominant means through which to conceptualise and operationalise corporate responsibility for working conditions in transnational supply chains. This thesis applies a transnational labour law lens to HRDD. Proceeding from the observation that HRDD as originally articulated in the UN Guiding Principles on Business and Human Rights is open to multiple interpretations, this thesis examines contests that have taken place globally over the role and status of the concept as it relates to workers’ rights. It also considers the implications of HRDD’s ascension for transnational labour law, as a distinct field of law, scholarship and activism. Using conceptual and empirical analysis, this thesis argues that HRDD is not being institutionalised at either global or national level in a way that renders it a transformative or even robust mechanism of transnational labour law. This is despite the fact that the concept’s legalisation is being welcomed – indeed in part driven by – actors that believe it will broaden and deepen respect for workers’ rights in internal corporate processes and legal frameworks. This thesis further contends that the rise of HRDD is leading to subtle shifts in configurations of actors and institutions in transnational labour governance. Through its reframing of labour rights issues as matters for risk management, HRDD has facilitated the expansion within the field of for-profit actors such as management consultancies, risk advisory services and law firms. The proliferation of HRDD-related legislation at the national level is positioning courts to play a greater role in determining the nature and scope of corporate responsibility for workers’ rights in transnational supply chains. In addition, the rise of HRDD has enabled the Organisation for Economic Cooperation and Development (OECD) to consolidate its position as the leading global authority in the area of corporate accountability and labour rights. The OECD has successfully capitalised on the resonance of the HRDD frame with its apolitical working methods, and its technical expertise and formidable research capacity, to engage in an ambitious work programme on HRDD. In contrast, the International Labour Organisation (ILO) has struggled to establish itself as an authority on HRDD or to generate broad-based support for related standard-setting activities. This thesis makes an original contribution to transnational labour law by examining an increasingly influential concept that has yet to receive sustained examination from scholars in the discipline. It also makes a novel contribution through its empirical investigation of a stage in the regulatory process that tends to be overlooked in transnational labour law scholarship: how an international labour norm, subsequent to its adoption, is shaped, translated and contested, by whom and with what implications.
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    Understanding the exploitation of temporary migrant workers in Australia: examining temporary labour migration from preFederation until 2020
    Ariyawansa, Sayomi Rushini ( 2021)
    This thesis concerns the treatment of temporary migrant workers in Australia. Within the last 20 years, migration programs have swung from facilitating and encouraging permanent settlement in Australia to embracing large-scale temporary labour migration. Certain sectors of employment have become reliant on temporary migrant workers — such as agriculture, hospitality, aged care, cleaning, security, and construction. This trend towards an embrace of temporary labour migration has been accompanied by growing concerns about the mistreatment of temporary migrant workers in Australia. Numerous reports, inquiries, and investigations have revealed widespread patterns of their abuse and mistreatment. The term ‘exploitation’ is routinely used to describe the abuse and mistreatment of temporary migrant workers in Australia, yet there has been little theoretical engagement with the concept of ‘exploitation’. It is rarely defined and is most often used to describe conduct that is already unlawful. I argue that there is a need to use the term with greater precision. I introduce the concepts of ‘transactional’ and ‘structural’ exploitation to examine the exploitation of temporary migrant workers in Australia, and to evaluate recent legal reforms. Additionally, the treatment of temporary migrant workers is seen as a very contemporary issue. It is seen as a departure from the norm of Australia as a nation of permanent settlers. Yet, there are important historical antecedents of contemporary temporary labour migration in Australia — the significance of which have been overlooked. I argue that Australia’s labour migration history foretells much about the nature of temporary labour migration today, especially concerning the role of the State in relation to the treatment of temporary migrant workers. Fundamentally, temporary migrant workers participate in the Australian labour market on an unequal basis. This is the case irrespective of whether their employers comply with existing workplace and other laws, or not. Temporary migrant workers are denied — to varying degrees, depending on the temporary labour migration program — access to social and economic rights which, I argue, are associated with social membership in the Australian community. This is not a contemporary phenomenon. As my thesis examines, temporary migrant workers have been subjected to various forms of exclusion from membership since before Federation. These are matters that pertain to the structure of temporary labour migration programs in Australia and concern the role of the State in relation to the treatment of temporary migrant workers, which I suggest have been underemphasised in recent literature on this subject. Accordingly, this thesis reveals the role of the State in relation to the exploitation of temporary migrant workers. I argue that the State enacts rights restrictions and exclusions based on their temporary migrant status that place temporary migrant workers under the threat of domination by their employers and other actors. This enables and facilitates exploitative transactions within the workplace. Further, the State enacts regulations that deprive temporary migrant workers from being able to develop and exercise their capacities as human beings, by treating temporary migrant workers as labour market inputs. This has occurred through the imposition of rights restrictions and exclusions, and prioritising the interests of employers and industry by favouring so-called ‘labour market’ imperatives. This thesis details the various ways that this has occurred, depending on the specific temporary labour migration program involved. Finally, this thesis explores Sarah Song’s ‘principle of reciprocity’ and suggests how this principle may be used to reorient discussions on how to address the exploitation of temporary migrant workers in Australia. This principle focuses on the relationship between the State and temporary migrant workers and concerns the question of how to ensure that temporary labour migration provides an authentic and sufficient benefit to the workers themselves.