Melbourne Law School - Theses

Permanent URI for this collection

Search Results

Now showing 1 - 8 of 8
  • Item
    Thumbnail Image
    ‘Industrial disputes’ and the jurisdiction of the federal industrial tribunal
    Stern, Esther ( 1993)
    What constitutes an 'industrial dispute' for the purposes of s. 51 (xxxv) of the Commonwealth Constitution and s. 4 of the Australian Industrial Relations Act 1988 (Cth) is crucial for the determination of union-employer relations. Ultimately the ambit of the phrase 'industrial dispute' determines those matters that may legitimately be raised by a federally registered union with an employer before the Australian Industrial Relations Commission (hereafter the federal tribunal). The central thesis advanced here is that since 1904 the High Court has employed alternating approaches to identifying an 'industrial dispute'. One approach is that an 'industrial dispute' means no more than the traditionally perceived notion of an individual employer-employee dispute. The other approach is a much broader view, in that such a dispute relates to collective employment relations. Put at its most basic level, I submit in this thesis that the jurisdiction of the federal tribunal has been shaped less by the particular words 'industrial dispute' than by the perception of the kind of employment relationship with which these words are concerned. (From introduction)
  • Item
    Thumbnail Image
    The status of clergy of the Anglican Church of Australia: employees or office holders?
    Phillips, Barry ( 1997)
    The acceptance of the traditional view that clergy are the holders of an office has been the subject of challenge over past years and is increasingly being challenged nowadays. In particular, there have been claims by clergy and their dependents for worker's compensation benefits, claims by clergy for wrongful or unfair dismissal and claims by third parties alleging vicarious liability on the part of the Church. Changes in technology, among other matters, have led to an increase in the number of employees who work from a home office. When the remuneration, associated fringe benefits and other entitlements received by clergy are taken into account, it appears that there is little difference between the employee working from a home office and clergy holding parish appointments. This thesis re-considers the status of clergy in the Anglican Church of Australia. There is considered first the administration of the Anglican Church of Australia. This is followed by a consideration of the concept of employment and the concept of an office. Associated with this consideration are two matters which require specific examination. The first of these is the incidence of income tax. Most clergy have income tax deducted at source in accordance with the 'pay as you earn' provisions of the relevant legislation. Yet, these provisions are applicable only to employees. The issue which arises, and which is examined, is whether by participating in this method of payment of income tax clergy are estopped from denying an employment status. It is concluded that both in law and by direction of the Commissioner of Taxation this is merely a matter of convenience and does not constitute evidence of employment status. The second of the associated issues is that of the parson's freehold. The concept of a 'living' is not part of the law or practice of the Anglican Church of Australia. Had it been so, it would have added considerable weight to the argument in favour of the status of office holder. Accordingly, the support for office holder status is weakened. A review of the common law in Australia and elsewhere leads to the conclusion that the status of office holder is still the accepted view. The employment relationship is a contractual relationship made between two parties, an employee and an employer. Therefore, there is examined the issue of who might be the employer of the clergy. The conclusion is that there is no person or body who has sufficient involvement, control or responsibility to be described correctly as an employer. Finally, there is a consideration of the source of the responsibilities and rights of clergy. The conclusion is that the traditional view of clergy as office holders has not been displaced and is still applicable to-day.
  • Item
    Thumbnail Image
    Negligence by corporate health care providers: vicarious liability or non-delegable duty of care?
    Madden, John F. ( 1996)
    Summary of Argument: Hospitals were formerly protected from legal liability. The Common Law is eroding this immunity. Initially this has been done by expanding the doctrine of vicarious liability, but that doctrine has been unable to cope with modern hospital relationships, which have involved the use of independent contractor doctors, who are not directly salaried by a hospital. A doctrine of non-delegable duty of a hospital has emerged, in part to cope with the liability of independent contractors of a hospital. Extensive comparisons are made by me with the laws of hospital liability in England, United States of America and Canada. A line has been presently drawn by Australian courts to exclude hospital liability where an independent contractor doctor treats a hospital patient as a private patient. I analyse and criticise this approach. I argue that there are strong arguments for the extension of the doctrine of non-delegable duty to cover the situation of all negligence which occurs within the four walls of a hospital, notwithstanding that a negligent doctor may be an independent contractor. My thesis demonstrates that the doctrine of vicarious liability has serious short-comings when applied to modern hospital relationships, and I examine these failings in comparison with the competing doctrine of non-delegable duty. I examine the rationale for the existence and expansion of non-delegable duty. Social explanations have been forthcoming from recent judicial decisions in Australia and elsewhere which justify the expansion of the doctrine, and these are fully considered by me. Independent contractor doctors form part of the community utility of a hospital and are inseparably connected with the activities of employed staff, particularly during surgery or other medical practices involving the effort of a team. There is no proper legal basis for the exclusion of hospital liability for the negligence of independent contractors, who work within a hospital.
  • Item
    Thumbnail Image
    Legal avenues for protection of the work of Aboriginal artists
    GRAY, STEPHEN ( 1996)
    Summary of Argument: The aim of this paper is to consider the legal avenues by which Aboriginal artists or their communities may seek solutions to the problem of appropriation of their art. It will also consider what legislative or other changes might be introduced in order to resolve any such problems. The paper will suggest that legislative or other changes should be the product of consultation with Aboriginal artists and communities, and be clearly directed to legal problems faced by them. In particular, legal change should be as far as possible consistent with Aboriginal laws and customs existing across Australia, while not compromising basic principles of Australian intellectual property law. The attempt to impose an inflexible legislative scheme may be counter-productive. The paper will outline a proposal for legal change which, it will be submitted, is capable of accommodating a variety of Aboriginal customs and laws. The paper will consider the capacity of the Copyright Act 1968 (Cth), and of equitable doctrines of trust and breach of confidence, to resolve the problems of Aboriginal artists and communities in a manner consistent with Aboriginal law. Through an analysis of the decided cases, and through an examination of statutory and judge-made law, it will be established that the existing law is not capable adequately of meeting Aboriginal needs. In particular, the existing law is not capable of accommodating the communal nature of Aboriginal ownership of intellectual property rights in art, its lack of limitation in time, and the variety of interests which individuals or groups may possess in a work of art, or in a story or design underlying such a work. It will be suggested that it is undesirable to attempt to define the interests of Aboriginal groups or individuals in a work of art in advance. At the same time it is necessary that the law in this area be relatively workable and certain. It is possible, it will be submitted, to accommodate these two goals by adopting in relation to questions of appropriation of Aboriginal art principles similar to those adopted in relation to Aboriginal land in the Mabo decision. Such principles could, it will be submitted, be translated into practical proposals for legislative change which would be consistent with basic principles of intellectual property law, and would in addition be relatively consistent with Aboriginal customs and laws.
  • Item
    Thumbnail Image
    The parens patriae and wardship jurisdiction of the Family Court of Australia: its history and current status
    Coleiro, Joseph J. ( 1992)
    Before the Family Law Act 1975 (Cth) came into operation, the Supreme Court of each State exercised a complete jurisdiction over a child of a marriage. That jurisdiction included the jurisdiction conferred by the Matrimonial Causes Act 1959 - 1973 (Cth) and the state Supreme Courts' inherent parens patriae jurisdiction and wardship of court jurisdiction. With the passing of the Family Law Act 1975 (Cth), the Commonwealth Parliament did not include in that Act provisions that created a parens patriae jurisdiction and a wardship of court jurisdiction in the Family Court. Consequently, the jurisdiction over children of a marriage became fragmented between the Family Court exercising jurisdiction conferred by the Family Law Act, and the state Supreme Courts exercising their inherent parens patriae jurisdiction and wardship of court jurisdiction. This paper discusses the question whether it is a valid exercise of the Commonwealth's Marriage Power and the Matrimonial Causes Power for the Commonwealth to pass enactments creating a parens patriae jurisdiction and a wardship of court jurisdiction and vesting them in the Family Court of Australia.
  • Item
    Thumbnail Image
    Unauthorised commercial exploitation of athletes
    Buckley, Eugénie ( 1996)
    This thesis explores the extent to which the law recognises a legally enforceable right to the 'celebrity status' of an athlete. An analysis of the sporting industry demonstrates that due to the centrality of sport to Australian culture, the personalities of celebrity athletes are of economic value to potential sponsors and thus to themselves. In Australia, due to an absence of protection based on general privacy, property and equitable concepts, the athlete has to rely on piecemeal and incidental protection under principles of defamation, passing off, breaches of the Trade Practices Act 1974 (Cth) and intellectual property law. While recent developments highlight the willingness of courts to assist in unauthorised appropriation cases, it is submitted that the focus of the available remedies render them inadequate to provide complete and comprehensive protection. The United States of America, Canada and the major European countries provide specific and additional protection to personality. Not only is Australia out of step with these countries, but is also arguably in breach of international conventions which recognise a right to privacy. That the community disapproves of illegitimate exploitations is evidenced through voluntary codes of practice prohibiting the practice. Accordingly, legal reform is necessary to provide complete protection against the unauthorised commercial exploitation of personality. Arguments supporting the introduction of a new remedy include philosophical grounds, economic fairness and compatibility with international law. Furthermore, there exists judicial and academic recognition of the need for reform. Three options are provided as to the form the new remedy should take. The preferred solution is the introduction of a new tort dealing with the appropriation of personality.
  • Item
    Thumbnail Image
    Can Victorian union members be personally liable for the unlawful conduct of their unions?
    Angelopoulos, Anastasios ( 1995)
    Workers join unions for a number of different reasons. It may be that they hold a deep conviction in the class struggle of workers against capital, or else they believe for practical reasons that they will have a more effective voice in the workplace and their interests will be better protected by joining a trade union. Alternatively, it may be that the place of employment operates as a closed shop and thereby only allows union members to work. In those circumstances, the workers have no real choice of whether or not to join the union. Whatever the reason for joining a union, in order to become a member and to maintain membership, each worker is required to pay their membership dues which may for example be payable weekly, monthly, quarterly or annually. If a worker does not pay the amount due, he or she may be fined by the union, have his or her membership cancelled, or even be pursued in the civil courts. In addition to membership dues, which may be used for a number of different purposes (such as administration of the union, support for local, national or international causes, and even affiliation to political parties), a union member may also be required to pay fines imposed or levies which have been struck by the union. There may be a range of different reasons for the imposition of fines or levies. For example, the union may have been successfully sued by a third party or penalised for its involvement in unlawful conduct which may be industrial in nature. Rather than bear the full financial burden of the judgment debt, the union may seek to spread the cost either in whole or in part amongst its members. If the activity was industrial in nature and involved a particular class of members who were seeking to promote their interests as opposed to the interests of the union as a whole, the union may seek to penalise those members with a fine for any costs it has incurred. A union may not be the only person who seeks to impose financial obligations on members beyond their membership dues. Third parties who have been injured or suffered a loss as a result of union activity may be of the opinion that their claim may be more successful if pursued against the individual members involved in the unlawful conduct rather than the union. They may also believe that they have a better chance of being compensated for their losses if the personal assets of the members are greater than those of the particular union. A similar result may be reached by virtue of legislation. Legislative provisions may penalise the individual union members involved in the unlawful conduct rather than the union, even if such persons are promoting the interests of the union and are acting under the instructions of the governing body of the union. If it is possible for third parties to pursue union members directly whether at common law or under legislation for the unlawful conduct of their union, then members are potentially subject to very wide financial obligations. Union members may not have anticipated such obligations when they joined the union. Thus the question for consideration in this thesis is as follows: Can Victorian union members be personally liable for the unlawful conduct of their unions? Associated with this question are further issues. The scope of liability may depend upon the legal status of the union, the common law, the industrial legislation under which the unions operate or other legislation directed at the industrial activities of unions. A further related matter is whether the principles have equal application if the union itself as opposed to an aggrieved third party (injured as a result of the general or industrial unlawful conduct of the union) seeks contribution or reimbursement from its members for its legal liabilities. In attempting to identify the circumstances in which members may be held personally liable for the unlawful conduct of their union it is important to analyse the following preliminary issues: 1. The meaning of the term "union"; 2. The legal status of unions that operate in Victoria; and 3. The scope of legal responsibility of such unions for the conduct of their agents.
  • Item
    Thumbnail Image
    How effective are current drug education programs as a means of preventing illicit substance abuse in teenagers
    Lees-Amon, Karen ( 1999)
    Western Governments have been obliged to tackle illicit substance abuse by focusing on health issues, this has resulted in preventative policies that direct drug education through schools. As a consequence there are hundreds of drug education programs and the majority are competing for funding under the same auspice. Victoria's response has been to develop a prevention program known as Get Real and phase it into Victorian schools over a three year period. The three year period ended in 1999 and due to a change of Government the Get Real program has been re-funded for another 12 months, this is despite the fact there have been no formal evaluations conducted about its success or otherwise. This program has been examined in relation to its own objectives and juxtaposed against two other main programs operating in schools in Australia. The results suggest Get Real is on the road to achieving its objectives which are to provide students with a realistic knowledge hasp about drugs and their effects. However, its broader goal which is to prevent illicit substance abuse cannot be evaluated because there are no studies that show its success or otherwise. Based on the hypothesis thill drug education programs prevent illicit substance abuse in teenagers, Get Real's curriculum was compared with other similar programs and the research done on these programs suggest drug education programs do not successfully prevent illicit substance abuse. The best Get Real and other programs can hope to achieve, is to provide realistic information and develop children's social skills and empower them with the knowledge and self esteem to make their own decisions. And to know that they alone are responsible for their choices and the consequences that follow from these choices.