First Published: (2008) 25 EPLJ 449 - All Rights Reserved. Disclaimer: The information contained in this publication does not constitute legal advice of any kind. The author Ian Ellis-Jones does not guarantee or warrant the current accuracy, legal correctness or up-to-dateness of the information contained in the publication.
THE GREAT LEAP BACKWARDS: RETROSPECTIVE APPROVALS, CONSENTS AND CERTIFICATES ...Dr Ian Ellis-Jones
A Paper Presented at the Inaugural Property and Planning Law Conference of The Commercial Law Association of Australia Limited, Sydney NSW, 1 March 2013. Copyright 2013 Ian Ellis-Jones. All Rights Reserved. Disclaimer: The information contained in this publication does not constitute legal advice of any kind. The author Ian Ellis-Jones does not guarantee or warrant the current accuracy, legal correctness or up-to-dateness of the information contained in the publication.
This document summarizes New Jersey state law passed in response to the Kelo v. New London Supreme Court decision. The 2013 law aimed to increase transparency and public involvement in the eminent domain process. It requires municipalities to hold public hearings and designate a planning board to determine if an area qualifies as a condemnation redevelopment area. The law also includes a 45-day period for property owners to challenge such a designation in court. However, the document argues the law is insufficient because it does not clearly define "blight" and the Kelo decision allowed takings for economic development regardless of blight.
Building Code Enforcement and Contractual ConsequencesScott Wolfe
My part in a building code seminar sponsored by Lorman Education Services. This presentation focuses on building code enforcement mechanisms in Louisiana, and the effect building code violations can have on contracts, parties to contracts, and third parties. Also, it touches on defenses available to parties when building code violations exist, as well as green building code issues that are now arising with green building projects.
This document summarizes a judgment from the Land and Environment Court of New South Wales regarding an application by Windy Dropdown Pty Ltd to modify a development consent granted by Warringah Council. The judgment discusses whether the court has the power to approve modifications to development consent retrospectively, when development has already been carried out that does not comply with the original consent. The judge ultimately finds that section 96 of the Environmental Planning and Assessment Act allows for retrospective modification of development consent in some circumstances.
This document provides an overview and comparison of key provisions in Massachusetts' new open meeting law and the corresponding provisions in the existing state and local open meeting laws. Some key changes and additions in the new law include: defining additional terms like "deliberation", "intentional violation", and "minutes"; establishing an Open Government Division in the Attorney General's office to handle open meeting law responsibilities; and requiring public bodies to post notice of meetings at least 48 hours in advance, excluding weekends and holidays, in an accessible location and format.
The document discusses study circles, which are small groups that meet regularly to discuss topics of interest. It notes that study circles differ from clubs in their focus on exploring issues rather than social activities. It also discusses injunctions, which are court orders that restrain a party from beginning or continuing an action that threatens or invades the legal rights of another. The document provides details on temporary injunctions under the Specific Relief Act and the Code of Civil Procedure. It also discusses conditions for granting injunctions and factors courts consider in making their decisions.
The document discusses various types of jurisdiction of courts in Pakistan. It explains that civil courts have the jurisdiction to try all civil suits unless expressly barred. It classifies jurisdiction into four types - subject matter jurisdiction, pecuniary jurisdiction, territorial jurisdiction, and personal jurisdiction. It provides details on each type of jurisdiction and the rules regulating them. The document also discusses various absolute bars, conditional bars, and special bars upon the jurisdiction of civil courts in Pakistan.
THE GREAT LEAP BACKWARDS: RETROSPECTIVE APPROVALS, CONSENTS AND CERTIFICATES ...Dr Ian Ellis-Jones
A Paper Presented at the Inaugural Property and Planning Law Conference of The Commercial Law Association of Australia Limited, Sydney NSW, 1 March 2013. Copyright 2013 Ian Ellis-Jones. All Rights Reserved. Disclaimer: The information contained in this publication does not constitute legal advice of any kind. The author Ian Ellis-Jones does not guarantee or warrant the current accuracy, legal correctness or up-to-dateness of the information contained in the publication.
This document summarizes New Jersey state law passed in response to the Kelo v. New London Supreme Court decision. The 2013 law aimed to increase transparency and public involvement in the eminent domain process. It requires municipalities to hold public hearings and designate a planning board to determine if an area qualifies as a condemnation redevelopment area. The law also includes a 45-day period for property owners to challenge such a designation in court. However, the document argues the law is insufficient because it does not clearly define "blight" and the Kelo decision allowed takings for economic development regardless of blight.
Building Code Enforcement and Contractual ConsequencesScott Wolfe
My part in a building code seminar sponsored by Lorman Education Services. This presentation focuses on building code enforcement mechanisms in Louisiana, and the effect building code violations can have on contracts, parties to contracts, and third parties. Also, it touches on defenses available to parties when building code violations exist, as well as green building code issues that are now arising with green building projects.
This document summarizes a judgment from the Land and Environment Court of New South Wales regarding an application by Windy Dropdown Pty Ltd to modify a development consent granted by Warringah Council. The judgment discusses whether the court has the power to approve modifications to development consent retrospectively, when development has already been carried out that does not comply with the original consent. The judge ultimately finds that section 96 of the Environmental Planning and Assessment Act allows for retrospective modification of development consent in some circumstances.
This document provides an overview and comparison of key provisions in Massachusetts' new open meeting law and the corresponding provisions in the existing state and local open meeting laws. Some key changes and additions in the new law include: defining additional terms like "deliberation", "intentional violation", and "minutes"; establishing an Open Government Division in the Attorney General's office to handle open meeting law responsibilities; and requiring public bodies to post notice of meetings at least 48 hours in advance, excluding weekends and holidays, in an accessible location and format.
The document discusses study circles, which are small groups that meet regularly to discuss topics of interest. It notes that study circles differ from clubs in their focus on exploring issues rather than social activities. It also discusses injunctions, which are court orders that restrain a party from beginning or continuing an action that threatens or invades the legal rights of another. The document provides details on temporary injunctions under the Specific Relief Act and the Code of Civil Procedure. It also discusses conditions for granting injunctions and factors courts consider in making their decisions.
The document discusses various types of jurisdiction of courts in Pakistan. It explains that civil courts have the jurisdiction to try all civil suits unless expressly barred. It classifies jurisdiction into four types - subject matter jurisdiction, pecuniary jurisdiction, territorial jurisdiction, and personal jurisdiction. It provides details on each type of jurisdiction and the rules regulating them. The document also discusses various absolute bars, conditional bars, and special bars upon the jurisdiction of civil courts in Pakistan.
The Supreme Court ruled that (1) laws must be published in the Official Gazette in order to be valid and enforceable, even if the laws themselves provide an effective date, (2) publication is required for all laws, not just those of general applicability, and (3) publication must be made in full in the Official Gazette and cannot be omitted for any reason. The Court affirmed that the people have a right to be informed of the laws that govern them and secret or unpublished laws are invalid.
Landlord Tenant Law: Eviction and the Judicial Processeglzfan
This is an article I wrote for a Continuing Legal Education seminar (i.e., lawyers teaching lawyers) on the Georgia dispossessory process, including trial and mediation of landlord-tenant cases.
NY AG Schneiderman's Petition of FERC to Investigate the Constitution Pipelin...Marcellus Drilling News
A sham petition by New York's power-mad Attorney General, Eric Schneiderman, requesting that the Federal Energy Regulatory Commission investigate the Constitution Pipeline for cutting down a few trees along the pipeline's proposed path (a path approved by FERC) before New York granted its own permission. It is a move by Scheiderman to provide political cover for an embattled and corrupt governor, Andrew Cuomo, and an attempt to smear the good name Williams and the Constitution Pipeline project.
Limitation Act Reform - The Canadian PerspectiveSamantha Ip
The document summarizes limitation act reform in Canada, specifically British Columbia, which shortens limitation periods for legal claims from 6 years to 2 years. This represents a shift towards more certainty in limitation periods. Key changes include a basic 2-year limitation period for claims, 15-year ultimate limitation period, and discoverability being the default rule. The construction industry will be impacted through a need for timely investigation of defects, less record keeping, and shorter professional liability risk periods for insurers. CCDC contract clauses will also require clarification due to conflicting limitation timelines.
This document discusses limitation of suits, appeals, and applications under Indian law. It provides rules around when suits can be dismissed due to exceeding the statutory limitation period, as well as exceptions to this. Specifically, it allows for extensions to the limitation period for legal disabilities like minority, insanity, or idiocy. It also discusses rules for multiple plaintiffs with disabilities, pre-emption rights, continuous running of limitation unless administration letters are granted, and suits against trustees. The document is divided into sections outlining these various rules and exceptions to the normal limitation period.
The document discusses the availability of judicial review in various jurisdictions in the Caribbean. It begins by defining administrative law and judicial review, and examining the principles that underpin judicial review in the Caribbean. It notes that judicial review proceedings are available in high courts and supreme courts. Several countries have passed specific judicial review legislation. The document then examines the process for applying for judicial review, including requirements for leave, delays, amendments, costs and determining the correct parties. It discusses claimants and standing, including the tests for sufficient interest and public interest litigation. Finally, it analyzes which decisions and authorities are subject to judicial review, such as cabinets, ministers, statutory corporations and public bodies performing statutory functions with public law consequences.
International Jurisdiction and Worldwide Pre-emptive OrdersShu Xie Lim
This document discusses whether a common law court has jurisdiction under public international law to issue a worldwide pre-emptive order. It argues that a court has such jurisdiction if it has (1) personal jurisdiction over the person against whom the order is sought and (2) subject matter jurisdiction. The document examines case law from England that has established these jurisdictional requirements and granted worldwide pre-emptive orders when these requirements are met, even if no cause of action has been filed.
The document discusses the priority of registered charges on land under the National Land Code of Malaysia. It states that subsequent charges can be created and registered. Priority is given to the first charge registered in time. The priority of registered charges can be altered through agreement by consolidation, tacking, or postponement of charges. Consolidation involves combining multiple charges on the same land into one, tacking allows further loan advances to take priority, and postponement changes the order of priority between charges. Specific procedures and conditions outlined in the National Land Code must be followed to validly consolidate, tack, or postpone charges.
Customary and granted land right of occupancy by datius didaceMzumbe University
This document summarizes land law concepts related to customary and granted land rights of occupancy in Tanzania. It discusses types of granted rights of occupancy including long-term, short-term, and periodic rights. It also outlines the application process for a granted right of occupancy, conditions placed on rights of occupancy, how the term is determined, allowances for change of use, rules around disposition of occupancy rights, and powers of local governments to grant residential licenses.
1. The case involved a dispute over whether Nugent Sand Company's sand and gravel mining operations on 227 acres of land it owned constituted a legal nonconforming use under the county's zoning ordinance, which zoned the land for residential and agricultural uses.
2. The county Board of Adjustments ruled that the entire 227 acres was a legal nonconforming use because Nugent owned and had a mining permit for the entire acreage before the zoning ordinance took effect.
3. On appeal, the circuit court affirmed the Board's decision. This appeal followed to determine whether only the land actively mined when the ordinance took effect could be considered a nonconforming use.
America Invents Act 2011 Dec 15 2011 Slidesemanzo7672
The America Invents Act of 2011 introduced major changes to the U.S. patent system, transitioning from a "first to invent" to a "first inventor to file" system. Key provisions include establishing a grace period of one year for public disclosures by the inventor, defining prior art under Section 102 based on the effective filing date, and exceptions for commonly owned or jointly developed inventions. These changes aim to harmonize U.S. patent law with international standards.
The Specific Relief of Act 1877
The Law of Limitation Act, 1908
ARNAB KUMAR DAS
Port City International University,
Chittagong, Bangladesh.
SID: LLB 00305037
FindLaw | YouTube Copyright Infringement Case OpinionLegalDocs
This document is an opinion from a United States District Court case regarding statutory damages for copyright infringement. The court ruled that plaintiffs cannot recover statutory damages for foreign works that were not registered with the U.S. Copyright Office, as required by Section 412 of the Copyright Act. The court rejected plaintiffs' arguments that foreign works should be exempt from registration requirements, finding no evidence that Section 412 violates any international treaties.
This document provides an overview of key definitions and concepts from the Limitation Act of 1963 in India. Some key points:
- It establishes periods of limitation (i.e. deadlines) for filing lawsuits, appeals, and applications. Suits filed after these periods are dismissed.
- It defines important terms like applicant, defendant, plaintiff, and period of limitation.
- It outlines exceptions to the normal limitation periods for legal disabilities like minority, allowing extensions in cases of fraud or mistake.
- It discusses how to calculate limitation periods, excluding periods where legal proceedings were ongoing or where the defendant was absent from India.
So in summary, this Act establishes statutory deadlines for legal actions and
The Court of Appeal decision on the nationalizations of Belize Telemedia Limi...Adele Ramos
Civil Appeal Nos. 18 19 and 21 of 2012 the Attorney General v The British Caribbean Bank Limited; Dean Boyce and Fortis Energy International Belize Inc vs The Attorney General
The document is an excerpt from the Limitation Act, 1908 of Bangladesh. It discusses provisions related to computing periods of limitation for filing lawsuits, appeals or applications. Some key points:
- It excludes time during which the defendant was absent from Bangladesh or certain other territories.
- It excludes time during which the plaintiff was prosecuting another case in good faith against the same defendant but the court lacked jurisdiction.
- It excludes time during which a proceeding was stayed by an injunction or order, and the time for which any notice was given according to law.
- Special provisions apply if the right to sue accrued but the person with the right or the potential defendant died before the right accrued or the case
This document is the Evidence Act of 1872 from Bangladesh. It defines key terms used in evidence and testimony such as "court", "fact", "document", and "evidence". It also outlines the relevance of different types of facts that can be presented as evidence, such as facts that are part of the same transaction, facts that provide motive or context, and facts that are necessary to explain other facts in the case. The document establishes the framework for how evidence is treated and presented in legal proceedings in Bangladeshi courts.
This case involves a dispute over whether a nonconforming hotel use was abandoned under the city's zoning ordinance. The owners wanted to convert the hotel into offices. A neighbor argued the hotel use was abandoned due to years of non-use. The board found no abandonment since the owners tried to sell the property as a hotel. The court reversed, finding the record showed an intent to discontinue the hotel use based on years of non-use and no explanation for it. The appellate court affirmed, as the record did not show efforts to continue the hotel use or find an acceptable substitute use during the long period of non-use.
This case involves a dispute over whether a hotel property's nonconforming use status under zoning laws had been abandoned. The local board of adjustments found that the long-disused hotel's nonconforming use as a hotel had not been abandoned because the owners had attempted to sell the property as a hotel. However, the circuit court reversed, finding abandonment had occurred. The appellate court affirmed, finding that while the sale attempt rebutted the presumption of abandonment from the long disuse, the overall record compelled a finding that the owners intended to abandon the nonconforming use.
This case establishes that the demolition of most buildings will now require planning permission. It overturns exemptions that previously allowed demolition of buildings other than dwellings without permission. As a result, developers will need to apply for prior approval from local authorities for demolitions beyond just dwellings. They may also need to conduct environmental impact assessments if demolitions could significantly affect the environment. The Court of Appeal ruling upholds a challenge by heritage group SAVE that argued demolitions should be considered a form of development requiring permission or assessment. This is a significant judgment that will impact how local authorities regulate demolitions going forward.
Popat and kotecha_property_vs_state_bank_of_india_staff_..._on_29_august,_2005chithra venkatesan
This document is a Supreme Court of India case summary from 2005 regarding a property dispute between Popat and Kotecha Property and the State Bank of India Staff Association. The key details are:
1) Popat and Kotecha Property built a property for the State Bank of India Staff Association in 1983 per an agreement. The agreement stated Popat would receive a lease for certain floors once construction was complete.
2) Construction finished in 1984 but the lease was never executed. Popat sued in 1990 seeking execution of the lease or damages.
3) The trial court dismissed a motion to reject the suit as barred by limitation period but the High Court overturned this, finding the suit was outside the limitation period.
The Supreme Court ruled that (1) laws must be published in the Official Gazette in order to be valid and enforceable, even if the laws themselves provide an effective date, (2) publication is required for all laws, not just those of general applicability, and (3) publication must be made in full in the Official Gazette and cannot be omitted for any reason. The Court affirmed that the people have a right to be informed of the laws that govern them and secret or unpublished laws are invalid.
Landlord Tenant Law: Eviction and the Judicial Processeglzfan
This is an article I wrote for a Continuing Legal Education seminar (i.e., lawyers teaching lawyers) on the Georgia dispossessory process, including trial and mediation of landlord-tenant cases.
NY AG Schneiderman's Petition of FERC to Investigate the Constitution Pipelin...Marcellus Drilling News
A sham petition by New York's power-mad Attorney General, Eric Schneiderman, requesting that the Federal Energy Regulatory Commission investigate the Constitution Pipeline for cutting down a few trees along the pipeline's proposed path (a path approved by FERC) before New York granted its own permission. It is a move by Scheiderman to provide political cover for an embattled and corrupt governor, Andrew Cuomo, and an attempt to smear the good name Williams and the Constitution Pipeline project.
Limitation Act Reform - The Canadian PerspectiveSamantha Ip
The document summarizes limitation act reform in Canada, specifically British Columbia, which shortens limitation periods for legal claims from 6 years to 2 years. This represents a shift towards more certainty in limitation periods. Key changes include a basic 2-year limitation period for claims, 15-year ultimate limitation period, and discoverability being the default rule. The construction industry will be impacted through a need for timely investigation of defects, less record keeping, and shorter professional liability risk periods for insurers. CCDC contract clauses will also require clarification due to conflicting limitation timelines.
This document discusses limitation of suits, appeals, and applications under Indian law. It provides rules around when suits can be dismissed due to exceeding the statutory limitation period, as well as exceptions to this. Specifically, it allows for extensions to the limitation period for legal disabilities like minority, insanity, or idiocy. It also discusses rules for multiple plaintiffs with disabilities, pre-emption rights, continuous running of limitation unless administration letters are granted, and suits against trustees. The document is divided into sections outlining these various rules and exceptions to the normal limitation period.
The document discusses the availability of judicial review in various jurisdictions in the Caribbean. It begins by defining administrative law and judicial review, and examining the principles that underpin judicial review in the Caribbean. It notes that judicial review proceedings are available in high courts and supreme courts. Several countries have passed specific judicial review legislation. The document then examines the process for applying for judicial review, including requirements for leave, delays, amendments, costs and determining the correct parties. It discusses claimants and standing, including the tests for sufficient interest and public interest litigation. Finally, it analyzes which decisions and authorities are subject to judicial review, such as cabinets, ministers, statutory corporations and public bodies performing statutory functions with public law consequences.
International Jurisdiction and Worldwide Pre-emptive OrdersShu Xie Lim
This document discusses whether a common law court has jurisdiction under public international law to issue a worldwide pre-emptive order. It argues that a court has such jurisdiction if it has (1) personal jurisdiction over the person against whom the order is sought and (2) subject matter jurisdiction. The document examines case law from England that has established these jurisdictional requirements and granted worldwide pre-emptive orders when these requirements are met, even if no cause of action has been filed.
The document discusses the priority of registered charges on land under the National Land Code of Malaysia. It states that subsequent charges can be created and registered. Priority is given to the first charge registered in time. The priority of registered charges can be altered through agreement by consolidation, tacking, or postponement of charges. Consolidation involves combining multiple charges on the same land into one, tacking allows further loan advances to take priority, and postponement changes the order of priority between charges. Specific procedures and conditions outlined in the National Land Code must be followed to validly consolidate, tack, or postpone charges.
Customary and granted land right of occupancy by datius didaceMzumbe University
This document summarizes land law concepts related to customary and granted land rights of occupancy in Tanzania. It discusses types of granted rights of occupancy including long-term, short-term, and periodic rights. It also outlines the application process for a granted right of occupancy, conditions placed on rights of occupancy, how the term is determined, allowances for change of use, rules around disposition of occupancy rights, and powers of local governments to grant residential licenses.
1. The case involved a dispute over whether Nugent Sand Company's sand and gravel mining operations on 227 acres of land it owned constituted a legal nonconforming use under the county's zoning ordinance, which zoned the land for residential and agricultural uses.
2. The county Board of Adjustments ruled that the entire 227 acres was a legal nonconforming use because Nugent owned and had a mining permit for the entire acreage before the zoning ordinance took effect.
3. On appeal, the circuit court affirmed the Board's decision. This appeal followed to determine whether only the land actively mined when the ordinance took effect could be considered a nonconforming use.
America Invents Act 2011 Dec 15 2011 Slidesemanzo7672
The America Invents Act of 2011 introduced major changes to the U.S. patent system, transitioning from a "first to invent" to a "first inventor to file" system. Key provisions include establishing a grace period of one year for public disclosures by the inventor, defining prior art under Section 102 based on the effective filing date, and exceptions for commonly owned or jointly developed inventions. These changes aim to harmonize U.S. patent law with international standards.
The Specific Relief of Act 1877
The Law of Limitation Act, 1908
ARNAB KUMAR DAS
Port City International University,
Chittagong, Bangladesh.
SID: LLB 00305037
FindLaw | YouTube Copyright Infringement Case OpinionLegalDocs
This document is an opinion from a United States District Court case regarding statutory damages for copyright infringement. The court ruled that plaintiffs cannot recover statutory damages for foreign works that were not registered with the U.S. Copyright Office, as required by Section 412 of the Copyright Act. The court rejected plaintiffs' arguments that foreign works should be exempt from registration requirements, finding no evidence that Section 412 violates any international treaties.
This document provides an overview of key definitions and concepts from the Limitation Act of 1963 in India. Some key points:
- It establishes periods of limitation (i.e. deadlines) for filing lawsuits, appeals, and applications. Suits filed after these periods are dismissed.
- It defines important terms like applicant, defendant, plaintiff, and period of limitation.
- It outlines exceptions to the normal limitation periods for legal disabilities like minority, allowing extensions in cases of fraud or mistake.
- It discusses how to calculate limitation periods, excluding periods where legal proceedings were ongoing or where the defendant was absent from India.
So in summary, this Act establishes statutory deadlines for legal actions and
The Court of Appeal decision on the nationalizations of Belize Telemedia Limi...Adele Ramos
Civil Appeal Nos. 18 19 and 21 of 2012 the Attorney General v The British Caribbean Bank Limited; Dean Boyce and Fortis Energy International Belize Inc vs The Attorney General
The document is an excerpt from the Limitation Act, 1908 of Bangladesh. It discusses provisions related to computing periods of limitation for filing lawsuits, appeals or applications. Some key points:
- It excludes time during which the defendant was absent from Bangladesh or certain other territories.
- It excludes time during which the plaintiff was prosecuting another case in good faith against the same defendant but the court lacked jurisdiction.
- It excludes time during which a proceeding was stayed by an injunction or order, and the time for which any notice was given according to law.
- Special provisions apply if the right to sue accrued but the person with the right or the potential defendant died before the right accrued or the case
This document is the Evidence Act of 1872 from Bangladesh. It defines key terms used in evidence and testimony such as "court", "fact", "document", and "evidence". It also outlines the relevance of different types of facts that can be presented as evidence, such as facts that are part of the same transaction, facts that provide motive or context, and facts that are necessary to explain other facts in the case. The document establishes the framework for how evidence is treated and presented in legal proceedings in Bangladeshi courts.
This case involves a dispute over whether a nonconforming hotel use was abandoned under the city's zoning ordinance. The owners wanted to convert the hotel into offices. A neighbor argued the hotel use was abandoned due to years of non-use. The board found no abandonment since the owners tried to sell the property as a hotel. The court reversed, finding the record showed an intent to discontinue the hotel use based on years of non-use and no explanation for it. The appellate court affirmed, as the record did not show efforts to continue the hotel use or find an acceptable substitute use during the long period of non-use.
This case involves a dispute over whether a hotel property's nonconforming use status under zoning laws had been abandoned. The local board of adjustments found that the long-disused hotel's nonconforming use as a hotel had not been abandoned because the owners had attempted to sell the property as a hotel. However, the circuit court reversed, finding abandonment had occurred. The appellate court affirmed, finding that while the sale attempt rebutted the presumption of abandonment from the long disuse, the overall record compelled a finding that the owners intended to abandon the nonconforming use.
This case establishes that the demolition of most buildings will now require planning permission. It overturns exemptions that previously allowed demolition of buildings other than dwellings without permission. As a result, developers will need to apply for prior approval from local authorities for demolitions beyond just dwellings. They may also need to conduct environmental impact assessments if demolitions could significantly affect the environment. The Court of Appeal ruling upholds a challenge by heritage group SAVE that argued demolitions should be considered a form of development requiring permission or assessment. This is a significant judgment that will impact how local authorities regulate demolitions going forward.
Popat and kotecha_property_vs_state_bank_of_india_staff_..._on_29_august,_2005chithra venkatesan
This document is a Supreme Court of India case summary from 2005 regarding a property dispute between Popat and Kotecha Property and the State Bank of India Staff Association. The key details are:
1) Popat and Kotecha Property built a property for the State Bank of India Staff Association in 1983 per an agreement. The agreement stated Popat would receive a lease for certain floors once construction was complete.
2) Construction finished in 1984 but the lease was never executed. Popat sued in 1990 seeking execution of the lease or damages.
3) The trial court dismissed a motion to reject the suit as barred by limitation period but the High Court overturned this, finding the suit was outside the limitation period.
Meyric lewis, Francis Taylor Building section: S106 – potted summary of recen...PAS_Team
This document summarizes recent cases related to Section 106 agreements in planning law. It discusses the formal requirements for Section 106 obligations, including that the agreement must be executed as a deed and identify the interested parties and land. It also provides tips for drafting Section 106 agreements, such as including triggers for liability payments and provisions for cessation of liability. Finally, it summarizes some recent appeals and court decisions related to the enforcement of Section 106 agreements.
FAQ Installation of Floor Coverings (QLD) Accommodation ModuleTEYS Lawyers
The document discusses installing floor coverings in apartments and the associated noise issues. It provides three potential solutions: 1) Speaking to the offender, 2) Applying for an order from the Commissioner of Body Corporate to rectify sound transmission issues, or 3) Passing and enforcing a by-law specifying procedures and requirements for installing floor coverings. The document recommends passing a by-law to prevent future breaches, provide clear guidelines, and resolve noise complaints in a way that binds all owners and occupants. TEYS Lawyers can prepare and register such a by-law for an owners corporation.
Public sector planning club - June 2017, NottinghamKatie Wigley
This seminar covered enforcement of section 106 agreements, highways issues in planning, and the interpretation of paragraph 49 of the National Planning Policy Framework.
The document announces a public meeting of the City Council of San Angelo, Texas to be held on July 17, 2012. The agenda includes consideration of awarding bids for street and airport projects, sale of city-owned properties, grant applications, and adoption of ordinances. An executive session is scheduled to discuss litigation, real estate, and economic development negotiations. A public hearing will be held regarding management of the Santa Fe Golf Course.
The document is a notice for a public meeting of the City Council of San Angelo, Texas to be held on June 19, 2012 at the McNease Convention Center. The agenda includes consideration of items relating to approving meeting minutes, awarding bids, authorizing real estate transactions, adopting resolutions, public hearings, budget matters, and future agenda items. The meeting location is accessible to persons with disabilities and will include time for public comment.
This planning club provided an update regarding the housing white paper and a session on planning enforcement, including consideration of a case study.
This document summarizes a 1962 Kentucky Court of Appeals case regarding a request for a permit to operate a coin-operated laundry in a residential district that would require a variance from an existing nonconforming use. The court ruled that the prior nonconforming use of the property as a grocery store had been abandoned for over 5 years, so the right to the nonconforming use was lost. The acts of the property owners in ceasing grocery operations and the long period of non-use showed an intention to abandon the nonconforming use.
The document is a notice for a public meeting of the City Council of San Angelo, Texas to take place on December 3, 2013 at 9:00 AM at the McNease Convention Center. The agenda includes opening session, consent agenda, regular agenda, executive/closed session, public hearings and comments, follow up issues, and adjournment. Key items on the agenda include consideration of approving previous meeting minutes and contracts, public hearings on zoning changes and street abandonments, and discussions on health insurance premiums and economic development.
This document is the agenda for the August 20, 2013 City Council meeting in San Angelo, Texas. The agenda includes 22 items to be discussed, including public hearings on proposed changes to zoning ordinances and the fiscal year 2014 budget. Recognition will also be given to several athletes from the area for their performances in recent track competitions. The meeting will take place at the McNease Convention Center and is open to public comment.
The document provides an overview and case law update on section 106 agreements under the Town and Country Planning Act 1990. It discusses key requirements and tests for section 106 obligations including formalities, Regulation 122 which limits the use of planning obligations, enforcement, and recent appeal decisions related to modifying or discharging affordable housing obligations. Some key points covered include the need for obligations to clearly meet the requirements of section 106, monitoring fees needing to be justified based on a development's complexity, and the burden being on developers to prove a scheme is not viable when seeking to modify affordable housing obligations.
This document summarizes three recent adjudication cases in Australia:
1) St Hilliers Property v ACT Projects and Wilson - The court found the adjudicator made two errors of law: determining the payment claim was served on a valid reference date when it was not, and finding the respondent waived its right to insist on contractual time limits. This resulted in the adjudication decision being set aside.
2) Quasar (Constructions) Commercial v Trilla Group - The court refused to declare the adjudication determination void for denying natural justice or grant a stay of the determination.
3) Probuild Constructions (Aust) v DDI Group - The NSW Court of Appeal upheld the adjudicator's
An easement is a right over another's land, such as a right of way. It must be created by express grant between proprietors and registered. An unregistered easement gives no rights. Alternatively, if the neighbor refuses a registered easement, one can apply to the Land Administrator for a right of way (LAROW), though the Administrator is reluctant if other access exists. The document discusses these concepts and differences between an easement and LAROW under the National Land Code.
Andrew Parkinson, Landmark Chambers - Section 106 Case Law UpdatePAS_Team
This document summarizes recent case law related to section 106 planning obligations in the UK. It discusses requirements for section 106 obligations to be valid, the tests for obligations under regulation 122 of the CIL Regulations, recent appeal decisions on affordable housing obligations, and approaches to enforcing section 106 obligations. Key points include that obligations must meet statutory requirements to be enforceable, the "necessary" test in regulation 122 does not require an obligation for permission but some contribution, and the courts are generally willing to enforce valid section 106 agreements as contracts.
The document is the agenda for a City Council meeting to take place on October 1, 2013. The agenda includes items such as opening procedures, consent agenda items like approving meeting minutes and awarding contracts, a regular agenda with public hearings and ordinances on zoning changes, and closing procedures like future agenda items and adjournment. Key issues to be discussed are zoning changes, awarding of contracts, and reports on fire prevention and the energy industry. The meeting will take place at the McNease Convention Center and is open to the public.
This short paper explains why most owners corporations in NSW are currently able to make by-laws that prohibit unlawful short term accommodation in their strata schemes.
The paper does this by reviewing recent statements made by NSW Fair Trading and NCAT about this topic and considers some cases decided in other jurisdictions about short term letting by-laws which have gained recent media attention.
www.muellers.com.au I 02 9562 1266
THE PSYCHOLOGIST AND THE MAGICIAN: SOME GOOD ADVICE ON HOW TO SEE LIFE AS IT ...Dr Ian Ellis-Jones
This document summarizes and discusses the short story "The Psychologist and the Magician" by Ernest Christopher Rodwick. It tells the story of a psychologist named Professor Herman von Scholtz who agrees to undergo an "ordeal" with a magician named Marbado in a Himalayan cave. The psychologist must walk through the cave regardless of what he sees, hears, feels or thinks. The story is an allegory about how the mind can be "hypnotized" by illusions and beliefs that have no real power or existence. It illustrates how we identify with mental projections and concepts of self that cause suffering but don't truly exist. By refusing to accept the illusions, the psychologist is able to walk through
THE PHOENIX ISLANDS REPUBLIC OF KIRIBATI: AN ANNOTATED AND ILLUSTRATED CHRONO...Dr Ian Ellis-Jones
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Letter dated 4 January 1994 from Ian David Ellis-Jones of Turramurra NSW Australia to the Editor of TIME (Australia) Magazine, with Letter of Reply dated 2 February 1994 from Patrick Smith, Editorial Offices, Time Inc, New York, New York, USA. Letter from Ian David Ellis-Jones Copyright 1994 Ian Ellis-Jones. All Rights Reserved.
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9
Changes in vegetation cover refer to variations in the distribution, composition, and overall
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occur natural.
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RETROSPECTIVE APPROVALS, CONSENTS AND CERTIFICATES IN NEW SOUTH WALES
1. ________________________________________________________________
Retrospective approvals, consents and
certificates in New South Wales
Ian Ellis-Jones*
________________________________________________________________
For the most part superior courts in New South Wales have been reluctant to
embrace the concept of a so-called “retrospective” (or ex post facto) approval
or consent in the context of a statutory scheme for obtaining some form of
approval, consent or certificate. However, the case law on this matter has by
no means been entirely consistent or predictable, and various judges have
approached the matter in different ways, resulting in some confusion. The
author submits that the whole idea of a retrospective or ex post facto
approval, consent or certificate is misguided and not in the public interest, and
that attempts to justify their invocation are generally forced and artificial in
nature. It is one thing to provide an opportunity to deal with anomalies in,
say, design unforeseen at the date of granting an approval or a consent, it
is another to give encouragement, tacit or otherwise, and even
retrospective approval, to persons who deliberately offend against the
terms of an approval or a consent for their own personal or private benefit
and often to the detriment of adjoining or adjacent landowners and
residents, not to mention the public at large.
INTRODUCTION
Local councils and similar bodies have traditionally been conferred with regulator
functions of various kinds. Perhaps the most common form or type of regulatory
function is the imposition of some statutory requirement for a person to obtain some
type of approval, consent or certificate prior to carrying out some activity.1
Ordinarily, the statute governing the approvals process makes it an offence to carry
out the activity, or any one of a number of specified activities, without the approval
1
* Solicitor of the Supreme Court of New South Wales and the High Court of Australia, Senior
Lecturer, Faculty of Law, University of Technology, Sydney, and Visiting Associate, NSW Institute
of
o Psychiatry.
See, eg, s 68, Local Government Act 1993 (NSW); s 76A, Environmental Planning and
Assessment Act 1979 (NSW).
2. 2
(sometimes expressed and qualified as “prior approval”) of the local council or
similar body.2
For example, the table to s 68 of the Local Government Act 1993 (NSW) (the “LG
Act 1993”) sets out a number of activities which may be carried out only with the
“prior approval” of the council, except in so far as the Act, the regulations or a
“local policy” allows an activity to be carried out without approval. In addition, as
regards the carrying out of “development” in New South Wales is concerned, s
76A(1) of the Environmental Planning and Assessment Act 1979 (NSW) (the
“EPA Act”) states:
(1) General If an environmental planning instrument provides that specified
development may not be carried out except with development consent, a person
must not carry the development out on land to which the provision applies unless:
(a) such a consent has been obtained and is in force, and
(b) the development is carried out in accordance with the consent and the
instrument.3
THE EARLY LINE OF JUDICIAL AUTHORITIES
Insofar as the LG Act 1993 is concerned, the previous comparable legislation,
namely, the now repealed Local Government Act 1919 (NSW) (the “LG Act
1919”), contained a section, namely s 311 (in Part 11 of that Act, dealing with the
erection and approval of buildings), which provided that a building shall not be
erected or altered “unless the approval of the council [was] obtained therefor
beforehand”.
Over the years there were many cases on the meaning of those words (or similar
words in other Parts of that Act, eg, Part 12A, dealing with the carrying out of
development and the granting of development consents), and it was invariably
held that a so-called retrospective (sometimes referred to and known as an ex
2
See, eg, s 626, Local Government Act 1993 (NSW); s 125 (read in conjunction with s 76A),
Environmental Planning and Assessment Act 1979 (NSW). See also s 317 of the now repealed
Local Government Act 1919 (NSW).
3
See the definition of “development” in, relevantly, s4(1) of the EPA Act.
3. 3
post facto) approval or consent could not be granted4 to erect a building which
was already in existence (that is, where the building had already been
completed).5 Thus, any approval or consent granted in respect of a building that
had already been erected, or in respect of a use which had already commenced,
was strictly prospective in nature and operation and provided no protection nor
relieve against the consequences of past breaches of the legislation.6 As
Sugerman J (as he then was), sitting in the NSW Land and Valuation Court,
stated in the seminal and oft-cited decision of Tennyson Textile Mills Pty Ltd v
Ryde Municipal Council:7
In so far as the appeals relate to building approval under Pt XI of the Local
Government Act 1919-1951 the Court can make no order. The appellant has
chosen to do the whole of the work included in two of the applications, and a
considerable portion of that included in the third, notwithstanding the absence of
approval. The Council’s approval must be obtained “beforehand” (s.311). The
Court’s decision is to be deemed the final decision of the Council (s.341(3)), which
can only be a decision given “beforehand”. The whole scheme of the Act is
directed to the necessity for obtaining approval before work is commenced. The
work here in question was done in contravention of Part XI and, more particularly,
of s.311, and nothing can be done by this Court to affect that situation or its
consequences.8
Lowe v Mosman Municipal Council9 was also a decision of Sugerman J, again
sitting in the NSW Land and Valuation Court. The main issue before the court
was whether a development consent could issue in respect of a building already
4
Whether by the local council or by some appellate body: see, eg, Tennyson Textile Mills Pty Ltd
v Ryde Municipal Council (1952) 18 LGR (NSW) 231; Lowe v Mosman Municipal Council (1953)
19 LGR (NSW) 193; cf Minty v Wagga Wagga Municipal Council (1929) 9 LGR (NSW) 105.
5
See, eg Tennyson Textile Mills Pty Ltd v Ryde Municipal Council (1952) 18 LGR (NSW) 231;
Lowe v Mosman Municipal Council (1953) 19 LGR (NSW) 193; Waverley Municipal Council v
Parker (1960) 77 WN (NSW) 243; 5 LGRA 241; Roeder v Marrickville Municipal Council
[1972-73] LGATR 298; Longa v Blacktown City Council (1985) 54 LGRA 422; cf Steelbond
(Sydney) Pty Ltd v Marrickville Municipal Council (1994) 82 LGERA 192. The last mentioned case
involved the construction of the comparable provision in s 68 of the LG Act 1993.
6
See Lux Motor Auctions Pty Ltd v Bankstown Municipal Council (1955) 20 LGR (NSW) 178;
Holland v Bankstown Municipal Council (1956) 2 LGRA 143.
7
(1952) 18 LGR (NSW) 231. The case concerned the requirement under what was then s 311 of
the LG Act 1919 that a council’s approval for the erection of a building must be given
“beforehand”.
8
(1952) 18 LGR (NSW) 231 at 232.
9
(1953) 19 LGR (NSW) 193.
4. 4
erected in whole or in part, as opposed to a “proposed building”. His Honour
referred to Tennyson (at 194) as authority for the proposition "that the appellant
could not succeed in an appeal to the Court against the refusal of the building
approval under Part XI [of the LG Act 1919] where the building in question had
already been erected, and, as I understand the matter, the application of that to
this case is not questioned". Later in his judgment, his Honour had this to say
about the matter:
The whole of the work has been completed before the matter has come before the
Court for decision. I do not see how I can in this case, any more than in the
Tennyson Textile Mills case in relation to the Part XI [of the LG Act 1919] approval,
approach the matter otherwise than on the same footing as that on which the
Council would be bound to approach it if there were submitted to it an application
for consent under cl 27 [of the County of Cumberland Planning Scheme
Ordinance] in respect of a building which had already been completely erected. So
approaching the matter, it appears to me for the reasons I have given that the
application made is for a consent which is not the kind provided for by the
Ordinance. It is not a consent to a future or proposed building which, in my opinion,
is what the Ordinance contemplates, but is a consent to that which has already
been done. For that reason alone it appears to me that this appeal could not
succeed.10
The case of Longa v Blacktown City Council11 involved an appeal pursuant to s
317B(5) of the LG Act 1919 in respect of a demolition order issued by the
respondent council in respect of a partly erected building that had been erected
without the council's required approval. Cripps J (as he then was) had this to say
on the matter of retrospectivity:
It is clear that Mr Longa is required, in law, to obtain building approval for the
balance of the uncompleted work. As I have said, he cannot obtain approval for
work that has been completed but it is open to him to make an application [for a
“certificate of compliance”] pursuant to s 317A [of the LG Act 1919] and to make a
building application in respect of the uncompleted work. In these circumstances, I
have considered whether these proceedings should be adjourned to await the
outcome of applications Mr Longa may make to the council and/or any appeals he
may undertake or whether the notice should be set aside at the present time. I
10
(1953) 19 LGR (NSW) 193 at 197. It was held in Lowe that consent could not be obtained
under the County of Cumberland Planning Scheme Ordinance for the erection of a building which
had already been erected, and it was also suggested that similar considerations would probably
apply to an application for development consent to the use of land after such use had
commenced, at least as regards prior use that had already been unlawfully commenced: cf Lux
Motor Auctions Pty Ltd v Bankstown Municipal Council (1955) 20 LGR (NSW) 178.
11
(1985) 54 LGRA 422.
5. 5
have come to the conclusion that it is appropriate for me to set aside the notice. I
have concluded on the evidence that the building has been properly built in
accordance with plans and specifications. Its attachment to the house will not put
anybody else at risk in the area. Furthermore, the setting aside of the notice in no
way inhibits the council or this court on appeal considering any applications made
hereafter: Ellmoos v Sutherland Shire Council [(1962) 79 WN (NSW) 709; 8 LGRA
16].12
In view of the words “prior approval” in s 68(1) of the LG Act 1993 (cf
“beforehand” in s 311(1) of the LG Act 1919), it would, on the face of it, seem
fairly clear that a NSW local council cannot grant a so-called retrospective
approval to the carrying out of an activity which has already been commenced or
carried out.13 In that regard, in Steebond (Sydney) Pty Ltd v Marrickville
Municipal Council,14 which concerned the ability, if any, to amend a building
approval following completion of the relevant building work,15 Talbot J said:
Consistently with the reasoning in Tennyson Textiles there is no power to grant an
approval pursuant to chapter 7 [of the LG Act 1993], which would have the effect of
overcoming a breach of s 68 already committed. That reasoning which concluded
that the Court lacked jurisdiction to determine an application for a building permit
for the erection of a building which has already been erected can be applied to an
application made under the new Act. The wording of s 78 confirms that conclusion
12
(1985) 54 LGRA 422 at 426. As regards the effect of what was then known as a “certificate of
compliance” issued pursuant to (then) s 317A of the LG Act 1919, its effect was to declare ex
post facto that the building the subject of the certificate complied with the LG Act 1919 and the
ordinances made under that Act and need not be rectified: see Hayes v Cable (1961) 7 LGRA
341 at 350. As to the legal ability of an applicant to make an application for building approval in
respect of the uncompleted work see also the later decision of Hemmings J in Hooper v Lucas
(1990) 71 LGRA 27.
13
There have been some cases where development consent has been granted by the Court on
appeal despite the fact that the subject development (in some cases, the erection of a building, in
others the use of land) had been completed or carried out prior to the consent being granted: see,
eg, Ellmoos v Sutherland Shire Council (1962) 79 WN (NSW) 709; 8 LGRA 16; Kerslake v Ryde
Municipal Council (1970) 19 LGRA 318; Lux Motor Auctions Pty Ltd v Bankstown Municipal
Council (1955) 20 LGR (NSW) 178; Holland v Bankstown Municipal Council (1956) 2 LGRA 143.
However, most, if not all, of these cases can be explained on the basis that the consent issued
was intended and understood to be only “prospective” in nature: see, especially, Hazell v
Parramatta City Council (1954) 19 LGR (NSW) 301. For example, in Lux Motor Auctions Hardie
AJ appeared to proceed on the basis that the fact the subject land had been used prior to the
date of application for the particular purpose for which consent was sought did not operate to
prevent the making of a valid application for consent in respect of the use per se. See also the
comments of Bignold J in South Sydney City Council v M & D Cooper [1997] NSWLEC 72 (28
May 1997).
14
(1994) 82 LGERA 192.
15
A pergola had been erected in excess of the height which had been approved under the
building approval granted by the local council.
6. 6
by referring to the applicant as a person seeking to carry out the activity. That is to
say that the application is directed only towards the prospect of doing or carrying
out the subject activity.
The effect of ss 68 and 78 bears upon the present question which arises in respect
of an application made pursuant to s 106. Section 106 entitles a person to whom
an approval is granted to apply to the council to amend the approval. Section
106(2) provides that s 78 applies to an application to amend an approval in the
same way as it applies to an application for approval. Accordingly the person to
whom an approval has been granted or who is entitled to act on an approval may
only apply to the council to amend the approval if they are still seeking to carry out
the activity for which the council's amended approval is required. If the work
contemplated by the amendment is already complete it is too late to make an
application under s 78 or s 106.
Such a conclusion does no damage to the scheme established by the Act. Part 4 of
ch 7 establishes a system for the issue of a building certificate in relation to a
building or part of a building, notwithstanding that the council is entitled to make an
order requiring or prohibiting the doing of things on the premises pursuant to s 124.
Application for the issue of a building certificate is a remedy available to the
present applicant.
The application for amendment was not lodged with the council by the applicant
until after all of the work had been completed. By that point in time, the applicant
was no longer a person seeking to carry out the activity of erecting the building or,
at least, that part of the building the subject of the application for amendment.
The present application is misconceived. The council was not entitled to entertain
the application and accordingly there is no jurisdiction for the Court to hear the
appeal.16
THE LEGAL POSITION BECOMES MORE COMPLEX
However, the position may well be otherwise with respect to certain other types
of approvals under the LG Act 1993.17 Relevantly, s 676(2)(a) of the LG Act
1993 provides that where a breach of that Act would not have been committed
“but for the failure to obtain approval” under Pt 1 of Ch 7 of the Act, the court on
application being made by the “defendant” (ordinarily referred to as the
“respondent” in NSW Land and Environment Court proceedings) may adjourn the
proceedings “to enable an application to be made … to obtain that approval”.
16
(1994) 82 LGERA 192 at 195-6. The “system for the issue of a building certificate in relation to
a building or part of a building” is now contained in ss 149A-149G [in Pt 8] of the EPA Act.
17
(1994) 82 LGERA 192.
7. 7
This provision (in respect of which there was no comparable provision in the LG
Act 1919) clearly contemplates and, by necessary implication, confers the ability
to grant an ex post facto approval at least in some circumstances.18 In that
regard, Talbot J in the NSW Land and Environment Court had this to say about
the matter in Steelbond:19
There is no obvious reason why an approval could not be forthcoming pursuant to
ch 7 [of the LG Act 1993] in respect of the prospective carrying out of some of the
activities referred to in the Table [in s 68 of that Act], notwithstanding that a person
has already carried out or is continuing to carry out that activity. The result in each
case will depend on the nature of the activity which is the subject of consideration.
For example there should be no impediment to consideration of an application for
approval to the future operation of a public car park even though the applicant has
been operating the public car park for some time. It is nevertheless difficult to
perceive a situation where prior approval of the council can be obtained to erect a
building which is already in existence. Section 676(2) [of the LG Act 1993] could
have no application to the latter case but in respect of a mere use or the carrying
out of an activity, such as a public car park, it would be open to the Court to
adjourn the proceedings to enable the application to operate the car park to be
made and, if necessary, restrain the continuance of the use while the proceedings
are adjourned.20
Thus, in the light of the decision in Steelbond the legal position under the LG Act
1993 in relation to so-called retrospective approvals would not appear to be any
different from that which applied under the 1919 Act, at least in circumstances
where all of the relevant work has been completed or the whole of the activity
has already been carried out. This is supported by the decision in Rancast Pty
Ltd v Leichhardt Council21 in which Bignold J in the NSW Land and Environment
Court held that to approve a building application for only the 30 per cent of the
work which was unconstructed would be to grant an approval to something
entirely different than that for which approval was sought. Nevertheless, in
Hooper v Lucas22 it was held by Hemmings J in the NSW Land and Environment
Court that s 311(1) of the LG Act 1919 did not prevent the making of an
application for, and the granting by the local council of, an approval for
18
Cf s 124(3)(a) of the EPA Act. See Lirimo Pty Ltd v Sydney City Council (1981) 66 LGRA 47.
19
(1994) 82 LGERA 192.
20
(1994) 82 LGERA 192 at 195.
21
LEC, Bignold J, 17 November 1995, No 20159/95, unreported.
22
(1990) 71 LGRA 27.
8. 8
alterations, additions or extensions to building work that was unauthorised in the
sense that the prior approval of the council had not been obtained in respect of
the original building work.23
Thus, the legal position as regards so-called retrospective approvals may well be
otherwise in relation to other types of approvals in circumstances where there is
still something to be done that is capable of being made the subject of a
prospective - note, prospective, not retrospective - approval or consent.24 The
result in each case will depend on the nature of the activity which is the subject of
consideration. Some activities by their very nature are simply incapable of so-
called retrospective approval once fully carried out or completed.
Be that as it may, the legal position was suggested to be otherwise than as
stated above (that is, no retrospective approvals) very early in the life of the EPA
Act in the context of development consents, at least as regards the erection of
buildings, and possibly also with respect to the use of land. In that regard, Cripps
J (as he then was) in Lirimo Pty Ltd v Sydney City Council25 made certain obiter
remarks that a development consent could be granted under the EPA Act despite
the fact that a building had been erected.26 In so doing, his Honour distinguished
the previous decisions of Sugerman J in Tennyson Textiles and Lowe. However,
in Steelbond Talbot J had this to say about the matter:
23
As Talbot J pointed out in Windy Dropdown Pty Ltd v Warringah Council (2000) 111 LGERA
299 at [34] the decision in Hooper appears to be “authority for the proposition that under the LG
Act 1919 there was power to grant approval for building work that depended for its efficacy on
unauthorised building work”.
24
See Steelbond (Sydney) Pty Ltd v Marrickville Municipal Council (1994) 82 LGERA 192 at 195.
See also Hooper v Lucas (1990) 71 LGRA 27.
25
(1981) 66 LGRA 47. It should be noted that Lirimo concerned some minor demolition work that
had been required to be carried out in preparation for a proposed upgrading of a building (a
boarding-house) and its conversion into strata title units.
26
(1981) 66 LGRA 47 at 52. However, Cripps J appeared to adopt a different view (again,
admittedly obiter dicta) in Longa v Blacktown City Council (1985) 54 LGRA 422, which “supports
the proposition that there is no power in a consent authority or the Court to approve unauthorised
work which has already been carried out”: Windy Dropdown Pty Ltd v Warringah Council (2000)
111 LGERA 299 at 301 per Talbot J.
9. 9
It has long been established that the whole scheme of Part XI of the Local
Government Act 1919 (the former Act) was directed to the necessity for obtaining
approval before work is commenced because of the prohibition on building without
approval obtained "beforehand" (see Tennyson Textile Mills Pty Limited v Ryde
Municipal Council [(1952)] 18 LGR (NSW) 231). The same constraints have not
been applied by the Court in respect of applications for development consent to the
use of land or buildings.
The Court has not been reluctant to grant consent to the prospective use of a
building notwithstanding that development consent may not have been obtained to
the erection of that building or to its prior use.
Support for this proposition can be obtained from the obiter remarks made by the
former Chief Judge of this Court in Lirimo Pty Limited v Sydney City Council
[(1981)] 66 LGRA 47, and the authorities cited by him at p 52. His Honour,
however, also made specific reference to consent for the erection of a building as
well as for the use of land. I can find no other authority for the proposition that
where the erection of a building has already been completed, the Court has been
prepared to grant development consent for the erection of that building.27
THE OLD LINE OF AUTHORITIES IS RE-AFFIRMED
In Connell v Armidale City Council,28 an ex tempore decision of Pearlman J of the
NSW Land and Environment Court, which concerned 2 applications, one brought
under s 106 of the LG Act 1993 for amendment of a building approval and the
other an application under s 102 (now s 96) of the EPA Act for modification of a
development consent, Pearlman J appeared to accept the submission made on
behalf of the respondent council that the provisions of s 106(1) of the LG Act
1993,29 at least when read in conjunction with s 78 of that Act,30 are prospective
in wording, nature and intent. However, her Honour stated that the position was
less clear as regards (then) s 102 of the EPA Act:
When I come … to the development application, the decision is … not so clear.
Section 102 is the section under which Mr Connell makes his application. Its
opening provide that: “Upon application being made in the prescribed form by the
27
(1994) 82 LGERA 192 at 194.
28
LEC, Pearlman J, 25 September 1996, Nos 10272/96 and 20068/96, unreported.
29
Section 106(1) of the LG Act 1993 relevantly states that a person to whom an approval is
granted may apply to the council to amend the approval.
30
Section 78 of the LG Act 1993 states that an application for an approval may be made by the
person seeking to carry out the activity for which the council’s approval is required.
10. 10
applicant or any other person entitled to act upon the consent, a consent authority
which has granted development consent … may modify the consent …”. Certain
conditions are prescribed which are not presently relevant.31
Ultimately, her Honour accepted the submission made on behalf of the
respondent council that the provisions of the EPA Act were prospective despite
the obiter remarks of Cripps J in Lirimo. Reliance was placed, firstly, on the
wording of s 76(2)(a) of that Act32 which then relevantly provided:
“(2) Subject to this Act where an environmental planning instrument provides that
development specified therein may not be carried out except with consent under
this act being obtained therefore, a person shall not carry that development …
unless:
(a) that consent has been obtained …”
Her Honour noted that Talbot J in Steelbond had expressed the opinion,
admittedly obiter, that it was difficult to read (then) s 76 of the EPA Act as having
anything other than a prospective effect. Reliance was also placed on the
wording of s 124(3) of the EPA Act which provides as follows:
(3) Where a breach of this Act would not have been committed but for the failure to
obtain a consent under Part 4, the Court, upon application being made by the
defendant, may:
(a) adjourn the proceedings to enable a development application to be made
under Part 4 to obtain that consent, and
(b) in its discretion, by interlocutory order, restrain the continuance of the
commission of the breach while the proceedings are adjourned.
The reference in s 124(3)(b) to the “the continuance of the commission of the
breach” was accepted by her Honour as further support for the view that the EPA
Act has a “prospective nature”. She noted that s 124(3)(b) did not appear to have
been referred to by Cripps J in Lirimo, whereas Talbot J had this to say about the
matter in Steelbond:
… Although s 124 of the Environmental Planning and Assessment Act 1979 (NSW)
31
LEC, Pearlman J, 25 September 1996, Nos 10272/96 and 20068/96, unreported, p 4.
32
Now see s 76A(1)(a) of the EPA Act.
11. 11
contemplates that a consent might be obtained, notwithstanding an existing breach
of the Act, the section by its terms does not necessarily condone retrospective
approval. The provisions of s 124(3)(b) suggest that subs (3) is directed only to
those instances where the breach is a continuing one rather than one that has
been completed. If it is to be asserted that the former Chief Judge intended to go
beyond that proposition in Lirimo then, with respect, I cannot agree with him. In the
present case, it is not necessary to finally resolve the question in respect of an
application for consent under the Environmental Planning and Assessment Act
1979 (NSW).33
Her Honour proceeded to hold that, not only was there no power to entertain an
application for amendment of an approval granted by a NSW local council under
Pt 1 of Ch 7 of the LG Act 1993, there was also no power to entertain an
application for modification of a development consent under the EPA Act “where
the work the subject of the amendment has already been carried out”.34
In Herbert v Warringah Council35 Sheahan J in the NSW Land and Environment
Court, after reviewing a number of salient judicial authorities such as Lirimo,
Steelbond and Connell, held that (then) s 102 of the EPA Act only makes
provision for the prospective approval of works the subject of the modification
application and could not be used to modify a development consent where the
works the subject of the modification application had already been carried out.
Handley JA, sitting singly in the NSW Court of Appeal, in Tynan v Meharg [No
2],36 appeared to affirm the long line of judicial authorities against retrospectivity
when he said:
Development consent may regularise for the future what had hitherto been an
unlawful use of land or buildings, but the line of authority in the Land and
Environment Court or its predecessor which was analysed by Sheahan J in
Herbert establishes that these powers were not available, prior to Act No 152 of
1997, to regularise the unlawful erection of a structure.37
33
(1994) 82 LGERA 192 at 195.
34
LEC, Pearlman J, 25 September 1996, Nos 10272/96 and 20068/96, unreported.
35
(1997) 98 LGERA 270.
36
(1998) 102 LGERA 119.
37
(1998) 102 LGERA 119 at 121. The reference by Handley JA to Act No 152 of 1997 is a
reference to the powers now contained in ss 149A-149G relating to the issue of building
certificates. With respect, the ability of a NSW local council to grant a building certificate to
12. 12
In Ireland v Cessnock City Council,38 a decision of Bignold J of the NSW Land
and Environment Court involving 2 merit-based appeals being, respectively, an
appeal pursuant to s 97 of the EPA Act in respect of the respondent council's
deemed refusal of a development application for the use of a certain building
which had not lawfully been constructed with the consent or approval of the
council and which did not otherwise comply with any building approval granted by
the council, and an appeal pursuant to s 149F of the EPA Act in respect of the
council's refusal to issue a building certificate in respect of the same building. His
Honour had this to say concerning the vexed issue of “retrospectivity versus
prospectivity”:
… [I]t is to be understood that it is common ground that the highest and best result for the
Applicants in the development appeal is the grant of consent to the prospective use of the
building. That this is the most favourable outcome of a development appeal involving a use
of land or buildings that had already been commenced unlawfully, was recognised as long
ago as 1956 in the judgment of Sugerman J in Holland v Bankstown Municipal Council
(1956) 2LGRA 143 at 146.39
In Jacklion Enterprises Pty Ltd v Sutherland Shire Council40 Pearlman J was
content to assume, but only for the purpose of determination of the question of
law in that case, that Steelbond, Connell and Herbert established the proposition
that there is no power to grant retrospective consent for development already
carried out. It was not necessary for Her Honour to further consider the
proposition in Jacklion because she decided on the facts of the case that the
modification application did not seek to obtain retrospective consent.41
“regularise” unauthorised building work (whether under the LG Act of the day or the EPA Act) had
existed in one form or another since 1 January 1988, and did not need to await the inclusion in
the EPA Act in 1997 of the building certificate provisions previously contained in the LG Act 1993
(on and from 1 July 1993) and before that in the LG Act 1919 (on and from 1 January 1988).
38
(1999) 103 LGERA 285.
39
(1999) 103 LGERA 285 at 305, [77] [original emphasis].
40
[1998] NSWLEC 152 (8 July 1998).
41
However, as Talbot J pointed out in Windy Dropdown Pty Ltd v Warringah Council (2000) 111
LGERA 299 at [22], Jacklion is judicial authority for the proposition that a condition of
development consent controlling the impact of a subdivision is capable of being modified under
what is now s 96 of the EPA Act even if the building work the subject of the condition has been
carried out in a manner contrary to the condition. By reason of that alone Jacklion marked a
turning point in the court’s approach to the question of retrospectivity.
13. 13
A CHANGE IN DIRECTION
Regrettably, the Court’s decisions in Connell, Herbert and Jacklion proved not to
be the final word on the matter. In Windy Dropdown Pty Ltd v Warringah
Council,42 a decision of Talbot J in the NSW Land and Environment Court, his
Honour took the opportunity to review the previous judicial authorities on so-
called retrospective approvals and the like:
There is a long line of authority in this Court, exemplified by the observations made
by Cripps J in Longa [v Blacktown City Council (1985) 54 LGRA 422], which
supports the proposition that there is no power in a consent authority or the Court
to approve unauthorised work which has already been carried out.
In Longa, Cripps J accepted that although it was not open to the council or the
Court to approve a structure already erected on the land, other than perhaps
pursuant to s 317A of the [LG Act 1919], as it then stood, nevertheless it would be
open for the builder to obtain building approval for future work in respect of the
partly completed building that had been erected without council approval. It should
be noted, however, that Longa was an appeal against an order for demolition of a
partly erected building under s 317B of the LG Act 1919 and accordingly, the
comments by Cripps J were strictly obiter dictum.
Furthermore, the observations by Cripps J in Longa appear to be inconsistent with
his earlier obiter remarks in Lirimo Pty Ltd v Sydney City Council (1981) 66 LGRA
47 when he stated that "the inclusion of s 124 of the Environmental Planning and
Assessment Act lead me to the view that an applicant is not precluded from
obtaining a proper and valid application for consent to the use of land or the
erection of a building notwithstanding the use or erection preceded the application
for consent".
There is no reason to depart from the approach taken by me in Steelbond
(Sydney) Pty Ltd v Marrickville Municipal Council (1994) 82 LGERA 192 in respect
of an application made under s 106 of the [LG Act 1993] to amend a building
approval. I decided that consent could not be given to approve work already
carried out. The approach was subsequently embraced by Pearlman J in Connell v
Armidale City Council (unreported, Land and Environment Court, NSW, Pearlman
J, 25 September 1996).
In Connell, Her Honour extended the principle which stands against the capacity to
grant retrospective approval to the application of s 102 of the [EPA Act].
42
(2000) 111 LGERA 299.
14. 14
After considering a number of authorities, including Lirimo, Steelbond and Connell,
in Herbert v Warringah Council (1997) 98 LGERA 270, Sheahan J found that s 102
requires approval of works prospectively and cannot be used to amend a consent
where the works referred to in the application have already been carried out.
Although Her Honour in Connell appears to have considered the relationship
between s 76, s 124 and s 102 of the [EPA Act] (as it then applied) to conclude that
s 102 could only have a prospective effect, it is not clear from the judgment of
Sheahan J in Herbert how he reached the conclusion that "(t)he cases clearly find
s 102 requires approval of works prospectively". The only case cited by His Honour
in Herbert that bears upon the present issue is the ex tempore decision of the Chief
Judge in Connell. In that case Her Honour was hampered by the circumstance that
Mr Connell appeared without legal representation, a fact which she lamented in the
judgment (at p 4).43
In Windy Dropdown Talbot J ultimately held that the provisions of s 102 of the
EPA Act could be used to modify a development consent where the works the
subject of the modification application had already been carried out. His Honour
had this to say about the matter:
Section 124(3) does not contain any reference to modification of a development
consent. The relevant phrases are "failure to obtain a consent" and "to enable a
development application to be made". … The effect of s 124(3) therefore has little
factual bearing on the present application or on the prospective or retrospective
effect of an application for modification.
The language of s 96 (or the former s 102) itself does not mandate against
retrospective development. The only prospective language is the reference to "the
proposed modification" in subs 1A(a). A practical purpose of s 96 is to provide an
opportunity to deal with anomalies in design unforeseen at the date of grant of
development consent or, as the history of the legislation suggests, to legitimise
partial changes that do not have the effect of radical transformation. The original
concept of the modification of the details of a consent appears to have been
reintroduced by s 96(1), although not in the same terms.
Subsection (4) of s 96 is the same as the previous subs (4) of s 102. It expressly
distinguishes modification of a development consent from the granting of
development consent, thereby suggesting that at least in some respects the
consideration and approval of an application for modification is to take place in a
different context to the consideration of an application for development consent.
Furthermore, the subject of an application made pursuant to s 96 is the
development consent, not the development itself.44
With respect, his Honour’s reliance upon s 96(4) of the EPA Act is somewhat
43
(2000) 111 LGERA 299 at 301-2, [8]-[14].
44
(2000) 111 LGERA 299 at 304, [26]-[28].
15. 15
curious. He says:
Section 76A [“Development that needs consent”] as well as s 78A [“Application (for
development consent)”] clearly operate in the context of a prospective proposal
whereas a modification of consent pursuant to s 96 operates retrospectively by dint
of s 96(4). …45
Section 96(4) of the EPA Act simply reads as follows:
(4) The modification of a development consent in accordance with this section is
taken not to be the granting of development consent under this Part, but a
reference in this or any other Act to a development consent includes a reference to
a development consent as so modified.
It is hard to read into or otherwise interpolate any language or intent of
retrospectivity into s 96(4) other than it is self-evidently the case that any
modification of a development consent occurs at a later point in time than the
date on which the consent first issued. Be that as it may, it is clear that Talbot J
was in favour of what he referred to as a “broad construction”46 of s 96 of the
EPA Act.
In Willoughby City Council v Dasco Design and Construction Pty Ltd,47 another
decision of the NSW Land and Environment Court, Bignold J was clearly also in
favour of a broad construction of the modification power contained in s 96 of the
EPA Act:
Having considered for myself the competing authorities in this Court, I would
respectfully agree with Talbot J's conclusion that the power of modification
conferred by the [EPA Act], s 96 construed in its context and having regard to its
obvious purpose in the legislative scheme, is available even in a case where the
relevant works have already been carried out. The proper effect of s 96 is
principally to be found in the language of that section rather than in the text of other
provisions of the [EPA Act], most notably s 76A and s 124(3) and in the legislative
policy that has been discerned therein. Those sections deal with the question of
the need for development consent, but in view of the express terms of s 96(4)
reference to those sections is not a likely source of illumination of the true meaning
of s 96.48
45
(2000) 111 LGERA 299 at 304, [30].
46
(2000) 111 LGERA 422 at [31] and [32].
47
(2000) 111 LGERA 422.
48
(2000) 111 LGERA 422 at 441, [94].
16. 16
His Honour referred to the decision of Handley JA in Tynan v Meharg [No 2],49
stating:
In context, I do not think that Handley JA's reference to Herbert can be taken as a
clear and deliberate endorsement of the actual decision in Herbert holding that the
statutory modification power was not available in a case where the works had
already been carried out. This is because "the line of authority" so referred to,
going back to the predecessor of this Court, could not have included the statutory
modification power because it simply did not exist under the planning laws that
were in force prior to the enactment of the [EPA Act].50
With respect, true it is that some of the cases comprising the “line of authority”
predate the commencement of the EPA Act on 1 September 1980, but the
principle against retrospectivity did not rely wholly upon that earlier line of
cases,51 and his Honour’s reference to and invocation of the NSW Court of
Appeal decision in North Sydney Council v Michael Standley and Associates Pty
Limited52 dealing with the modification power contained in what was then s 102 of
the EPA Act seems misplaced and inappropriate as the main proposition for
which that case stands is that a development consent may be modified even if it
involves a breach of what would otherwise have been, in the context of the
consideration and determination of a development application, mandatory
development standards.53
Be that as it may, the combined weight of Windy Dropdown and Dasco Design
and Construction is such that there can no longer be any doubt about the power
of a consent authority in NSW to modify a development consent is available even
where the relevant works have already been carried out. Sadly, too few of the
cases on the question of retrospectivity have alluded to the facility afforded by a
building certificate insofar as unapproved building work is concerned, for it is a
49
(1998) 102 LGERA 119.
50
(2000) 111 LGERA 422 at 441, [93].
51
See, eg Tennyson Textile Mills Pty Ltd v Ryde Municipal Council (1952) 18 LGR (NSW) 231;
Lowe v Mosman Municipal Council (1953) 19 LGR (NSW) 193; Waverley Municipal Council v
Parker (1960) 77 WN (NSW) 243; 5 LGRA 241; Roeder v Marrickville Municipal Council
[1972-73] LGATR 298.
52
(1997) 97 LGERA 433.
53
Cf State Environmental Planning Policy No 1 - Development Standards.
17. 17
building certificate, and prior to that what was known as a “certificate of
compliance” under what was then s 317A of the LG Act 1919, that was intended
by the legislature to be the mechanism for dealing with the consequences of
unauthorised building work.54
Both Talbot J in Windy Dropdown and Bignold J in Dasco Design and
Construction spoke of the supposed need to give the statutory modification
power now contained in s 96 of the EPA Act a wide construction and application
but, as someone who has worked intimately with NSW local councils for a great
number of years, the unfortunate result of those decisions, along with certain
other statutory “innovations” such as private certification, has been a
demonstrable upsurge in unauthorised building work, with retrospective reliance
being placed upon s 96 by offenders if and when the local council becomes
aware of and takes issue with the unauthorised work. It is one thing to “provide
an opportunity to deal with anomalies in design unforeseen at the date of grant of
development consent”,55 it is another to give encouragement, tacit or otherwise,
and even retrospective approval, to persons who deliberately offend against the
terms of a development consent for their own personal or private benefit and
often to the detriment of adjoining or adjacent landowners and residents.
In Marvan Properties Pty Ltd v Randwick City Council,56 a decision of Talbot J of
the NSW Land and Environment Court, the courts had before it an appeal
against the refusal of the respondent council to issue a construction certificate to
the applicant in respect of certain building works. The council submitted that the
whole of the scheme contained within the EPA Act in relation to the certification
of development was directed to the necessity for obtaining upfront approval for
54
See Arraj D, “Building Certificates, Demolition Orders and Defects in Title Leave Purchasers
Barking Mad” (1988) 36 (10) LSJ 66; Ellis-Jones I, “Can ‘NO’ to a Building Certificate Mean
‘YES’?” (2002) 40 (5) LSJ 59. However, unlike the former “certificate of compliance” issued under
(then) s 317A of the LG Act 1919, a building certificate (being, in effect, a “certificate of non-
action”) does not declare ex post facto that the building the subject of the certificate complies with
any or all of the otherwise relevantly applicable legislation (viz the LG Act 1993 and the EPA Act
1979). Cf Hayes v Cable (1961) 7 LGRA 341 at 350.
55
Windy Dropdown Pty Ltd v Warringah Council (2000) 111 LGERA 299 per Talbot J at [27].
56
[2005] NSWLEC 9 (11/01/05).
18. 18
work certified in a construction certificate, that is, before any building work work
is commenced. That was not the case here, as the applicants had commenced
and effectively completed the building work without the benefit of a construction
certificate. Nevertheless, it was submitted on their behalf that a construction
certificate was not a certificate with respect to the building constructed in
consequence of the plans and specifications, rather a certificate only in respect
of certain plans and specifications.57 On that basis, submitted the applicants,
there was no legal impediment to the issue of a retrospective construction
certificate, that is, one in respect of building works that had already been carried
out.
Talbot J, after referring to and quoting from judgment of Sugerman J in
Tennyson Textile Mills Pty Ltd v Ryde Municipal Council58 as well as his own
decision in Steelbond (Sydney) Pty Ltd v Marrickville Municipal Council,59 then
went on to not that the reference to the erection of a building in the Table to
section 68 of the LG Act 1993 “was omitted when the amendments were made to
the [EPA Act] to introduce the concept of a construction certificate”. 60 His Honour
also noted that, unless the applicants could obtain a construction certificate, it
would never be possible for them to obtain an occupation certificate under the
EPA Act authorising occupation or use of the subject premises. 61 He then went
on to compare and contrast the “building approval” formerly contained in the LG
Act 1919 and later in the LG Act with the “construction certificate” regime in the
EPA Act:
57
Section 81A(2)(a) of the EPA Act relevantly provides that the erection of a building in
accordance with a development consent must not be commenced until a construction certificate
for the building work has been issued.
58
(1952) 18 LGR (NSW) 231.
59
(1994) 82 LGERA 192.
60
[2005] NSWLEC 9 (11/01/05), at [10].
61
Section 109H of the EPA Act prohibits the issue of an interim occupation certificate or a final
occupation certificate to authorise a person to commence occupation or use of a new building
unless the certifying authority is satisfied, in the case of building erected pursuant to a
development consent, that a construction certificate has been issued “with respect to the plans
and specifications for the building”.
19. 19
The schemes under the LG Act 1919 and the LG Act 1993 incorporated an
application for an approval to erect a building and the obtaining of that approval
beforehand or, latterly, prior to carrying out of the activity.
The contrasting scheme under the current legislation involves a system of
certification following an approval by development consent where a development
application is required. There is no specific temporal provision in relation to the
issue of a construction certificate except in so far as section 81A(2) provides that
the erection of a building in accordance with a development consent must not be
commenced until a construction certificate for the building has been issued.
Nevertheless, there is an element of future performance contemplated by the
description of a construction certificate in section 109C as being a certificate to the
effect that work completed in accordance with specified plans and specifications
will comply with the requirements of the regulations. However there is sufficient
tolerance in the use of the words in section 109C for me to accept a construction
that allows for the certificate to operate solely on the basis of what is shown in the
plans and specifications rather than by reference to, or by inspection of work
already commenced at the date the certificate is issued.62
His Honour proceeded to hold that a construction certificate may be lawfully
issued pursuant to s 109F of the EPA Act notwithstanding that the work has been
commenced.63
Not long after the decision of Talbot J in Marvan Properties the NSW Parliament
amended the EPA Act to render nugatory, indeed reverse the effect of, his
Honour’s decision.64 In that regard, s 109F(1A) of the EPA Act now states that a
construction certificate has no effect “if it is issued after the building work or
subdivision work to which it relates is physically commenced on the land to which
the relevant development consent applies”.65 The NSW Department of Planning,
62
[2005] NSWLEC 9 (11/01/05), at [28] and [29]. Talbot J stated that a retrospective modification
of a consent still did not prevent a civil or criminal sanction being sought for breach of s 81A(2) of
the EPA Act (which prohibits the commencement of the erection of a building until a construction
certificate has been issued).
63
[2005] NSWLEC 9 (11/01/05), at [35]. McClellan J, a former Chief Judge of the NSW Land and
Environment Court, had previously expressed a tentative view to the same effect in Austcorp No.
459 Pty Ltd v Baulkham Hills Shire Council [2003] NSWLEC 318 (28 November 2003),
unreported.
64
See s 96 of, and Sch 3 (3.2) [12] to, the Building Professionals Act 2005 (NSW).
65
The amendment to section 109F of the EPA Act came into effect on 3 March 2006. The
amendment (s 109F(1A)) applies to all construction certificates for building or subdivision work,
except to construction certificates issued before 3 March 2006 as well as building or subdivision
work that was physically commenced on the land (to which a relevant development consent
applies) before 3 March 2006.
20. 20
in a planning circular66 issued to all NSW local councils a short time before the
commencement of the amending legislation, gave its reasons for the reversal of
the decision in Marvan Properties:
The Department is of the view that it is preferable that construction certificates be
issued before building work commences.
If a construction certificate could be issued after building or subdivision work has
started, the likelihood of the work not being designed and constructed in
accordance with the relevant consent and required standards would increase. In
many cases it is far more difficult to assess the compliance of building or
subdivision work after work has commenced.67
CONCLUSION
In the opinion of the author, the view of the Department of Planning makes
perfect good sense.68 There need to be effective deterrents to unauthorised
development … of all kinds. The only disappointment is that the legislature did
not take the opportunity to insert a similar provision in s 96 of the EPA Act with
respect to “retrospective” modifications of development consents.
The present state of the law in New South Wales with respect to the
retrospective approvals and consents is, to put it mildly, quite unsatisfactory and
confusing. However well-intentioned some of the more recent judicial decisions
may have been, the fact is that, for the most part, the practical effect of those
decisions has been, as already mentioned, to give encouragement to persons
66
NSW Department of Planning, Planning Circular PS 06-004, 13 February 2006.
67
NSW Department of Planning, Planning Circular PS 06-004, 13 February 2006, p 1.
68
The only possible down side to the effect of s 109F(1A) of the EPA Act is that the Act does not
contain any express mechanism for lawful occupation of a building erected in circumstances
where a construction certificate cannot lawfully issue. However, the building certificate provisions
contained in Pt 8 of the EPA Act can be relied upon to seek a building certificate such that, if and
when such a certificate is issued, the certificate would operate to prevent demolition of building
work that is otherwise unauthorised (including, relevantly, where building work has been carried
out without a required construction certificate). However, a building certificate was never intended
to “cure” breaches of the legislation (in the sense of providing protection against prosecution in
respect of unlawful building work or development), but operates only to prevent the taking by the
local council of certain types of action in respect of the unauthorised work.
21. 21
who deliberately offend against the terms of a development consent for their own
personal or private benefit and often to the detriment of adjoining or adjacent
landowners and residents. Such a state of affairs is demonstrably not in the
public interest.
The whole notion of granting retrospective approvals or consents, or
retrospective modifications to approvals or consents, is contrary to the basis
rational behind the existence and need for an approvals or consent system.
Despite some unfortunate, overly pragmatic watering down of this principle in
recent times, it is indubitably the case that the whole approvals schemes
contained over the years in statutes such as the LG Act 1919, the LG Act 1993,
and the EPA Act 1979, has been, expressly or otherwise by necessary statutory
implication, directed to the necessity for obtaining approval or consent before
work is commenced. The reason for this is not hard to understand. Any approvals
system, in order to be fully effective and have sufficient deterrent value, needs to
be truly prospective in the following manner:
1. An applicant, intending to carry out some activity that, as a matter of law,
requires some statutory approval or consent in respect of its lawful
carrying out, makes an application in the proper form, and that is
otherwise capable of lawful determination,69 to the appropriate approvals
or consent authority, for approval or consent.
2. The applicant’s applicant is duly assessed by the approvals or consent
authority on its respective merits, and otherwise according to law, giving
real, proper and genuine consideration to the application in all material
respects, taking into account all those relevant matters for consideration
that the decision-maker is duty bound, as a matter of law, to take into
account, and so forth.70
69
See the decision of Pearlman J (then Chief Judge of the NSW Land and Environment Court) in
Byron Shire Business for the Future Inc v Byron Shire Council (the Club Med case) (1994) 84
LGERA 434.
70
See, eg, Minister for Aboriginal Affairs v Peko-Wallsend Ltd (1986) 162 CLR 24.
22. 22
3. In due course, an approval or a consent issues, having a prospective
operation.
4. Rights of merit-based appeal exist in most cases, with the subject
application for approval or consent being, once more, duly considered on
its merits, with the matter before the court being determined by reference
to the circumstances - both the facts and the law - as they exist at the time
of the appeal.71
It is the author’s firm view that, if there be a need from time to time to “provide an
opportunity to deal with anomalies in design unforeseen at the date of grant of
development consent”72 or the like - and there may well be - then bold, forward-
looking mechanisms such as the building certificates regime contained in Part 8
of the EPA Act, or the introduction of some similar statutory mechanism, is the
appropriate way to go. In the apt words of the American humourist, satirist and
cartoonist James Thurber:
Do not look back in anger, or forward in fear, but around in awareness.73
-oo0oo-
71
See, eg, Builders Licensing Board (NSW) v Sperway Constructions (Sydney) Pty Ltd (1976) 51
ALJR 260; 14 ALR 174; Ristevski v Mahoney (1984) 52 LGRA 324.
72
Windy Dropdown Pty Ltd v Warringah Council (2000) 111 LGERA 299 per Talbot J at [27].
73
Thurber J, quoted in E Segarra, “Current State and Future Directions of SAEA” Journal of
Agricultural and Applied Economics 30, 1 (July 1998): 1-19, p 1, [Online] viewed 4 August 2008,
<http://ageconsearch.umn.edu/bitstream/15089/1/30010001.pdf>.