Wylie v McCann Worldgroup Pty Ltd
[2009] FMCA 959
Federal Magistrates Court (former)
2009-10-01
cited 1×
Barnes Fm
Cited 1×
Applicant: Wylie
Respondent: McCann Worldgroup Pty Ltd; Brown; Baker and McKenzie
Ratio
The court declined to summarily dismiss the claims but struck out parts of the pleadings (paras 75–76 and part of para 86) for lack of specificity regarding the factual basis for secondary liability. The applicant was given leave to file amended points of claim or a detailed schedule identifying the material facts, the statutory breaches, and the basis of liability for each discrimination allegation, recognizing that pleadings in the Federal Magistrates Court should be approached flexibly but must still provide respondents with clear notice of the case they must meet.
Outcome
Resolved
other
Authority signal
Cited 1×
Signal-weighted score: 0.0
Derived from how later decisions have treated this case. Dark green = leading authority,
green = positively treated, grey = neutral or sparse data,
amber = caution, red = treated negatively.
Key facts · 5
- Ms Wylie was a former employee of McCann Worldgroup Pty Ltd (McCanns)
- She alleged discrimination on the grounds of sex, pregnancy, and family responsibilities during her employment
- Following termination, she alleged victimization by Mr Brown (a partner at Baker and McKenzie, solicitors retained by McCanns) in a telephone conversation on or about 17 November 2006
- Ms Wylie alleged she was not reviewed for performance or remuneration following maternity leave, was excluded from management meetings and client-facing roles, and was ultimately terminated on purported redundancy grounds shortly after returning from second period of maternity leave
- She sought damages, declarations, and other relief under s 46PO of the HREOC Act (now AHRC Act) for breaches of ss 5, 7, 7A, 14 and 94 of the Sex Discrimination Act 1984 (Cth)
Factors
For
- Material facts concerning the retainer between McCanns and Baker and McKenzie were potentially relevant to establishing agency and secondary liability of the principal
- The applicant's earlier paragraphs in the points of claim, read in conjunction with later assertions, could provide factual foundation for discrimination claims
- Evidence at trial could give colour and content to allegations of indirect discrimination and victimization
- Victimization as unlawful discrimination under the AHRC Act is distinct from the criminal offence under s 94, and common law agency and vicarious liability principles could apply
Against
- Paragraphs 75–76 asserted discrimination by McCanns based on the 'Paul Brown conduct' without identifying what conduct was alleged, how it constituted less favourable treatment, or on what legal basis McCanns could be liable
- The points of claim failed to plead with sufficient specificity the facts, matters and circumstances giving rise to each alleged condition, requirement or practice said to constitute indirect discrimination
- No base groups, sub-pools, or statistical evidence were identified to support claims of indirect discrimination
- The pleaded assertion 'by retainer and agency' did not identify the material facts showing how McCanns could be liable for the conduct of Mr Brown or Baker and McKenzie
- The applicant failed to plead which facts supported allegations of discrimination on the ground of sex versus pregnancy versus family responsibilities
- Paragraph 86 did not adequately plead material facts showing how and when the applicant asserted or proposed to assert rights, or how this was known to the respondents at the time of the alleged detriment
- The pleadings were at too high a level of generality to enable respondents to know the case they had to meet
Legislation referenced
- Sex Discrimination Act 1984 (Cth) ss 4A, 5, 7, 7A, 7B, 7C, 7D, 14, 52, 94, 105, 106
- Human Rights and Equal Opportunity Commission Act 1986 (Cth) s 46PO (now Australian Human Rights Commission Act 1986 (Cth))
- Federal Magistrates Act 1999 (Cth) ss 42, 50
- Federal Magistrates Court Rules rr 1.05, 13.10
- Federal Court Rules O 11 r 2, O 11 r 16
Concept tags · 11
[P]Victimisation
[P]Discrimination — protected attributes
[P]Interlocutory summary dismissal application
[S]Procedural fairness at dismissal stage
[S]General protections (FW Act Pt 3-1)
[S]Award interpretation — principles
[S]Parental leave (NES)
[S]Employee v independent contractor
[S]Joinder / amendment of parties
[M]Dismissal for misconduct
[M]Family-friendly working arrangements
Principles · 17
articulates para 21
The distinction between pleadings (which must be struck out under O 11 r 16 of the Federal Court Rules) and applications (which are determined under r 13.10 of the FMC Rules) is material. Rule 13.10 is not a vehicle for dealing with deficient pleadings or points of claim.
articulates para 24
Pleadings and points of claim in the Federal Magistrates Court must serve the same purpose as formal pleadings: to identify the real issues and state with sufficient clarity the case that must be met by respondents, thereby affording them procedural fairness, subject to s 42 of the Federal Magistrates Act 1999 (Cth) which requires proceedings to proceed without undue formality.
articulates para 26
Under O 11 r 16, a reasonable cause of action is one which has some chance of success if regard is had only to the allegations and pleadings; the power must be exercised sparingly and only where there is a manifestly untenable case, and pleadings must be assumed to be true with all inferences drawn in favour of the non-moving party.
articulates para 32
The need for flexibility in application of pleading rules in the Federal Magistrates Court does not extend to indulgences likely to result in appellable error; respondents have a fundamental right to be put on notice of the case against them and have an opportunity to respond.
articulates para 100
An indirect discrimination claim under the Sex Discrimination Act requires specific pleading of the condition, requirement or practice alleged, its disadvantageous effect on the protected group, the base group and any sub-pools, and evidence or facts supporting the claim that a substantially higher proportion of persons in the protected group would be disadvantaged.
articulates para 102
The same set of facts may be pleaded as both direct and indirect discrimination in the alternative, and discrimination on the grounds of sex may be pleaded alternatively with discrimination on the grounds of pregnancy, provided the alternative claims are not vexatious.
The court must assume the truth of allegations in the pleadings and draw all inferences in favour of the non-moving party when deciding whether a pleading discloses a reasonable cause of action.
The fundamental test for striking out a pleading is whether the allegations, even if proved, cannot succeed as a matter of law.
cites para 26
The strike-out rule under O 11 r 16 is concerned only with the adequacy of the pleading as a matter of law and does not permit consideration of facts or evidence outside the pleadings.
cites para 27
The discretionary power to strike out portions of pleadings should be applied sparingly and only in a clear case.
cites para 27
It must be plain and obvious that impugned portions of the pleadings are unarguable before they will be struck out.
cites para 29
In the Federal Magistrates Court, regard must be had to s 42 of the Federal Magistrates Act 1999 (Cth) which requires proceedings to proceed without undue formality; caution is required in summarily dismissing an application.
cites para 34
Embarrassment in the context of pleadings includes a pleading that carries the connotation of susceptibility to various meanings, contains inconsistent allegations, or in which alternatives are confusingly intermixed or irrelevant allegations are made.
cites para 101
A respondent does not have an absolute right in every case to insist upon the applicant pleading every material fact necessary to show the existence of a complete cause of action, provided that the pleading does not reach too high a level of generality.
cites para 121
The court would rarely be satisfied that there is no reasonable prospect of successfully prosecuting a claim except in the most transparent of cases, having regard to the fact that leave to replead might reveal material facts within a properly identified legal framework.
cites para 121
In a case where evidence could give colour and content to allegations and questions of fact and degree are important, the court should be more reluctant to dismiss a proceeding on the face of a pleading.
cites para 122
Common law principles of vicarious liability and agency can apply to make persons liable for victimization by employees or agents, and victimization as unlawful discrimination under the AHRC Act is distinct from the criminal offence under s 94 of the Sex Discrimination Act.
Cases cited in this decision · 51
Cited
[1949] HCA 1
— Ellen Malvina Dey (widow of Gordon Dey) v Victorian Railways Commissioners
"…CLR 658 ; [1982] HCA 70; Dart v Norwich Union Life Australia Ltd [2002] FCA 168; Davidson v McCann Worldgroup Pty Ltd [2009] FMCA 957; Davis v Commonwealth (1986) 61 ALJR 32 ; [1986] HCA 66; Dey v Victorian Railways...…"
Cited
[1964] HCA 69
— General Steel Industries Incorporated v Commissioner for Railways (NSW),...
"…on v McCann Worldgroup Pty Ltd [2009] FMCA 957; Davis v Commonwealth (1986) 61 ALJR 32 ; [1986] HCA 66; Dey v Victorian Railways Commissioners (1949) 78 CLR 62 ; [1949] HCA 1; General Steel Industries Inc v Cmr of...…"
Cited
(1991) 217 ALR 171
(not in corpus)
"…(recs and mgrs apptd) (ACN 086 294 028) (2008) 252 ALR 41 ; [2008] FCA 1920; Interpharma Pty Ltd v Cmr of Patents (2008) 78 IPR 51; Ives v Kilvington Girls Grammar Ltd [2008] FMCA 1414; Kernel Holdings Pty Ltd v...…"
Cited
[2009] FMCA 957
— Davidson v McCann Worldgroup Pty Ltd
"…Federal Court Rules pursuant to r 1.05(2) of the FMC Rules under which the court may apply the Federal Court Rules in whole or in part and modified or dispensed with as necessary. [21] For the reasons outlined in...…"
Cited
(1998) 157 ALR 135
(not in corpus)
"…which a party relies as constituting a cause or causes of action and must have sufficient particularity that the respondents know in advance the case that they have to meet (see Council for the City of the Gold Coast...…"
Cited
(1991) 30 FCR 578
(not in corpus)
"…nd J). Points of claim may not be pleadings in a technical sense, but while they are more informal than pleadings, they are intended to serve the same purpose, that is, to identify the real issues as Beaumont J...…"
Cited
[1991] FCA 363
(not in corpus)
"…im may not be pleadings in a technical sense, but while they are more informal than pleadings, they are intended to serve the same purpose, that is, to identify the real issues as Beaumont J suggested in Saffron v...…"
Cited
(2008) 252 ALR 41
(not in corpus)
"…on which pleadings will be struck out and the consideration of an application for summary dismissal was addressed by Finkelstein J in Imobilari Pty Ltd (ACN 091 464 729) v Opes Prime Stockbroking Ltd (in liq) (recs...…"
Cited
[2008] FCA 1920
(not in corpus)
"…will be struck out and the consideration of an application for summary dismissal was addressed by Finkelstein J in Imobilari Pty Ltd (ACN 091 464 729) v Opes Prime Stockbroking Ltd (in liq) (recs and mgrs apptd) (ACN...…"
Cited
(1949) 78 CLR 62
(not in corpus)
"…adequacy of the pleading (or to be more precise, the allegations and the causes of action asserted therein) as a matter of law. The rule does not permit or allow consideration of facts or evidence outside the...…"
Cited
[1949] ALR 333
(not in corpus)
"…e more precise, the allegations and the causes of action asserted therein) as a matter of law. The rule does not permit or allow consideration of facts or evidence outside the pleadings: Dey v Victorian Railways Cmrs...…"
Cited
(1964) 112 CLR 125
(not in corpus)
"…f law. The rule does not permit or allow consideration of facts or evidence outside the pleadings: Dey v Victorian Railways Cmrs (1949) 78 CLR 62 at 91 and 109 ; [1949] ALR 333 at 347–8; see also General Steel...…"
Cited
[1965] ALR 636
(not in corpus)
"…mit or allow consideration of facts or evidence outside the pleadings: Dey v Victorian Railways Cmrs (1949) 78 CLR 62 at 91 and 109 ; [1949] ALR 333 at 347–8; see also General Steel Industries Inc v Cmr for Railways...…"
Applied
(1979) 28 ALR 191
(not in corpus)
"…atter of law: General Steel at CLR 129; ALR 638. [27] It has also been said that the discretionary power to strike out portions of pleadings should be applied sparingly and only in a clear case (see Brambles Holdings...…"
Applied
[1979] FCA 80
(not in corpus)
"…l Steel at CLR 129; ALR 638. [27] It has also been said that the discretionary power to strike out portions of pleadings should be applied sparingly and only in a clear case (see Brambles Holdings Ltd v Trade...…"
Applied
[1994] FCA 1284
(not in corpus)
"…t portions of pleadings should be applied sparingly and only in a clear case (see Brambles Holdings Ltd v Trade Practices Commission (1979) 28 ALR 191 ; [1979] FCA 80 and Liberty USA Pty Ltd v Telstra Corporation Ltd...…"
Cited
(1995) 55 FCR 194
(not in corpus)
"…v Telstra Corporation Ltd and Telecom Technologies Pty Ltd [1994] FCA 1284. It must be plain and obvious that impugned portions of the pleadings are unarguable before they will be struck out (Murex Diagnostics...…"
Cited
[1995] FCA 1040
(not in corpus)
"…on Ltd and Telecom Technologies Pty Ltd [1994] FCA 1284. It must be plain and obvious that impugned portions of the pleadings are unarguable before they will be struck out (Murex Diagnostics Australia Pty Ltd v...…"
Cited
[2009] HCA 39
(not in corpus)
"…llegations of material fact which must be pleaded, particulars which must be pleaded and those which need not be but may be requested and evidence of the material facts pleaded and particularised (see Minister for...…"
Cited
[1999] FCA 499
(not in corpus)
"…ticularised (see Minister for Immigration and Citizenship v SZIAI [2009] HCA 39 at [54] per Heydon J) should not lead to an inflexible approach to this issue. As Drummond J observed in Queensland v Pioneer Concrete...…"
Cited
(2004) 136 FCR 344
(not in corpus)
"…to grant leave to file amended points of claim where points of claim are defective. [29] The need for such flexibility has been said to be of particular relevance where proceedings are commenced in this court. In...…"
Cited
[2004] FCA 559
(not in corpus)
"…e amended points of claim where points of claim are defective. [29] The need for such flexibility has been said to be of particular relevance where proceedings are commenced in this court. In Rana v University of...…"
Cited
[2008] FMCA 1414
(not in corpus)
"…y dismissing an application was even more obvious in the Federal Magistrates Court (see Rana at [75]). [30] While parties may, since 2007, choose to use pleadings or points of claim, as Burchardt FM pointed out in...…"
Cited
[1996] FCA 1758
(not in corpus)
"…ed to have regard to the primary function of pleadings to state with sufficient clarity the case that must be met by respondents and in that way to afford them procedural fairness (see Multigroup Distribution...…"
Applied
(1982) 148 CLR 658
(not in corpus)
"…o state with sufficient clarity the case that must be met by respondents and in that way to afford them procedural fairness (see Multigroup Distribution Services Pty Ltd v TNT Australia Pty Ltd [1996] FCA 1758 at [2]...…"
Applied
[1982] HCA 70
(not in corpus)
"…ity the case that must be met by respondents and in that way to afford them procedural fairness (see Multigroup Distribution Services Pty Ltd v TNT Australia Pty Ltd [1996] FCA 1758 at [2] per Burchett J and Dare v...…"
Applied
(2008) 173 IR 378
(not in corpus)
"…n appellable error. [32] While pleadings or points of claim may now be adopted in proceedings in this court, there are still no specific provisions in the FMC Rules akin to O 11 of the Federal Court Rules. In...…"
Applied
[2008] FCA 702
(not in corpus)
"…[32] While pleadings or points of claim may now be adopted in proceedings in this court, there are still no specific provisions in the FMC Rules akin to O 11 of the Federal Court Rules. In Sterling Commerce (Aust)...…"
Considered
[1995] ATPR 40
(not in corpus)
"…sceptible to various meanings, or contains inconsistent allegations or in which alternatives are confusingly intermixed or in which irrelevant allegations are made tending to increase expense” (Bartlett v Swan...…"
Considered
(1986) 61 ALJR 32
(not in corpus)
"…artlett v Swan Television & Radio Broadcasters Pty Ltd [1995] ATPR 40,883 (41–434) per Carr J). It must be considered in light of the fact that the court will be circumspect in exercising its discretion to strike out...…"
Considered
[1986] HCA 66
(not in corpus)
"…ision & Radio Broadcasters Pty Ltd [1995] ATPR 40,883 (41–434) per Carr J). It must be considered in light of the fact that the court will be circumspect in exercising its discretion to strike out a pleading (Davis v...…"
Considered
(1995) 132 ALR 514
(not in corpus)
"…66). [35] Further, under O 11 r 16 a reasonable cause of action is one which has some chance of success if regard is had only to the allegations and the pleadings relied on (see National Mutual Property Services...…"
Considered
[1995] FCA 1628
(not in corpus)
"…1 r 16 a reasonable cause of action is one which has some chance of success if regard is had only to the allegations and the pleadings relied on (see National Mutual Property Services (Aust) Pty Ltd v Citibank...…"
Considered
[2002] FCA 168
(not in corpus)
"…uccess if regard is had only to the allegations and the pleadings relied on (see National Mutual Property Services (Aust) Pty Ltd v Citibank Savings Ltd (1995) 132 ALR 514 at 529 ; [1995] FCA 1628 and also see Dart v...…"
Considered
[1992] FCA 396
(not in corpus)
"…Life Australia Ltd [2002] FCA 168 at [31]). The power to strike out under this provision is to be exercised sparingly and only where there is a manifestly untenable case, as considered by French J (as he then was) in...…"
Cited
(1979) 53 ALJR 403
(not in corpus)
"…d matters including to initiate or defend actions and potential actions in a number of fora. [45] I am not persuaded that the existence of a retainer of the nature alleged is wholly irrelevant in the sense referred...…"
Cited
[1979] HCA 68
(not in corpus)
"…o initiate or defend actions and potential actions in a number of fora. [45] I am not persuaded that the existence of a retainer of the nature alleged is wholly irrelevant in the sense referred to by Gibb J in Coe v...…"
Cited
(1994) 121 ALR 405
(not in corpus)
"…ent to give rise to a cause of action, but whether it would be open to the applicant on the points of claim taken as a whole to prove facts at the trial that would constitute a cause of action (Pancontinental Mining...…"
Cited
[1994] FCA 983
(not in corpus)
"…cause of action, but whether it would be open to the applicant on the points of claim taken as a whole to prove facts at the trial that would constitute a cause of action (Pancontinental Mining Ltd v Posgold...…"
Doubted
(1991) 105 ALR 456
(not in corpus)
"…n addition, whether matters were relied on in support of allegations of discrimination on the ground of sex or on the ground of pregnancy is not apparent. [55] The points of claim adopt something of a narrative form...…"
Cited
(1987) 13 FCR 413
(not in corpus)
"…to the established qualification to rules in this form that allows, in appropriate cases, pleading at a level of generality which excuses the failure to plead every fact material to the cause of action sued upon:...…"
Cited
(1993) 46 FCR 301
(not in corpus)
"…nd asserts that each kind of discrimination occurred in each of the four ways specified in s 14(2) may have implications for future conduct of the case and the relief available (see Human Rights and Equal Opportunity...…"
Cited
(2007) 160 FCR 298
(not in corpus)
"…a 86 was Mr Brown’s conduct described in para 55. The applicant should have the leave sought to address the issues in relation to subparas (a) and (b) of 86. [121] Insofar as the respondents seek summary dismissal,...…"
Cited
[2007] FCA 511
(not in corpus)
"…onduct described in para 55. The applicant should have the leave sought to address the issues in relation to subparas (a) and (b) of 86. [121] Insofar as the respondents seek summary dismissal, in White Industries...…"
Cited
(2008) 250 ALR 82
(not in corpus)
"…(2007) 160 FCR 298 ; [2007] FCA 511 at [58]–[59], Lindgren J suggested that a test in terms such as in r 13.10 was a test of whether the prospect was real and not fanciful or merely arguable (also see Rogers v Asset...…"
Cited
[2008] FCA 1304
(not in corpus)
"…[2007] FCA 511 at [58]–[59], Lindgren J suggested that a test in terms such as in r 13.10 was a test of whether the prospect was real and not fanciful or merely arguable (also see Rogers v Asset Loan Co Pty Ltd (ACN...…"
Cited
(2008) 78 IPR 51
(not in corpus)
"…terms such as in r 13.10 was a test of whether the prospect was real and not fanciful or merely arguable (also see Rogers v Asset Loan Co Pty Ltd (ACN 107 746 798) (2008) 250 ALR 82 ; [2008] FCA 1304 and Interpharma...…"
Cited
[2007] FCA 195
(not in corpus)
"…set Loan Co Pty Ltd (ACN 107 746 798) (2008) 250 ALR 82 ; [2008] FCA 1304 and Interpharma Pty Ltd v Commissioner of Patents (2008) 78 IPR 51). Page 17 of 18 Wylie v McCann Worldgroup Pty Ltd, [2009] FMCA 959 However...…"
Cited
[2008] FCA 955
(not in corpus)
"…was deficient in whole or in part, having regard to the fact that leave to replead might reveal material or facts, within a properly identified legal framework, that on proof, gave rise to a recognised remedy. In...…"
Considered
[2007] FMCA 59
(not in corpus)
"…2007] FMCA 59 at [211]). [123] I am not satisfied that at this stage the claims for relief based on victimisation as unlawful discrimination (as appears to be intended to be relied on) should be struck out. I note in...…"
Considered
[2003] FMCA 79
(not in corpus)
"…out. I note in that respect that in Lee v Smith [2007] FMCA 59 Connolly FM considered that common law principles of vicarious liability and agency could apply to make persons liable for victimisation by employees or...…"
Archived text (15191 words)
Wylie v McCann Worldgroup Pty Ltd
CaseBase | [2009] FMCA
959 | BC200910713
WYLIE v MCCANN WORLDGROUP PTY LTD BC200910713
Unreported Judgments Federal Circuit Court of Australia (formerly Federal Magistrates Court of Australia) · 129
Paragraphs
Federal Magistrates Court
Barnes FM
SYG 70 of 2009
24 March, 22 June, 1 October 2009
Wylie v McCann Worldgroup Pty Ltd and Ors [2009] FMCA 959
Headnotes
HUMAN RIGHTS — Sex Discrimination Act 1984 — Interim application.
PRACTICE & PROCEDURE — Whether court has power to “dismiss” parts of points of claim under r 13.10
of the Federal Magistrates court Rules — Application of O 11 r 16 of the Federal Court Rules to points of
claim — Whether amendment of points of claim is appropriate where pleadings at a high level of generality.
(CTH) Federal Magistrates Act 1999 ss 42, 50
(CTH) Human Rights and Equal Opportunity Commission (now the Australian Human Rights Commission) Act
1986 ss 3, 46PO
(CTH) Sex Discrimination Act 1984 ss 4A, 5, 7, 7A, 7B, 7C 7D, 14, 52, 94, 105, 106
(CTH) Federal Magistrates Court Rules rr 1.05, 13.10
(CTH) Federal Court Rules O 11 r 2, O 11 r 16
Bartlett v Swan Television & Radio Broadcasters Pty Ltd [1995] ATPR 40,883 (41-434); Beach Petroleum NL v
Johnson (1991) 105 ALR 456; Brambles Holdings Ltd v Trade Practices Commission (1979) 28 ALR 191 ;
[1979] FCA 80; Charlie Carter Pty Ltd v Shop, Distributive and Allied Employees' Assn (WA) (1987) 13 FCR
413; Coe v Commonwealth (1979) 53 ALJR 403 ; [1979] HCA 68; Council for the City of the Gold Coast v
Pioneer Concrete (Qld) Pty Ltd and Others (1998) 157 ALR 135; Dandaven v Harbeth Holdings Pty Ltd [2008]
FCA 955; Dare v Pulham (1982) 148 CLR 658 ; [1982] HCA 70; Dart v Norwich Union Life Australia Ltd [2002]
FCA 168; Davidson v McCann Worldgroup Pty Ltd [2009] FMCA 957; Davis v Commonwealth (1986) 61 ALJR
32 ; [1986] HCA 66; Dey v Victorian Railways Commissioners (1949) 78 CLR 62 ; [1949] HCA 1; General Steel
Industries Inc v Cmr of Railways (NSW) (1964) 112 CLR 125 ; [1964] HCA 69; Imobilari Pty Ltd (ACN 091 464
729) v Opes Prime Stockbroking Ltd (in liq) (recs and mgrs apptd) (ACN 086 294 028) (2008) 252 ALR 41 ;
[2008] FCA 1920; Interpharma Pty Ltd v Cmr of Patents (2008) 78 IPR 51; Ives v Kilvington Girls Grammar Ltd
[2008] FMCA 1414; Kernel Holdings Pty Ltd v Rothmans Of Pall Mall (Aust) Pty Ltd (1991) 217 ALR 171; Lee v
Smith [2007] FMCA 59; Liberty USA Pty Ltd v Telstra Corporation Ltd and Telecom Technologies Pty Ltd
[1994] FCA 1284; Minister for Immigration and Citizenship v SZIAI [2009] HCA 39; Multigroup Distribution
Services Pty Ltd v TNT Australia Pty Ltd [1996] FCA 1758; Murex Diagnostics Australia Pty Ltd v Chiron
Corporation (1995) 55 FCR 194 ; [1995] FCA 1040; National Mutual Property Services (Aust) Pty Ltd v Citibank
Savings Ltd (1995) 132 ALR 514 ; [1995] FCA 1628; Pancontinental Mining Ltd v Posgold Investments Pty Ltd
(1994) 121 ALR 405 ; [1994] FCA 983; Queensland v Pioneer Concrete (Qld) Pty Ltd (1999) ATPR 42,821 ;
[1999] FCA 499; Rana v University of South Australia (2004) 136 FCR 344 ; [2004] FCA 559; Re Mark Turner
v Kinian Pty Ltd [1992] FCA 396; Rogers v Asset Loan Co Pty Ltd [2007] FCA 195; Rogers v Asset Loan Co
Page 2 of 18
Wylie v McCann Worldgroup Pty Ltd, [2009] FMCA 959
Pty Ltd (ACN 107 746 798) (2008) 250 ALR 82 ; [2008] FCA 1304; Saffron v Cmr of Taxation (1991) 30 FCR
578 ; [1991] FCA 363; Sterling Commerce (Aust) Pty Ltd v Iliff (2008) 173 IR 378 ; [2008] FCA 702; Taylor v
Morrison [2003] FMCA 79; White Industries Aust Ltd v FCT (2007) 160 FCR 298 ; [2007] FCA 511
Barnes FM.
[1] These are proceedings to strike out or dismiss points of claim or claims for relief. On 12 January 2009 Ms Wylie
commenced proceedings against three respondents, McCann Worldgroup Pty Ltd (McCanns), Mr Brown and Baker
and McKenzie under s 46PO of the Human Rights and Equal Opportunity Commission Act 1986 (Cth) (HREOC Act)
(now the Australian Human Rights Commission Act 1986 (Cth) or AHRC Act), alleging that McCanns engaged in
conduct contrary to s 14 of the Sex Discrimination Act 1984 (Cth) (SDA) and breached the applicant’s contract of
employment and also that the first, second and third respondents engaged in conduct contrary to s 94(1) of the
SDA.
[2] The grounds of the application are as follows:
1. The Applicant is a former employee of the First Respondent.
2. During the Applicant’s employment with the First Respondent, the First Respondent engaged in a course of
conduct in breach of subsections 14(2)(a), 14(2)(b), 14(2)(c), 14(2)(d) and/or 14(3A) of the SDA.
3. The First Respondent has also breached the Applicant’s contract of employment.
4. The Second Respondent is, and at all material times, has been a Partner of the Third Respondent.
5. The Second and Third Respondents are and, at all material times, were solicitors retained by the First
Respondent to provide advice in relation to employment-related matters, including to initiate or defend actions and
potential actions in a number of fora.
6. Following the termination of the Applicant’s employment by the First respondent, the Second Respondent
engaged in a course of conduct in breach of subsection 94(1) of the SDA. The Second Respondent engaged in
this conduct as an agent of the Third Respondent and as an agent and within the scope of the retainer between
the Second and Third Respondent and the First Respondent.
[3] The applicant seeks damages, declaratory relief and other orders in relation to the first respondent, and
declaratory relief and an apology from the second and third respondents. The applicant filed points of claim on 12
January 2009.
[4] The first respondent and the second and third respondents filed responses and points of defence. By an
application in a case filed on 26 March 2009 the first respondent seeks orders that certain parts of the points of
claim be dismissed as against the first respondent pursuant to r 13.10 of the Federal Magistrates Court Rules or
struck out pursuant to O 11 r 16 of the Federal Court Rules.
[5] By application in a case filed on the same day the second and third respondents seek orders that certain parts
of the points of claim be dismissed as against them pursuant to r 13.10 or struck out pursuant to O 11 r 16. Further,
and in the alternative, the second and third respondents seek orders that the applicant’s claims for relief made in
both her application and points of claim as against the second and third respondents be permanently stayed or
dismissed pursuant to r 13.10 of the FMC Rules.
[6] The applications in a case were heard at the same time as similar applications in relation to separate
proceedings brought by another former employee of McCanns (for whom the same solicitors act) alleging unlawful
discrimination under s 46PO of the AHRC Act against the same respondents (see Davidson v McCann Worldgroup
Pty Ltd [2009] FMCA 957). The applicants have sought that the proceedings be consolidated or heard at the same
time. That issue is yet to be determined.
[7] Apart from the breach of contract claim (in relation to which no issues were raised in the applications in a case
before the court) Ms Wylie’s claim against McCanns is that it discriminated against her in her employment on the
grounds of her sex and/or pregnancy or family responsibilities. She alleges both direct and indirect sex
discrimination and discrimination on the ground of pregnancy and that each kind of discrimination is unlawful
discrimination by McCanns pursuant to s 14(2) of the SDA. In addition Ms Wylie alleges that the termination of her
employment constituted unlawful discrimination by McCanns on the grounds of her family responsibilities pursuant
to s 14(3A) of the SDA.
[8] Section 14(2) of the SDA is as follows:
Page 3 of 18
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It is unlawful for an employer to discriminate against an employee on the ground of the employee’s sex, marital status,
pregnancy or potential pregnancy:
(a) in the terms or conditions of employment that the employer affords the employee;
(b) by denying the employee access, or limiting the employee’s access, to opportunities for promotion, transfer or
training, or to any other benefits associated with employment;
(c) by dismissing the employee; or
(d) by subjecting the employee to any other detriment.
[9] Section 14(3A) provides:
It is unlawful for an employer to discriminate against an employee on the ground of the employee’s family responsibilities by
dismissing the employee.
[10] Section 5 of the Act makes provision in relation to direct discrimination (ie treating less favourably) and indirect
discrimination (ie by imposing a condition, requirement or practice) on the ground of sex. Section 7 contains
comparable provisions in relation to pregnancy, while s 7A deals with direct discrimination on the ground of family
responsibilities (defined in s 4A of the Act). Sections 5 and 7 have effect subject to ss 7B and 7D under which the
person who did an act may prove that it does not constitute discrimination in certain circumstances (ie
reasonableness in relation to indirect discrimination or taking special measures intended to achieve equality).
[11] Ms Wylie also claims that following termination of her employment by McCanns, Mr Brown, a partner in Baker
and McKenzie, the solicitors for McCanns, engaged in a course of conduct (the Paul Brown Conduct) said to
constitute an act of victimisation against her in breach of s 94(1) of the SDA. The conduct complained of is said to
consist of statements and advice in a telephone conversation between Mr Brown and Ms Wylie on or about 17
November 2006.
[12] The Paul Brown conduct is said to be conduct by Mr Brown and “through him” Baker and McKenzie and “by
retainer and agency” McCanns, which was intended to and subjected the applicant to a determinant on the ground
that she had asserted or proposed to assert her rights under the then HREOC Act and SDA and/or that she had
made an allegation that McCanns had done an unlawful act under Part II of the SDA. This is described as the
victimisation claim.
[13] However, in addition, the points of claim base a discrimination claim against McCanns and, possibly, Mr
Brown and Baker and McKenzie on this conduct. It is alleged that by the Paul Brown conduct McCanns, “caused,
instructed, aided and/or permitted by” Mr Brown and Baker and McKenzie, treated Ms Wylie less favourably than
they would have treated a person of the opposite sex and discriminated against her on the ground of her sex by
subjecting her to a detriment (see ss 5(1) and 14(2)). Under s 105 of the SDA “[a] person who causes, instructs,
induces, aids or permits another person to do an act that is unlawful under Div 1 or 2 of Pt II shall, for the purposes
of this Act, be taken also to have done the act.”
[14] The first respondent took issue both with the manner in which direct and indirect discrimination were pleaded
and also with the pleading of the basis on which McCanns was said to be liable for or to have engaged in the Paul
Brown conduct. The second and third respondents took issue with the parts of the pleading that relate to liability on
their part for discrimination and with aspects of the pleading of the victimisation claim.
[15] There is some overlap in the matters raised by the first respondent and by the second and third respondents.
Counsel for the first respondent and for the second and third respondents relied, to some extent, on each other’s
submissions and in some respects similar submissions were made in this matter and in the Davidson matter.
Rule 13.10 and points of claim
[16] The respondents submitted that as there are no express provisions in relation to pleadings in the FMC Rules
(in contrast to those in the Federal Court Rules), r 13.10 of the FMC Rules could be applied to stay or dismiss a
“claim for relief” in points of claim.
[17] Rule 13.10 of the FMC Rules is as follows:
The Court may order that a proceeding be stayed, or dismissed generally or in relation to any claim for relief in the
proceeding, if the court is satisfied that:
(a) the party prosecuting the proceeding or claim for relief has no reasonable prospect of successfully prosecuting the
proceeding or claim; or
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(b) the proceeding or claim for relief is frivolous or vexatious; or
(c) the proceeding or claim for relief is an abuse of the process of the Court.
[18] The respondents contended that parts of the points of claim could and should be dismissed pursuant to r
13.10 of the FMC Rules as against each respondent on the basis that the applicant had no reasonable prospect of
successfully prosecuting the claims for relief in the parts of the points of claim in issue.
[19] Rule 13.10 is usually invoked to summarily dismiss proceedings as a whole or claims for relief made in an
application. The respondents contended however that r 13.10 was not so limited and that the reference to “or in
relation to any claim for relief in the proceeding” was an indication that it could be used to stay or dismiss any claim
for relief in points of claim. It was pointed out that the test in r 13.10 (no reasonable prospects of successfully
prosecuting the claim) was a lower bar to meet than that contained in O 11 r 16 of the Federal Court Rules (“no
reasonable cause of action … or other case appropriate to the nature of the pleading”).
[20] The respondents submitted that, as stated in r 1.05(1) of the FMC Rules, “[i]t is intended that the practice and
procedure of the Federal Magistrates Court be governed principally by these Rules” and hence that it was
appropriate for this court to apply r 13.10 according to its terms rather than to resort to the provisions of the Federal
Court Rules that apply to pleadings. It was conceded that if this argument was not accepted, regard should be had
to O 11 r 16 of the Federal Court Rules pursuant to r 1.05(2) of the FMC Rules under which the court may apply the
Federal Court Rules in whole or in part and modified or dispensed with as necessary.
[21] For the reasons outlined in Davidson v McCann Worldgroup Pty Ltd [2009] FMCA 957 at [14]–[30] in relation
to the same argument, I am of the view that r 13.10 is not a vehicle for dealing with deficient pleadings or points of
claim and that under r 1.05(2) of the FMC Rules regard should be had to O 11 r 16 of the Federal Court Rules in
relation to any application to strike out pleadings or points of claim. I accept that where there is a failure to plead a
reasonable cause of action there may also be no reasonable prospect of successfully prosecuting a claim for relief
in the application. However the concepts are distinct (see White Industries Aust Ltd v FCT (2007) 160 FCR 298 ;
[2007] FCA 511 at [47]).
[22] In this case the first respondent seeks only that parts of the points of claim be dismissed or struck out. This is
an application to which, in my view, r 13.10 has no direct relevance. However the second and third respondents
seek, in the alternative to such orders, that the applicant’s claims for relief in her application as against the second
and third respondents be permanently stayed or dismissed pursuant to r 13.10 of the FMC Rules. These claims are
considered below.
Order 11 rule 16
[23] Order 11 r 16 of the Federal Court Rules, provides that:
Where a pleading:
(a) discloses no reasonable cause of action or defence or other case appropriate to the nature of the pleading;
(b) has a tendency to cause prejudice, embarrassment or delay in the proceeding; or
(c) is otherwise an abuse of the process of the court;
the court may at any stage of the proceeding order that the whole or any part of the pleading be struck out.
[24] Pleadings or points of claim are intended to contain a summary of the material facts on which a party relies as
constituting a cause or causes of action and must have sufficient particularity that the respondents know in advance
the case that they have to meet (see Council for the City of the Gold Coast v Pioneer Concrete (Qld) Pty Ltd (1998)
157 ALR 135 at 143, per Drummond J). Points of claim may not be pleadings in a technical sense, but while they
are more informal than pleadings, they are intended to serve the same purpose, that is, to identify the real issues as
Beaumont J suggested in Saffron v Cmr of Taxation (1991) 30 FCR 578 ; [1991] FCA 363 in relation to statements
of fact, issues and contentions.
[25] I note that a pleading, for the purposes of the Federal Court Rules, is defined as not including an application,
notice of motion, or an affidavit (O 1 r 4) so that O 11 r 16 does not permit the striking out of an application.
[26] The distinction between the basis on which pleadings will be struck out and the consideration of an application
for summary dismissal was addressed by Finkelstein J in Imobilari Pty Ltd (ACN 091 464 729) v Opes Prime
Stockbroking Ltd (in liq) (recs and mgrs apptd) (ACN 086 294 028) (2008) 252 ALR 41; [2008] FCA 1920 at [4] as
follows:
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The fundamental thing to understand about the strike-out rule, which the language of O 11 r 16 itself makes clear, is that
the rule is concerned only with the adequacy of the pleading (or to be more precise, the allegations and the causes of
action asserted therein) as a matter of law. The rule does not permit or allow consideration of facts or evidence outside the
pleadings: Dey v Victorian Railways Cmrs (1949) 78 CLR 62 at 91 and 109 ; [1949] ALR 333 at 347–8; see also General
Steel Industries Inc v Cmr for Railways (NSW) (1964) 112 CLR 125 at 129 ; [1965] ALR 636 at 638 (General Steel).
Indeed, as counsel for ANZ, Mr Archibald QC, correctly noted in his submissions, the court must, for purposes of deciding
the strike-out motion and deciding whether a pleading discloses a reasonable cause of action, assume the truth of the
allegations in the statement of claim and draw all inferences in favour of the non-moving party because the question is
whether those allegations, even if proved, cannot succeed as a matter of law: General Steel at CLR 129; ALR 638.
[27] It has also been said that the discretionary power to strike out portions of pleadings should be applied
sparingly and only in a clear case (see Brambles Holdings Ltd v Trade Practices Commission (1979) 28 ALR 191 ;
[1979] FCA 80 and Liberty USA Pty Ltd v Telstra Corporation Ltd and Telecom Technologies Pty Ltd [1994] FCA
1284. It must be plain and obvious that impugned portions of the pleadings are unarguable before they will be
struck out (Murex Diagnostics Australia Pty Ltd v Chiron Corporation (1995) 55 FCR 194 ; [1995] FCA 1040).
[28] The distinctions between allegations of material fact which must be pleaded, particulars which must be
pleaded and those which need not be but may be requested and evidence of the material facts pleaded and
particularised (see Minister for Immigration and Citizenship v SZIAI [2009] HCA 39 at [54] per Heydon J) should not
lead to an inflexible approach to this issue. As Drummond J observed in Queensland v Pioneer Concrete (Qld) Pty
Ltd (1999) ATPR 42,821 ; [1999] FCA 499 at [14] “a respondent does not have an absolute right in every case to
insist upon the applicant pleading … every material fact necessary to show the existence of a complete cause of
action.” His Honour referred at [15]–[17] to the fact that O 11 r 16(a) provides for striking out a pleading which
discloses no “reasonable” cause of action. Moreover, as von Doussa J noted in Beach Petroleum NL and Another v
Johnson and Others (1991) 105 ALR 456 at 466,: “[t]echnical objections raised to pleadings on the ground of
alleged want of form will be received with less enthusiasm today than in times past.” In Queensland v Pioneer
Concrete Drummond J referred at [18] to the fact that judges of the Federal Court had dealt with challenges to the
adequacy of pleadings “in a more flexible way than would be required by a strict application of [the] rules” (and see
generally [18]–[22]). It is consistent with such flexibility to grant leave to file amended points of claim where points of
claim are defective.
[29] The need for such flexibility has been said to be of particular relevance where proceedings are commenced in
this court. In Rana v University of South Australia (2004) 136 FCR 344 ; [2004] FCA 559 Lander J referred to s 42
of the Federal Magistrates Act 1999 (Cth) (the FMA) which provides: “In proceedings before it, the Federal
Magistrates Court must proceed without undue formality and must endeavour to ensure that the proceedings are
not protracted”, and to s 50 which provides that proceedings can be instituted in the court by way of application
without the need for pleadings (subject to the Rules of the Court) and to other parts of the FMA reinforcing the
policy of informality and efficiency of process in this court (at [23]–[25]). While under the Act, the Rules of Court may
make provision for pleadings, at the time the FMC Rules were considered in Rana there was no provision in the
FMC Rules for pleadings. I note that in that context Lander J stated that the need for the exercise of caution in
summarily dismissing an application was even more obvious in the Federal Magistrates Court (see Rana at [75]).
[30] While parties may, since 2007, choose to use pleadings or points of claim, as Burchardt FM pointed out in Ives
v Kilvington Girls Grammar Ltd [2008] FMCA 1414 at [12]:
There is in one sense a tension between the emphasis in this Court’s Act and Rules which can be broadly said to require
that matters proceed expeditiously and with as little formality as possible on the one hand and on the other hand, the
requirement imposed by authority of long standing that pleadings adequately disclose the material facts alleged so as to
enable the Respondents fairly to understand the case put against them.
[31] Hence in considering applications to strike out points of claim or parts thereof regard must be had to the
court’s obligation under s 42 of the FMA to proceed “without undue formality and … [to] endeavour to ensure that
the proceedings are not protracted”. This obligation must be balanced against the need to have regard to the
primary function of pleadings to state with sufficient clarity the case that must be met by respondents and in that
way to afford them procedural fairness (see Multigroup Distribution Services Pty Ltd v TNT Australia Pty Ltd [1996]
FCA 1758 at [2] per Burchett J and Dare v Pulham (1982) 148 CLR 658 at 664 ; [1982] HCA 70 and Ives at [13]).
Moreover, the need for informality does not extend to indulgences which may be likely to result in appellable error.
[32] While pleadings or points of claim may now be adopted in proceedings in this court, there are still no specific
provisions in the FMC Rules akin to O 11 of the Federal Court Rules. In Sterling Commerce (Aust) Pty Ltd v Iliff
(2008) 173 IR 378 ; [2008] FCA 702, Gordon J, on appeal from this court, referred to the remarks of Lander J in
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Rana at [34] in finding that the philosophy of the Federal Magistrates Act and the intention of the Attorney-General
at the time of introduction of the Bill establishing this court could not be ignored. In considering a ground of appeal
to the effect that a particular contention was not an issue raised on the pleadings, in evidence or in submissions
Gordon J stated at [23]:
It is true that a party to proceedings in the Federal Magistrates Court must be put on notice of the case against it and have
an opportunity to respond … It is a fundamental principle of justice that a Court must not determine an issue that is not
raised by the pleadings, or in the evidence or submissions before it.
[33] Conversely, if points of claims are at too great a level of generality, difficulties arise for respondents (and for
the court) in identifying every issue raised in a particular case. This concern is of particular relevance where
proceedings are based, as in this case, on legislation which contains detailed, specific provisions with internal
alternatives.
[34] It is appropriate to consider first whether any part of the points of claim should be struck out under O 11 r 16.
In several respects the respondents rely on contentions that impugned parts of the points of claim have a tendency
to cause “embarrassment” within O 11 r 16(b). Embarrassment in this context has been said to include a pleading
that “carries the connotation of a pleading which is susceptible to various meanings, or contains inconsistent
allegations or in which alternatives are confusingly intermixed or in which irrelevant allegations are made tending to
increase expense” (Bartlett v Swan Television & Radio Broadcasters Pty Ltd [1995] ATPR 40,883 (41–434) per
Carr J). It must be considered in light of the fact that the court will be circumspect in exercising its discretion to
strike out a pleading (Davis v Commonwealth (1986) 61 ALJR 32 ; [1986] HCA 66).
[35] Further, under O 11 r 16 a reasonable cause of action is one which has some chance of success if regard is
had only to the allegations and the pleadings relied on (see National Mutual Property Services (Aust) Pty Ltd v
Citibank Savings Ltd (1995) 132 ALR 514 at 529 ; [1995] FCA 1628 and also see Dart v Norwich Union Life
Australia Ltd [2002] FCA 168 at [31]). The power to strike out under this provision is to be exercised sparingly and
only where there is a manifestly untenable case, as considered by French J (as he then was) in Re Mark Turner v
Kinian Pty Ltd [1992] FCA 396.
Paragraph 5 of the points of claim
[36] Paragraph 5 of the points of claim is as follows:
The Second and Third Respondents are and, at all material times, were solicitors retained by the First Respondent to
provide advice in relation to employment-related matters, including to initiate or defend actions and potential actions in a
number of fora.
[37] In the application in a case the first respondent seeks that para 5 or the part of para 5 that reads “ … in
relation to employment-related matters, including to initiate or defend actions and potential actions in a number of
fora” be dismissed or struck out. The second and third respondents also seek dismissal or striking out of this part of
para 5.
[38] Paragraph 5 of the points of claim was not addressed in the first respondent’s written submissions. In oral
submissions it was clarified that McCanns sought to have the concluding part of paragraph five dismissed or struck
out on the basis that it failed to identify what facts, matters and circumstances were relied upon to suggest that the
retainer the first respondent had with the second and third respondents was of the nature pleaded and gave rise to
the liability subsequently asserted. It was contended that the mere assertion of a relationship of retainer was
insufficient to prove the allegations made in the points of claim. As clarified in oral submissions, the application
relates not to the whole of paragraph five, but rather to the concluding words. In its points of defence the first
respondent said that any retainer in relation to any other matter and/or in any other fora was not relevant in these
proceedings, was embarrassing and that this part of the paragraph should be struck out.
[39] The respondents each contended that para 5 did nothing to inform the court of the essential facts upon which
the applicant set out this aspect of its claim and that it was not to the point that the applicant may be able to make
out certain matters at the trial, as para 5 did not plead with sufficient specificity the matters apparently intended to
be asserted.
[40] Counsel for the second and third respondents added that the applicant had not specified, explained, or made
clear the relevance or application to the various allegations that were made of the matters pleaded in para 5
concerning the general retainer. As there was no explanation of the relevance of the general retainer between the
first respondent and the second and third respondents it was contended that the allegation that the second or third
respondents were the solicitors for McCanns in other proceedings was irrelevant and should be struck out as
embarrassing.
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[41] Counsel for the applicant submitted that the part of para 5 in issue was a matter of fact that had been pleaded
and that whether or not the applicant could ultimately establish it, was something that should be left to the trial. It
was submitted that that the allegation went to the heart of a number of further allegations made in the points of
claim in relation to the second and third respondents on the basis that the second respondent (who is a partner of
the third respondent) and the third respondent were engaged by the first respondent, not only in the particular
proceedings but in a number of employment matters, and that in those circumstances the second and third
respondents were agents of the first respondent, such that the principal (McCanns) would be liable for the acts of its
agent.
[42] It was contended that in para 5 of the points of claim the applicant was setting up the factual basis from which
it was intended to prosecute various other allegations in the points of claim, that factual allegations as to the scope
of the retainer between the McCann’s and Baker and McKenzie may be relevant to determination of this issue, and
that whether or not the applicant could make out this contention should be left to the trial. It was pointed out that
elsewhere in the points of claim it was asserted that certain conduct of Mr Brown (the Paul Brown conduct referred
to in para 55) was conduct by him and through him by Baker and McKenzie “and by retainer and agency” by
McCanns (paras 86) and on this basis it was said that the relevance of the general retainer was apparent.
[43] This part of the points of claim is central to the applicant’s contentions in relation to the liability of McCanns for
the Paul Brown conduct. Seen in the context of the orders sought in the application, the points of claim purport to
assert that McCanns is liable “by retainer and agency” for the alleged conduct of Mr Brown and on that basis that
McCann’s has engaged in victimisation under s 94 of the SDA constituting unlawful discrimination under the AHRC
Act (para 86) and, in addition, that by the Paul Brown conduct McCanns committed an act of discrimination against
the applicant by subjecting her to a detriment that in turn is said to have been conduct “caused” etc by Mr Brown
and Baker and McKenzie (paras 75–76 and 87).
[44] Hence the linchpin of a significant part of the applicant’s claim depends on what is pleaded elsewhere in very
general terms as “by retainer and agency”. The only clarification of this concept is the part of para 5 in issue, which
asserts that Mr Brown and Baker and McKenzie were retained by McCanns to provide advice in relation to
employment-related matters including to initiate or defend actions and potential actions in a number of fora.
[45] I am not persuaded that the existence of a retainer of the nature alleged is wholly irrelevant in the sense
referred to by Gibb J in Coe v Commonwealth (1979) 53 ALJR 403 ; [1979] HCA 68 at [40] given the basis for the
applicant’s contentions as explained in submissions. I have borne in mind that the question is not whether the facts
pleaded are in themselves sufficient to give rise to a cause of action, but whether it would be open to the applicant
on the points of claim taken as a whole to prove facts at the trial that would constitute a cause of action
(Pancontinental Mining Ltd v Posgold Investments Pty Ltd (1994) 121 ALR 405 ; [1994] FCA 983).
[46] I do not consider it appropriate at this stage that the part of the paragraph in question should be struck out as
irrelevant or otherwise embarrassing. However there is not sufficient detail in the points of claim as a whole to
enable the respondents, particularly the first respondent, to know with any precision what case they have to meet in
relation to the Paul Brown conduct. As discussed further below, certain later parts of the points of claim should be
struck out, but the applicant should have the opportunity to replead the material facts which, if proved, would
support both those claims and the general statements made in this part of the points of claim, in particular in
relation to the relevance of a general retainer between McCanns and Baker and McKenzie and Mr Brown to the
allegation that McCanns “by retainer and agency” engaged in the Mr Brown conduct.
[47] Having regard to the manner in which the submissions in relation to para 5 proceeded (that is, on the basis of
an application to strike out or dismiss part of the points of claim and the fact that the applicant should have leave to
replead), I am not satisfied that to the extent the claims for relief in the application as against Mr Brown and Baker
and McKenzie rely on para 5 such claims should be summarily dismissed at this stage.
Paragraphs 70 to 74
[48] The first respondent sought orders dismissing or striking out paras 70–75 of the points of claim.
[49] It is convenient to consider first paras 70–74 of the points of claim which appear in that part of the points of
claim headed “DISCRIMINATION ON THE GROUNDS OF SEX, PREGNANCY, AND/OR FAMILY
RESPONSIBILITIES” under the subheading, “Direct Discrimination” and are as follows:
70. By reason of the matters referred to above, the First Respondent treated the Applicant less favourably on the
ground of her sex and/or pregnancy than it treated or would have treated a man or a person who was not
pregnant in the same or not materially different circumstances in that:
(a) the First Respondent did not review the Applicant’s performance or remuneration at any time following her
return from the First Period of Maternity Leave on the grounds that she had taken or was intending to take
maternity leave with the result that the Applicant’s salary remained frozen at its 2003 level;
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(b) in respect of the First Period of Maternity Leave, the First Respondent failed to keep the Applicant’s position
open and to return the Applicant to the same position she held prior to commencing the First Period of
Maternity Leave or to a position comparable in terms of status or remuneration;
(c) in respect of the Second Period of Maternity Leave, the First Respondent failed to keep the Applicant’s
position open and to return the Applicant to the same position she held prior to commencing the Second
Period of Maternity Leave;
(d) the First Respondent ceased requesting the attendance of the Applicant at management meetings following
her return from the First Period of Maternity Leave; and
(e) the First Respondent informed the Applicant that she could not take any client-facing roles because she may
be required to depart the office to care for her children when they were sick.
71. Such conduct constituted unlawful discrimination pursuant to section 14(2)(a), (b) and/or (d) of the Sex
Discrimination Act 1984 (Cth) (“SDA”).
72. By reason of the matters referred to above, the First Respondent treated the Applicant less favourably on the
ground of her sex and/or pregnancy than it treated or would have treated a man or a person who was not
pregnant in the same or not materially different circumstances in that:
(a) the First Respondent terminated the Applicant’s employment shortly after her return from the Second Period of
Maternity Leave;
(b) the First Respondent alleged that the Applicant’s position had been made redundant;
(c) the First Respondent offered the Applicant a significantly lower redundancy package; and
(d) the First Respondent did not offer the Applicant any employment in the alternative to the termination of her
employment on the ground of redundancy.
73. Such conduct constituted unlawful discrimination pursuant to section 14(2)(a), (b), (c) and (d) of the SDA.
74. Further, or in the alternative, the Applicant claims that the conduct set out in paragraph 72(a) above constituted
unlawful discrimination pursuant to section 14(3A) of the SDA.
[50] The first respondent contended generally that it was interchangeably asserted through the points of claim that
the allegations concerning paras (a)(d) of s 14(2) the SDA related to Ms Wylie’s sex or pregnancy. Ms Wylie also
claimed discrimination on the basis of both direct and indirect discrimination. The SDA is very clear as to the
statutory basis on which it can be asserted that there was either direct or indirect discrimination (see s 5(1) and 5(2)
of the Act). It was submitted that where it was claimed that discrimination was on the basis of pregnancy or potential
pregnancy, s 7 deals with how one can assert one’s claim with respect to discrimination on that ground, either on
the basis of direct discrimination (s 7(1)), or indirect discrimination (s 7(2)) and that the SDA was also prescriptive in
terms of the manner in which an employee may assert discrimination on the grounds of family responsibilities (see
ss 14(3A) and 7A of the SDA). The first respondent contended that it was necessary for an applicant to properly
plead under s 14 how the alleged discrimination arose in the context of employment, how it was discrimination on
the ground of one of the statutory attributes, how it fell within the statutory tests as they applied to direct and indirect
discrimination and also how the first respondent was said to be liable for the conduct.
Paragraph 70
[51] Paragraph 70 of the points of claim asserts direct discrimination (that McCanns treated Ms Wylie less
favourably on the grounds of her sex and/or pregnancy than it treated or would have treated a man or a person who
was not pregnant in the same, or not materially different circumstances) in that after the birth of her children her
performance and remuneration were allegedly not reviewed; her position was not kept open; she was not required
to attend management meetings; and was allegedly informed by the first respondent that she could not take any
“client-facing” roles.
[52] The first respondent contended that these were bald assertions and did not identify the basis upon which
McCanns was said to be liable for direct discrimination. It was contended that the vague assertion in para 70 “[b]y
reason of the matters referred to above,” did not provide any proper particulars for the factual basis upon which the
four alleged incidents of discrimination were alleged. It was said to be insufficient, as the first respondent had to, by
guesswork but with no certainty, attempt to identify the time period. It was submitted that the first respondent was
unable to respond to unparticularised assertions in circumstances where the facts, matters, and circumstances
relied upon with respect to each of these allegations were not set out.
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[53] Counsel for the applicant pointed out that earlier in the points of claim, various factual matters were pleaded in
relation to the applicant’s pregnancies and her responsibilities as carer for her children. It was submitted that these
earlier parts of the points of claim formed the basis for the allegations made in the following paragraphs.
[54] In oral submissions counsel for the applicant referred in detail to particular paragraphs in the points of claim
relevant to the allegations in para 70. However this process made it apparent that the relationship between the facts
relied on in various earlier parts of the points of claim and the particular allegations in relation to the separate
subparagraphs in para 70 required clarification. In addition, whether matters were relied on in support of allegations
of discrimination on the ground of sex or on the ground of pregnancy is not apparent.
[55] The points of claim adopt something of a narrative form (see Beach Petroleum NL v Johnson (1991) 105 ALR
456 at 466 per von Doussa J). While bearing in mind the need for flexible application of the rules in relation to
pleading in this court, the applicant has not identified with particularity which parts of the points of claim she relies
on with respect to each allegation in paras 70(a) to (e). This is not of itself necessarily a basis on which the
paragraph should be struck out embarrassing. However I accept that, as discussed further below, these issues
must be clarified further whether in the points of claim or otherwise, by setting out the facts, matters and
circumstances relied on by the applicant with respect to each of the allegations in the manner described by counsel
for the first respondent.
Paragraph 71
[56] In para 71 of the points of claim it is contended that such conduct constituted unlawful discrimination pursuant
to s 14(2)(a), (b) and/or (d) of the SDA.
[57] As counsel for the first respondent contended, not only is “[s]uch conduct” unidentified, but also the points of
claim do not disclose the factual basis on which the conduct is said to fall within each of paras (a), (b) and/or (d) of s
14(2) of the SDA. It appears on the face of the points of claim that all such conduct is said to fall within each of
paras (a), (b) and/or (d). If this is not what is intended it should be clarified, although the fact that this paragraph
pleads a conclusion is not of itself a basis to strike it out. As Drummond J stated in Queensland v Pioneer Concrete
at [20]–[21]:
In any event, that a pleading alleges conclusions does not mean it is necessarily bad. The requirement of O 11 r 2 to plead
the material facts, is subject to the established qualification to rules in this form that allows, in appropriate cases, pleading
at a level of generality which excuses the failure to plead every fact material to the cause of action sued upon: Charlie
Carter Pty Ltd v SDAEA (WA) (1987) 13 FCR 413 at 417. In Kernel Holdings Pty Ltd v Rothmans of Pall Mall (Aust) Pty Ltd
(Federal Court of Australia, 3 September 1991, unreported) French J, in dealing with a complaint that a statement of claim
alleging contraventions of s 45 of the Act pleaded conclusions in terms of the section, rather than the material facts
underlying them, said:
I do not accept that the pleading of something which can be described as a conclusion cannot also be a pleading of a
material fact. The real issue in a case where such an objection is raised is whether the facts are pleaded at too great a
level of generality. In my opinion, the level of generality of the statement of claim in this case is too great for Rothmans
to know with any precision what case it has to meet.
The modern approach to litigation in this court is not to strike out or order further particulars of a conclusionary pleading, if it
appears that that is unnecessary in the circumstances of the particular case to achieve the object of pleadings. See also
Multigroup Distribution Services Pty Ltd v TNT Australia Pty Ltd (1996) ATPR |P 41-552 at 42, 679.
[58] The issue is whether the pleading is at too great a level of generality so that the first respondent does not
know the case it has to meet and if so, how best to address this deficiency. It is necessary to consider first the
remaining paragraphs in this part of the points of claim.
Paragraph 72
[59] The first respondent also contended that para 72 of the points of claim was a vague assertion that “[b]y reason
of the matters referred to above” Ms Wylie suffered various forms of treatment, including termination of her
employment and receiving insufficient redundancy payments. It is asserted in the same paragraph that this was less
favourable treatment on the basis of Ms Wylie’s sex and/or pregnancy. No factual basis is asserted for how the
alleged comparison could be made to the treatment of a man or a person who was pregnant.
[60] Counsel for the applicant submitted that the allegation in para 72 was less favourable treatment on the ground
of sex and/or pregnancy, and that the differential treatment was sufficiently identified in subparas (a)–(d) of para 72
of the points of claim (that the first respondent terminated the applicant’s employment shortly after her return from a
second period of maternity leave; alleged that her position had been made redundant; offered a significantly lower
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redundancy package; and did not offer her any employment in the alternative determination of her employment on
the ground of redundancy). It was said that this paragraph should be read in conjunction with the circumstances
pleaded elsewhere, specifically the allegation in para 69 that pregnancy and caring for babies and young children
were characteristics that appertain generally to females.
[61] However I agree with the submissions of counsel for the first respondent that there is an element of confusion
and embarrassment in this part of the pleadings as the underlying facts, matters and circumstances are not
pleaded, it is not clarified how it is that the conduct relied on was by virtue of the applicant’s sex (within the meaning
of s 5 of the SDA) or her pregnancy (within the meaning of s 7) and nor is it identified how the first respondent is
liable for that conduct.
[62] As the first respondent submitted, there is a lack of detail in this part of the pleadings. The narrative form of the
points of claim, the level of generality and lack of reference to material facts, matters and circumstances on which
claims in relation to specific applicable provisions of the SDA are based makes it difficult to identify the material
facts in relation to particular issues intended to be relied on by the applicant under the SDA so that the first
respondent knows the case it has to meet.
Paragraph 73
[63] The first respondent took similar issue with para 73 as that taken with para 71, in that it was characterised as a
bald assertion suggesting unlawful conduct within all the paragraphs of s 14(2) of the SDA, without identification
with any particularity of what that conduct was, how it constituted one or more of the bases under that section and
how it was that the first respondent was liable for that conduct. This was said to give rise to a level of
embarrassment and unintelligibility such that the first respondent could not plead to it. On this basis it was
contended that this paragraph should be struck out.
[64] The applicant submitted generally that the matters pleaded in para 73 were of their nature clear having regard
to the SDA and the earlier points of claim so that there could be no misunderstanding by the first respondent.
However this submission does not address the concerns raised by the first respondent about the absence of
particularity, how particular conduct is said to come within one or more of the paragraphs of s 14(2) and how it is
alleged that McCanns was liable for that conduct.
Paragraph 74
[65] Paragraph 74 of the points of claim pleads (as an alternative) that the conduct set out in para 72(a) (that the
first respondent terminated the applicant’s employment shortly after her return from her second period of maternity
leave) constituted unlawful discrimination pursuant to s 14(3A) of the SDA (under which it is unlawful for an
employer to discriminate against an employee on the ground of the employee’s family responsibilities by dismissing
the employee).
[66] The first respondent submitted that this paragraph should be struck out because no facts, matters or
circumstances giving rise to the claim were alleged; no claim of actual discrimination was asserted; no allegation
was made identifying which part of s 4A of the SDA (which identifies the scope of “family responsibilities”) applied or
what the alleged “less favourable treatment” was and how it fitted within s 7A of the SDA. It was also submitted that
no legal basis upon which the first respondent was liable was alleged and that no comparator was identified.
[67] Counsel for the applicant submitted that it would be a matter for the hearing as to whether the facts that were
pleaded gave rise to a contravention of the SDA and that there was no requirement for there to be any specific
pleading of comparators in this context. It was pointed out that in other paragraphs the points of claim pleaded the
applicant’s responsibility for the care of her first and then both children from specific dates, that pregnancy and
caring for babies are characteristics that appertain generally to females and also that para 74 refers to the
circumstances in para 72(a). However, even if resort is had to the earlier paragraphs of the points of claim, the
factual basis giving rise to the claims against McCanns within any particular subparagraph of s 7A(b) is not
asserted.
[68] There are several ways in which the deficiencies in these paragraphs could be addressed, bearing in mind the
obligation to proceed without undue formality and to endeavour to ensure the proceedings are not protracted. One
alternative would be to strike out these parts of the points of claim as embarrassing, but give leave to the applicant
to file amended points of claim akin to formal pleadings. However both the objectives of ensuring that the first
respondent knows in advance the case it has to meet and that all issues intended to be raised for determination are
properly identified by the applicant (and not left to be discerned on the evidence ultimately before the court from
narrative points of claim and general references to discrimination on several bases provided for under the SDA)
may be met by requiring the applicant to complete a schedule in relation to each claim of discrimination.
[69] The points of claim are written in a narrative form and do not properly address the purpose of points of claim in
proceedings of this nature. Instead of addressing the lack of specificity simply by a general order for amended
points of claim, I am of the view that it may be preferable to require the applicant to file and serve a schedule setting
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out in tabular form at least the following in relation to each allegation of discrimination under the SDA intended to be
relied upon:
a) the date of the alleged discriminatory conduct;
b) the nature of the alleged discriminatory conduct;
c) the section(s) of the SDA alleged to be breached;
d) the person(s) alleged to have engaged in the conduct;
e) identification of any vicarious or other secondary liability by date, party and activity.
[70] Such a schedule should include all incidents of alleged discriminatory conduct, including those asserted in
paragraphs of the points of claim other than paras 70–74 and could include other matters of relevance.
[71] However in the alternative it should be open to the applicant at this stage to replead paras 70–74 (with
particulars if appropriate) if she prefers to proceed on that basis. Hence I propose to order, in the alternative, either
that the applicant file and serve such a schedule or that she have leave to file amended points of claim repleading
the facts, matters and circumstances relied on with respect to each allegation of discrimination by the first
respondent.
[72] As discussed below, the same approach should be taken to the other allegations of direct or indirect
discrimination by McCanns. As the applicant has conceded that paras 75 and 76 should be repleaded to address
certain matters those paragraphs should be struck out, but given that the applicant should be able to choose which
method to adopt I consider that it is not necessary to formally strike out paras 70–74 or 77–85.
Paragraphs 75 and 76
[73] Paragraph 75 reads:
Further, the Applicant claims that by the Paul Brown Conduct, the First Respondent caused, instructed, aided and/or
permitted by the Second and Third respondents, by reason of the Applicant’s sex namely female, treated the Applicant less
favourably than they would have treated a person of the opposite sex in circumstances that were the same or not materially
different.
[74] Paragraph 76 is that:
The First Respondent, caused, instructed, aided and/or permitted by the Second and Third respondents, discriminated
against the Applicant on the grounds of her sex by subjecting the Applicant to detriment as pleaded in paragraph 87, below.
[75] Paragraph 87 is an allegation that by reason of the Paul Brown conduct (referred to earlier in the points of
claim) the applicant suffered detriment that is particularised as hurt, humiliation, stress, anxiety and embarrassment
and caused her to not further pursue her rights under the HREOC Act (as it then was) or the SDA.
[76] The Paul Brown conduct is described in para 55, which refers to a telephone call alleged to have been made
by Mr Brown to the applicant on or about 17 November 2006, in which he allegedly stated that he had been
informed of Ms Wylie’s situation by her neighbour, advised her to write a letter to McCanns, advised her as to the
content of that letter and allegedly stated that she should not consider commencing legal proceedings if the letter
failed to achieve the desired outcome as McCanns would “bury” her in paperwork.
[77] The first respondent contended that these claims were unintelligible, vexatious and that para 75 should be
struck out, that the applicant did not assert how the alleged Paul Brown conduct was unlawful conduct within the
meaning of the SDA, failed to plead how McCanns by the Paul Brown conduct treated the applicant less favourably
and that no causal link was pleaded at all, either in law or in fact. It was contended that Ms Wylie failed to plead the
basis upon which McCanns could be liable for the conduct of Mr Brown or Baker and McKenzie. It was submitted
that not only should these paragraphs be struck out as unintelligible and vexatious, but also that it could be said that
they failed to disclose any reasonable prospect of success for any cause of action.
[78] In relation to para 76 it was similarly submitted that Ms Wylie failed to plead the basis on which McCanns
discriminated against Ms Wylie, or how it could be liable for the conduct of Mr Brown or Baker and McKenzie and
that the paragraph should be struck out. The assertion of discrimination was said to be at large and without
reference to a statutory basis. It was also submitted that the reference to a detriment in para 87 failed to identify the
relevant infringing conduct giving rise to the detriment.
[79] The second and third respondents agreed with these submissions and sought orders dismissing or striking out
the parts of each of paras 75 and 76 that read “caused, instructed, aided and/or permitted by the Second and Third
respondents”.
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[80] Paragraphs 75 and 76 appear to assert that McCanns engaged in the Paul Brown conduct (which is
elsewhere pleaded as victimisation) and that in so doing McCanns also discriminated against Ms Wylie on the
grounds of her sex (although there is no reference to any provision of the SDA in these paragraphs). On this basis it
appears that the second and third respondents are also said to have discriminated against Ms Wylie as having
caused, instructed, aided, and/or permitted McCanns to treat Ms Wylie less favourably.
[81] Counsel for the applicant sought leave to amend these parts of the points of claim to refer specifically to the
basis upon which it was said that this conduct amounted to unlawful discrimination, although there is no proposed
amendment before the court.
[82] These paragraphs do not disclose any reasonable cause of action against McCanns in relation to the “Paul
Brown conduct”. No basis is pleaded for any liability to be imposed on McCanns for the conduct of the second (or
third) respondent(s) or for how McCanns by such conduct treated the applicant less favourably etc.
[83] It is not possible for each of the respondents to respond to such claims as pleaded. I agree with the
submissions of the respondents that these paragraphs should be struck out. If it is intended to rely on the existence
of a general retainer this is not clear and in any event would need to be pleaded with more specificity. In addition, it
is not clear on the points of claim as a whole whether it is intended to plead that the second and third respondents
also engaged in direct discrimination by virtue of s 105 of the SDA. The applicant sought leave to amend this part of
the points of claim in certain respects. I consider that she should have the opportunity to address all the deficiencies
by filing amended points of claim. The discriminatory conduct alleged in these paragraphs should also be included
in any schedule.
Paragraphs 77 to 85
[84] The first respondent also sought that paras 77–85 be dismissed or struck out. These paragraphs appear under
a heading “Indirect Discrimination” and are as follows:
77. The First Respondent imposed a condition, requirement or practice that Client Service Managers, being the
position held by the Applicant prior to the First Period of Maternity Leave, work on a full-time basis (“Full-Time
Condition”).
78. The First Respondent imposed a condition, requirement or practice that part-time employees could not take on
client-facing roles (“Part-Time Condition”).
79. The First Respondent imposed a condition, requirement or practice that the only position to be made redundant in
late 2006 were those the termination of which would not impact on any direct client relationships (“Redundancy
Condition”).
80. The First Respondent imposed a condition, requirement or practice that part-time employees were provided a
workload requiring them to work on their days off without extra remuneration (“Workload Condition”).
81. The First Respondent imposed a condition, requirement or practice that it would not review the performance or
remuneration of employees commencing or recently returned from maternity leave (“Review Condition”).
82. The First Respondent’s stated views on part-time employees and women with career’s responsibilities created a
hostile work environment for women (“Hostile Work Environment”)
83. The Full-Time Condition, Part-Time Condition, Redundancy Condition, Workload Condition, Review Condition and
Hostile Work Environment were each a condition, requirement or practice:
(a) which has, and is likely to have, the effect of disadvantaging women; and
(b) which is not reasonable in the circumstances.
84. The conduct of the First Respondent referred to in paragraphs 77 to 82 above constituted discrimination:
(a) on the ground of sex within the terms of section 5(2) of the SDA; and
(b) on the ground of pregnancy within the terms of section 7 of the SDA.
85. The conduct referred to in paragraphs 77 to 82 above constituted unlawful discrimination on the ground of sex
within the terms of section 14(2)(a), (b), (c) and/or (d) of the SDA.
[85] The first respondent submitted in essence that the claim for indirect discrimination was intelligible and
vexatious. Counsel for the first respondent referred to the fact that indirect discrimination is defined in s 5(2) of the
SDA which specifies with particularity its constituent elements, namely that the discriminator imposes or proposes
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to impose a condition, requirement or practice that has or is likely to have the effect of disadvantaging persons of
the same sex as the aggrieved person (and see ss 7B, 7C and 7D).
[86] It was said that Ms Wylie’s claim of indirect discrimination made various broad unparticularised claims about
Ms Wylie being required to work full-time or work part-time, but in non-client facing roles, and about other workplace
relation conditions. However it was contended that Ms Wylie had failed to plead in paras 77–82, the facts, matters
and circumstances for each alleged condition, requirement or practice or the facts, matters and circumstances
relied on to allege that such condition, requirement or practice was imposed upon the applicant; the identification of
the base group for each alleged condition, requirement or practice; the sub-pools relied upon for the purpose of
each alleged condition, requirement or practice; and the facts, matters and circumstances relied upon to allege that
a substantially higher proportion of persons without the applicant’s alleged attributes could comply with such
requirements.
[87] It was also submitted that the bald assertion at para 83 that the conditions were likely to have the effect of
disadvantaging women without pleading the statistical or other factual basis upon which this was said to be based
was insufficient and that para 84 was not a proper allegation of indirect discrimination within the meaning of s 5(2)
with reasonable prospects of success, as it failed to identify the facts, matters and circumstances corresponding
with the constituent elements of the SDA definition of indirect discrimination.
[88] Furthermore, it was contended that an assertion of an additional ground of discrimination on the ground of
pregnancy was made without identification of whether this was on the basis of direct or indirect discrimination and
how the conduct fell within s 7.
[89] Moreover, while para 85 asserted discrimination on the basis of s 14(2)(a), (b), (c) and/or (d) of the SDA the
points of claim failed to assert the underlying factual basis for each assertion. It was submitted that the references
to paras 77–82 did not inform the first respondent of the case it was required to meet.
[90] It was also noted in relation to para 85 (as with the Wylie points of claim generally) that there was no
identification of how it could be said that the first respondent was liable, whether by virtue of s 106 of the SDA or
otherwise. There was no identification as to who the alleged perpetrator was, save for the first respondent, in terms
of imposing these conditions, for example whether it was by the imposition of a policy or by virtue of a person
employed by the first respondent for whom it was to be alleged that the first respondent was vicariously liable. The
first respondent was said not to be in any position to properly understand the case that it was required to meet in
this respect because there was no identification of the person acting on behalf of the first respondent who was said
to have engaged in this conduct.
[91] The first respondent contended that striking out such paragraphs would lead to the striking out of claims for
relief with respect to those matters (although the orders sought relate to the points of claim not to the application).
[92] It was acknowledged that that there was some latitude provided in relation to pleadings in this court in relation
to discrimination matters. It was submitted however that in circumstances where there was no underlying factual
basis provided and no attempt at all to identify very clearly how these potential claims could fall within the legislation
these parts of the pleadings should be struck out as there was no basis upon which the first respondent could be
given the opportunity to know what the case was that it was being required to meet.
[93] Counsel for the applicant contended that the factual basis for the allegations in this part of the points of claim
was clear from other paragraphs in the points of claim. For example, in relation to para 77 (the full-time condition)
there was said to be a specific pleading at para 25 based on the nature of the work undertaken before the applicant
went on her first period of maternity leave, as pleaded in paras 17 and 18. It was contended that the applicant
would bring evidence as to the fact that this was a full-time role and the nature of the role and that whether it was
full time was something upon which submissions would be made and inferences could be drawn. Counsel for the
applicant submitted that as a matter of pleading there was nothing deficient with the allegation as currently pleaded,
albeit whether or not ultimately the applicant could establish her case would depend on the evidence adduced in the
proceedings.
[94] Similarly, in relation to para 78 (the condition, requirement or practice described as a part-time condition), the
applicant submitted that the factual basis for this allegation appeared elsewhere in the points of claim, there being a
specific allegation in relation to information alleged to have been given to the applicant in August 2006; in para 31
the description of the position of Universal Development Manager as not being a client-facing role; in para 50(b) a
specific allegation that in October 2006 Mr Cressall told the applicant that she could not apply for any client-facing
roles as she was employed part time and that persons working in client facing roles were required to work full time.
It was submitted that the facts, matters and circumstances made out the allegation pleaded in para 78 and that it
was clear from each of those paragraphs that there was a time period referred to in the points of claim.
[95] In relation to para 79 (the redundancy condition) it was submitted that the evidence that might go to establish
this allegation was likely to be inferential, based upon which particular employees had their employment terminated
at a particular time in 2006 and whether the roles of those employees were client-facing roles but that this should
not lead to the court striking out this part of the points of claim at this stage of the proceedings.
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[96] In relation to para 80 (the allegation in relation to imposition of a workload condition) it was submitted that a
specific pleading in relation to this applicant and that condition appeared in para 29 of the points of claim, which
specified the time at which this occurred; and in para 33 there was a pleading by the applicant that despite regularly
working on her days off, she was only ever paid for having worked three days a week.
[97] In relation to para 81 (the review condition) the applicant submitted that the factual matters that went to that
were in part pleaded in paras 35 and 38, specifically para 38(c) in which it was alleged that the applicant did not
receive a performance review for the period between her return from the first maternity leave and her second period
of maternity leave, and that a request for a review of her pay sometime after July/August 2005 was refused on the
basis that she was departing for maternity leave.
[98] In relation to para 82 (the hostile work environment allegation) it was contended that the applicant would seek
to make good that allegation by providing direct evidence of conversations the applicant had or was witness to, and
that submissions would be made on a combination of those factors as to whether or not they created a hostile
working environment for women. It was submitted that this was not an occasion to strike out those parts of the
pleadings as it was clear that what was relied upon were the essential elements of the alleged discriminatory
conduct.
[99] On this basis it was submitted that the conduct relied on for the purposes of paras 84 and 85 was clear, in that
the facts pleaded in earlier paragraphs read in conjunction with the conditions described in paras 77 to 82 were the
factual matters the applicant would rely on to make out the case that such conditions had, or were likely to have, the
effect of disadvantaging women and were not reasonable in the circumstances. It was submitted that the concerns
raised by the first respondent were matters to be addressed in evidence and not something that needed to be
specifically pleaded at this time.
[100] The fact that the applicant relies on discrimination on the basis of sex and/or pregnancy and asserts that
each kind of discrimination occurred in each of the four ways specified in s 14(2) may have implications for future
conduct of the case and the relief available (see Human Rights and Equal Opportunity Commission v Mount Isa
Mines Ltd (1993) 46 FCR 301). There are a number of matters which must be established if an applicant is to prove
indirect discrimination (see for example, s 5(2) and 7(2) of the SDA). While the points of claim plead that the first
respondent required the applicant to comply with a requirement or condition, it is necessary for the applicant to
indicate precisely the requirement or condition that is said to have been required as otherwise the remaining
aspects of s 5(2) or s 7(2) cannot be addressed. Nor can the reasonableness of a condition, requirement or practice
(see ss 7B and also s 7D) be addressed if the requirement or condition is not identified precisely.
[101] Insofar as the first respondent contends that these points of claim express a conclusion where the facts from
which that conclusion is drawn are not stated, in some respects, as the applicant submitted, the relevant material
facts are set out elsewhere in the points of claim. I bear in mind that, as Drummond J noted in Queensland v
Pioneer Concrete, a respondent does not have an absolute right in every case to insist upon the applicant pleading
every fact necessary to show the existence of a complete cause of action, provided a substantial case is presented.
However the applicant’s oral submissions demonstrated that it was by no means obvious which parts of the points
of claim provided the basis for the later conclusions.
[102] Insofar as the first respondent’s contention was that the whole of the claim for indirect discrimination was
vexatious because both direct and indirect discrimination is alleged, an incident (or incidents) of alleged
discrimination may be pleaded as direct or indirect discrimination in the alternative. The same set of facts can be
relied on to allege direct discrimination, indirect discrimination in the alternative, even if such provisions are mutually
exclusive (a matter that I was not addressed). The same may be said for allegations of discrimination on the basis
of sex, or discrimination on the basis of pregnancy (see para 84 of the points of claim). This part of the claim has
not been shown to be vexations.
[103] However I accept the first respondent’s submissions that (as in relation to the allegations of direct
discrimination) the factual basis relied on in relation to each intended allegation of indirect discrimination is not clear
and is pleaded at too high a level of generality to enable the first respondent to know the case that it has to meet.
Again, rather than strike out the points of claim with leave to replead, I propose to require a schedule in tabular form
to be filed and served (modified if necessary to reflect the fact that the allegations relate to the imposition of
conditions) in relation to each allegation of indirect discrimination, its date, nature, the section of the SDA alleged to
be breached, the person(s) alleged to have engaged in the conduct and identification of any vicarious liability or
other secondary liability by date, party and activity. It may be that such a schedule could usefully extend to address
other matters. Again, if the applicant prefers, she may file amended points of claims repleading these parts of the
points of claim.
Paragraph 86
[104] Paragraph 86 appears under the hearing “Victimisation”. It states:
The Paul Brown Conduct was conduct by the Second Respondent, and through him, the Third Respondent, and by retainer
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and agency, by the First Respondent, which was intended to, and did, subject, or threaten to subject the Applicant to a
detriment, on the ground that:
(a) the Applicant had asserted or proposed to assert her rights under the Human Rights and Equal Opportunity Act
1986 (“HREOCA”) and SDA; and/or
(b) the Applicant had made an allegation that the First Respondent had done an act unlawful under Part II of the
SDA.
[105] The first respondent sought that the part of para 86 which reads “and by retainer and agency, by the First
Respondent” should be dismissed or struck out on the basis that no facts, matters or circumstances were pleaded
as to how McCanns was liable for the conduct of Mr Brown and/or Baker and McKenzie “by retainer and agency”.
The second and third respondents sought that the whole of the paragraph should be struck out.
[106] The first respondent contended that Ms Wylie had failed to plead the basis upon which McCanns could be
liable under s 94 of the SDA, which is as follows:
(1) A person shall not commit an act of victimisation against another person.
Penalty:
(a) in the case of a natural person — 25 penalty units or imprisonment for 3 months, or both; or
(b) in the case of a body corporate — 100 penalty units.
(2) For the purposes of subsection (1), a person shall be taken to commit an act of victimisation against another
person if the first mentioned person subjects, or threatens to subject, the other person to any detriment on the
ground that the other person:
(a) has made, or proposes to make, a complaint under this Act or the Australian Human Rights Commission Act
1986; or
(b) has brought, or proposes to bring, proceedings under this Act or the Australian Human Rights Commission Act
1986 against any person; or
(c) has furnished, or proposes to furnish, any information, or has produced, or proposes to produce, any
documents to a person exercising or performing any power or function under this Act or the Australian
Human Rights Commission Act 1986; or
(d) has attended, or proposes to attend, a conference held under this Act or the Australian Human Rights
Commission Act 1986; or
(e) has appeared, or proposes to appear, as a witness in a proceeding under this Act or the Australian Human
Rights Commission Act 1986; or
(f) has reasonably asserted, or proposes to assert, any rights of the person or the rights of any other person
under this Act or the Australian Human Rights Commission Act 1986; or
(g) has made an allegation that a person has done an act that is unlawful by reason of a provision of Part II;
or on the ground that the first mentioned person believes that the other person has done, or proposes to do, an act
or thing referred to in any of paragraphs (a) to (g), inclusive.
(3) It is a defence to a prosecution for an offence under subsection (1) constituted by subjecting, or threatening to
subject, a person to a detriment on the ground that the person has made an allegation that another person had
done an act that was unlawful by reason of a provision of Part II if it is proved that the allegation was false and
was not made in good faith.
[107] The first respondent also relies on the fact that Mr R Davidson, the chief financial officer of the first
respondent, had by his affidavit sworn on 18 March 2009, denied that he had instructed or authorised any person
employed by the Baker and McKenzie to discuss the applicant or the proceedings in a manner not directly
connected with the conduct or resolution of the proceedings; that he was not aware of the dinner party conduct; did
not instruct or authorise it to occur; and was not aware of any other person from McCanns doing so. It was
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submitted that in the face of this evidence, and in circumstances where no facts, matters or circumstances were
pleaded in support of the claim, this part of para 86 should be struck out or dismissed as lacking any reasonable
prospects of success.
[108] Counsel for the applicant submitted in relation to the first respondent’s contentions that whether or not the
retainer itself gave rise to the liability of the applicant was a matter for evidence.
[109] Further, in relation to whether persons other than the second respondent may be liable for unlawful
discrimination consisting of victimisation, even if the first or third respondents could not be vicariously liable for acts
of victimisation by another under ss 105 or 106, the applicant asserted that reliance would be placed on principles
of agency in relation to the first respondent and vicarious liability of an employer for the acts of an employee in the
course of his or her employment in relation to the third respondent.
[110] However I agree with the respondents’ contentions that the points of claim are deficient in that facts, matters
or circumstances are not pleaded in support of the claim in relation to liability of McCanns in such a way as to
enable the first respondent to know the case it has to meet. The assertion “by retainer or agency” does not identify
how by such retainer or agency McCanns could be liable for the Paul Brown conduct.
[111] Even if para 86 was not to be struck out as a whole on this basis, that part of the paragraph which reads “and
by retainer and agency, by the First Respondent” should be struck out, but with leave to replead.
[112] Counsel for the second and third respondents raised more far-reaching concerns about para 86. First,
reliance was placed on r 13.10 in relation not only to the points of claim but also to the underlying claims for relief in
the application as against the second and third respondents. In submissions the second and third respondents
sought that the whole of para 86 be struck out as embarrassing and as failing to disclose a reasonable cause of
action or that the underlying claims for relief be dismissed or stayed as lacking reasonable prospects of success.
[113] Counsel for the second and third respondents referred to the fact that the applicant sought declarations that
conduct was engaged in by each respondent contrary to s 94(1) of the SDA. It was contended that the court had no
jurisdiction in relation to prosecutions for breach of s 94 and that the aiding and abetting and vicarious liability
provisions in the SDA (ss 105–106) did not apply to s 94. On this basis it was submitted that the whole of the
proceedings against the second and third respondents should be permanently stayed or dismissed pursuant to r
13.10 of the FMC Rules.
[114] It was also said that if there was some basis upon which it was alleged that the third respondent was liable
for conduct alleged against the second respondent that would need to be set out.
[115] The second and third applicants also submitted that the detriment referred to in para 86 and that the material
facts relied on to allege that the applicant had asserted or proposed to assert a right under the HREOC Act or the
SDA or that she had made an allegation that McCanns had done an unlawful act under PT II of the SDA (in
subparagraphs of paras (a) and (b)) were not adequately pleaded.
[116] In relation to the detriment alleged, it was said that the applicant had failed to plead the facts by which it was
alleged that the applicant did not further pursue her rights (cf para 87).
[117] In relation to subparas (a) and (b) of para 86 the respondents submitted that while in para 86 reference was
made to a conversation of 17 November 2006 there were said to be no particulars or material facts pleaded as to
how it was that at the time of the conversation of 17 November 2006 the applicant had asserted, or proposed to
assert, the claims in subparas (a) or (b) of para 86, that that was within the knowledge of the second respondent
and/or the other respondents, and that by virtue of this the applicant was subjected to a detriment.
[118] It was contended that on the applicant’s own pleadings the first time the issue of the possibility of an
assertion or proposed assertion of rights under the relevant legislation arose was after the alleged Paul Brown
conduct (that is, in a letter sent to the first respondent three days after the alleged Paul Brown conduct, as pleaded
in para 56).
[119] Counsel for the applicant contended that victimisation constituted unlawful discrimination under the HREOC
Act (now the AHRC Act), that the essential facts constituting the alleged detriment were set in para 87 and that it
was particularised sufficiently to enable the second and third respondents to understand the case they had to meet
in that respect.
[120] It was acknowledged that it was necessary to clarify the basis for the assertions in subparas (a) and (b) of
para 86. However counsel for the applicant referred to the fact that in the statement Ms Wylie made to HREOC she
claimed that she told Mr Brown in the course of the telephone conversation that she thought the way she was
treated was unfair and that she felt discriminated against. It was submitted that the appropriate way to deal with any
issue as to what conduct or what assertion was made was for particulars to be provided, as it was said to be clear
that the basis for the conduct complained of in para 86 was Mr Brown’s conduct described in para 55. The applicant
should have the leave sought to address the issues in relation to subparas (a) and (b) of 86.
[121] Insofar as the respondents seek summary dismissal, in White Industries Aust Ltd v FCT (2007) 160 FCR 298
; [2007] FCA 511 at [58]–[59], Lindgren J suggested that a test in terms such as in r 13.10 was a test of whether
the prospect was real and not fanciful or merely arguable (also see Rogers v Asset Loan Co Pty Ltd (ACN 107 746
798) (2008) 250 ALR 82 ; [2008] FCA 1304 and Interpharma Pty Ltd v Commissioner of Patents (2008) 78 IPR 51).
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However in Rogers v Asset Loan Co Pty Ltd [2007] FCA 195 at [59], Greenwood J suggested that the court would
rarely be satisfied that there was no reasonable prospect of successfully prosecuting a claim, except in the most
transparent of cases, on the strength of the conclusion that an applicant’s statement of claim was deficient in whole
or in part, having regard to the fact that leave to replead might reveal material or facts, within a properly identified
legal framework, that on proof, gave rise to a recognised remedy. In Dandaven v Harbeth Holdings Pty Ltd [2008]
FCA 955 Gilmour J at [6] pointed out that in a case where evidence could “give colour and content to allegations,
and where questions of fact and degree are important, the court should be more reluctant to dismiss a proceeding
on the face of a pleading”.
[122] Such remarks are in point. In particular, as counsel for the applicant pointed out while this court has no
jurisdiction in relation to prosecutions, there is a distinction between the offence of victimisation and victimisation as
unlawful discrimination within the AHRC Act. The definition of “unlawful discrimination” in s 3 of the AHRC Act
includes conduct that is an offence under s 94 (see Lee v Smith [2007] FMCA 59 at [211]).
[123] I am not satisfied that at this stage the claims for relief based on victimisation as unlawful discrimination (as
appears to be intended to be relied on) should be struck out. I note in that respect that in Lee v Smith [2007] FMCA
59 Connolly FM considered that common law principles of vicarious liability and agency could apply to make
persons liable for victimisation by employees or agents (and see Taylor v Morrison [2003] FMCA 79).
[124] Further, while the material facts that the applicant asserted or proposed to assert a right under the HEROC
Act or the SDA and that she had made an allegation that McCann had done an unlawful act under Part II of the
SDA were not pleaded with any specificity I am not satisfied that leave to replead might not reveal material or facts
within a properly identified legal framework that on proof gave rise to a recognised remedy. I am not satisfied that
the second the third respondent have met the onus of establishing that there is no reasonable prospect of
successfully prosecuting the claim in this regard, whether based on the issue of jurisdiction in relation to
victimisation or otherwise.
[125] However there remains the issue of whether material facts providing the basis for the asserted liability of the
first and third respondents have been sufficiently pleaded. Consistent with what is stated above, I am of the view
that this part of para 86 is not adequately pleaded. This paragraph does not sufficiently identify the material facts
which if proved would support the claims that “through him” Baker and McKenzie engaged in the Paul Brown
conduct or that McCanns did so “by retainer and agency” (as to which see the discussion in relation to para 5
above). This part of para 86 should be struck out, but the applicant should have the opportunity to plead the
material facts which if proved would support both these claims, in particular in relation to the relevance of a general
retainer between McCanns and Baker and McKenzie and Mr Brown to the allegation that McCanns “by retainer and
agency” engaged in the Paul Brown conduct.
[126] In conclusion, there are deficiencies in the points of claim. One area of concern is the absence of pleading of
material facts to provide the basis for the manner in which the respective respondents are each alleged to be liable
for conduct of another respondent. The respondents must each be put on notice of the case against each of them
and have an opportunity to respond. The applicant should, however, have the opportunity to replead in this respect.
[127] I have borne in mind that this is the first occasion on which the points of claim have been subject to judicial
scrutiny. The applicant has sought the opportunity to replead some, but not all of the points of claim in question. I
am of the view that the preferable course at this stage, in the interests of the administration of justice, is to order
that certain parts of the points of claim be struck out, but that the applicant have leave generally to file and serve
amended points of claim to address the issues raised by the respondents.
[128] The other area of concern is the pleading in relation to the claims of discrimination made against the first
respondent. While counsel for the applicant provided some clarification in oral submissions, it is important that there
be a clear written record sufficiently identifying the factual matters and issues not clearly addressed in the
pleadings. Hence the need either to amend the points of claim or for the suggested schedule, to enable the first
respondent to determine the case it has to meet and also to ensure that all the alleged instances of discrimination
and the manner in which such matters are said to be within the various parts of the SDA are identified.
[129] I will hear the parties in relation to appropriate directions to progress this matter and on the question of costs.
Order
(1) On or before 2 November 2009 the applicant file and serve either:
(i) a schedule setting out in tabular form the following in relation to each allegation of discrimination under
the Sex Discrimination Act 1984 (Cth):
(a) the date of the alleged discriminatory conduct;
(b) the nature of the alleged discriminatory conduct;
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Wylie v McCann Worldgroup Pty Ltd, [2009] FMCA 959
(c) the section(s) of the Sex Discrimination Act alleged to be breached;
(d) the person(s) alleged to have engaged in the conduct;
(e) identification of any vicarious liability or other secondary liability by date, party and activity;
or
(ii) amended points of claim in which the applicant repleads the facts, matters and circumstances relied on
with respect to each allegation of discrimination by the first respondent.
(2) Paragraphs 75–76 of the points of claim be struck out.
(3) The part of para 86 of the points of claim which reads “and through him, the Third Respondent, and by
retainer and agency, by the First Respondent” be struck out.
(4) The applicant have leave to file and serve amended points of claim on or before 2 November 2009.
Counsel for the applicant: Mr J Darams
Counsel for the first respondent: Ms E Raper
Counsel for the second and third respondents: Mr J Fernon SC
Solicitors for the applicant: Harmers Workplace Lawyers
Solicitors for the respondents: Baker and McKenzie
End of Document