Article 35 GDPR: Difference between revisions
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<br /><center>'''Article 35 - Data protection impact assessment'''</center | <br /><center>'''Article 35 - Data protection impact assessment'''</center> | ||
<span id="1">1. Where a type of processing in particular using new technologies, and taking into account the nature, scope, context and purposes of the processing, is likely to result in a high risk to the rights and freedoms of natural persons, the controller shall, prior to the processing, carry out an assessment of the impact of the envisaged processing operations on the protection of personal data. A single assessment may address a set of similar processing operations that present similar high risks.</span> | <span id="1">1. Where a type of processing in particular using new technologies, and taking into account the nature, scope, context and purposes of the processing, is likely to result in a high risk to the rights and freedoms of natural persons, the controller shall, prior to the processing, carry out an assessment of the impact of the envisaged processing operations on the protection of personal data. A single assessment may address a set of similar processing operations that present similar high risks.</span> |
Revision as of 10:24, 8 March 2022
Legal Text
1. Where a type of processing in particular using new technologies, and taking into account the nature, scope, context and purposes of the processing, is likely to result in a high risk to the rights and freedoms of natural persons, the controller shall, prior to the processing, carry out an assessment of the impact of the envisaged processing operations on the protection of personal data. A single assessment may address a set of similar processing operations that present similar high risks.
2. The controller shall seek the advice of the data protection officer, where designated, when carrying out a data protection impact assessment.
3. A data protection impact assessment referred to in paragraph 1 shall in particular be required in the case of:
- (a) a systematic and extensive evaluation of personal aspects relating to natural persons which is based on automated processing, including profiling, and on which decisions are based that produce legal effects concerning the natural person or similarly significantly affect the natural person;
- (b) processing on a large scale of special categories of data referred to in Article 9(1), or of personal data relating to criminal convictions and offences referred to in Article 10; or
- (c) a systematic monitoring of a publicly accessible area on a large scale.
4. The supervisory authority shall establish and make public a list of the kind of processing operations which are subject to the requirement for a data protection impact assessment pursuant to paragraph 1. The supervisory authority shall communicate those lists to the Board referred to in Article 68.
5. The supervisory authority may also establish and make public a list of the kind of processing operations for which no data protection impact assessment is required. The supervisory authority shall communicate those lists to the Board.
6. Prior to the adoption of the lists referred to in paragraphs 4 and 5, the competent supervisory authority shall apply the consistency mechanism referred to in Article 63 where such lists involve processing activities which are related to the offering of goods or services to data subjects or to the monitoring of their behaviour in several Member States, or may substantially affect the free movement of personal data within the Union.
7. The assessment shall contain at least:
- (a) a systematic description of the envisaged processing operations and the purposes of the processing, including, where applicable, the legitimate interest pursued by the controller;
- (b) an assessment of the necessity and proportionality of the processing operations in relation to the purposes;
- (c) an assessment of the risks to the rights and freedoms of data subjects referred to in paragraph 1; and
- (d) the measures envisaged to address the risks, including safeguards, security measures and mechanisms to ensure the protection of personal data and to demonstrate compliance with this Regulation taking into account the rights and legitimate interests of data subjects and other persons concerned.
8. Compliance with approved codes of conduct referred to in Article 40 by the relevant controllers or processors shall be taken into due account in assessing the impact of the processing operations performed by such controllers or processors, in particular for the purposes of a data protection impact assessment.
9. Where appropriate, the controller shall seek the views of data subjects or their representatives on the intended processing, without prejudice to the protection of commercial or public interests or the security of processing operations.
10. Where processing pursuant to point (c) or (e) of Article 6(1) has a legal basis in Union law or in the law of the Member State to which the controller is subject, that law regulates the specific processing operation or set of operations in question, and a data protection impact assessment has already been carried out as part of a general impact assessment in the context of the adoption of that legal basis, paragraphs 1 to 7 shall not apply unless Member States deem it to be necessary to carry out such an assessment prior to processing activities.
11. Where necessary, the controller shall carry out a review to assess if processing is performed in accordance with the data protection impact assessment at least when there is a change of the risk represented by processing operations.
Relevant Recitals
Commentary
Article 35 requires the controller to carry out a Data Protection Impact Assessment (DPIA) when a certain processing operation, or a set of operations with similar characteristics, presents a high risk to the rights and freedoms of natural persons. The DPIA, is one of the most innovative elements of the accountability principle (see Article 24 GDPR). takes into account the nature, scope, context and purposes of the processing, evaluates its potential risks and consider any remedy which can minimise or reduce such risks. The provision in question regulates the cases in which the DPIA is mandatory, what the minimum content is and other procedural aspects relating to the process of forming the analysis.
(1) Mandatory DPIA
The DPIA is an analysis document that takes into account the nature, scope, context and purposes of the processing, evaluates its potential risks and consider any remedy which can minimise or reduce such risks.[1] The party required to prepare the DPIA is the controller. Processors and device manufacturers are therefore not responsible for preparing the analysis.[2] However, under Article 28(3)(f) GDPR, the processor shall assist the controller by providing all necessary information. The DPO is also involved in the drafting of the DPIA under Article 35(2) GDPR and Article 39(1)(c) GDPR. The DPO’s advice is recorded by the controller. Data subjects can also be involved in the preparation of the document as stipulated by Article 35(9) GDPR.
Controllers must carry out a DPIA only if the processing “is likely to result in a high risk to the rights and freedoms of natural persons”.[3] Therefore, WP29 considers that a DPIA is not required[4] when: (i) the processing is not "likely to result in a high risk to the rights and freedoms of natural persons"; (ii) the nature, scope, context and purposes of the processing are very similar to the processing for which DPIA have been carried out;[5] (iii) the processing operations have been checked by a supervisory authority before May 2018 in specific conditions that have not changed;[6] a processing operation, pursuant to point (c) or (e) of article 6(1), has a legal basis in EU or Member State law, where the law regulates the specific processing operation and where a DPIA has already been carried out as part of the establishment of that legal basis (Article 35(10) GDPR);[7] the processing is included on the optional list (established by the supervisory authority) of processing operations for which no DPIA is required (Article 35(5) GDPR).[8]
The DPIA must take place before the processing begins. If the processing began before the GDPR came into force there is logically no possibility of a prior impact assessment.[9] However DPIAs should be seen as a continuous process rather than as a one-time exercise.[10] For these reasons, it would be advisable to carry out a new DPIA in such circumstances.
(2) Involvement of the Data Protection Officer
Where an obligation to carry out the DPIA exists, the Data Protection Officer (DPO) has to be involved in the procedure. The controller has to consult the designated DPO for their advice.[11] The DPO involvement should be documented in writing in order to demonstrate that the advice has been sought. The controller is not obliged to follow the DPO’s opinion. In this case, the controller should motivate and document its reasons.[12]
(3) Likely to Result in a High Risk
Article 35(3) provides enumerates a list of “inherently” risky processing operations which always require a previous DPIA. This is the case, when processing involves (a) a systematic and extensive evaluation of personal aspects relating to natural persons which is based on automated processing, including profiling, and on which decisions are based that produce legal effects concerning the natural person or similarly significantly affect the natural person; (b) processing on a large scale of special categories of data referred to in Article 9(1) GDPR, or of personal data relating to criminal convictions and offences referred to in Article 10 GDPR; or (c) a systematic monitoring of a publicly accessible area on a large scale. The above-mentioned circumstances, however, do not constitute an exclusive list. It follows that a DPIA may be required also for different types of processing which are not mentioned in the list.[13]
The use of the phrase "in particular" means that the list provided by Article 35(3) GDPR is not exhaustive. On the basis of this argument, the WP29 has developed a list of criteria for assessing the high risk of a certain type of processing, including, among others, the existence of assessment or scoring operations, the presence of automated decision-making, systematic monitoring, the use of particular categories of data, the existence of large-scale data processing, matching operations between different databases, personal data relating to vulnerable individuals, the use of new technologies and, finally, the fact that the processing may inhibit the data subject from exercising his or her rights or using a certain service.[14]
In most cases, a data controller can consider that a processing meeting two criteria would require a DPIA to be carried out. In general, the WP29 considers that the more criteria are met by the processing, the more likely it is to present a high risk to the rights and freedoms of data subjects, and therefore to require a DPIA, regardless of the measures which the controller envisages to adopt. However, "in some cases, a data controller can consider that a processing meeting only one of these criteria requires a DPIA". Conversely, a processing operation may correspond to the above mentioned cases and still be considered by the controller not to be “likely to result in a high risk”. In such cases "the controller should justify and document the reasons for not carrying out a DPIA".[15]
(4)(5) Specifications through DPAs
Every DPA shall establish a list of processing operations for which a DPIA is always required ("positive" list) under Article 35(1) GDPR. At the same time, the DPAs may draft a list of processing operations which do not require a DPIA ("negative" list).[16] In both cases, the national DPAs are obliged to communicate the lists to the EDPB according to Article 68 GDPR. The lists are available online on the EDPB's website.[17]
(6) Consistency Mechanism is Required in Certain Cases
Where the lists referred to in paragraph 4 and 5 involve processing activities which are related to the offering of goods or services to data subjects or to the monitoring of their behaviour in several Member States, or may substantially affect the free movement of personal data within the Union, the competent supervisory authority shall communicate them to the EDPB and apply the consistency mechanism referred to in Article 63 GDPR.
(7) DPIA Minimum Requirements
Article 35(7) GDPR sets out a list of minimum requirement which shall be dealt with in the DPIA.
To begin, under Article 35(7)(a) GDPR, the assessment must provide a systematic description of the envisaged processing operations and its purposes. In practice, the first step of the DPIA must provide a clear description of the processing operations under observation. This step includes the description of the data flow and the systematic indication of the legal basis of the processing, including any legitimate interests pursued by the controller.
In accordance with Article 35(7)(b) GDPR, the assessment will then have to ponder and explain the necessity and proportionality of each processing with regard to the single purpose pursued. The controller shall explain for which reason a processing or a set of processing is necessary to pursue a specific purpose. In doing so, it also has to justify why other less intrusive processing is not suitable for the purpose.
Article 35(7)(c) GDPR requires the controller to include an assessment of the risks to the rights and freedom of data subjects. A “risk” is a scenario describing an event and its consequences, estimated in terms of severity and likelihood.[18] Risks can exist both within the controller's organization (e.g. employees, trainees, consultants) and from outside (e.g. hackers, suppliers) and do not have to be caused exclusively by humans (harmful computer code, animals, fire, natural disasters). The single risk is calculated by comparing the potential damage with the probability of its occurrence.[19] It is generally possible to distinguish between “implied risk” and “residual risk”. The former refers to the probability of bad consequences if no preventive measures are taken by the controller. The latter is, on the contrary, the possible negative impact which is possible after certain measures are adopted.[20]
Finally, under Article 35(7)(d) GDPR, the controller must select appropriate measures to mitigate the risk. These measures may be technical or organisational in nature, including legal safeguards arising from contracts or other legal sources. The controller shall then apply these measures to the previously identified risks and verify the extent to which they contribute to risk reduction. This makes it possible to calculate the so-called 'residual risk', which is the risk that cannot be eliminated even after the containment measures have been applied.[21]
The data protection impact assessment must be documented, otherwise the controller would not be able to "systematically describe" the envisaged processing (Article 35(7)(a) GDPR) or share the assessment with the data protection authority under Article 36 GDPR. In general, the written form is the only way to provide proof of compliance. The GDPR does not require the publication of the report, but in the interests of transparency towards data subjects, the essential parts of the impact assessment report can and should be published or at least made available to interested parties.[22]
Finally, Article 35(7) GDPR does not provide specific guidance on the structure, content and methodology of the DPIA. In order to facilitate the controller's task, some data protection authorities have provided DPIA templates.[23] There is no obligation to use one or more of these models. However, they can be used as a methodological guide or template for an impact assessment.
(8) Codes of Conducts
Compliance with approved codes of conduct referred to in Article 40 GDPR by the relevant controllers or processors shall be taken into due account in assessing the impact of the processing operations performed by such controllers or processors, in particular for the purposes of a data protection impact assessment. Using an approved code of conduct significantly lower the effort for conducting the impact assessment and demonstrating compliance. However, there is no automatism that adherence to approved rules of conduct guarantees sufficient risk reduction in the specific case.[24]
(9) Data Subjects May be Involved in the Drafting of the DPIA
Under Article 35(9) GDPR, the controller, “where appropriate” may “seek the views of data subjects or their representatives on the intended processing”.[25] A tool to increase the transparency of the processing and the involvement of (potential) data subjects on the essential elements of the processing. Whether this is an obligatory or voluntary step is not entirely clear. Some authors focus on one part of the text ('where appropriate') and conclude that it is merely an option.[26] This view, however, does not seem conclusive. The case, in fact, provides that 'where appropriate' the controller 'shall' seek the data subject's advice. The law does not use the verb "may" or "can", but the obligation "shall". This means that, where 'appropriate', the controller must seek the data subject's advice. Accordingly, we believe that the controller must give precise reasons as to whether the consultation is appropriate or not. The same effort seems to be required in case the controller do involve the data subjects but then decide to overcome their negative feedback.
(10) National Exemptions
There is no obligation to conduct a DPIA when the processing is based on European or member state law in terms of Article 6(1)(c) or (e) GDPR for which the law maker already conducted a general impact assessment (see also Recital 93 GDPR). In this regard, the law maker can decide to shift the DPIA to the process of law-making in order to reduce the resulting bureaucracy for public institutions relying on that law for their processing of personal data.[27] However, the law maker is not obliged to do so and can still request controllers to carry out their own DPIA.
(11) Review of Processing and Updates
Article 35(11) GDPR requires the controller to assess if processing is performed in accordance with the data protection impact assessment. The fact that the DPIA may need to be updated once the processing has actually started is not a valid reason for postponing or not carrying out a DPIA. The DPIA is an ongoing process, especially where a processing operation is dynamic and subject to ongoing change. Carrying out a DPIA is a continual process, not a one-time exercise.[28]
Decisions
→ You can find all related decisions in Category:Article 35 GDPR
References
- ↑ The minimum content of the DPIA is described in detail in paragraph 7 below.
- ↑ Hansen, in BeckOK DatenschutzR, Article 35 GDPR, margin number 10 (Beck 2020, 36th ed.) (accessed 25 February 2022).
- ↑ For a detailed analysis of which processing operations are “likely to result in high risks”, please refer to the commentary on paragraph 3.
- ↑ WP29, Guidelines on Data Protection Impact Assessment (DPIA) and determining whether processing is “likely to result in a high risk” for the purposes of Regulation 2016/679 , 4 October 2017, p. 12-13.
- ↑ In such cases, the controller may use the results of a DPIA already carried out for similar processing (Article 35(1), last sentence GDPR).
- ↑ "Commission decisions adopted and authorisations by supervisory authorities based on Directive 95/46/EC remain in force until amended, replaced or repealed" (Recital 171).
- ↑ Except if Member state law states it to be necessary to carry out a DPIA prior processing activities.
- ↑ Such a list may contain processing activities that comply with the conditions specified by this authority, in particular through guidelines, specific decisions or authorizations, compliance rules, etc. (e.g. in France, authorizations, exemptions, simplified rules, compliance packs…). In such cases, and subject to re-assessment by the competent supervisory authority, a DPIA is not required, but only if the processing falls strictly within the scope of the relevant procedure mentioned in the list and continues to comply fully with all the relevant requirements of the GDPR.
- ↑ Hansen, in BeckOK DatenschutzR, Article 35 GDPR, margin number 19 (Beck 2020, 36th ed.) (accessed 25 February 2022).
- ↑ Kosta, in Kuner et al., The EU General Data Protection Regulation (GDPR), Article 35 GDPR, p. 675 (Oxford University Press 2020).
- ↑ Jandt, in Kühling, Buchner, DS-GVO BDSG, Article 35 GDPR, margin number 18 (Beck 2020, 3rd ed.) (accessed 19 August 2021).
- ↑ Hansen, in BeckOK DatenschutzR, Article 35 GDPR, margin number 23 (Beck 2020, 36th ed.) (accessed 25 February 2022).
- ↑ Karg, in Simitis, Hornung, Spieker, Datenschutzrecht, Article 35 GDPR, margin number 36 (Beck 2019, 1st ed.) (accessed 19 August 2021).
- ↑ The reader is invited to consult, WP29, Guidelines on Data Protection Impact Assessment (DPIA) and determining whether processing is “likely to result in a high risk” for the purposes of Regulation 2016/679 , 4 October 2017, pp. 9-10.
- ↑ WP29, Guidelines on Data Protection Impact Assessment (DPIA) and determining whether processing is “likely to result in a high risk” for the purposes of Regulation 2016/679 , 4 October 2017, p. 11-12.
- ↑ Where a supervisory authority draws up such a negative list, attention must be paid to the detailed description of the processing operations so that the controller does not run the risk of misunderstanding the entries and thus refrains from carrying out the data protection impact assessment and possibly also taking the necessary remedial measures despite a likely high risk. See, Hansen, in BeckOK DatenschutzR, Article 35 GDPR, margin number 36 (Beck 2020, 36th ed.) (accessed 25 February 2022).
- ↑ Available here: https://edpb.europa.eu/our-work-tools/consistency-findings/register-for-decisions_el?f%5B0%5D=register_decisions_topic%3A138
- ↑ WP29, Guidelines on Data Protection Impact Assessment (DPIA) and determining whether processing is “likely to result in a high risk” for the purposes of Regulation 2016/679, 4 April 2017, p.6.
- ↑ Schwendemann, in Sydow, Europäische Datenschutzgrundverordnung, Article 35 GDPR, margin number 27 (Beck 2018, 2nd ed.) (accessed 25 February 2022).
- ↑ Under Article 35(8) GDPR, compliance with approved codes of conduct referred to in Article 40 GDPR by the relevant controllers or processors “shall be taken into due account in assessing the impact of the processing operations performed by such controllers or processors, in particular for the purposes of a data protection impact assessment.”
- ↑ Hansen, in BeckOK DatenschutzR, Article 35 GDPR, margin number 49 (Beck 2020, 38th ed.) (accessed 25 February 2022).
- ↑ WP29, Guidelines on Data Protection Impact Assessment (DPIA) and determining whether processing is “likely to result in a high risk” for the purposes of Regulation 2016/679, 4 April 2017, p. 18.
- ↑ The French CNIL provides specific guidance as well as a software for carrying out an impact assessment (here). The Belgian DPA provides a recommendation on data protection impact assessment (here). The Spanish DPA has also published similar guidance on its website (here). (All accessed on the 25.2.2022)
- ↑ Hansen, in BeckOK DatenschutzR, Article 35 GDPR, margin number 59 (Beck 2020, 38th ed.) (accessed 25 February 2022).
- ↑ These can be, for example, works and staff councils, trade unions, consumer protection associations or civil society groups. Unless there is an obligation to participate due to other legal norms, it is left to the controller to take care of the data subjects' views. See, Hansen, in BeckOK DatenschutzR, Article 35 GDPR, margin number 61 (Beck 2020, 38th ed.) (accessed 25 February 2022).
- ↑ Baumgartner in Ehman, Selmayr, Datenschutz-Grundverordnung, Article 35 GDPR, margin number 70-71 (Beck 2018, 2nd ed.) (accessed 25.2.2022).
- ↑ Karg, in Simitis, Hornung, Spieker, Datenschutzrecht, Article 35 GDPR, margin number 58 (Beck 2019, 1st ed.) (accessed 19 August 2021).
- ↑ WP29, Guidelines on Data Protection Impact Assessment (DPIA) and determining whether processing is “likely to result in a high risk” for the purposes of Regulation 2016/679, 4 April 2017, p.14.