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High Court - 2023 640 JR

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High Court - 2023 640 JR
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Court: High Court (Ireland)
Jurisdiction: Ireland
Relevant Law: Article 45(1) GDPR
Article 49(1)(d) GDPR
Decided: 22.03.2024
Published:
Parties: A
B
THE MINISTER FOR JUSTICE
IRELAND
ATTORNEY GENERAL
THE INTERNATIONAL PROTECTION APPEALS TRIBUNAL
National Case Number/Name: 2023 640 JR
European Case Law Identifier:
Appeal from:
Appeal to: Unknown
Original Language(s): English
Original Source: Courts.ie (in English)
Initial Contributor: ONewman

The Irish High Court dismissed claims by two applicants alleging GDPR breaches in data transfers to the UK under Article 45(1) and Article 49(1)(d). The court upheld the safe third country system, citing sufficient alternative remedies under Irish law.

English Summary

Facts

In 2023, two applicants challenged decisions under Ireland's safe third country return system. Applicant A argued that the Minister improperly relied on the UK adequacy decisions, which exclude immigration-related data transfers, to justify the return order. Applicant B claimed the system lacked adequate data protection equivalent to the Dublin III Regulation. Both cases centered on the transfer of personal data to the UK during the immigration process, alleging GDPR violations. However, neither applicant pursued data protection remedies with the Irish Data Protection Commissioner. The State defended the data transfers, citing public interest grounds under Article 49(1)(d) GDPR and emphasizing the necessity of data exchange for the functioning of the Common Travel Area (CTA), a long-standing arrangement enabling free movement between Ireland and the UK.

Holding

The court concluded that alleged GDPR breaches did not invalidate the safe third country return system. It found that existing remedies under the Data Protection Act 2018, such as complaints to the Data Protection Commissioner, were sufficient to address potential violations. Furthermore, the court upheld the legality of data transfers under Article 49(1)(d) GDPR, citing public interest in maintaining fair and effective immigration control and the CTA’s operation. The judgment emphasized that broader questions of GDPR compliance in the immigration context require fuller evidence and more focused proceedings.

Comment

The court declines to determine the lawfulness of data transfers, particularly in relation to the CTA, as no sufficient evidence has been presented regarding the nature or extent of any data breach. The court emphasizes the importance of ensuring alternative remedies exist in judicial review proceedings and exercising discretionary jurisdiction only where appropriate. While data privacy and protection rights, particularly concerning the safe third-country process, are significant, the court concludes that the present legal and factual context does not permit a comprehensive examination of these issues. The court notes that any determination regarding the lawfulness of data transfer in the immigration context should await a case where the matter is fully argued and supported by adequate evidence.

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English Machine Translation of the Decision

The decision below is a machine translation of the English original. Please refer to the English original for more details.

THE HIGH COURT
                                        [2024] IEHC 183

                                  2023 104 JR, 2023 640 JR
IN THE MATTER OF SECTION 5 OF THE ILLEGAL IMMIGRANTS

          (TRAFFICKING) ACT 2000, AS AMENDED



                RECORD NO. 2023/104JR



                          A
                                           APPLICANT



                        AND

  THE MINISTER FOR JUSTICE, IRELAND AND THE ATTORNEY
                      GENERAL

                                        RESPONDENTS



                        AND


                RECORD NO. 2023/640JR

                          B


                                           APPLICANT

                        AND

 THE INTERNATIONAL PROTECTION APPEALS TRIBUNAL AND
THE MINISTER FOR JUSTICE AND EQUALITY, IRELAND AND THE

                 ATTORNEY GENERAL

                                        RESPONDENTS


JUDGMENT OF Ms. Justice Siobhán Phelan, delivered on the 22 day of March, 2024.TABLE OF CONTENTS


INTRODUCTION                                                                                 2

GENERALBACKGROUNDAND RWANDAPOLICY                                                            4

LEGALFRAMEWORKAPPLICABLE TO INADMISSIBILITYAND RETURN DECISIONS                              8


PROCEEDINGS                                                                                 13

  A PPLICANTA                                                                               13

  A PPLICANTB                                                                               24


DESIGNATION OF UKAS ASAFE THIRD COUNTRY                                                     29

ISSUES                                                                                      32

DISCUSSION AND DECISION                                                                     33


  SAFE THIRD COUNTRY D ESIGNATION- DEVELOPMENT OF EU AND DOMESTIC L EGALFRAMEWORK           33

  IS THEDESIGNATION ULTRA VIRES?                                                            41

  IS THEREA POWER TO DESIGNATE LOST BY REASON ON ON-TRANSPOSITION BEFORED ECEMBER ,2008?    41

  D OES THE PRINCIPLE OF N-REGRESSION PRECLUDE LATE PROVISION FOR DESIGNATI?N               44
  IS THEPOWER TO D ESIGNATEUNLAWFUL IN THE ABSENCE OFS AFEGUARDS M ANDATED UNDER A RTICLE38 OF

  THE RECAST PROCEDURES  DIRECTIVE?                                                         47

  IS DESIGNATION UNLAWFUL BY REASON OF BREACH OF THE REVIEW REQUIREMEN?                     52

  IS THEREAN OBLIGATION ON THEM INISTER TO CONSIDER RISK OF RIGHTS VIOLATIONS BEFORE MAKINGA

  RETURN ORDER UNDER S . 51A?                                                               59

  IS DESIGNATION RENDERED UNLAWFUL BY REASON OF BREACH OFDATA PROTECTION RIGHTS IN ITS
  IMPLEMENTATION ?                                                                          66

  R ATIONALITY OFDESIGNATION                                                                79

  W AS THEM INISTERSASSESSMENT OF PROHIBITION OF REFOULEMENT UNLAWFUL OR IRRATIONALAS

  CONTRARYTO S . 50AOF THE2015 ACT ?IS THE CHALLENGE TO THIS DECISIONACOLLATERALATTACK ON THE

  INADMISSIBILITYDECISION?                                                                  79

  W AS THET RIBUNALINADMISSIBILITYD ECISION IAPPLICANT B’S CASERRATIONAL ?                  82
  W HETHER THE DECISION UNDER .50A IS CAPTURED BY . OF THEILLEGAL IMMIGRANTS (TRAFFICKING)

  A CT, 2000?                                                                               84

  STANDING                                                                                  86

  L ACK OFCANDOUR                                                                           87

CONCLUSION                                                                                  90





INTRODUCTION


1.     In December,2020,contemporaneouswith thewithdrawaloftheUnitedKingdomfrom


the EU, the Minister for Justice and Equality (hereinafter “the Minister”) signed theInternational Protection (Safe Third Country) Order 2020 (S.I. No. 725 of 2020) into law in

exercise of the power vested under s. 72A of International Protection Act 2015 (hereinafter
“the 2015 Act”) (as inserted by section 117 of the Withdrawal of the United Kingdom from the

European Union (Consequential Provisions) Act 2020) thereby designating the United

Kingdom of Great Britain and Northern Ireland as a safe third country for the purpose of the

2015 Act in December, 2020 (hereinafter “the 2020 Designation Order”).


2.      The concept of safe third country refers to a country transited by an applicant for

international protection which is considered safe for the provision of international protection.
The concept is different from and should not be confused with the separate and distinct safe

country of origin concept which applies to a country whose own citizens are not persecuted

(provided for under s. 72 of the 2015 Act).


3.      These proceedings concern the lawfulness of this designation of the United Kingdom

and Great Britain as a safe third country in the light of a contentious immigration policy known

as “the Rwanda Policy” currently being pursued by the UK Government. Under the Rwanda
Policy the UK Government seeks to transfer asylum seekers to Rwanda for the further

processing in Rwanda of their claims.


4.      In the light of the Rwanda Policy, the Applicants challenge the lawfulness of decisions

made under the 2015 Act to: (i) refuse to admit each of two applicants of differing nationalities

to the protection process in this jurisdiction; and (ii) return them to the UK for further
processing of their protection claims in reliance on its safe country designation.



5.      Even more fundamentally these proceedings call into question the very legal basis for
giving effect in the State to a safe third country concept in circumstances where Ireland’s

asylum policy is subject to a common EU policy on asylum and operates within the framework

of a Common European Asylum System (“CEAS”).


6.      These two cases have been identified as lead cases and raise issues of principle which

are common to a significant number of other cases. Both cases come before me as applications

for relief in judicial review proceedings in a telescoped hearing and without applications for

leave being first determined. While there is considerable overlap between the issues raised,
the cases are not identical. Proceedings have been commenced in each at different stages ofthe admissibility and returns process provided for in cases where the safe third country concept

is applied. In view of the leading nature of the proceedings and slight differences in evidence
as between the cases, I have decided to deal with both cases together, distinguishing between

them only to the extent necessary to address issues unique to one only of the cases.



GENERALBACKGROUNDAND RWANDA POLICY


7.     The so-called “Rwanda policy” refers to a UK Government Policy stated to have been
developed in response to an increase in the number of people crossing the English Channel in

small boats and seeking asylum on arrival in the UK. Under the Policy the UK Government

intends to send some people arriving in the UK in small boats and via other ‘inadmissible’
routes, to Rwanda for further processing of their international protection claims.



8.     To give effect to the Rwanda Policy, an agreement between the UK and Rwandan

governments was reached in April 2022 as part of a ‘Migration and economic development
partnership’ (MEDP) which included an asylum partnership agreement, signed as a non-

binding memorandum of understanding (MoU) by the two countries.



9.     Under the terms agreed, those arriving in the UK without permission, with certain
exceptions, could be relocated to Rwanda during a trial period. Those making asylum claims

would have these determined in Rwanda by the Rwandan authorities and those granted refugee

status would stay in Rwanda, ineligible to return to the UK. As part of the agreement, the UK
government was to provide development funding to Rwanda. The MEDP further provided for

the UK to pay additional processing and integration costs for each relocated person.



10.    The Nationality and Borders Act 2022 and the Illegal Migration Act 2023 together
provideforrules on ‘inadmissible’asylum claims andrepresent thestatutory frameworkwithin

which the Rwanda Policy was intended to operate. Section 16 of the Nationality and Borders

Act 2022 allows for asylum claims from individuals with a connection to a ‘safe third state’ to
be declared inadmissible to the UK’s asylum system allowing for the removal of such

individuals to a safe third state that agrees to receive them, without first having to consider any

asylum claim. The Illegal Migration Act 2023 makes further provision for removal of persons

arriving in the UK without permission on or after 20 July 2023, where they did not comedirectly from a country in which their life and liberty were threatened regardless of whether an

individual had made a claim for asylum.


11.     The provisions outlining the removal duty and associated requirement to disregard

asylum claims from persons meeting the criteria for removal were not yet in force on the date

of hearing before me.


12.     In consequence of a series of legal challenges to removals and court rulings in the UK

(AAA & Ors. v Secretary of State for the Home Department), the Rwanda Policy has not yet
been implemented. The first planned flight to Rwanda was cancelled following interim

measures issued by the European CourtofHuman Rights (ECtHR)in Strasbourgunder its ‘rule

39’inJune,2022in thematterof N.S.K.v.theUnitedKingdom(no.28774/22). TheStrasbourg

Court ruled that an applicant should not be removed to Rwanda until ongoing judicial review
had been determined. The Strasbourg Court only intervened by granting interim measures,

however, when applications for injunctive relief in the said judicial review proceedings were

unsuccessful before the UK High Court, Court of Appeal and Supreme Court in June, 2022.
The ECHR determined that were N.S.K. removed to Rwanda before the policy’s legality was

determined, he may face “treatment contrary to [his] Convention rights” and a “real risk of

irreversible harm” due to the “lack of any legally enforceable mechanism for [his] return.”

Interim orders were also granted in several other cases in June, 2022.


13.     The challenge to the policy proceeded by way of judicial review to the UK High Court.

In December 2022, that court ruled that it was lawful for the government to make arrangements
for relocating asylum seekers to Rwanda and for their asylum claims to be determined in

Rwanda rather than in the United Kingdom (AAA & Ors. v Secretary of State for the Home

Department [2022] EWHC 3230 (Admin)(19th December, 2022). Several of the claimants

were granted permission to appeal against the judgment of the High Court. The interim
measures which had been granted by the European Court of Human Rights were discharged

following the decision of the High Court in the light of orders quashing removal orders in

individual cases for inadequate reasoning and failure to consider the evidence put forward, it

having been confirmed that the UK Government were not appealing against the quashing of
the removal orders in individual cases notwithstanding the appeal against the finding that the

policy itself was lawful.14.    On the 29th of June 2023, the Court of Appeal ruled, by a majority of two to one, that

the Rwanda policy was unlawful (AAA & Ors. v Secretary of State for the Home Department
[2023] 1 WLR 3202; [2023] EWCA Civ. 745). The decision of the majority was that the

deficiencies in the asylum system in Rwanda were such that there were substantial grounds for

believing that there was a real risk that persons sent to Rwanda will be returned to their home

countries where they faced persecution or other inhumane treatment, when, in fact, they had a
good claim for asylum with the result that Rwanda could not be considered a “safe third

country”. This conclusion was founded on the evidence before the High Court that Rwanda’s

system for deciding asylum claims was, in the period up to the conclusion of the Rwanda
agreement, inadequate.



15.    The Court of Appeal in turn gave permission for the case to go to the Supreme Court.

On the 15th of November, 2023 the Supreme Court unanimously upheld the Court of Appeal’s
decision that the Rwanda policy was unlawful (AAA & Ors. v Secretary of State for the Home

Department [2023] 1 WLR 4433; [2023] UKSC 42). The Supreme Court concluded that the

Court of Appeal was correct to reverse the decision of the Divisional Court and was entitled to
find that there were substantial grounds for believing that the removal of the claimants to

Rwanda would expose them to a real risk of ill-treatment by reason of refoulement, making the

policy unlawful.


16.    In its judgment in AAA & Ors. v Secretary of State for the Home Department, the

Supreme Court noted Rwanda’s human rights record, evidence from the UNHCR, the UN

Refugee Agency, of “serious and systematic defects in the Republic of Rwanda’s procedures
and institutions for processing asylum claims”, and that Rwanda had previously “failed to

comply with an explicit undertaking to the government of Israel to comply with the principle of

non-refoulement”. The Supreme Court dismissed a cross-appeal from one of the applicants

alleging that the Rwanda policy was unlawful and incompatible with retained EU law because
Articles 25 and 27 of the Procedures Directive only permit removal to a third country (such as

Rwanda) if asylum seekers have a connection to that country. The cross-appeal was dismissed

on the basis that these provisions no longer have any effect in the U.K. as those articles are not

"retained" EU law.


17.    Following the Supreme Court judgment, the UK Government decided to pursue

measures aimed at making the Rwanda policy lawful by addressing risks identified by thatCourtinAAA&Ors.vSecretaryofStatefortheHomeDepartment [2023]1 WLR4433;[2023]

UKSC 42 by seeking to ensure consistency with international law. Specific measures adopted
included upgrading the agreement reflected in the MoU to a treaty signed in early December,

2023. The new treaty features an independent monitoring committee (already established

under the earlier MoU) to ensure compliance with the obligations in the treaty, such as

reception conditions, processing of asylum claims, and treatment and support for individuals
and a new appeal body. Notably, on the 22nd of January 2024 the House of Lords resolved

that the treaty should not be ratified.


18.    In tandem with the new treaty, the UK Government alsopublishedits Safety ofRwanda

(Asylum and Immigration) Bill in draft form on the 6th of December 2023, the same date that

it laid the new UK-Rwanda treaty before Parliament. Through its terms the Safety of Rwanda

(Asylum and Immigration) Bill sought to insulate future removals from further challenges in
the domestic courts. As at the date of hearing before me a the Safety of Rwanda (Asylum and

Immigration) Bill had not been enacted.


19.    A range of bodies have expressed views on the legality of the government’s plans.

UNHCR has previously said the UK-Rwanda asylum partnership will “shift responsibility for

making asylum decisions and protecting refugees” (see UNHCR, Analysis of the Legality and

Appropriateness of the Transfer of Asylum­ Seekers under the UK-Rwanda arrangement, 8th
of June, 2022). Furthermore, UNHCR argues that “externalising asylum obligations poses

serious risks for the safety of refugees”. It contends that the UK-Rwanda asylum partnership

arrangement “proposes an asylum model that undermines global solidarity and the established
international refugee protection system”, and therefore “is not compatible with international

refugee law”.



20.    In an updated analysis report published on the 15th of January 2024, the agency said
that it maintained its position that the “arrangement, as now articulated in the UK-Rwanda

partnership treaty and accompanying legislative scheme, does not meet the required standards

relating to the legality and appropriateness of the transfer of asylum seekers and is not

compatible with international refugee law” (UNHCR/UN Refugee Agency, ‘UNHCR analysis
of the legality and appropriateness of the transfer of asylum seekers under the UK-Rwanda

arrangement: An update’, 15 January 2024).21.     Other bodies have also expressed a view that the proposed legislation in the form of

Safety of Rwanda (Asylum and Immigration) Bill is incompatible with international law. The
Bar Council of England and Wales has expressed serious doubts as to whether it is appropriate

todeemRwandatobesafeforthepurposesofmeetingtheUK’sinternationalobligationsunder

the European Convention on Human Rights and the Refugee Convention. The Bar Council of

England and Wales concluded that the bill required “very careful consideration by Parliament
before it progresses”. It said the bill, “on any view, sails very close to the wind in terms of what

is acceptable from a rule of law and European Convention [on] Human Rights perspective.

Legal challenges are therefore almost inevitable” (see Bar Council statement of 15th
November 2023). Some have gone further and have posited that the Bill, if passed, would be

unlawful as contrary to the rule of law because it would amount to a legislative usurpation of

the judicial function, contrary to the UK’s constitutional understanding of the separation of

powers, which requires the legislature to respect the essence of the judicial function.


22.     It is against this evolving background, repeatedly described as a “state of flux” during

the hearing before me, that the issues in these proceedings arise for determination. For reasons
which will become apparent, however, it is not necessary for me to decide in these proceedings

whether the UK can be considered a safe third country for international protection seekers at

this time.


LEGAL FRAMEWORK APPLICABLE TO INADMISSIBILITY AND RETURN

DECISIONS

23.     The Applicants are both the subject of determinations under s. 21 of the 2015 Act (as

amended) that their applications for international protection status are inadmissible. In each

case, the inadmissibility determination was made in reliance on the applicant’s connection with
the United Kingdom and its designation as a safe third country under the 2015 Act.



24.     To properly understand and contextualise the issues arising in these proceedings it is

necessary to consider the inadmissibility procedure provided for under the 2015 Act, the
legislative amendments providing for safe third country designation and consequential

implications for the prohibition on refoulement and the return of persons whose applications

have been determined as inadmissible. It will subsequently be necessary to examine these
domestic provisions (pre-existing and new) with a view to assessing compliance of Irishprovisions in relation to the designation of safe third countries with the relevant EU legal

framework.


25.     The power at the heart of these proceedings, namely the power to designate a safe third

country for the purposes of examination of claims for international protection, was prescribed

for the first time in 2020 in conjunction with the withdrawal of the United Kingdom from the
EU. The Withdrawal of the United Kingdom from the European Union (Consequential

Provisions) Act 2020 (hereinafter “the 2020 Act”) deals with a wide range of matters

consequent on the withdrawal of the United Kingdom from membership of the European
Union. It makes provision for, inter alia, the protection and maintenance of the Common

Travel Area (hereinafter “the CTA”) between the State and the United Kingdom and the rights

and privileges associated therewith, giving further effect to Council Directive 2005/85/EC of

1 December 2005 on minimum standards on procedures in Member States for granting and
withdrawing refugee status (hereinafter “the Procedures Directive”) and an admissibility

process for persons whose applications for international protection are determined to be

inadmissible.


26.     The 2015 Act was amended in a number of material ways by the 2020 Act (Part 18:

International Protection). For these proceedings, it is necessary to focus on four particular

amendments, namely:


        a)     theinsertion ofanewpowerto designateacountryas asafethirdcountry (under

               s. 122 of the 2020Act by insertion of s. 72A into the 2015Act);
        b)     the addition of a new basis for treating a protection application as inadmissible

               arising from a connection with a designated safe third country (under s. 119 of

               the 2020Act by insertion of s. 21(2)(c), s.21(17) and (18) into the 2015Act);

        c)     the insertion of a further prohibition against refoulement in applications
               determined inadmissible (under s. 120 of the 2020 Act by insertion of s. 50A

               into the 2015Act); and, finally,

        d)     the insertion of a new power to make a return order in respect of a person whose

               application for international protection has been determined under section
               21(11) to be inadmissible (under s. 121 of the 2020 Act by insertion of s. 51A

               into the 2015Act).27.     In terms of the new power to designate a country as a safe third country under the 2015

Act, s. 72A as inserted by s. 122 of the 2020 Act, provides:


        “(1) The Minister may by order designate a country as a safe third country.

        (2) The Minister may make an order under subsection (1) only if he or she is satisfied

        that a person seeking to be recognised in the country concerned as a refugee will be

        treated in accordance with the following principles in that country—


               (a) life and liberty are not threatened on account of race, religion, nationality,
               membership of a particular social group or political opinion,


               (b) the principle of non-refoulement in accordance with the Geneva Convention

               is respected,


               (c) the prohibition of removal, in violation of the right to freedom from torture

               and cruel, inhuman or degrading treatment, as required by international law, is
               respected, and


               (d) the possibility exists to request refugee status and, if found to be a refugee,

               to receive protection in accordance with the Geneva Convention.


        (3) The Minister shall base his or her assessment referred to in subsection (2) on a

        range of sources of information, including in particular information from—

               (a) other Member States of the European Union,


               (b) the European Asylum Support Office,


               (c) the High Commissioner,


               (d) the Council of Europe, and


               (e) such other international organisations as the Minister considers

               appropriate.


        (4) The Minister shall, in accordance with subsections (2) and (3) and on a regular
        basis, review the situation in a country designated under subsection (1).       (5) The Minister shall notify the European Commission of the making, amendment or

       revocation of an order under subsection (1).


       (6) In this section—

               "country" means a country other than an EU Member State;


               "refugee status" means the recognition by the country concerned of a third

               country national or stateless person as a refugee.”


28.     The power to designate a safe third country was exercised immediately upon the

commencement of s. 72A by the promulgation of the International Protection Act 2015 (Safe
Third Country) Order 2020 (S.I. No. 725 of 2020) (identified above as “the 2020 Designation

Order” and referred to as such in these proceedings) under the terms of which the Minister

ordered that the United Kingdom of Great Britain and Northern Ireland be designated a safe

third country effective from 11.00 p.m. on the 31st of December 2020.


29.     On its face the 2020 Designation Order recites that it is made in exercise of the powers

conferred on the Minister by s. 72A(1) of the 2015 Act, she being satisfied, in accordance with
that section and in relation to the country specified, namely the United Kingdom of Great

Britain and Northern Ireland, as to the matters specified in 72A(2).



30.     As originally enacted, s. 21(2) of the 2015 Act prescribed the circumstances in which
an application for international protection could be treated as inadmissible as limited to where:

(a) another Member State has granted refugee status or subsidiary protection status to the

person; (b) a country other than a Member State is, in accordance with subsection (15), a first
country of asylum for the person.



31.     By the amendment introduced by s. 119(a) of the 2020 Act, a new section 21(2)(c)

provides for the treatment of a claim as inadmissible if made by a person who arrived in the
Statefromasafethirdcountry. Thisisamaterialprovisionforthepurposeoftheseproceedings

and both Applicants’ cases have been found inadmissible under s. 21(2)(c) of the 2015 Act.


32.     Section 21(17) of the 2015 Act (as inserted by s. 119(d) of the 2020 Act) provides that

forthepurposes ofaninadmissibilitydecision,asafethirdcountryisasafecountryforapersonif he or she— (a) has “a sufficient connection” with the country concerned on the basis of

which it is reasonable for him or her to return there, (b) will not be subjected in the country
concerned to the death penalty, torture or other inhuman or degrading treatment or punishment,

and (c) will be re-admitted to the country concerned.



33.     Whether a protection seeker has “a sufficient connection” is assessed, inter alia, with
regard to the matters specified in s. 21(18) (also inserted by s.119(d) of the 2020 Act). These

are: (a) the period the person concerned has spent, whether lawfully or unlawfully, in the

country concerned; (b) any relationship between the person concerned and persons in the
country concerned, including nationals and residents of that country and family members

seeking to be recognised in that country as refugees; (c) the presence in the country concerned

of any family members, relatives or other family relations of the person concerned; (d) the

nature and extent of any cultural connections between the person concerned and the country
concerned.



34.     Section21ofthe2015Act(asamended) furtherprovidesindetailforadecisionmaking
and appeals process in accordance with which a first instance inadmissibility decision is made

by the International Protection Office (IPO), with a right of appeal on the papers only to the

IPAT. Where it is recommended following this process that the application is inadmissible,

the Minister is required to (“shall”) determine the application to be inadmissible. The effect
of such a determination is that the protection claim is not further considered in this jurisdiction

unless subsequently the Minister determines that the prohibition on non-refoulement provided

for in s. 50A(i) applies.


35.     Followinguponthemakingofaninadmissibilitydetermination,the Ministershallmake

a return order under s. 51A of the 2015 Act (as amended) requiring the person whose

application has been determined to be inadmissible to leave the State provided there is
compliance with non-refoulement requirements prescribed under s. 50A of the 2015 Act. Like

s. 21(2)(c), s. 51A was inserted by the Withdrawal of the United Kingdom from the European

Union (Consequential Provisions) Act 2020 (s. 121).


36.     Under s. 50A a person shall not be expelled or returned in any manner whatsoever to

the frontier of a territory where, in the opinion of the Minister—(a) the life or freedom of the

personwouldbethreatenedforreasonsofrace,religion,nationality,membershipofaparticularsocial group orpolitical opinion, or(b) thereis aseriousriskthattheperson wouldbesubjected

to the death penalty, torture or other inhuman or degrading treatment or punishment.


37.     In forming his or her opinion of the matters referred to in s. 50A(1) the Minister is

mandated (“shall”) have regard to (a) the information (if any) submitted by the person

under s.50A(3), and (b) any relevant information presented by the person, including any
statement made by him or her at his orherpreliminaryinterview andany informationpresented

for the purpose of an appeal by the person under section 21(6). Section 50A(3) provides for a

change in circumstances that would be relevant to the formation of an opinion by the Minister
under s. 50A to be notified to the Minister.



38.     Finally, s. 51A provides in mandatory terms (“shall”), subject only to section 50A, for

a return order requiring a person whose application for international protection has been
determined under s. 21(11) to be inadmissible in reliance on the safe third country concept

under s. 21(2)(c) to leave.



PROCEEDINGS


Applicant A

39.     Applicant A is a 23-year-old man from Iraq, of Kurdish origin, who applied for

protection in the State on the 18th of May, 2021. On the occasion of a preliminary interview
on the 18th of May, 2021 Applicant A stated that he had applied for international protection in

the UK in 2018 but that his application was refused. He could not confirm the exact date of

refusal but stated that it was in 2019.


40.     On the 30th of August, 2021, the IPO initiated an information request to the UK under

a 2014 Memorandum of Understanding between the UK and Ireland on the Exchange of

Information for the purposes of protecting the Common Travel Area and Associated Annex on
Asylum Data (hereinafter “the 2014 UK/Ireland MoU”).



41.     On the 31st of August, 2021, the UK confirmed that the Applicant made an asylum

application on the 7th of March, 2018 which was refused on the 9th of December, 2019.42.     On the 26th of September, 2021, the Applicant completed an application for

international protection questionnaire in which he claimed protection on religious and political
grounds. He confirmed that he was convicted of a border-crossing offence in Iraq but had not

served any custodial sentence. He said that there was an extant arrest warrant for him in Iraq.

He claimed that he had travelled from the UK to Iraq in December, 2020 to seek out family,

believed lost during ISIS incidents occurring in September, 2017. He claimed to have left Iraq
on the 29th of March, 2021 and travelled through several countries before arriving in Ireland

on the 18th of May, 2021.


43.     On the 28th of September, 2021, the IPO sent a further biometric data request to the

UK under the 2014 UK/Ireland MoU.



44.     On the 4th of October, 2021, the UK informed the IPO that the Applicant was accepted
to be readmitted to their immigration procedures.



45.     On the 3rd of December, 2021, a translation of Applicant A’s application was
generated.



46.     An inadmissibility interview was conducted by the IPO under s. 13(2)(h) of the 2015

Act on the 7th of February, 2022.


47.     On the 3rd of March, 2022 the IPO issued a recommendation under s. 21(4) of the 2015

Act confirming that the application had been determined to be inadmissible under s. 21(2)(c)
and 21(17) of the 2015 Act as the UK was considered to be a safe third country.



48.     In its decision the IPO found, on the evidence before it, that there was insufficient

evidence submitted by the Applicant to show that he left the UK for Iraq before he travelled to
Ireland. The IPO found that as Ireland and the UK operate a return system under the 2020

Designation Order in line with Directive 2005/85/EU (hereinafter referred to in this judgment

as the “Procedures Directive”) that it was satisfied that the UK authorities would re-admit

Applicant A back in their territory. The IPO concluded, from the evidence provided, that it
was therefore satisfied Applicant A came within the terms of Section 21(17) of the 2015 Act,

that the UK was a safe third country for the Applicant and therefore the terms of Section

21(2)(c) of the 2015 Act were applicable in his case.49.     On the 16th of March, 2022 an appeal was submitted to the International Protection
Appeals Tribunal (hereinafter “the Tribunal”). On appeal to the Tribunal, it was submitted on

Applicant A’s behalf by his solicitors, inter alia, that the IPO made errors of fact and law in

the assessment of the admissibility of the Appellant's application for International Protection

under s.21 of the 2015 Act in finding that the Applicant came within the terms of s.21(17) of
the 2015 Act and that the UK is a safe third country for him. It was contended that the return

system which the State operated under the 2020 Designation Order was unlawful having regard

to Article 27 of the Procedures Directive. It was contended that the UK should not be
designated as a safe third country for the purposes of s.72(A)(1) of the 2015 Act and/or that it

was not a safe third country in the Applicant’s particular circumstances.



50.     It was submitted in appealing on the Applicant’s behalf that the IPO erred under the
2015 Act in finding that the Applicant arrived in the State from a "safe third country” in

circumstances where the Applicant stated that he lived in the UK from March 2018 to

December 2020 and had applied for international protection there but his application was
refused in or around 2019 and he then left the UK by illegal means. It was pointed out that

Applicant A had claimed to have been smuggled back to Iraq where he sought information on

his family's whereabouts. It was his case that he had left Iraq in March, 2021 and travelled to

Ireland via Iran, Turkey, Greece, Italy, and France. It was stated that he feared being returned
to the UK as he believed he would be deported to Iraq. It was contended that the IPO erred in

findingthatApplicantAhada"connectionwiththeUK”onthebasisofwhichitwasreasonable

for him to return there. As the submissions pre-dated the MoU between the UK and Rwanda,
no reference was made to the Rwanda Policy and the risk of removal to Rwanda in these

submissions.



51.     On the 3rd of August, 2022, the Tribunal issued a decision under s. 21(7)(a) confirming
the IPO inadmissibility decision. In its decision the Tribunal referred to inconsistencies and

contradictions which negatively affected the Applicant’s claim to have left the UK and upheld

the IPO’s findings that there was insufficient evidence to show he had left the UK. The

Tribunal was satisfied that the Applicant had a “sufficient connection” to the UK and it would
be reasonable to return him there. The Tribunal found “no evidence” to indicate that the

Applicant would be deprived of rights recognised under the Geneva Convention and the

European Convention on Human Rights (ECHR) if transferred to the UK and that he alwayshad the option to make an Article 3 ECHR claim in the UK which was considered “an effective

means of protection.” The Tribunal was satisfied that the UK would respect and adhere to the
principle of non-refoulement in accordance with its international obligations under Article 3

ECHR.



52.     As appears from the Impugned Decision, the Tribunal's conclusion on refoulement was
as follows:



        “I have considered the prohibition of refoulement in light of all the facts of this case,
        including the Applicant's personal circumstances, together with relevant current

        country of origin information in respect of the United Kingdom. Having done so, I am

        of the opinion that returning the Applicant to the United Kingdom is not contrary to

        section 50A of the International Protection Act 2015, in this instance, for the reasons
        setoutabove. Alloftheadditionalinformationofrelevanceconsideredin thisdecision,

        as set out in the Appendix and throughout this consideration, and which was not

        submitted by the Applicant/his legal representatives, is freely available on the Internet
        and is entirely free-to- access.”



53.     No reference was made to the Rwanda Policy in the Tribunal Decision, albeit by then

the agreement between Rwanda and the UK was a matter of public knowledge and debate
having already resulted in interim measures being granted against the UK by the European

Court of Human Rights in Strasbourg. In noting that no reference was made to the Rwanda

Policy in the Tribunal decision, it is only fair to also record that no attempt was made on behalf
of Applicant A to make a supplemental submission on foot of developments in the UK between

the filing of the appeal and its determination.



54.     On the 5th of August, 2022, the Minister issued a s. 21(11) notice confirming the
application to be inadmissible and stating that the Minister would proceed to make a return

order under s. 51A, subject to s.50A of the 2015 Act.



55.     On the 30th of August, 2022, Applicant A’s solicitors made submissions under s.
50A(3)ofthe 2015 Act whichrelied, inter alia,on achange in circumstances. It was submitted

that the safe third country system was not in compliance with Article 27(1) of the Procedures

Directive and that there should be no return of international protection applicants to the UKwheretheyfaceastrong likelihood ofbeing removedto Rwandawhichhas not beendesignated

as a “safe third country”. It was pointed out that Rwanda had not been designated as a "safe
third country" for the purposes of s.72A(1) of the 2015 Act.


56.     It was further submitted that the IPO had breached the Applicant’s data protection

rights. It was asserted that there were no provisions within the safe third country system for

the protection of the Applicant's data. It was stated that the Tribunal had found that a biometric
data request was sent by the IPO to the UK on the 28th of September, 2021 "under the 2014

UK/Ireland MoU, purportedly pursuant to an 'Associated Annex on Asylum Data'". They

asserted that this "2014 UK/Ireland MoU has now been replaced by the Memorandum of

Understanding dated 8 May 2019", and that the 2019 Memorandum of Understanding did not
include provision for data exchange. It was stated that this was in contrast with the Dublin III

Regulation, which contains several recitals and articles on data protection and data exchange.

It was claimed that it would be "incongruous if a Member State could avoid the data protection

provisions contained in the Dublin III Regulation by way of a separate Memorandum of
Understanding with a third country", and that the safe third country return system with the UK

must be considered to be unsafe as a result.


57.     Submissions were made under s. 50A that the Applicant was at risk of harm on return

and/or his rights under Articles 3 and 8 ECHR, or Articles 4 and 7 of the Charter on

Fundamental Rights of the European Union (hereinafter “the Charter”) would be breached.

The Minister was requested to suspend the operation of the Safe Country Transfer System as
it applies to the UK and to cancel the return decision or grant non-refoulement relief under s.

50A(4) of the 2015 Act.


58.     On the 26th of January, 2023, the Minister issued a “Report of the Consideration of

s.50A of the International Protection Act 2015 (Prohibition of Refoulement)” dated the 25th of

January,2023togetherwithaReturnOrderunders.51A(1)ofthe2015Act directingApplicant

A to return to the UK. He was further directed to present to the Garda National Immigration
Bureau (“GNIB”) on the 15th of February, 2023 to make arrangements for his return to the

UK. In the report it was observed:


       “The Applicant's legal representatives have made a number of claims. Not all of

       these claims are relevant to refoulement in the Applicant's case, and many relate       to the legalities of the return order mechanism in respect of the UK more generally

       and transposition issues. The Minister's sole obligation in this case is to consider
       whether the prohibition of refoulement, as that prohibition is defined by section

       50A(1) of the Act of 2015, would be violated were the Applicant returned to the UK.

       It is not accepted that the Minister can be obliged to analyse every point raised by

       an applicant, including academic legal arguments not directly relevant to the
       decision at hand (here, the prohibition of refoulement). A refoulement consideration is

       not the appropriate vehicle in which to make or to consider arguments on the State's

       alleged failure to transpose Article 27(1) of the Procedures Directive (paras 2.2 to 2.8)
       where these are not directly relevant to the prohibition of refoulement in theApplicant's

       specific case. These arguments are therefore not considered here.”



59.     Consideration was given in the Report to the arguments made concerning the
application of the Rwanda Policy to the Applicant. It was concluded that the Applicant was a

failed asylum seeker (his claim having been previously refused in the UK) and therefore the

MoU between the UK and Rwanda could not apply to him. Furthermore, reliance was placed
on the policy underpinning the manner in which the MoU will be implemented as set out in the

Home Office's Inadmissibility Guidance: Safe Third Country Cases, appended to the Report.

The Inadmissibility Guidance states that the MoU applies, inter alia, where the applicant's

journey to the UK can be described as having been dangerous and that journey was made on
or after the 1st of January 2022.



60.     It was concluded in reliance on the Inadmissibility Guidance that even if the Applicant
were considered an asylum seeker, it was not accepted that either his original journey to the

UK from his country of origin nor any proposed return from the State to the UK via the return

order mechanism would bring him within the criteria such that he would be transferred to

Rwanda, were such transfers in fact occurring.


61.     It was found that as there was little-to-no risk, much less a "likelihood'', that the

Republic of Rwanda would be the Applicant's "final destination" if he were to be returned to

the UK via the return order mechanism. There was therefore no requirement to conduct a
refoulement consideration for the Applicant in respect of the Republic of Rwanda.62.     It was further noted that, in response to the interim relief granted by the European Court

of Human Rights in NSK v United Kingdom (application no. 28774/22), the UK authorities had
suspended planned transfers to the Republic of Rwanda. It was noted that the England and

Wales High Court in R (AAA) v Secretary of State for the Home Department [2022] EWHC

3230 upheld the lawfulness of the MoU/Migration and Economic Development Partnership,

but that this is being appealed to the England and Wales Court of Appeal. It was concluded
that the suspension on proposed transfers from the UK to the Republic of Rwanda therefore

appeared likely to continue into “at least” the short-term future, if not longer.


63.     Of note, the Report records:


         “Having considered the country of origin information on the UK, I am satisfied that

         the UK has been correctly and properly designated as a safe third country, pursuant
         to section 72(A)(1) of the Act of 2015, meaning that the Minister considers the UK to

         meet and to continue to meet the criteria established in section 72(A)(2) of the Act of

         2015.”


64.     Regarding the rights arguments presented on behalf of the Applicant, it was not

accepted that the Charter was applicable to the return order mechanism under s. 50A of the Act

of 2015 as the position adopted on behalf of the Minister was that return orders to the UK were
a matter of national law, not European law, and Charter rights were therefore considered to be

of no application. It was pointed out that while the UK was no longer subject to the Charter, it

remained subject to the Convention and to the jurisdiction of the European Court of Human

Rights. It was added that even were it the case that European law applied, the Applicant had
not succeeded in establishing a breach of his rights. This was because the mere fact that the

Applicant may be at risk of detention, or other treatment, if returned to the UK was not, in and

of itself, considered to constitute a violation of Article 3 ECHR/Article 4 Charter. It was
considered that no evidence had been submitted that would indicate that the conditions in

immigration detention in the UK or otherwise were of such poor quality that they reach the

threshold of a violation of Article 3 ECHR either generally, or that they reach the threshold of

a violation of Article 3 ECHR in the Applicant's own specific circumstances.


65.     Whereas it was stated that “it is not accepted that Article 8 ECHR has any application

within a refoulement consideration of this type,” consideration was given on a withoutprejudice basis to Article 8 rights in the Report. It was noted that the Applicant’s Article 8

rights had not been elaborated upon or quantified in any way in the Applicant's refoulement
submissions. It was pointed out that in his interview on the 18th of May 2021, the Applicant

had stated that he had no family in Ireland or Europe. It was concluded that whereas a decision

to return the Applicant to the UK would constitute an interference with the right to respect for

private life under Article 8(1) ECHR, this interference was justified by reference to Article 8(2)
ECHR, as it is in accordance with law pursuant to s. 50A of the 2015 Act, pursues a pressing

need and legitimate aim namely, the legitimate aim of the State to control immigration and to

maintain the integrity of its system for providing asylum in the State and is necessary in a
democratic society, in pursuit of a pressing social need and proportionate to the legitimate aim

being pursued within the meaning of Article 8(2) ECHR.



66.     The Report further addressed, on a without prejudice basis, the data rights breaches
which had been alleged albeit expressly not accepting that alleged data protection breaches on

the part of the IPO or the UK authorities could constitute a refoulement issue under s. 50A(l)

of the 2015 Act. It was stated that the 2019 Memorandum of Understanding referred to by the
Applicant’s legal representatives in their submissions did not replace the 2014 Memorandum

of Understanding and the Associated Annex on Asylum Data. Even if it did, however, reliance

was placed on two adequacy decisions adopted by the United Kingdom in respect of the UK

on the 28th of June 2021, one under GDPR and the other for the Law Enforcement Directive.


67.     Anarticlepublished ontheCommission'swebsitewasquotedassaying:"Personaldata

can now flow freely from the European Union to the United Kingdom where it benefits from
an essentiallyequivalent level of protectionto that guaranteedunder EUlaw." In consequence

it was not accepted that the exchange of information between countries in the Applicant's case

raises data protection issues nor that it renders the entire system for returns to the UK unsafe.


68.     Where data concerns arise, it was found that the appropriate avenue to resolve such

issues was through the Data Protection Commission in Ireland and the Information

Commissioner's Office in the UK and/or the courts, rather than through the submission of

refoulement considerations for the return order mechanism.


69.     An application for leave to proceed by way of judicial review was moved before the

High Court on the 9th of February, 2023 on foot of papers filed the previous day. By Order exparte (Meenan J.), Applicant A was directed to bring his application in the within proceedings

by way ofJudicial Review"on notice" to theRespondents. AnOrderwas also maderestraining
the removal of Applicant A from the State pending the determination of the proceedings.



70.     In his proceedings Applicant A challenges the safe country return system as operated

inIrelandasbeingultraviresbyreasonofnon-compliancewithEUlaw. It isfurthercontended
that the designation of the UK as a safe third country is unlawful by reason of a failure to

conduct a meaningful review and/or irrationality.        In addition, Applicant A challenges

lawfulness of the Minister’s decision that his return would not be in breach of the prohibition
against non-refoulement and the lawfulness of the Return Order made without consideration,

inter alia, of his private rights and his right to protection of his data. He seeks relief for breach

of his data rights arising from the exchange of his personal data outside the territories of the

EU.


71.     The Applicant duly served notice returnable for 27th February 2023. The matter was

listed on a number of occasions, and on 20th June 2023, the Respondents confirmed that they
opposed the application. On the 4th of July, 2023 the High Court (Hyland J.) directed that the

proceedings be heard and determined on a telescoped basis and fixed dates for hearing in

December, 2023.


72.     Opposition papers were filed on the 31st of July, 2023. In opposing the proceedings, it

is asserted that as the Applicant has not challenged the findings of the IPO or the Tribunal, that

it was impermissible to mount a collateral attack on those decisions through a challenge to the
decision of the Minister. It is denied, inter alia, that the designation by the Minister of the UK

as a safe third was ultra vires the Procedures Directive and/or was improperly made contrary

to Ireland's obligations under the Common European Asylum System ("CEAS") or that the

failure to enact a transposing measure prior to the 1st of December, 2007 precludes the State
from introducing legislation to provide for safe third country designation. It is asserted that the

Recast Procedures Directive had no application to Ireland but that the State remained bound by

the Procedures Directive. It is contended that there has been no breach of the obligation to

review designation.


73.     It is further denied that the implementation of the Safe Third Country failed to afford

the Applicant any data rights protections or that the Minister is in breach of the Applicant'sdata protection rights. Reliance is placed on Article 2(2)(a) Regulation (EU) 2016/679

("GDPR") to contend that the requirements of the GDPR do not apply to the processing of
personal data in the course of an activity falling outside the scope of Union law. Article

49(1)(d) GDPR is also invoked as providing a lawful basis for data transfers necessary for

important reasons of public interest, such as in this instance, the maintenance of fair and

effective immigration control, in particular across the historic CTA", the preservation and
strengthening of the CTA and the maintenance of a fair and effective system for granting

persons international protection in the State and the administration of justice generally and the

exercise of executive functions related to the prevention and detection of immigration abuses.
In the alternative, it is contended that if any breach of the Applicant's data protection rights

were occasioned by the making of and/or implementation of the Return Order and/or the Safe

Third Country system in the Applicant's case, such breach would not have the effect of

rendering the Safe Third Country Order thereby ultra vires the Procedures Directive and/or
contrary to the State's obligations under the CEAS. Furthermore, it is contended that the

Applicant had adequate and effective remedies available to him pursuant to the GDPR and the

Data Protection Act, 2018 in respect of any such breach, which remedies were sufficient to
vindicate in full the Applicant's data protection rights.



74.     The Applicant’s standing to challenge the safe designation of the UK or any orders

made regarding him with reference to the Rwanda Policy is disputed on the basis that he has
not established that he was a person liable to be removed to Rwanda under that Policy and the

Respondents stand over the rationality of the Minister’s decision to make the Return Order.


75.     On the 3rd of November 2023, the Respondents sought to vacate the hearing date at

least partly in anticipation of the judgment of the U.K. Supreme Court in R (AAA and ors) v.

Secretary of State for the Home Department, which it was expected would be delivered by the

second week of December 2023. In consequence, hearing dates in February, 2024 were fixed.
Following delivery of the Supreme Court judgment, further Affidavit evidence and written

submissions were filed addressed to the judgment of the Supreme Court and the reaction to

same including policy and legal responses and widespread criticism of the Rwanda Policy, not

least from the UNHCR.


76.     During the course of the hearing before me it was indicated that information had come

to light bearing on the candour of Applicant A and his entitlement to obtain relief in theseproceedings. On application on behalf of the Respondents I gave liberty to adduce fresh

affidavit evidence and two affidavits were sworn by officials on behalf of the Respondents on
the 21st of February, 2024, without determining what weight, if any, I would give to them.



77.     From these affidavits it is clear that in October, 2021, in responding to the biometric

data request which had been made on the 28th of September, 2021, the UK authorities advised
that the Applicant had been convicted on an offence in June, 2018 in the UK and was in

consequence registered as a sex offender. It appears that this information had been redacted

by reason of data protection concerns before being placed on Applicant A’s immigration file.
Thisnotwithstandingitappearsthatan “alert”wassubsequentlycreatedonthe14thofJanuary,

2022 on Applicant A’s file as contained on the Minister’s database. It seems that it was only

on the 14th of December, 2023, that an official in the Repatriation Unit of the Minister’s

Department noticed the “alert” and enquiries were directed concerning the nature of Applicant
A’s criminal offence in the UK. A response to these enquiries was only forthcoming on the

19th of February, 2024, the day before the hearing before me was due to commence.


78.     In circumstances where it was contended that the failure to disclose the fact of a

previous criminal conviction in the UK in the course of his protection application evidenced a

lack of candour and the failure to refer to it in moving his application before the High Court by

way of judicial review constituted a breach of Practice Direction HC 81 of a nature that should
disentitle Applicant A torelief, Iallowed Applicant A an opportunity to filea replying affidavit

and the Respondents to file an amended Statement of Opposition in which a plea of lack of

candour could be advanced. It was conceded on behalf of the Respondents in response to a
question from me, however, that the new information was not otherwise relevant to the issues

arising for determination in the proceedings.



79.     AnAmendedStatementofOppositionwasfiledonthe22ndofFebruary,2024inwhich
a preliminary objection to relief having regard to lack of candour and non-compliance with

High Court Practice Direction 81 was introduced.



80.     In a replying affidavit also sworn on the 22nd of February, 2024, while the cases were
at hearing, Applicant A confirmed that he was unaware of the requirements to register as a sex

offender in this jurisdiction on foot of his conviction in the UK and had not been advised of

any such requirement on any of his attendances with the GNIB. He explained that on hisreading of the international protection application questionnaire he was required to disclose

convictions in his country of origin, not any third country as this question appears in that part
of the form dealing with State Protection. He had disclosed a previous conviction in Iraq in

consequence but did not understand disclosure of criminal convictions anywhere else to be

required.


81.     In his replying affidavit Applicant A pointed out that while information relating to his

criminal conviction was available to the Respondents from the 4th of October, 2021, he had

never been questioned about it and it had not been mentioned. He pointed to the fact that the
Respondents did not explain how they had been prejudiced by reason of the failure on his part

to disclose information which had been in the Respondents’ possession for several years.



82.     Following submissions from both parties, I confirmed that I would address the issue of
candour in my final judgment, declining to make any preliminary findings pending a full

hearing of the case.

Applicant B


83.     Applicant B is a Nigerian national who applied for international protection on the 24th

of May, 2022. He was interviewed that same day under s. 13(2) of the 2015 Act and confirmed
that he had been living in the UK pursuant to a visa.



84.     The IPO sent a biographical data request to the UK in June, 2022 in accordance with
the 2014 Memorandum of Understanding between the UK and Ireland on the Exchange of

Information for the purpose of protecting the Common Travel Area and Associated Annex on

Asylum Data (the “UK/Ireland MoU”).


85.     In its response on the 8th of July, 2022, the UK confirmed that Applicant B had been

granted a student visa from the 26th of December, 2020 to 31st of May, 2022. He entered the

U.K. on 2nd January 2021 and remained there for approximately five months before travelling
to the State to apply for protection.



86.     In July, 2022, the Applicant submitted an application for international protection

questionnaire to the IPO. He claimed that he and his family were prominent members of the
Indigenous People of Biafra, and had been targeted by both Fulani herdsman and the Nigeriansecurity forces. He claimed that his brother was shot dead by Fulani herdsmen. He claimed to

fear further reprisals by the security forces if returned to Nigeria.


87.     It appears that a further request for biometric data was sent by the IPO to the UK

authorities on the 29th of July, 2022. On the 28th of November, 2022, the UK authorities

informed the IPO that that Applicant B had made an application for asylum in the UK which
had been refused on 5th of November, 2019 with an appeal received on the 6th of January,

2020.    It was indicated that he had been given permission to work in the UK on the 16th of

June, 2022 (coinciding with dates that he was in Ireland).


88.     Applicant B was issued with permission to access the labour market valid from the 20th

of December 2022 to the 20th of December 2023.


89.     In November, 2022, the IPO sent a second biographical data request to the UK. In

responding to this request in January, 2023, the UK accepted Applicant B’s readmission. It

was confirmed that he had no known relatives in the UK. It was advised that his appeal rights
with regard to his asylum claim were exhausted on 13th of October, 2022.



90.     In February, 2023, the IPO conducted an inadmissibility consideration interview during

which Applicant B confirmed that he had lived in the UK for a year and five months on a
student visa, had no family there and had worked in a warehouse. He claimed that he was

unsafe in the UK. He reported that he owed money in the UK and his life was in danger. He

claimed to have reported his fears to the UK authorities but nothing was done for him. There
is no record of him being asked about the asylum application and appeal referred to in the

biometric data received from the UK.



91.     In its report dated the 23rd of February, 2023, under s. 21(4) of the 2015 Act, the IPO
recommended that the application be deemed inadmissible because the UK is “a safe third

country”andtheApplicant had "a connectionwiththeUK onthebasisof whichit is reasonable

to return him there". Despite focussing in the body of the report on s. 21(2)(c) and the safe

third country designation status of the UK, the report in its recommendation section in fact
recommended that the application be deemed inadmissible on the basis that Applicant B had a

refugee application ongoing in the UK.92.     By letter dated the 23rd of February, 2023, the Minister wrote to Applicant B advising

him that his application was inadmissible relying on s. 21(2)(b) of the 2015 Act, namely that a
country other than a Member State is a first country of asylum for the Applicant. Reliance was

not, in this letter, placed on s. 21(2)(c) and the 2020 Designation Order. This was not an

accurate reflection of the report where reliance had been placed on the 2020 Designation Order

and s. 21(2)(c), albeit some confusion may have arisen from the fact that the report in its
recommendation recommended that the application be deemed inadmissible on the basis that

Applicant B had a refugee application ongoing in the UK.


93.     On the 8th of March, 2023, Applicant B appealed to the Tribunal. In detailed grounds

of appeal, he claimed that:



        a)     the safe third country system was not in compliance with Article 27(1) of the
               Procedures Directive;

        b)     he did not feel safe in the UK as he was contacted by unknown people who

               threatened to kill him;
        c)     he feared being detained or sent back to Nigeria or Rwanda noting that Rwanda

               had not been designated as a safe third country;

        d)     he feared he would be tortured on return;

        e)     the IPO was in breach of his data protection rights;
        f)     the IPO erred in finding he had a connection to the UK;

        g)     return to the UK risked breach of his Article 3 and 5 rights under the European

               Convention on Human Rights; and
        h)     he had gained private and family rights in Ireland and was in a loving

               relationship with his partner and was fully integrated into the State.



94.     Curiously, the extensive grounds of appeal advanced did not address the fact that while
the IPO had relied in its considerations on the safe third country designation of the UK, it had

made a recommendation under s. 21(2)(b). Nor was the fact that the Minister’s Notification

related to a finding under s. 21(2)(b) addressed. It was not disputed that Applicant B had made

an asylum claim in the UK or that he had an extant application there, as the Minister suggested
in the notification letter, and neither Applicant B nor the Respondents have engaged with this

feature of the decision in these proceedings and it is of tangential relevance only given that the

decision of the Tribunal on appeal was squarely based on s. 21(2)(c) of the 2015 Act.95.     On the 27th of April, 2023 (decision received by Applicant B on 2nd of May, 2023),
the Tribunal determined that Applicant B’s protection application was inadmissible under s.

21(7)(a) of the 2015 Act. The Tribunal addressed each of the grounds of appeal advanced. It

was satisfied, for example, that the IPO was the determining authority. It further found that

the Tribunal had no role in determining the validity of legislative provisions.


96.     The Tribunal considered the Country-of-Origin Information submitted in light of the

test set out in C-297-17 Ibrahim. The Tribunal found that, while the UK "will often detain
people after their claim for international Protection has been refused” this is not a breach of

fundamental rights as the U.K. does not "routinely detain people during the decision-making

process or if the claim is successful” and most functioning democratic states have power to

detain persons who have no permission to remain. The Tribunal accepted that there was a
"significant pressure on the U.K. authorities/or housing migrants, and many inadequate

facilities used'' but that so long as there is a system for provision of housing and other services

to asylum applicants, there was no basis to consider that the Applicant was at risk of torture or
inhuman or degrading treatment. It further found that there was "nothing about his particular

circumstances which gives rise to such concerns" and the Applicant had "demonstrated his

ability to live and work in the UK." The Tribunal found that the Applicant had "lived and

worked there for over a year" and his claim of threats from unknown person and reporting
same to the authorities was "vague", but that the U.K. has a functioning police and courts

system, which the Applicant could access. Having considered all the documents and the

Applicant's statements, the Tribunal determined that the Applicant "does have a connection
with the U.K. - he lived and worked there for over a year."



97.     The Tribunal further determined that Applicant B’s claim that he would be sent on to

Rwanda was "speculative" as there was "no proposal in being to transfer him to Rwanda" but
that he in any event has access to the U.K. courts. The Tribunal noted that a case has been

lodged in the European Court of Human Rights in relation to this issue, but that the UK had a

system of laws and courts and any concerns in relation to same could be addressed to the UK

authorities, which were said to be bound by the provisions in relation to non-refoulement.


98.     TheTribunal did not deal with Applicant B’s claim thathe hadprivate and family rights

in the State as this was said to be "a matter for the Minister." The Tribunal was (only)considering "by reason of the legal mechanisms" whether a claim could be deemed

inadmissible. The fact that Applicant B had a partner in the State "does not render an otherwise
inadmissible application admissible". The Tribunal similarly found that any claim of breach

of his GDPR rights was "a matter for the Data Protection Commissioner and not for the

Tribunal" but "does not impact the admissibility/inadmissibility of his claim either way."


99.     On the 10th of May, 2023, the Minister issued an inadmissibility decision under s.

21(11) of the 2015 Act.


100.    Proceedings by way of judicial review were commenced before the Minister proceeded

to consider making a Return Order under s.51A of the 2015 Act. Papers were lodged on the

7th of June, 2023 and by application ex parte on the 16th of June, 2023, the proceedings were

opened, the Applicant was given leave to amend his Statement of Grounds and the proceedings
were adjourned to the 23rd of October, 2023 at which point the Court (Hyland J.) directed that

the application be made on notice to the Respondents and adjourned the proceedings to the 3rd

of November, 2023.


101.    It appears that on the next return date, on 3rd November 2023, the Court was advised

that this case raised additional points to other U.K. return cases. The matter was adjourned for

three weeks for the Respondents to consider, and then adjourned further to 1st December 2023.
At that listing, the Applicant sought to join with Applicant A’s case which was already listed

for hearing. On the I5th of December 2023, the Respondents consented to Applicant A and

B’s cases travelling together for telescoped hearing in February 2024.


102.    In his proceedings, Applicant B challenges the inadmissibility decision and the original

and continuing designation of the UK and Northern Ireland as a safe third country as well as

the Tribunal decision finding his application inadmissible. In addition, he complains that
neither the Tribunal nor the Minister have had regard to the development of his private life in

Ireland,particularly in contrast to theabsenceofanysuchprivatelifein theUKorto conditions

for asylum seekers in the UK. He seeks declaratory relief to the effect that the Safe Third

Country Order and/or implementation of the safe third country system is unlawful for failure
to afford applicants any data rights protection.103.   In Opposition papers filed, the application is opposed, inter alia, on the basis that the

Applicant has failed to demonstrate substantial grounds for challenging the admissibility
decision and has not complied with time limits fixed under s. 5 of the Illegal Immigrants

(Trafficking) Act, 2000 in proceeding by way of judicial review. Further, it is contended that

s. 72A of the 2015 Act gives effect to Ireland’s obligations under EU law and meets the

requirements laid down in Articles 25 and 27 of the Procedures Directive which continues to
apply by virtue of Article 53 of the Recast Directive.



104.   Several supplemental affidavits have been filed on behalf of Applicant B (including
affidavits on the 18th of January, 2024, 14th of February, 2024 and the 19th of February, 2024)

for the purpose of adducing up to date evidence in relation to developments regarding the

Rwanda Policy in the UK, not least the passage of the UK Illegal Migration Bill through the

first stagein the House of Commons to theHouseofLords and further concernsofthe UNHCR
with respect thereto.



DESIGNATION OF UKASASAFE THIRD COUNTRY



105.   In an affidavit sworn on behalf of the Respondents, a Principal Officer in the Migration

Policy Division of the Department of Justice and Equality confirmed that relevant country
information was sourced and analysed “in or around the time of designation of the UK as a

safe third country” pursuant to the Safe Third Country Order with a view to assessing whether

the UK should be so designated having regard to the requirements of section 72A of the 2015

Act (as inserted by s. 117 of the Withdrawal of the United Kingdom from the European Union
(Consequential Provisions) Act, 2020. A booklet of the said relevant country information as

sourced and analysed by the Minister and the assessment made by the Minister prior to the

making of the 2020 Designation Order is exhibited, as is the analysis of the material and

recommendation to the Minister relied upon in signing the 2020 Designation Order.


106.   The analysis of the country information prepared for the benefit of the Minister as

exhibited reflects consideration of the factors identified at s. 72A(2)(a)-(d) having regard to
sources of information identified in s. 72A(3), where available. Country of origin information

considered included: the US State Department 2019 Country Report on Human Rights, 2019;

“Freedom in theWorld 2020 UK Report”, Freedom House; Amnesty International Report2019“The State of the World's Human Rights - United Kingdom”; Report to the Government of the

United Kingdom on the visit to the United Kingdom carried out by the European Committee
for the Prevention of Torture and Inhuman or Degrading Treatment or Punishment (CPT) from

30 March to 12 April 2016, 19 April 2017; the 2017 Report of the Office of the United Nations

HighCommissionerforHumanRightsinthecontextoftheUniversalperiodicreview,towhich

UNHCR submitted observations and concerns; Council of Europe Contribution for the 27th
UPRSessionregardingtheUnitedKingdom;ReporttotheGovernmentof theUnitedKingdom

on the visit to the United Kingdom carried out by the European Committee for the Prevention

of Torture and Inhuman or Degrading Treatment or Punishment (CPT) from 22 to 24 October
2012; Report of the Office of the United Nations High Commissioner for Human Rights,

Summary of other stakeholders submissions United Kingdom of Great Britain and Northern

Ireland, 27 February, 2017.


107.   It is apparent from the exhibited documentation that the factors which required to be

considered as identified under s. 72A(2)(a)-(d) were addressed sequentially and in turn with

reference to the UK’s adherence to applicable international human rights standards and its
record in this regard as reported by a range of sources of information.



108.   It is clear from the exhibited documentation that consideration was also given to the

UNCHR position on the concept of Safe Third Country (UNHCR Guidance on responding to
Irregular Onward Movement of Refugees andAsylumSeekers,September2019). TheUNHCR

position as reflected in documentation considered by the Minister is that while international

law establishes the right to "seek and to enjoy... asylum," the 1951 Convention and other
international legal instruments do not confer a right uponrefugees to decidein which Statethey

will receive international protection. The UNHCR state that there is no obligation under

international law for a person to seek international protection at the first effective opportunity,

but asylum seekers and refugees do not have an unfettered right to choose the country that will
determine their asylum claim in substance and provide asylum. According to the UNHCR the

primary responsibility for providing international protection rests with the State in which an

asylum-seeker arrives and seeks that protection. It is the UNHCR’s position that claims for

international protection from asylum-seekers should ordinarily be processed in the State in
which they are present, or which otherwise has jurisdiction over them in line with general State

practice and international law.109.    It is acknowledged by the UNHCR as recorded in the documentation before the

Minister, however, that it may be permissible for another State to assume responsibility for
determining the need for or providing international protection. Such responsibility may be

based on, inter alia, the availability of access to a fair and efficient asylum procedure to

determine the individual's international protection needs and grant international protection if

needed (based on the safe third country concept).


110.    In the material considered by the Minister the UNCHR posit that as a precondition for

transfer of a refugee or asylum-seeker to another State, a number of standards need to be met
in practice. These include: a) the State must agree to admit the person; b) protection from

persecution and threats to physical safety and freedom in that State; c) the opportunity to re-

avail him or herself of protection previously enjoyed in that State; d) if not previously

recognizedas inneedofinternationalprotection,accessto afairandefficientasylumprocedure
is needed; e) a right to remain lawfully in the territory for the duration of the asylum procedure,

as well as a right lawfully to stay if found to be in need of international protection; and f)

standardsof treatment commensuratewith the 1951Conventionandinternational humanrights
standards including, but not limited to, protection from refoulement.



111.    Although not referred to in the exhibited documentation which is silent as regards the

question of review, it was further confirmed on behalf of the Respondents that the Minister
keeps under “general review” “on an ongoing basis significant political, policy and legal

developments in countries that have been designated pursuant to law as Safe Third Countries”

(at paragraph 11 of Affidavit of Maeve-Anne Kenny sworn on the 31st of July, 2023 in
Applicant A’s case).



112.    Matters are put slightly further in an affidavit sworn on the 29th of January, 2024 by

the same deponent in Applicant B’s case when she says (at paragraph 10):


        “Sections 72A(4) of the 2015 Act requires the Minister to review the situation in a

        designated safe third country "on a regular basis". While no formal review of the

        designation of the UK was undertaken between the date of the 2020 Order and the
        decision of the International Protection Appeals Tribunal impugned in these

        proceedings, the Minister keeps under general review on an ongoing basis significant

        political, policy and legal developments in countries that have been designated        pursuant to law as safe countries, independently of any formal periodic review being

        carried out under section 72A(4).”


113.    No further formal or systematic periodic review is relied on by the Respondents and no

additional documentation or analysis after the making of the 2020 Designation Order is relied

upon by the Minister in opposing the challenge to the designation of the United Kingdom and
Great Britain as safe third countries.


ISSUES

114.    As noted above, these two cases have been selected as lead cases and raise issues of

principle which are common to many other cases. Accordingly, although pleaded, issues of
time are not pressed on behalf of the Respondents in reliance on s. 5 of the Illegal Immigrants

(Trafficking) Act, 2000 (hereinafter “the 2000 Act”) but, if necessary and relevant to the

question of the test to be applied in respect of an entitlement to appeal against my decision, I

am asked to determine the extent of applicability of s. 5 of the 2000 Act to a refoulement
decision under s. 50A of the 2015 Act.



115.    Substantive issues arising therefore include:


  a) Is the designation of the UK as a safe third country under s. 72A of the 2015Act and SI

      725/2020 ultra vires the Procedures Directive and/or the Recast Procedures Directive?

  b) Is the safe third country designation otherwise in breach of s.72A(4) of the 2015Act for
      the Minister’s failure to review the current situation in the UK?

  c) Is there an obligation on the Minister to consider risk of rights violations before making

      a return order under s. 51A?

  d) Is designation rendered unlawful by reason of breach of Data Protection Rights in its
      implementation?

  e) Was the Minister’s assessment of prohibition of refoulement unlawful or irrational as

      contrary to s. 50A of the 2015 Act – the Refoulement Decision and is the challenge to
      this decision a collateral attack on the Inadmissibility Decision?

  f) Was theTribunal Decision inApplicant B’s caseirrational having regardto developments

      in UK with regard to the Rwanda Policy?

  g) Is the Minister’s decision under s. 50A captured by s. 5 of the Illegal Immigrants
      (Trafficking)Act, 2000?  h) Do theApplicants have standing in respect of all of the grounds advanced?

  i) IsApplicant A disentitled to relief by reason of lack of candour?


116.    As noted above, it is not necessary for me to reach a decision on all of these issues for

the purpose of determining these proceedings, but I will address each of them in turn.

DISCUSSIONAND DECISION


Safe Third Country Designation - Development of EU and Domestic Legal Framework

117.    Although the safe third country concept was provided for in the Procedures Directive,

its origin in Irish law predated Ireland’s adoption of this Directive. The concept first found
statutoryexpressionins.22oftheRefugeeAct,1996(asamended) (hereinafter“the1996Act”)

into which the “safe third country” concept was substituted by s. 7(1) of the Immigration Act,

2003.


118.    While the Procedures Directive in turn provided for the application of a safe third

country concept when prescribed conditions in Article 27 of that Directive were met, it did not

require a Member State to apply the concept. The terms of Article 27 are key. It provided:



       “1. Member States may apply the safe third country concept only where the competent

       authoritiesaresatisfied that a person seeking asylumwill betreatedin accordancewith

       the following principles in the third country concerned:


           a) life and liberty are not threatened on account of race, religion, nationality,
               membership of a particular social group or political opinion;

           b) the principle of non-refoulement in accordance with the Geneva Convention is

               respected;

           c) the prohibition of removal, in violation of the right to freedom from torture and
               cruel, inhuman or degrading treatment as laid down in international law, is

               respected; and

           d) the possibility exists to request refugee status and, if found to be a refugee, to
               receive protection in accordance with the Geneva Convention.       2. The application of the safe third country concept shall be subject to rules laid down

       in national legislation, including:


             a) rules requiring a connection between the person seeking asylum and the third
                 countryconcerned on the basis of whichit would bereasonablefor that person

                 to go to that country;

             b) rules on the methodology by which the competent authorities satisfy
                 themselves that the safe third country concept may be applied to a particular

                 country or to a particular applicant. Such methodology shall include case-by-

                 caseconsiderationofthesafetyofthecountryforaparticularapplicantand/or

                 national designation of countries considered to be generally safe;
             c) rules in accordance with international law, allowing an individual

                 examination of whether the third country concerned is safe for a particular

                 applicant which, as a minimum, shall permit the applicant to challenge the
                 application of the safe third country concept on the grounds that he/she would

                 be subjected to torture, cruel, inhuman or degrading treatment or punishment.


       3. When implementing a decision solely based on this Article, Member States shall:


             a) inform the applicant accordingly; and

             b) providehim/herwithadocumentinformingtheauthoritiesofthethirdcountry,
                 in the language of that country, that the application has not been examined in

                 substance.


       4. Wherethethird countrydoes not permit theapplicantfor asylumtoenterits territory,

       Member States shall ensure that access to a procedure is given in accordance with the
       basic principles and guarantees described in Chapter II.


       5. Member States shall inform the Commission periodically of the countries to which

       this concept is applied in accordance with the provisions of this Article.”


119.    It is clear from the language of Article 27 that reliance on the safe third country concept

was permitted but not required by EU law and would only be tolerated where conditions
precedent to its application was required under Article 27 were provided for in domestic law

of the Member State.120.    Under Article 43 of the Procedures Directive, Member States were required to (“shall”)
bring into force the laws, regulations and administrative provisions necessary to comply with

this Directive by 1 December 2008.



121.    Although provision had been made in Irish law for the safe third country concept in
accordance with the amendment to s. 22 of the 1996 Act by the provisions of the Immigration

Act, 2003, Ireland did not adopt measures which reflected the requirements of Article 27 of the

Procedures Directive prior to its transposition deadline in 2008. It was only in 2011 that the
European Communities (Asylum Procedures) Regulations 2011, SI 51/2011 (“the 2011

Regulations”) were adopted in this jurisdiction for the express purpose of transposing the

Procedures Directive. Regulation 9 of the 2011 Regulations provided:


       “9. Section 22 (as amended by section 7(l) of the Immigration Act 2003 ) of the Act of
       1996 is amended by substituting the following for subsection (5):


               “(5)(a) The Minister may, by order made after consultation with the Minister

               for Foreign Affairs, designate a country as a safe third country where the

               Minister is satisfied that an applicant for asylum will be treated in that country

               in accordance with the principles specified in paragraph (b).

               (b) The principles referred to in paragraph (a) are the following:


                         i. life and liberty are not threatened on account of race, religion,

                            nationality, membership of a particular social group or political

                            opinion;
                        ii. the principle of non-refoulement in accordance with the Geneva

                            Convention is respected;

                        iii. theprohibitionofremoval,inviolationoftheright tofreedomfrom

                            torture and cruel, inhuman or degrading treatment as laid down
                            in international law, is respected; and

                        iv. the possibility exists to request refugee status and, if found to be a

                            refugee, to receive protection in accordance with the Geneva
                            Convention.               (c) The Minister shall not make an order under paragraph (a) in respect of a

               country unless that country and the State are parties to an agreement which
               provides for—


                         i.   the prompt transfer to that country of an application for asylum

                              made in the State by a person who has arrived from that country,

                              and
                         ii.  the prompt transfer to the State of an application for asylum

                              made in that country by a person who has arrived from the State.


               (d) An application for asylum shall not be transferred to a safe third country

               pursuant to an agreement referred to in paragraph (c) unless the removal to
               that country of the person who made the application for asylum would be

               reasonable on the basis of a connection he or she has with that country.


               (e) An order under paragraph (a) may make provision for such consequential,

               incidental, ancillary and supplementary matters as the Minister considers

               necessary or expedient.

               (f) The Minister shall, from time to time, notify the European Commission of the

               countries that are designated as safe third countries under paragraph (a).”.


122.    The 2011 Regulations further provided in regulation 10 (in line with the requirements

of the Procedures Directive), that where an application for asylum was to be transferred to a
safe third country pursuant to an agreement referred to in s. 22(5)(c) of the Act of 1996, the

Ministerwas required to (a)informthe applicant, andhis orherlegal representative(ifknown),

of the transfer, and (b) provide the applicant, and his or her legal representative (if known),

with a document informing the authorities of the safe third country, in the language of that
country, that the application for asylum has not been examined in substance.



123.    Although no country was ever designated as a safe third country under the 2011
Regulations,issuesoftimingapart,itseems Irelandhadprovisioninlawforasafethirdcountry

designation system otherwise compliant with the requirements of the Procedures Directive in

place under the 1996 Act (as amended) from 2011 until the 1996 Act was repealed by s. 6 of

the 2015 Act. Following the commencement of the 2015 Act and the consequential repeal ofthe 1996 Act, however, no provision for a third safe country concept existed in Irish law until

further legislative amendment referred to in detail above in 2020.


124.    For its part, the Procedures Directive was repealed on the 20th of July, 2015 in

accordance with the terms of Directive 2013/32/EU (the “Recast Procedures Directive”) for

Member States bound by the Recast Directive with effect from 21 July 2015. Article 53
expressly provided, however, that the repeal was without prejudice to the obligations of the

Member States relating to the time limit for transposition into national law of the Directive set

out in Annex II, Part B. Preamble 58 recorded that the United Kingdom and Ireland were not
taking part in the adoption of the Recast Procedures Directive and were not bound by it or

subject to its application. In consequence, Ireland continued to be bound by the provisions of

the Procedures Directive albeit it had been repealed and replaced for most other EU states by

the Recast Procedures Directive.


125.    The Recast Procedures Directive continued the “carve out” for third safe countries in

largely similar terms to Article 27 of the Procedures Directive. Article 38 of the Recast
Procedures Directive provides:



        “1. Member States may apply the safe third country concept only where the competent

        authorities are satisfied that a person seeking international protection will be treated
        in accordance with the following principles in the third country concerned:


               (a)     life and liberty are not threatened on account of race, religion,
               nationality, membership of a particular social group or political opinion;


               (b)     there is no risk of serious harm as defined in Directive 2011/95/EU;

               (c)     the principle of non-refoulement in accordance with the Geneva

               Convention is respected;

               (d)     the prohibition of removal, in violation of the right to freedom from

               tortureand cruel, inhumanor degradingtreatmentas laiddownin international
               law, is respected; and

               (e)     the possibility exists to request refugee status and, if found to be a

               refugee, to receive protection in accordance with the Geneva Convention.       2. The application of the safe third country concept shall be subject to rules laid down

       in national law, including:

               (a)     rulesrequiringaconnectionbetweentheapplicant andthethirdcountry

               concerned on the basis of which it would be reasonable for that person to go to
               that country;


               (b)     rules on the methodology by which the competent authorities satisfy
               themselves that the safe third country concept may be applied to a particular

               country or to a particular applicant. Such methodology shall include case-by-

               case consideration of the safety of the country for a particular applicant and/or
               national designation of countries considered to be generally safe;


               (c)     rules in accordance with international law, allowing an individual
               examination of whether the third country concerned is safe for a particular

               applicant which, as a minimum, shall permit the applicant to challenge the

               application of the safe third country concept on the grounds that the third

               country is not safe in his or her particular circumstances. The applicant shall
               also be allowed to challenge the existence of a connection between him or her

               and the third country in accordance with point (a).

       3. When implementing a decision solely based on this Article, Member States shall:

               (a)     inform the applicant accordingly; and


               (b)     providehimorherwithadocumentinformingtheauthoritiesofthethird
               country, in the language of that country, that the application has not been

               examined in substance.

         4. Where the third country does not permit the applicant to enter its territory,

         Member States shall ensure that access to a procedure is given in accordance with

         the basic principles and guarantees described in Chapter II.

         5. Member States shall inform the Commission periodically of the countries to which

         this concept is applied in accordance with the provisions of this Article.”



126.    Although in almost identical terms to Article 27 of the Procedures Directive, Article 38
of the Recast Procedures Directive added an additional requirement (at Article 38(1)(b)) that

Member States were permitted to operate the safe third country concept only where there is norisk of serious harm as defined in Directive 2011/95/EU (hereinafter “the Recast Qualification

Directive”). This is the primary material difference between the Procedures Directive and the
Recast Procedures Directive relevant to the issues in these proceedings. Serious harm is

definedin Article15oftheRecastQualificationDirectiveasconsistingof:(a)thedeathpenalty

or execution; or (b) torture or inhuman or degrading treatment or punishment of an applicant

in the country of origin; or (c) serious and individual threat to a civilian’s life or person by
reason of indiscriminate violence in situations of international or internal armed conflict.



127.    The main objective of the Recast Qualification Directive, referred to in Article 38 of
the Recast Directive but not Article 27 of the Procedures Directive, is, on the one hand, to

ensure that Member States apply common criteria for the identification of persons genuinely

in need of international protection, and, on the other hand, to ensure that a minimum level of

benefits is availableforthosepersonsin all MemberStates. Asrecorded in Recital 50 to Recast
Qualification Directive, just as with the Recast Procedures Directive, the United Kingdom and

Ireland did not take part in it adoption and are expressed in its terms to not be bound by it or

subject to its application.


128.    At the time of the adoption of the Recast Procedures Directive and the Recast

Qualification Directive, Ireland had already provided in law a safe third country concept under

the 1996 Act (as amended). During this period Regulation (EU) No.604/2013 (the so-
called “Dublin III Regulations”) was adopted in June 2013, and subject to transitional

provisions, were implemented from the 1st of January 2014. Crucially, Ireland adhered to the

Dublin III Regulations. The Dublin III Regulations establish the criteria and mechanisms for
determining which Member State is responsible for examining an asylum claim made in the

EU. The Dublin III Regulations seek to ensure full observance of the right to asylum

guaranteed by Article 18 of the Charter as well as the rights recognised under Articles 1, 4, 7,

24 and 47 of the Charter (Recital 39). They allow Member States to send requests to other
Member States to “take charge of” or “take back” asylum applications (subject to time

limits). The Dublin III Regulations were intended to ensure quick access to asylum procedures

and reduce double handling of asylum claims by different States.


129.    Notably, under Article 3(1) of Dublin III, a right to have an application for international

protection made within the territory of a Member State examined by a Member State is

established as follows:         “1. Member States shall examine any application for international protection by a

         third-country national or a stateless person who applies on the territory of any one of
         them, including at the border or in the transit zones. The application shall be

         examined by a single Member State, which shall be the one which the criteria set out

         in Chapter III indicate is responsible.”


130.    Theright provided forin Article3(1)is asubstantiveright which vests upon themaking

of an application for international protection within the territory of the EU. Thereafter

provision is made Article 3(2) of Dublin III for the designation of the responsible Member
State.



131.    Importantly for present purposes, under Article 3(3) of Dublin III, provision is made
for the application of the third safe country concept as follows:


         “3. Any Member State shall retain the right to send an applicant to a safe third

         country, subject to the rules and safeguards laid down in Directive 2013/32/EU.”



132.    In this way, the Dublin III Regulations provides for the retention of the safe third
country concept on condition of compliance with the rules and safeguards laid down in the

Recast Procedures Directive even though Ireland had not adhered itself to this Directive. It

bears note that at Recital 41 of the Dublin III Regulations reference is made to Article 3 and
Article 4A(1) of Protocol No 21 on the position of the United Kingdom and Ireland in respect

of the Area of Freedom, Security and Justice, annexed to the Treaty on the European Union

(TEU) and to the Treaty on the Functioning of the European Union (TFEU). It is recorded that

those Member States had notified their wish to take part in the adoption and application of the
Dublin III Regulations. Indeed it is not in dispute in these proceedings that the Dublin III

Regulations apply in full to Ireland.


133.    As noted above, following the commencement of the 2015 Act the State did not operate

a safe third country system for more than five years. This only changed in December, 2020

following the withdrawal of the UK from the EU when s. 72A was inserted into the 2015 Act

by s. 122 of the 2020 Act. Section 72A of the 2015 Act is set out in full above at paragraph
27.134.    As is immediately apparent, s. 72A is drafted in terms which mirror the requirements
of the Procedures Directive at Article 27(1)(a)-(d) but not the Recast Procedures Directive at

Article 38(1)(a)-(e). Specifically, a requirement has not been specified that the Minister only

operate a safe third country designation when satisfied there is no risk of serious harm as

defined in Directive 2011/95/EU (the Recast Qualifications Directive).



Is the Designation Ultra Vires?

135.    The designation of the United Kingdom of Great Britain and Northern Ireland as a safe

third country is challenged as to its lawful basis on several grounds most notably that:


        a)     there was a failure to transpose the concept within the time provided for
               implementation of the Procedures Directive viz. December, 2008 with the result

               that the safe third country concept is no longer available by way of exception to

               therighttohavetheapplicationdeterminedontheterritoryoftheMemberState;

        b)     the principle of non-regression precludes late provision for designation;
        c)     there was a failure to provide for safeguards necessitated under EU law,

               specifically underArticle 38 of the Recast Procedures Directive;

        d)     there was a failure to provide for a broader rights scrutiny;
        e)     there was a breach of the requirements of GDPR; and

        f)     the designation was and is irrational.


Is there a Power to Designate lost by reason of Non-Transposition before December, 2008?

136.    It is contended on behalf of the Applicants that as the original Procedures Directive is

no longer in force and as Ireland was required to introduce relevant legislation by no later than
1st ofDecember, 2007, theStatehaving failedtointroducelegislationpriortoDecember,2007,

may not now do so. Insofar as s. 72A of the 2015 Act (as amended) purported to do so in

December, 2020, it is invalid.


137.    It seems to me that the arguments advanced on behalf of the Applicants are

misconceived insofar as it is contended that the power to designate is lost by reason of non-

transposition of the Procedures Directive before its implementation date. The safe third
country concept is a concept well known in international refugee law and practice. It does notderive its existence from the Procedures Directive and was not necessitated or mandated by

that Directive or any other provision of EU law. Articles 25 and 27 of the Procedures Directive
do not operate to impose an obligation on Member States that must be transposed into national

law by a certain point in time or be lost forever. Instead, the CEAS permits Member States to

have in place a system for designating safe third countries, provided minimum conditions are

complied with. The EU has not proceeded to prohibit the application of the concept for
countries who did not have an operative safe third country system in place before the

transposition date for the Procedures Directive. On the contrary, the EU continues to provide

for application of the concept, albeit with the additional condition prescribed under Article
38(1)(b) where applicable.



138.    The clear effect of Article 27 of the Procedures Directive was to require that in

designating safe third countries, if a Member State elected to do so, there would nonetheless
be observance of common minimum standards of protection. Article 27 operates to recognise

as lawful the exercise of a discretion by member states to apply a safe third country concept

provided certain prescribed conditions aremet. TheobligationcreatedbyEUlaw in this regard
is to provide for safeguards if operating a system of safe third country designation. There is

no requirement under the Procedures Directive for a Member State to make national provisions

deeming certain applications to be inadmissible, rather there are rules setting the scope within

which a Member State may do so, operating as conditions precedent to reliance on the concept.
Whether the safe third country concept is applied at all in each member state is, however, a

matter of national law.


139.    The transposition deadline of the 1st of December, 2007 fixed under Article 43 of the

Procedures Directive applied only in respect of the laws, regulations and administrative

provisions “necessary to comply with this Directive”. Contrary to the case made on behalf of

the Applicant, I am satisfied there was no impediment under EU law to the State introducing
new legislation in 2020 allowing for the designation of safe third countries, so long as any such

legislation complied with the requirements of EU law by providing for the pre-conditions for

designation mandated under EU law, thereby upholding EU standards in ensuring proper

processing of asylum applications by persons who seek protection within the territory of the
EU.140.    No authority has been identified to support the case made on behalf of the Applicant

that the State does not continue to be free to introduce a safe third country concept or to revise
it, if the system adopted in domestic legislation contains the safeguards mandated by EU law.

Unless the contrary is clearly indicated, EU law places no time limit on a Member State’s

exercise of a discretion conferred in a Directive while that Directive remains in force for that

Member State.


141.    The argument on behalf of the Applicants to the contrary in these proceedings does not

withstand scrutiny. Not only is it not supported by authority (and flies in the face of decisions
in cases such as Seredych v Minister for Justice [2020] IESC 62 and EV v. IPAT & Ors. [2020]

IEHC 617) but if the logic of the Applicants’ argument were correct, it would follow that a

MemberState foundto bein breach of the requirements ofEU law in infringementproceedings

at the suit of the Commission or another Member State would not be permitted to regularize
theposition in theirdomesticlegal orderforthepurposeofbringing it intocompliance. Indeed,

the Applicants’ position is irreconcilable with the provision for infringement proceedings in

the TFEU (Articles 258, 259 and 260) which are predicated on a Member State who fails to
adopt measures within the time allowed being persuaded to bring the domestic legal order into

line with EU law requirements.



142.    It is recalled that by operation of Article 53 of the Recast Directive, Ireland remains
bound by the Procedures Directive which stands repealed only insofar as parties have adopted

the Recast Procedures Directive. Article 53 of the Recast Procedures Directive makes clear

that transposition obligations of the Irish State under the Procedures Directive remain
unaffected by the repeal of the Procedures Directive for those Member States bound by the

Recast Procedures Directive.



143.    While the Procedures Directive has been repealed for those countries who adhered to
the Recast Procedures Directive, it is established that its provisions continue to bind Ireland.

As found by the CJEU in C-616/19 M.S. v. Minister for Justice and Equality, as far as the rules

of asylum procedure are concerned, Ireland is subject to a combined application of the

Procedures Directive and the Dublin III Directive. In reliance on the decision of the Supreme
Court in Seredych v Minister for Justice [2020] IESC 62, Burns J. found in EV v. IPAT & Ors.

[2020] IEHC 617, a case in which the vires of ss.33 and 72 2015 Act (relating to the safe

country of origin concept) were challenged, that the fact that Ireland did not adopt the RecastDirectives did not absolve Ireland from transposing and continuing to apply the earlier

Directives. She held that this was because Ireland had agreed that while it would not adopt the
Recast Directives, it remained bound by the earlier Directives.



144.    Similarly, in IM v. IPAT & Ors. [2020] IEHC 615 (Burns J. in a case on all fours with

EV v. IPAT & Ors. [2020] IEHC 617) the argument that because Ireland had not adopted the
Recast Procedures Directive, the State is not entitled to avail of the provisions of that Directive

in order to apply the safe country of origin concept was considered unarguable and leave to

proceed by way of judicial review was refused. For the same reasons, I also reject any
contention that the Minister’s power to designate a third safe country in reliance on the

Procedures Directive is lost by reason of the fact that the transposition date of the Procedures

Directive had long since passed and had been repealed for those member states who have

adhered to the Recast Procedures Directive prior to the amendment of the 2015 Act.


145.    Furthermore, in C-616/19 M.S. v. Minister for Justice and Equality it was established

that the failure to adhere to a subsequent Directive which makes particular provision in a
manner not available under the previous Directive (since repealed for the parties adhering to

the later Directive) to which the Member State was a party, does not preclude that Member

State from adopting a domestic law which is compatible with EU law as it is applied to parties

adhering to the later Directive.     Indeed, adopting measures compatible with the later
requirements of EU law, although not mandated because the State had not adhered to the later

Directive, was considered the correct interpretation of the legal regime as it was consistent with

the context and the objectives pursued by the CEAS.


146.    It seems to me therefore to be clear that there is no impediment to Ireland applying a

safe third country designation by reason only of the fact that the transposition date has passed

and the Procedures Directive has been repealed for those adhering to the Recast Procedures
Directive.



Does the principle of non-regression preclude late provision for designation?


147.    The Applicants rely in argument on the EU law principle of non-regression, namely

that the Minister is not entitled to designate the UK as a safe third country where to do so puts
international protection applicants in a less advantageous position than they would be in underthe Dublin III Regulations in circumstances where provision did not exist in national law for

such designation between 2015 and 2020.


148.    The principle of non-regression is a relatively new concept in EU law area. The CJEU

has recently discussed it in the rule of law context in C-896/19 Repubblika v. Il-Prim Ministru

(Maltese Judges) and C-791/19 Commission v Poland (disciplinary regime applicable to
judges), both cases concerning judicial independence. It seems fair to say, therefore, that thus

far, the principle of non-regression in relation to the rule of law has been closely linked to that

of judicial independence. The possible wider application of the principle has not been
developed. The decision of the CJEU in Repubblika concerning Maltese judges is relied upon

on behalf of the Applicants in arguing that by reason of the principle of non-regression

expounded upon in that decision, any designation of a safe third country which operates to

reintroduce the concept in Irish law post the transposition deadline for the Procedures Directive
and/orits repeal is ultravires as incompatiblewith EUlaw. It is thereforenecessaryto consider

the decision in Repubblika in greater detail.


149.    The principle as enunciated in the decision in Repubblika falls to be understood in the

context in which it was made. A fundamental constitutional principle of EU law is the rule of

law, a value common to the Member States, enshrined in Art. 2 TEU. It is long established

that the EU and the EC before it is a community based on the rule of law. The rule of law
constitutes part of the very foundations of the EU and its legal order. Mutual trust which is

integral to the operation of the EU legal order is anchored on common values contained in

Article 2 TEU upon which the EU is founded and which all Member States are bound by. It is
therefore a condition of membership that the rule of law will be respected within the domestic

legal order of each Member State.



150.    From my reading of the ratio of the judgment in Repubblika insofar as the principle of
non-regression is concerned, the obligation for Member States to provide remedies sufficient

to ensure effective legal protection in the fields covered by EU law precludes Member States

from adopting and enacting national legislation and measures on the organization of justice,

which are such to constitute a reduction in the protection of the Article 2 TEU value of the rule
of law in that Member State.151.    At its core Repubblika was about judicial independence, the interpretation and the

material scope of Articles 2 and 19 (1) TEU and Article 47 of the CFR. While the decision in
Repubblika is authority for the proposition that there is now a recognised prohibition in EU law

against Member States falling below the minimum standard of compliance with Article 2

values upon which accession to Union membership is conditioned, it is unclear what

application this principle might have for issues arising in this case in respect of safe country of
origin designation.



152.    While the judgment in Repubblika may signify a new and important approach by the
CJEU in reading Articles 2, 19 and 49 TEU together as obliging the Member States to ensure

national non-regression in the protection of the founding values, it is nonetheless a principle

which only finds application in respect of core values which are fundamental to the rule of law

upon which mutual trust between Member States of the EU is built. It is therefore difficult to
understand the contention that the principle of non-regression is offended by the adoption of a

measure by the State which is expressly contemplated by EU law.


153.    The argument advanced on behalf of the Applicants, if correct, would mean that a

Member State is prohibited by Article 2 of TEU from enacting legislation which may have the

effect in the Member State concerned of adversely affecting certain applicants’ prospects of

having their protection applications determined within the territory of the EU where they
benefit from a right to asylum protected under Article 18 of the CFR and a closely regulated

regime which ensures important minimum standards operate, even though EU law expressly

permits the application of a safe third country concept, subject to safeguards the presence of
which operate as conditions precedent to reliance on the concept.



154.    It seems to me that Article 18 cannot be read as preventing the designation of a safe

third country when designation is expressly contemplated by the Procedures Directive itself
(and for that matter by the subsequent Recast Directive applicable to other Member States). It

is important to recall that Article 18 articulates a right to have an application for international

protection examined in line with applicable law. Article 18 was described in C-821/19

Commission v Hungary Commission v Hungary (at para. 132) as guaranteeing “the
fundamental right to apply for asylum in a Member State”, and in C-673/19 M and others,

(para. 40) as encompassing “the principle of non-refoulement” but the application of a safethird country concept in accordance with EU mandated preconditions is not incompatible with

Article 18 rights.


155.    Given that EU law expressly permits and continues to permit the operation of a safe

third country designation in the organisation of the domestic international protection systems

of each Member State, I am satisfied that the emerging principle of non-regression does not
assist the Applicants. There is no common, fundamental value of EU law which would

preclude a Member State from providing for the application of a safe third country concept,

provided the mandatory requirements of EU law in relation to its operation are adhered to. The
principle of non-regression which finds expression in cases such as Repubblika has not been

advanced to a point where it might be relied upon in judicial review proceedings to ground a

finding of incompatibility with EU law by reason of the reintroduction of a safe third country

designation regime which is not, per se, itself incompatible with the EU legal order.

Is the Power to Designate Unlawful in the Absence of Safeguards Mandated under Article 38

of the Recast Procedures Directive?

156.    As set out above, the Dublin III Regulations provide for the retention of the safe third

country concept on condition of compliance with the rules and safeguards laid down in the

Recast Procedures Directive, which for their part import application of the safe third country
concept only when the Member State is satisfied that there is no risk of serious harm as defined

in the Recast Qualification Directive. As found in C-616/19 M.S. v. Minister for Justice and

Equality insofar as asylum procedures are concerned Ireland is subject to the combined
application of the Procedures Directive and the Dublin III Regulation (para. 29). As Ireland is

bound by the Dublin III Regulations, however, this begs the question as to whether Ireland is

bound by the requirements of the Recast Procedures Directive pertaining to the application of

the safe third country concept even though it has not adopted the Recast Procedures Directive
by operation of the Dublin III Regulations and, if so, whether there is a gap between the

safeguards provided in s. 72A of the 2015 Act (as amended) and the requirements of the Recast

Procedures Directive such that the designation of the United Kingdom of Great Britain and
Northern Ireland is incompatible with the requirements of EU law.



157.    The Respondents contend that insofar as Article 3(3) of the Dublin III Regulations

makes the right to send an applicant to a safe third country subject to the rules and safeguards
laid down in the Recast Procedures Directive, this should be read as merely making clear thatMember States retain the right to send an applicant to a safe third country notwithstanding that

the provisions of the Dublin III Regulations may apply to a situation. It is further contended,
in the alternative, that to the extent that Article 3(3) of the Dublin III Regulations may operate

to require Ireland to observe the rules and safeguards in the Recast Procedures Directive, such

an obligation only arises where Dublin III applies and does not apply to the determination that

an application is inadmissible per se. It is contended that Dublin III Regulations have no
relevance to these proceedings where there is no question of the Applicant being transferred to

another Member State under the provisions of that measure. It is squarely denied that the

provisions of Article 38 of the Recast Procedures Directive apply to Ireland.


158.    I cannot accept the Respondents’ contentions regarding the nature and effect of the

provisions of the Dublin III Regulations. While it is indeed true that the Dublin III Regulations

are designed to determine where responsibility lies as between Member States for determining
an application, fundamental and inherent to the essence of the Dublin III Regulations is the

right ofaprotection applicant to havetheapplicationdeterminedwithintheterritoryofasingle,

responsible member state. Article 3(1) clearly, in express terms and using plain English,
provides for a right to have an application for international protection made within the territory

of a Member State examined by a Member State. Article 3(1) makes it mandatory (“Member

States shall examine any application”) that an application for international protection by a

third-country national or a stateless person who applies on the territory of any member state be
examined by a single Member State. While the Dublin III Regulations thereafter provide for a

system fordetermining whichMemberStateis responsible,theonly exceptionto theobligation

of the responsible Member State as determined in accordance with Dublin III Regulation
criteria is that provided for at Article 3(3).



159.    As I read it, Article 3(3) does not operate to merely signal that the safe third country

concept remains available, as the Respondents posit, but rather makes the right of any member
state to rely on that concept “subject to” the rules and safeguards laid down in the Recast

Procedures Directive. Theplain meaning ofthelanguageof theprovision is thereforeto permit

reliance on the concept provided the conditions specified in the Recast Procedures Directive

are complied with. This being so, it follows that the risk of serious harm as defined under the
Recast Qualifications Directive must be excluded where reliance is placed on the safe third

country concept consequent upon the terms of Article 38(1)(b) of the Recast ProceduresDirective which imports this requirement by way of enhanced protection in addition to that

previously provided under Article 27 of the Procedures Directive.


160.    I am not persuaded that a case for departing from the plain language of Article 3(3) of

the Dublin III Regulations is made out. I consider the construction urged on behalf of the

Respondents so strained as to be unacceptably artificial. Article 3(3) of Dublin III Regulations
permits a departure from an obligation to assess the international protection application only

where a safe third country is identified in accordance with the heightened standards prescribed

by way of safeguard for protection seekers within the territory of member states of the EU. In
this way theDublin IIIRegulations sets acommonminimum standardforanyprotectionseeker

applying within the territory of a Member State that they shall not be removed from in reliance

on a safe third country designation unless a prescribed level of protection is available in that

third country.


161.    It is recalled, as set out above, that the Dublin III Regulations have as an express

objective to seek to ensure full observance of the right to asylum guaranteed by Article 18 of
the Charter as well as the rights recognised under Articles 1, 4, 7, 24 and 47 of the Charter

(Recital 39). An interpretation which recognises the obligation on member states to ensure that

a protection application is properly determined is not only the one which flows from the words

used but is also that which sits most comfortably with the full observance of the right to asylum
guaranteed by Article 18 of the Charter as well as the rights recognised under Articles 1, 4, 7,

24 and 47 of the Charter, this being a declared objective of the Dublin III Regulations. A

contrary interpretation to that supported by the plain language of Article 3(3) of the Dublin III
Regulations falls foul of the objective recognised in C-616/19 M.S. v. Minister for Justice and

Equality of limiting secondary movements of asylum applicants between Member States,

where such movement would be caused by differences in the legal frameworks of those

MemberStates. Aspointed out by theCJEUin M.S.,theDublin IIIRegulationwas specifically
intended to prevent such movement by establishing uniform mechanisms and criteria for

determining the Member State responsible for examining an application for international

protection (see para. 51).


162.    In deciding whether the Dublin III Regulations operate to make any safe third country

system subject to the requirements of the Recast Procedures Directive and thereby the Recast

Qualifications Directive insofar as application of the concept is concerned, it further bears notethat at Recital 41 of the Dublin III Regulations reference is made to Articles 3 and 4a(1) of

Protocol No 21 on the position of the United Kingdom and Ireland in respect of the Area of
Freedom, Security and Justice, annexed to the TEU and to the TFEU. It is recorded in Recital

41 that those Member States, namely the United Kingdom and Ireland, had notified their wish

to take part in the adoption and application of the Dublin III Regulation. Recital 41 clearly

signals a voluntary assumption of additional obligations arising under the Dublin III
Regulations, notwithstanding reservations previously reflected in Protocol No. 21 and in

accordance with provision to do so recognised under the terms of that Protocol.


163.    As to whether there is a gap in Irish law and its compliance with EU law created by the

non-implementation of the Recast Procedures Directive, it seems to me that while there is a

significant overlap between Article 38(1)(a)-(e) of the Recast Procedures Directive and s.

72A(2) of the 2015 Act (as amended), it is nonetheless clear that serious harm as defined in
Article 15 of Directive 2011/95/EU as consisting of: (a) the death penalty or execution; or (b)

torture or inhuman or degrading treatment or punishment of an applicant in the country of

origin; or (c) serious and individual threat to a civilian’s life or person by reason of
indiscriminate violence in situations of international or internal armed conflict is not provided

for in directly equivalent terms in s. 72A of the 2015 Act. In particular, s. 72A(2) of the 2015

Act (as amended) does not specifically preclude designation as a safe country on the basis of

risk of the death penalty or execution or serious and individual threat to a civilian’s life or
person by reason of indiscriminate violence in situations of international or internal armed

conflict.


164.    It requires to be considered, however, that in the Irish context the safe third country

designation provided for in s. 72A of the 2015 Act operates in conjunction with s. 21 of the

2015 Act (as amended) and s. 50A (non-refoulement where an inadmissibility determination

has been made). It is therefore necessary to consider whether any lacuna is addressed through
the operation of the statutory scheme as a whole.



165.    By reason of the application of s. 21(2) and (17), no individual applicant will find their

case rejected as inadmissible if there is a demonstrated risk that they will be subjected in that
country to the death penalty, torture or other inhuman or degrading treatment or punishment.

Similarly, under s. 50A a person shall not be expelled or returned in any manner whatsoever to

the frontier of a territory where, in the opinion of the Minister— (a) the life or freedom of thepersonwouldbethreatenedforreasonsofrace,religion,nationality,membershipofaparticular

social group orpolitical opinion, or(b) thereis aseriousriskthattheperson wouldbesubjected
to the death penalty, torture or other inhuman or degrading treatment or punishment.



166.    It seems to me that by operation of s. 21(2) & (17) and s. 50A of the 2015 Act the

potential for a gap between the requirements of Irish law and the requirements of the Recast
Directive insofar as the application of the safe third country concept is concerned is narrowed

to an apparent failureto excludetransferto acountrywheretheremaybeserious and individual

threat to a civilian’s life or person by reason of indiscriminate violence in situations of
international or internal armed conflict.



167.    Although many risks of serious harm as envisaged by Article 15(c) of the Recast

Qualifications Directive may also be covered by a prohibition on torture and inhuman and
degrading treatment and one might struggle to identify an example of a case which falls within

protection against serious harm but outside s. 72A(2)(a)-(d) when combined with s. 21(2)(c)

and s. 21(17) of the 2015 Act (as amended) together with s. 50A of the Act, in my view the
protections provided under the 2015 Act are not so broadly drawn as to capture all incidents of

serious harm within the meaning of Article 15(c) of the Recast Qualifications Directive.



168.    I have concluded therefore that there is a gap between Irish and EU law such that s.
72A(2) and s. 21 combined with s. 50A of the 2015 Act (as amended) fail to provide for the

full extent of the safeguards mandated under Article 38(1)(b) of the Recast Procedures

Directive as applicable where a Member State is excused from its obligations to ensure that an
asylum claim is determined in accordance with common minimum standards in a Member

State.



169.    In my view these safeguards are binding on Ireland by reason of the State’s adherence
to the Dublin III Regulations and the express terms of Article 3(3) of the said Regulations. The

failure to require the Minister to be satisfied that a person would not be subjected to serious

harm on transfer to a third country, if designated as safe, means that Ireland is in breach of the

requirements of EU law, specifically Article 3(3) of the Dublin III Regulations.            The
designation of the United Kingdom of Great Britain and Northern Ireland under s. 72A of the

2015 Act (as amended) is therefore unlawful and ultra vires the powers of the Minister.Is designation unlawful by reason of breach of the review requirement?

170.    Breach of a requirement to review was at the heart of the Applicants’ cases as pressed

during the hearing before me. The review ground was invoked as a separate ground of

challenge to that of vires arising from an asserted failure to review the designation of the UK
as a safe third country pursuant to s. 72A(4) of the 2015 Act.



171.    In the clear, precise and express language of s. 72A(4), the Minister is required to

review, “on a regular basis” “the situation in a country designated under subsection (1)” in
“accordance with subsections (2) and (3).” The frequency of the review is not specified under

s. 72A or elsewhere in the 2015 Act (as amended). Nor is the word “review” used in either the

Procedures Directive or the Recast Procedures Directive (with regard to the safe third country

concept). Provision is however made in the Recast Procedures Directive for regular review of
a safe country of origin designation (Article 37(2)), without specifying frequency.



172.    While the frequency of the regular review required is not specified in s. 72A(4) of the
2015 Act (as amended), there is no ambiguity as to what a review should entail under domestic

law. The statutory requirement pursuant to s. 72A(4) is for a regular review “in accordance

with subsections (2) and (3)”. This is a full systemic consideration of the position in the

country designated as to whether a person seeking to be recognised in the country concerned
as a refugee will be treated in accordance with principles in that country which ensure that (a)

life and liberty are not threatened on account of race, religion, nationality, membership of a

particular social group or political opinion, (b) the principle of non-refoulement in accordance
with the Geneva Convention is respected, (c) the prohibition of removal, in violation of the

right to freedom from torture and cruel, inhuman or degrading treatment, as required by

international law, is respected, and (d) the possibility exists to request refugee status and, if

found to be a refugee, to receive protection in accordance with the Geneva Convention. As a
matter of domestic law, the Minister’s review of these considerations on a regular basis must

have regard to up-to-date information from a range of sources including in particular

information from (a) other Member States of the European Union, (b) the European Asylum
Support Office, (c) the High Commissioner, (d) the Council of Europe, and (e) such other

international organisations as the Minister considers appropriate.173.    Where a review within the meaning of s.72A(4) is carried out, one would expect to see

it documented in muchthesameway as theassessmentleading to theoriginal designationorder
was documented. No such documentation has been adduced to evidence a statutory review

under s. 72A(4). Indeed, it appears to be accepted on the Affidavit evidence adduced that the

Minister has not engaged in a formal review of the s. 72A designation of the United Kingdom

of Great Britain and Northern Ireland in accordance with s. 72A(4) of the 2015 Act (as
amended) since June, 2020 when the 2020 Designation Order was made.



174.    As the review should address the same statutory conditions for designation as were
considered when the original decision was made, the general review referred to in affidavit on

behalf of the Respondents patently does not meet the requirements of s. 72A(4) of the 2015

Act (as amended). This does not necessarily mean, however, that the Minister is in breach of

duty under s.72A(4) given that the frequency with which a review is required is not specified.


175.    Insofar as the review ground constitutes a separate and distinct challenge to the

continuing designation of the UK in the light of developments concerning the Rwanda Policy
based on a breach of a duty to regularly review in accordance with s. 72A(4), I am satisfied

that it is no longer necessary for me to determine this issue to the resolve the dispute between

the parties in either of these two proceedings in the light of my conclusions as to the vires of

the designation as set out above. Accordingly, by reason of the doctrine of judicial restraint, I
purposely refrain from making any determination on the frequency with which a review in

accordance with s. 72A(4) of the 2015 Act is required. This question should await a case in

which it properly arises as necessary to the resolution of the dispute.


176.    There is, nonetheless, a sense in which I see the review requirement as relevant to and

informing my consideration of the vires of the 2020 Designation Order. As this is closely

linked with my findings that the 2020 Designation Order is ultra vires as in breach of EU law
by reason of the failure to transpose the requirements for application of a safe third country

concept prescribed under Article 38(1)(b) of the Recast Procedures Directive, it is appropriate

to set out why I consider the review issue to impact negatively on the vires of the 2020

Designation Order and how it is that I consider it reinforces my conclusion that 2020
Designation Order is unlawful as a matter of EU law.177.    As noted above, in their terms neither the Procedures nor the Recast Procedures

Directive mandate any particular type of formal or periodic review with regard to the safe third
country concept. While the recitals to the Recast Procedures Directive (Recitals 47 & 48)

appear to envisage regular reviews in relation to safe country of origin and safe third country

concepts, it mandates regular review in its operative part only in relation to safe country of

origin designation (Article 37(2)) (as considered further in WPL v Minister for Justice and
Equality & Ors. [2024] IEHC 184). It is nonetheless clear that EU law requires a member state

applying a safe third country concept to be “satisfied” that the requirements for designation as

a safe third country mandated under EU law are present when applying the concept.


178.    During argument counsel for the Respondents queried rhetorically “when” it was

contended that a review requirement was triggered referring to the various developments in the

United Kingdom since 2022, none of which it seems have yet resulted in the actual removal of
aprotection applicant in relianceon theRwandaPolicy. It seems to methatposingthequestion

in this way is to misunderstand the nature of the obligation on Member States deriving under

EU law.


179.    To my mind the requirement to be “satisfied” under the Procedures Directive (and

Recast Procedures Directive) is couched as a continuing obligation. It is not met by the State

being satisfied when making a designation order that a state qualifies as a safe third country
but not so satisfied when giving effect to the safe third country concept in subsequent cases.

Accordingly, although EU law does not prescribe any particular period within which

designation must be reviewed or provide in terms for a review at all, as a matter of logic, for a
member state to remain properly “satisfied” that there is compliance with the matters identified

in Article 27 of the Procedures Directive (or Article 38 of the Recast Procedures Directive,

where it applies), some form of assessment is required on an ongoing basis or in any event

before relying on the safe third country concept in a given case to ascertain whether there are
changed circumstances in the third safe country in question which have potential to impact on

the application of the safe third country concept to it. An interpretation of the obligation under

the Directives as a continuing obligation which applies up to the time of transfer is also one

which sits most properly with the approach of the ECHR in cases such as Ilias v. Hungary
(2019) 71 EHRR 6 where it was found that national authorities must carry out of their own

motion an up-to-date assessment of the accessibility and functioning of the receiving country’s

asylum system and the safeguards it affords in practice (at para. 141 of judgment).180.    The Procedures Directive (Article 27(2)(b)) provides in a non-prescriptive manner that
rules on the methodology by which the competent authorities satisfy themselves that the safe

third country concept may be applied to a particular country or to a particular applicant. The

rules of methodology are a matter for national law but such methodology must include case-

by-case consideration of the safety of the country for a particular applicant and/or national
designation of countries considered to be generally safe. Similar provision is made under

Article 38(2) of the Recast Procedures Directive.


181.    In my view the inclusion of a regular review in s. 72A(4) of the 2015 Act, whilst clearly

influenced by the requirements of the Recast Procedures Directive in relation to safe country

of origin designation, also flows, at least in part, from an appreciation by the State when

enacting the legislation of the continuing nature of the duty to be satisfied that the prescribed
minimum conditions precedent to applying the safe third country concept remain present when

deciding on whether an application is admitted to the Irish international protection system for

processing and when a decision is made to return an individual. To this extent the review
requirement is not an additional protection under Irish law not otherwise obligated by EU law,

albeit that the requirements of EU law might be discharged without a full systemic review in

accordance with s. 72A(4) provided the case-by-case review conducted on an individual basis

is sufficiently thorough and addresses both the prescribed considerations under Article
38(1)(a)-(e) of the Recast Procedures Directive, presuming I am correct in my findings as to

the effect of Article 3(3) of the Dublin IIIRegulations, or Article 27(1)(a)-(d) of the Procedures

Directive if I am wrong in my primary conclusion.


182.    It is maintained on behalf of the Minister that the State complies with the obligations in

Article 27 of the Procedures Directive through a combination of both case-by-case

consideration of the safety of the country for a particular applicant and/or national designation
of countries considered to be generally safe such that there is no breach of EU law evidenced

in the case of the decisions made in respect of Applicant A and Applicant B by reason of the

continuing designation of the United Kingdom of Great Britain and Northern Ireland as a safe

third country. The Applicants do not accept, however, that an individual assessment on a case-
by-case basis as provided for in Irish law is a substitute for the systemic review which is

mandated by EU and domestic law when relying on designation of a third country as generally

safe. It seems to me that neither position is fully correct.183.   Whether the EU law obligation to be satisfied as to the existence of conditions
precedent to reliance on the safe third country concept are discharged on a case-by-case review

depends on what is entailed in that review and whether it meets the requirement to consider all

matters identified at Article 27(1)(a)-(d) of the Procedures Directive and/or Article 38(1)(a)-

(e) of the Recast Procedures Directive.


184.   Consideration of our domestic provisions establish that there are indeed several layers

of decision making before effect can be given to the safe third country concept in any given
case in this jurisdiction. In the first instance, there is a systemic assessment for the purpose of

a decision to designate in accordance with s. 72A(1). The evidence establishes that this

designation is then maintained under “general” review. It is clear from s. 72A(5) that the

designation may be “amended” or “revoked”. Provision is made for a full systemic review in
accordance with s. 72A(4), albeit on the evidence no such review has as yet occurred in the

case of the designation of the United Kingdom of Great Britain and Northern Ireland.


185.   The ongoing “general” systemic review relied on by the Respondents is combined with

an individual assessment on a case-by-case basis whereby under s. 21(2) of the 2015 Act the

State must be satisfied that the applicant has a “sufficient connection” with the country

concerned on the basis of which it is reasonable for him or her to return there and will not be
subjected in that country to the death penalty, torture or other inhuman or degrading treatment

or punishment, and will be re-admitted to the country concerned.


186.   Systemic assessment by way of general review is further combined with a prohibition

on refoulement in s. 50A of the 2015 Act (as amended) requires a case by case individual

assessment byproviding that theMinistercannot makea return orderin the caseof anapplicant

whoseclaim has been found inadmissiblewheresheis oftheopinionthat(a)thelifeorfreedom
of the person would be threatened for reasons of race, religion, nationality, membership of a

particular social group or political opinion, or (b) there is a serious risk that the person would

be subjected to the death penalty, torture or other inhuman or degrading treatment or

punishment. In this context, the Minister must consider whether there is a risk of either
eventuality. An applicant in any given case may make the Minister aware of changes which

are relevant to an opinion on either s.50A(1)(a) or (b) in accordance with s.50A(3).187.    Having considered the terms of each of the provisions which comprise the Irish

statutory scheme I am of the view that there remains a gap between the matters considered
within the parameters of s. 21 and ss. 50A and 51A and the requirements of EU law which the

State is required to be satisfied as to before a safe third country concept is applied. As I read

the statutory scheme no provision is made for the Minister or the Tribunal to be satisfied as to

whether Article 27(1)(d) of the Procedures Directive (as reflected in s.72A(2)(d) of the 2015
Act) is met with regard to the existence in the third safe country of a possibility to request

refugeestatus and, iffound to bea refugee, to receiveprotectionin accordancewith the Geneva

Convention nor Article 38(1)(b) of the Recast Procedures Directive as regards the risk of
serious harm within the meaning of Article 15(c) of the Recast Qualifications Directive.



188.    As seen in the case of Applicant A in the s. 50A report prepared in January 2023, this

did not operate to preclude the Minister from nonetheless purporting to consider all matters
prescribed under s.72(A)(1) which would include the existence in the third safe country of a

possibility to request refugee status. In that Report it was concluded:


         “Having considered the country of origin information on the UK, I am satisfied that

         the UK has been correctly and properly designated as a safe third country, pursuant
         to section 72(A)(1) of the Act of 2015, meaning that the Minister considers the UK to

         meet and to continue to meet the criteria established in section 72(A)(2) of the Act of

         2015.”


189.    It appears from this that the Minister reviewed the designation of the UK before

deciding to make a return order in this case, even though this is not provided for under the

statutory scheme. It seems to me that were it not for the requirement to be satisfied that there
was no risk of serious harm upon removal to a designated safe third country which has been

omitted from s.72A(2) of the 2015 Act, a review by the Minister to establish that the criteria

for designation continue to be met would suffice for the purpose of the requirements of EU law

provided such a consideration is provided for in law and the Minister had vires to conduct this
review. Even so, there is a failure to review for the purpose of complying with Article 38(1)(b)

of the Recast Procedures Directive.



190.    As the review requirement under s. 72A(4) arises by way of methodology adopted
domestically as the means by which the State discharges obligations under Article 27 of theProcedures Directive, the failure to conduct a full formal review in accordance with Article 27

does not necessarily render the system non-compliant with EU law unless a similar obligation
derives under EU law. It seems to me that the State is required, however, to be satisfied as to

ongoing compliance with the requirements of Article 27(1) of the Procedures Directive (or as

I have decided above, Article 38(1) of the Recast Directive) when relying on a safe third

country designation. In my view the various layers of assessment provided for in s. 21 and s.
50Aand s. 51Aofthe2015 Act (as amended),donot dischargethis ongoing obligationbecause

there is no direct equivalence between the safeguards mandated under either the Procedures

Directive or the Recast Procedures Directive and those provided for in sections 21, 50A or 51A
of the 2015 Act (as amended).



191.    Furthermore, no residual power vests in the Minister under s. 51A to refuse to make a

return order where an application has been determined as inadmissible under s. 21(11) and the
Minister is not of the opinion that the conditions for prohibition of refoulement specified in s.

50A are met. Accordingly, the Minister has not been vested with a power to consider whether

thepossibility exists to request refugeestatus and,iffoundto be arefugee,to receiveprotection
in accordance with the Geneva Convention in the safe third country (as required by Article

27(1)(d) of the Procedures Directive and Article 38(1)(e) of the Recast Directive) or there is a

risk of serious harm within the meaning of Article 15(c) of Recast Qualification Directive (as

required by Article 38(1)(b) of the Recast Procedures Directive as applied by Article 3(3) of
the Dublin III Regulations). Once an application is found inadmissible under s. 21(11) and

return is not prohibited as a breach of the principle of non-refoulement as provided for in s.

50A of the 2015 Act (as amended), the Minister is obliged as a matter of law to make the return
order in accordance with s. 51A.



192.    It seems to me therefore that the rules of methodology prescribed under the 2015 Act

(as amended) are not sufficient to ensure that the Minister may be properly satisfied that the
minimum conditions or safeguards specified under Article 27(1) of the Procedures Directive

and/or Article 38(1) of the Recast Procedures Directive. I have concluded that both in their

terms and as applied, ss. 21, 50A, 51A and 72A of the 2015 Act (as amended) do not ensure

compliance with the requirements of EU law as to the application of a safe third country
concept in finding an application for international protection inadmissible and providing for

the making of a return order by reason of a failure to ensure a thorough review to ensurecompliance with EU at the point in time when the decision to return is made applying a safe

third country concept.


193.    Accordingly, if I am wrong above in concluding that the Minister has designated the

United Kingdom of Great Britain and Northern Ireland as a safe third country in breach of

mandatory requirements of EU law by reason of the failure in Irish law to require that
designation be applied when the State can be satisfied that there is no risk of serious harm to

an applicant on removal to the third country in accordance with Article 38(1)(b) of the Recast

Procedures Directive as applied by Article 3(3) of the Dublin III Regulations, I am nonetheless
also satisfied that the State has not adopted rules of methodology which are sufficient to ensure

that an applicant for international protection is not returned to a third country in breach of the

minimum requirements of EU law (be those requirements specified under the Procedures or

the Recast Directives).


194.    While the Minister reviewed designation to ensure compliance with the conditions of
s. 72A(1) of the 2015 Act prior to the making of the Return Order in Applicant A’s case when

considering making a return order as apparent from the terms of the s. 50A report referred to

at paragraph 58 above, it seems to me that there is ambiguity as to whether this review is intra
vires the Minister’s statutory powers, even though it is required as a matter of EU law. It seems

to me to be seriously questionable whether the Minister had power to conduct a full

consideration of the requirements of s. 72A(1) having regard to the mandatory terms of s. 51A.

The Minister’s only potential option under the scheme of the 2015 Act, if satisfied that there
was non-compliance with s. 72A(1) or any part of it, was to refuse to apply the mandatory

provisions of s.51A on the basis that they were incompatible with EU law. This is a question

I return to in my consideration of whether there is a duty to conduct a broader rights analysis
before rejecting an international application as admissible and making a return order with the

effect that the claim for protection can no longer be determined in Ireland below.



Is there an obligation on the Minister to consider risk of rights violations before making a

return order under s. 51A?

195.    It is the Respondents’ case as pleaded and argued that it is clear from s. 21(11) of the

2015 Act that the Minister is under a mandatory obligation to determine an application to be

inadmissible where the Tribunal has affirmed a recommendation of the IPO that the applicationshould be determined to be so. They point out that the Minister has no power to undertake any

rights analysis before doing so as the Minister does not retain any discretion to depart from the
inadmissibility decision once it has been affirmed by the Tribunal.



196.    It seems to me having regard to the language of s. 21(11) that the Respondents’

submission in this regard is correct. Similarly, however, there is no power vested in the
Tribunal to undertake a rights analysis beyond the specific analysis provided for under s.

21(2)(c) in light of s.21(17) & (18). Accordingly, while I agree with the Respondents’

contentions that the case law cited on behalf of the Applicants does not support the proposition
that the Minister is obliged to consider the question of a risk to fundamental rights at the stage

of a s. 21(11) determination, I do not accept their proposition that to the extent that any

obligation arises to consider the question of a risk to fundamental rights at the stage of a

determination of inadmissibility, this is placed, as a matter of national law, on the IPO and/or
the Tribunal. The IPO’s decision-making role, as provided for under s. 21 of the 2015 Act (as

amended), is no more expansive than that of the Tribunal and is curtailed to the specific

competence prescribed in the provision giving it decision making power.


197.    The Tribunal clearly found in Applicant B’s case that it had no role in conducting a

wider rights analysis, stating that this was a matter for the Minister. It seems to me that the

Tribunal is at least partially correct in this finding. In my view, the Tribunal, as a creature of
statute, is limited to the powers conferred on it under s. 21. In this regard, the question it must

determine is circumscribed. It quite simply has not been vested with competence to conduct a

broader rights analysis unless one applies by means of the doctrine of direct effect. Given that
Directives leave to the Member States the modalities of implementation, I see no scope for the

application of doctrine of direct effect to vest the Tribunal with a broader rights scrutiny

jurisdiction.


198.    In consequence, when the matter comes before the Minister for the purpose of making

a return order which is subject only to the prohibition on non-refoulement provided for in s.

50A, it does so in circumstances where no broader or effective rights analysis has occurred.

Given the constraints of s. 51A, it seems to me that the Tribunal is not correct in its recorded
position that a wider rights assessment is a matter for the Minister. None is provided for by

statute at that stage of the process either, albeit on the evidence in Applicant B’s case one was

done on a purportedly “without prejudice” basis.199.    It must be questionable how real or meaningful a “without prejudice” rights analysis is
when the Minister is not vested with a power to refuse to make a return order on foot of same

and where fundamentally the Minister is of the understanding that no such analysis is required.

As far as I can see no provision is made for a broader rights analysis at any stage of a process

which is liable to result in the removal of a person from the State without a protection
application being determined. The fact that one may purport to take place notwithstanding a

lack of legal basis on a “without prejudice” or gratuitous basis does not fully address the

concern a competence gap gives rise to.


200.    It seems to me that the Respondents’ plea that the statutory scheme as a whole provides

for the necessary consideration in respect of Article 3 ECHR and/or Article 4 of the EU Charter

before a person is returned to a country following a finding of inadmissibility ignores the issue
regarding a broader rights analysis and is also at odds with the stated position of the decision

makers in their decisions as evidenced in the cases before me. I have not identified where in

theprocess established underss. 21, 50A,51Aand72Aofthe2015Act (as amended) provision
has been made for such consideration to take place. The evidence in the two cases before me

demonstrates that neither the Tribunal nor the Minister consider that they have any role in this

regard under the current statutory framework, albeit both engage in some consideration of

rights notwithstanding their stated positions. Indeed, while protesting that the Minister has no
role in a wider rights analysis, as seen above the Minister nonetheless carried out a rights

analysis on a “without prejudice” basis in Applicant A’s case and seems to seek to defend these

proceedings on the conflicting basis that there is no requirement to conduct such an analysis
but in any event one has been done.



201.    The lack of clarity as between the different decision makers in the process as to where

a rights analysis falls to be conducted is unsatisfactory. From a strictly legal perspective,
however, it seems to me that the statutory process does not afford real capacity for such an

analysis at any stagebecausetheIPOandTribunal’s discretionis constrainedbytheparameters

of the question to be decided under s. 21 whereas the Minister’s discretion is statutorily

constrained under s. 51A.


202.    A serious issue arises, in my view, as to whether a process which culminates in the

removal of an international protection seeker from the State can be legally sound in the absenceof provision being made for a broader rights analysis in a manner which is capable of

preventing removal consequent upon a finding that such removal would result in a
disproportionate or unlawful interference with rights (see Ilias v. Hungary (2019) 71 EHRR 6

and Uner v. Netherlands (2007) 45 EHRR 14).



203.    I do not accept the Respondents’ contention that requiring such a rights analysis would
offend Article 27 of the Procedures Directive. The Procedures Directive is but one source of

obligations on the State. The State has separate obligations under the Constitution, the Charter

and the Convention which extend beyond the conditions mandated under the Directives and
are not supplanted by the Directives (be that the Procedures Directive or the Recast Procedures

Directive). It is a matter for the State to make provision for discharge of its obligations in the

decision-making processes it prescribes.


204.    Whilst statutory discretions require to be exercised in a manner which protects

constitutional rights, respects rights safeguarded under the Convention (in accordance with s.

3(1) of the European Convention on Human Rights Act, 2003) and gives effect to the
requirements of EU law, a discretion or power to conduct a rights analysis and to decide in

consequence that a person should not be returned to a safe third country cannot be written in

either under constitutional jurisprudence or the jurisprudence of the European Convention on

Human Rights Act, 2003. Nor does the Constitution or the European Convention on Human
Rights Act, 2003 permit the Minister to simply disregard a mandatory duty imposed by statute

which has not been invalidated by a court.


205.    Although consideration was given to rights under the Charter and the Convention by

the Tribunal in deciding the claims were inadmissible and by the Minister when deciding to

make a return order, I repeat my view that there is a real question as to the reality or efficacy

of such consideration in circumstances where the jurisdiction under s. 21 is limited and s. 51A
mandates a return order, subject only to s. 50A. Indeed, it is pleaded in Opposition papers filed

in these cases that pursuant to s. 51A of the 2015 Act, the Minister was obliged to make the

Return Order subject to the formation of the opinion required under s. 50A of the 2015 Act and

a consideration of the prohibition on refoulement under that provision.


206.    No clear or express provision has been made for a residual discretion to refuse to make

a return order which it has been determined would be in breach of protected rights other thanthosecapturedbyaprohibitiononrefoulement. It isdifficulttoseehowthiscouldbeconsistent

with fundamental rights protection afforded under Irish law. Whatever about the limitations
on the capacity to disapply legislation under constitutional jurisprudence or the Convention,

however, it is true that the position under the Charter is somewhat different in the light of the

decision of the CJEU in C-378/17 Minister for Justice and Equality and Anor. v. Workplace

Relations Commission [2019] 2 C.M. L.R. 13.            Even though that case involved the
disapplicationofastatutoryexclusionratherthanthecreationofadiscretionarypowertorefuse

to make a return order which is mandatory where statutory criteria for same are met, the broad

ratio of that case nonetheless has relevance of the issues arising in these proceedings.


207.    The Minister has proceeded in the case of Applicant A on the basis that the Charter

does not apply because the UK is no longer a member of the EU. It seems to me that the

conclusion that the Charter has no application is an error in law as it is established that the
Charter applies within the field of operation of EU law. In this regard I would distinguish the

decision in S.A. v. Minister for Justice and Equality [2016] IEHC 462 (Humphreys J.) on the

basis that he was there concerned with a deportation at the end of an international protection
assessment process following the rejection of the claim which is not governed by EU law.

While EU law does not apply to considerations on refoulement in the case of a failed asylum

seekers facing deportation at the end of the asylum process because Ireland has not adhered to

theReturnDirective2008/115/EC(thisbeingtheissueconsideredinS.A.v.MinisterforJustice
and Equality), the prohibition against refoulement applies as a matter of EU law in the case of

an application of the safe third country concept by operation of Article 27(1)(b) of the

Procedures Directive and/or Article 38(1)(c) of the Recast Procedures Directive.


208.    I am satisfied that in examining a claim for international protection, even for the

purposes of making an admissibility determination and return order, the State is acting in the

field of EU law and is subject to the Charter. While a return order is made at a point in time
where the claim has been determined as inadmissible, the questions as to whether a country

qualifies as a safe third country and the prohibition against refoulement as prescribed under EU

law is respected such that a return may lawfully be made remain regulated by EU law.


209.    This being the case, the Minister is vested with a power deriving from EU law to refuse

to make a return order by disapplying the mandatory provisions of s. 51A(1) unless satisfied

that to do so does not offend against fundamental rights provisions of EU law or indeed anyother provision of EU law. This conclusion is supported by the decision of the CJEU in the

case of C-378/17 Minister for Justice and Equality and Anor. v. Workplace Relations
Commission. That case is authority for disapplying a national provision which is inconsistent

with EU law on the facts of a given case (see para. 33 of the judgment). It is also reiterated in

the judgment that the duty to disapply national legislation which is contrary to EU law is owed

not only by national courts, but also by organs of State – including administrative authorities –
called upon, within the exercise of their respective powers (see para. 38).



210.    Accordingly, were the Minister to conclude that giving effect to a return order would
give rise to a breach of EU law, in those circumstances it follows that the Minister would be

under a duty to disapply s. 51A(1) of the 2015 Act mandating the making of a return order.

This leaves the issue, however, as to how the Minister may consider rights under EU law when

not empowered by the statutory scheme to do so. It is noted that in this case the Minister
concluded in his “Report on the Consideration under section 50A of the International

Protection Act, 2015 (prohibition on refoulement)” in Applicant A’s case, immediately prior

to making the Return Order and without further consideration in view of the mandatory
language of s.51(A)(1), that a refoulement consideration was not “the appropriate vehicle” in

which to make or to consider arguments on the State’s “alleged failure to transpose Article

27(1) of the Procedures Directive where these are not directly relevant to the prohibition of

refoulement in the Applicant’s specific case”. In clear and unequivocal terms, it was stated
“these arguments are therefore not considered here.”



211.    It is difficult to reconcile this statement with the requirements of EU law and the ratio
of the judgment in C-378/17 Minister for Justice and Equality and Anor. v. Workplace

Relations Commission. In accordance with settled caselaw of the CJEU, the rules of secondary

EU law must be interpreted and applied in a manner consistent with the fundamental rights

guaranteed by the Charter. Furthermore, as the UK is no longer a member of the EU, the
assumption underlying the CEAS, namely that all member states complied with the Charter,

could no longer be assumed in the case of the UK.



212.    It seems to me in accordance with decisions such as that of the CJEU in joined cases
C-297/17, C-318/17, C-319/17 and C-438/17 Ibrahim v. Federal Republic of Germany [2019]

1 WLR 5545 and C-578/16 PPU CK v. Slovenia [2017] 3 CMLR 10 that the Minister should

be empowered to consider whether there has been compliance with the requirements of EU lawand whether there is risk of EU rights violations before making a return order under s. 51A

where sufficient basis for concern in this regard is demonstrated, this being an order made
withinthefieldofapplicationofEUlawinaccordancewithArticle51oftheCharter(providing

for the scope of application of the Charter).



213.    This obligation to consider compliance with EU law arises consequent upon the
primacy of EU law and the duty to disapply national legislation which conflicts with EU law

which duty applies, as a matter of EU law, not only to courts but to administrative decision

makers and all bodies of Member States. It is further clear from the caselaw of the CJEU that
there is an obligation on the State right up to the time of transfer or return to assess on the basis

of information that is objective, reliable, specific and properly updated and having regard to

the standards of protection of fundamental rights guaranteed by EU law, whether there are

deficiencies which may be systemic or generalised or which may affect certain groups of
people (see C-297/17, C-318/17, C-319/17 and C-438/17 Ibrahim v. Federal Republic of

Germany [2019] 1 WLR 5545 at para. 88).


214.    Cases such as C- 63/15 Ghezelbash v. Staatssecretaris van Veiligheid en Justitie [2016]

1 WLR 3969 establish that rights considerations under EU law, even within the Dublin III

system, extend beyond Article 4 Charter rights. The decision in Ghezelbash was cited with

approval by Baker J. in NVU v. RAT & Ors. [2019] IECA 183 when finding that the trial judge
had been in error in taking the view that the decision maker had no obligation to consider the

impact of Article 8 of ECHR or Article 7 of the Charter at para. 128. Baker J. also relied on

CK v. Slovenia and the finding that the provisions of the Dublin III Regulation must be
interpreted and applied in a manner consistent with the fundamental rights guaranteed by the

Charter.



215.    While I am satisfied that the Minister is required to conduct a broader rights scrutiny at
the point of return in accordance with EU law where the need for same arises on the case made,

I consider that the Minister is precluded by the mandatory terms of s. 51A(1) of the 2015 Act

from doing so as no residual discretion is provided for. This in contrast with thesituationunder

s. 4(7) of the Immigration Act, 2004 considered by the Supreme Court in Luximon v. Minister
for Justice [2018] IESC 24 where a discretionary power arose for consideration. I do not

consider that the ratio in C-378/17 Minister for Justice and Equality and Anor. v. Workplace

Relations Commission can properly be extended to vest the Minister with the necessary powerabsent a transposing measure as the means of transposition is a matter for the State. It seems

to me that by its failure to properly provide for a power to conduct a broader rights scrutiny in
caseswhereoneiswarrantedonthebasisofthematerialreliedupon, Irishlawisnotcompatible

with EU law obligations thereby rendering the Safe Third Country Designation system

unlawful.


216.    Whether the Minister’s error as to the application of the Charter or the lack of a legal

basis providing for such consideration materially affected the decision arrived at in the case of

Applicant A remains an open question because, as apparent from the terms of his Section 50A
Report, the Minister addressed both Convention rights and Charter rights in broad terms under

the umbrella of a without prejudice assessment notwithstanding the contention that the Charter

did not apply. It is clear, as referred to by the Supreme Court in MK Albania v. Minister for

Justice and Equality [2022] IESC 48 that the removal of a precarious resident in accordance
with law will only be a breach of the Article 8 right to private life in exceptional circumstances

(para. 30) and in the case of Applicant A, little was offered in terms of factual grounds for a

breach of said rights beyond the issue of a data privacy breach.


217.    In circumstances where I have already found that the 2020 Designation Order which

underpins the entire decision-making process is not compatible with EU law and my

conclusions in this regard are supported by my conclusion that a broader rights analysis is
required as a matter of EU law there is little to be gained by any further consideration of

whether the decision to make a return order was separately unsustainable as irrational or in

breach of rights.

Is designation rendered unlawful by reason of breach of Data Protection Rights in its

implementation?



218.    As set out above, from the outset, the IPO engaged in data exchange with the UK
authorities in relation to both applications for protection. This has been raised as an issue on

behalf of both applicants on the basis that such exchange involving a transfer of data outside

the territory of the EU constitutes a breach of Regulation (EU) 2016/679 ("GDPR").


219.    Applicant A seeks declaratory relief in these proceedings to the effect that his data

protection rights were breached in the exchange of communications outside the territories ofthe EU. In the grounds advanced for seeking this relief he invokes data protection issues only

regarding the lawfulness of the designation and the rationality of the Minister’s decision to
make a return order but does not ground his claim for relief on a breach of his GDPR rights per

se. Accordingly, his objective in these proceedings is not to establisha breach of his data rights

but rather to challenge the return order made by the Minister. In advancing his case he

highlights the fact that the Minister has improperly relied on the adequacy decisions which
expressly exclude data exchanged in the immigration context.



220.    The claim made on behalf of Applicant B differs somewhat in that he challenges the
designation system with reference to the absence of data control protection. He does not seek

relief for data breaches. In the submissions to the Tribunal in Applicant B’s case reliance was

placed on the fact that protections are contained in the Dublin III Regulation for data exchange

but there are no equivalent provisions within the safe third country return system for the
protection of the Applicant's data.     Rights identified as protected under the Dublin III

Regulation include under Article 4(l)(e) the right to be advised of the fact that competent

authorities can exchange data for purposes of implementing their obligations under the Dublin
Ill Regulation and the right of access to and correction of data and for hearing claims

concerning protection of data.



221.    Notably, therefore, in both cases the Applicants rely on an asserted breach of GDPR to
seek to invalidate the decisions made in designating the UK as a safe third country and/or

making a return order, rather than to secure a remedy in respect of a specific data breach qua

breach of GDPR rights. The primary thrust of the arguments advanced in short order and
without detailed elaboration in the hearing before me was to the effect that (i) the Minister

erred in making a return order in respect of the Applicant A; and (ii) the Tribunal erred in the

Applicant B’s case in finding that the claim for breach of his GDPR rights was “a matter for

the Data Protection Commissioner and not for this Tribunal” and holding that it did not impact
on the admissibility of his claim under a safe third country designation. It was contended on

behalf of Applicant B that as the procedural basis for returns to the UK was based on a breach

of data protection rights, this was a matter for the Tribunal’s consideration under a

“reasonableness” analysis.


222.    It is recalled that in the case of Applicant A the Report of the Minister’s considerations

under s. 50A addressed, on a without prejudice basis, the data rights’ breaches which had beenalleged albeit expressly not accepting that alleged data protection breaches on the part of the

IPO or the UK authorities could constitute a refoulement issue under s. 50A(l) of the Act of
2015. Reliance was placed on the 2014 Memorandum of Understanding and the Associated

Annex on Asylum Data but also on two adequacy decisions adopted by the United Kingdom

in respect of the UK on the 28th of June 2021, one under GDPR and the other for the Law

Enforcement Directive.


223.   From the terms of the Report, it appears that the Minister proceeded, at least in part, on

the basis that the adequacy decisions meant that data could flow freely from the European
Union to the United Kingdom where it benefits from an essentially equivalent level of

protection to that guaranteed under EU law. The Minister’s position did not rest on this,

however,becauseitwaspointedoutthatevenifdataprotectionissuesarose(whichwasdenied)

these would not render the entire system for returns to the UK unsafe.


224.   Indeed, the Minister’s position was that the appropriate avenue to resolve any data

protection issues was through theDataProtectionCommissionerin IrelandandtheInformation
Commissioner's Office in the UK and/or the courts, rather than through the submission of

refoulement considerations for the return order mechanism.



225.   It seems therefore that in both cases the Applicants have been referred to the Data
Protection Commissioner in respect of any data protection issues which they contend arise.

There is no evidence before me that they have in fact raised any issue regarding alleged

unlawful transfer of data with that office or otherwise pursued a remedy in respect of an alleged
breach of their data rights.



226.   The Respondents’ point of departure in opposition to these proceedings is that, by

operation of Article 2(2)(a) of GDPR, the requirements of the GDPR do not apply to the
processing of personal data in the course of an activity falling outside the scope of Union law.

It is maintained that any transfer of the personal data to the UK for the purpose of the safe third

country system, in circumstances where the Applicant's application for international protection

has been conclusively determined to be inadmissible and is therefore at an end, falls outside
the scope of Union law.227.    In its very terms, however, GDPR recognises that flows of personal data to and from

countries outside the Union and international organisations occur during an activity which
comes within the scope of EU law but are necessary for the expansion of international trade

and international cooperation and such flows of information are not excluded from GDPR

because transfer is outside the EU. It is clear this does not render such a transfer unlawful.

Chapter V GDPR provides for several different legal bases for lawful transfer of personal data
to third countries. Article 44 provides for the general principle that any transfer of personal

data which are undergoing processing or are intended for processing after transfer to a third

country or to an international organisation shall take place only if, subject to the other
provisions of this Regulation, the conditions laid down in Chapter V are complied with by the

controller and processor, including for onward transfers of personal data from the third country

oraninternationalorganisationtoanotherthirdcountryortoanotherinternationalorganisation.


228.    Article45 provides for transfers based on an adequacydecisionof theCommission. An

adequacy decision may be made where the Commission has decided that the third country, a

territory or one or more specified sectors within that third country, or the international
organisation in question ensures an adequate level of protection. Where an adequacy decision

has been made, a transfer of data shall not require any specific authorisation.



229.    In addressing the data protection concern raised on behalf of Applicant A in relation to
the exchange of data with the UK in respect of the return process in her refoulement/return

consideration, the Minister referred to an adequacy decision made by the Commission in June,

2021. While the said decision records the Commission’s conclusion that the UK ensures an
adequate level of protection for personal data transferred within the scope of GDPR from the

European Union to the United Kingdom, this conclusion is clearly expressed as not concerning

personal data transferred for UK immigration control purposes or which otherwise falls within

the scope of the exemption from certain data subject rights for purposes of the maintenance of
effective immigration control (the “immigration exemption”) pursuant to paragraph 4(1) of

Schedule 2 to the UK Data Protection Act. The adequacy decision further states:



       “The validity and interpretation of the immigration exemption under UK law is not

       settled following a decision of the England and Wales Court of Appeal of 26 May 2021.
       While recognising that data subject rights can, in principle, be restricted for       immigration control purposes as “animportant aspect of thepublicinterest”,theCourt

       of Appeal has found that theimmigration exemptionis, in its currentform, incompatible
       with UK law, as the legislative measure lacks specific provisions setting out the

       safeguards listed in Article 23(2) of the United Kingdom General Data Protection

       Regulation (UK GDPR). In these conditions, transfers of personal data from the Union

       to the United Kingdom to which the immigration exemption can be applied should be
       excluded from the scope of this Decision. Once the incompatibility with UK law is

       remedied, the immigration exemption should be reassessed, as well as the need to

       maintain the limitation of the scope of this Decision.”



230.    Accordingly, the adequacy decision expressly does not cover personal data that is
transferred for purposes of United Kingdom immigration control or that otherwise falls within

the scope of the exemption from certain data subject rights for purposes of the maintenance of

effective immigration control, contrary to the apparent understanding of Minister when making
the Return Order.



231.    The Minister’s apparent misunderstanding of the effect of the adequacy decision does

not necessarily mean that transfer of data between Ireland and the UK is in breach of GDPR,
if it does not fall outside the scope of GDPR. It is worth noting that Article 45(7) GDPR

expressly provides that where an adequacy decision is appealed, amended, or suspended this is

without prejudice to transfers of personal data to the third country, a territory or one or more
specifiedsectorswithinthatthirdcountry,ortheinternationalorganisationinquestionpursuant

to Articles 46 to 49.



232.    An adequacy decision is therefore but one basis for lawful transfer of data envisaged
under Chapter V of GDPR. The submission made on behalf of the Applicants that the fact that

an area has been excluded from an adequacy decision means that no other legal basis can be

invoked is therefore of questionable force.


233.    Of the other bases provided for, the Respondents rely in opposing these proceedings on

Article 49(1)(d). Article 49(1)(d) is but one of several derogating powers each of which may

be used in many different data protection contexts. It provides for “a transfer or a set of
transfers of personal data” by way of derogation “for specific situations” where “the transferis necessary for important reasons of public interest”. The derogation arises even “in the

absence of an adequacy decision pursuant to Article 45(3), or of appropriate safeguards
pursuanttoArticle 46,includingbindingcorporaterules.” Thespecificpublicinterestinvoked

on behalf of the Respondents is:


 a)      the maintenance of fair and effective immigration control, in particular across the

         historic CTA, and the preservation and strengthening of the CTA;
 b)      the maintenance of a fair and effective system for granting persons international

         protection in the State; and

 c)      the administration of justice generally and the exercise of executive functions related

         to the prevention and detection of immigration abuses.


234.    Making the case for a legal basis for transfer under Chapter V GDPR, it is deposed on

behalf of the Minister in the case of Applicant A that the continued effective operation and

administration of the historic CTA is dependent on the ability of the relevant immigration
authorities in Ireland and the UK to exchange personal data relating to persons such as the

Applicant, whose application for international protection has been determined to be

inadmissible and whom it is proposed to return from Ireland to the UK. It is explained by way
of background that the CTA is an arrangement which has been in existence between the UK

(which covers, for the purposes of the CTA, England, Scotland, Wales, Northern Ireland, the

Isle of Man and the Channel Islands) and Ireland since in or around 1922, and which provides

a framework for inter alia free travel between these countries for those entitled so to travel
(and other rights). It is confirmed on affidavit that the CTA involves a significant degree of

co-operation between the UK and Irish Governments on, inter alia, immigration issues. It is

stated that the ability of the relevant authorities in the UK and Ireland to exchange personal
data relating to persons travelling between those countries is:



       “essential to the maintenance and preservation of the CTA and the pursuit of

       immigration controlwithinthatadministrativeframework whichaccordinglypermitsand
       affordssignificantrightsandbenefitstothecitizens oftheUKandIreland” (Affidavit of

       William O’Dwyer sworn on the 31 of July, 2023, para. 10).


235.    It is further deposed that such data exchanges or transfers are justified on a policy basis

as being necessary if not essential in the public interest underpinning the maintenance of fairand effective immigration control, in particular across the CTA, the maintenance of a fair and

effective system for granting persons international protection in the State and the exercise of
executive functions related to the prevention and detection of immigration (infra at para. 11).



236.    The weight of this unchallenged evidence is obvious. The CTA depends on data

exchange between Irish and UK authorities.


237.    Althoughnotabandoned itdidnotseemtomethat theRespondentsreliedin anyserious

way on the claim that GDPR did not apply at all in reliance on Article 2(2)(a). Furthermore,
they did not continue to assert reliance on the Commission’s adequacy decisions previously

relied upon. Instead, the focus of the Respondents case in opposition before me was that by

virtue of the operation of Article 49(1)(d) GDPR, a legal basis exists for data transfer as part

of the safe third country return process.


238.    Without deciding the issue it seems to me that there are obvious frailties with the

Respondents’ position that data exchange falls outside the scope of GDPR by operation of
Article 2(2)(a) which provides that the requirements of GDPR do not apply to the processing

of personal data during an activity falling outside the scope of EU law. It is clear from Article

3 of GDPR that it has broad territorial application and applies to the processing of personal

data in the context of the activities of an establishment of a controller or a processor in the
Union, regardless of whether the processing takes place in the Union or not. I have already

found that the examination of an application for international protection and the exchange of

data for the purpose of determining its’ admissibility falls within the scope of EU law. The
making of a return order also falls within the scope of EU law given that EU law controls the

conditions in which such a return order may take place. An exchange of information occurs as

a necessary part of the process of determining whether a claim is inadmissible under s. 21 of

the 2015 Act. Notably that process entails the third safe country accepting an international
protection applicant for the purpose of processing their protection claims, something which

cannot occur without the exchange of data. Without unduly trespassing into issues which I

may not need to decide for the purpose of this case, it seems to me that a strong case is made

that a legal basis for the transfer of data compatible with Part V GDPR is required.


239.    While the Respondents contend for a legal basis for the transfer of data and do not

accept that a breach of GDPR has been established on behalf of the Applicants, they join issuein these proceedings not so much on the question of whether a legal basis for data transfer

exists, the absence of which they consider to be a matter for a different remedy in any event,
but rather on whether a breach of GDPR of the nature contended for, if established, could

invalidate the third country return process. The Respondents maintain that adequate and

effective remedies are available pursuant to the GDPR and the Data Protection Act 2018 in

respect of any breach of data rights, which remedies are sufficient to vindicate in full the
Applicant's data protection rights. It is contended that in consequence any reliance in the

Impugned Decision on the adequacy decisions of the European Commission is immaterial as

regards the validity of the Impugned Decision and/or the Return Order and/or does not amount
to an error of law which should vitiate the Impugned Decision and/or the Return Order.


240.    In view of these arguments, it seems to me that a separate, preliminary question arises

as to whether a frailty in relation to the treatment of GDPR could invalidate the return system.

Ishould only proceed to determine whether the safe third country system fails to protect GDPR

if it would. Otherwise, I would be determining a question which does not require to be decided
to dispose of the issues in these proceedings. I would also be doing so where alternative

remedies exist for data breaches and where the case made for data breach has not been laid in

only the barest of terms.


241.    There is therefore a “prior issue” for me before I could decide the important question

of whether data transfer to the UK for immigration purposes is GDPR compliant, namely, even

assuming the Applicants are correct in their submissions on compliance of the third safe
country return system with GDPR, would this affect the legality of any decision taken under s.

21, 51Aor72Asuch that it would beappropriateto impugnthesafethird countryreturnsystem

itself in these proceedings, as the Applicants seek to do. Afterall, the Applicants seek no relief
in these proceedings in respect of data transfer qua data transfer but rather seek to invalidate

the safe third country system due to alleged data breaches.



242.    On this “prior issue”, I find the reasoning of the Divisional Court in AAA & Ors. v
Secretary of State for the Home Department [2022] EWHC 3230; [2023] HRLR 4 and two

judgments of the Court of Appeal in Open Rights Group v The Secretary of State for the Home

Department [2021] EWCA Civ 800; [2021] EWCA Civ 1573 of some persuasive assistance,

notwithstanding the different considerations which arose in those cases.243.    In AAA & Ors. v Secretary of State for the Home Department [2022] EWHC 3230;

[2023] HRLR 4, addressing the issue of data breach, the majority judgment records (at para.
134):



       “Asa matterof principle, it cannot bethat anybreachof anyruleonthe part of apublic

       authority or for which that authority is responsible, occurring in the context of either

       making or executing a public law decision will necessarily affect the validity of that
       public law decision.”



244.    The Divisional Court proceeded to examine the alleged breaches relied upon finding

that the legal requirements in relation to data protection identified were not matters that could

be considered integral to the validity of the decisions under the Immigration Rules. I take the
point made on behalf of the Applicants that the assault example given is not analogous with

the circumstances of the present case. It is clear (and as subsequently noted by the Court of

Appeal at para. 389 of its judgment at [2023] EWCA Civ. 745; [2023] 1 WLR 3103) that this
was but an example simply offered “as a vivid example of the general principle”. The

relationship between the alleged breaches of data protection law and the public law decisions

taken in AAA’s case were carefully considered in turn. Regarding the failure to conduct a data

protection impact assessment, the Court of Appeal observed (at para. 135):


       “We do not consider that circumstance is sufficient to require the conclusion that

       failure to assess the impact of the data processing required by the MEDP goes to the

       validity, in public law terms, of immigration decisions taken later within the context of
       the MEDP.”



245.    It was clear that the issue was not whether there was a breach but whether it impacted

on “the validity of the public law decision” and it was considered that it did not. The Divisional

Court found, and here the parallels with the Irish system for data protection are striking, that if
there was a failure to comply with UK GDPR a complaint lay either to the Information

Commissioner or to a court adding (para. 137):



       “It does not go any further. We do not consider that the validity of subsequent

       immigration decisions does or should depend on whether information relied on was       collected in circumstances that complied with article 13 of the UK GDPR. There is no

       relevant connection between a breach of article 13, the consequences of the breach,
       and any standard going to the validity of the public law decision. Nor should any such

       failing give rise to the possibility of a public law remedy. The remedies available for

       breach of the UK GDPR are those provided in the 2018 Act: compliance orders and/or

       an award of damages.”


246.   In this jurisdiction detailed provision has been made for statutory remedies in the event

of data breaches occurring. Provision includes the availability of a complaints mechanism

before the Data Protection Commission pursuant to s. 108 of the Data Protection Act, 2018

alleging a contravention of a relevant enactment which, if upheld, may lead to enforcement by
the Data Protection Commissioner including remedial steps to be taken by a data controller

and/or processor and the availability of a civil action before the courts pursuant to s. 117 of the

Data Protection Act, 2018 which, if upheld, may lead to compensation and/or relief by way of
injunction or declaration.



247.   The tenor of the prescribed remedies in Irish law, like those considered by the

Divisional Court in AAA & Ors. v Secretary of State for the Home Department [2022] EWHC
3230; [2023] HRLR 4 is that either the Commissioner or the court may award compensation

for past breaches and may make orders specifying what the data controller must do to ensure

future compliance with data protection law. No provision is made to require past transactions
which have relied on data processed in breach of data protection law to be undone or for that

reason treated as void. This supports the conclusion that, in these cases just as in AAA & Ors.

v Secretary of State for the Home Department [2022] EWHC 3230; [2023] HRLR 4 (upheld

by Court of Appeal on appeal at [2023] 1 WLR 3202; [2023] EWCA Civ. 745), the validity of
the decisions taken under the safe third country regime are not rendered unlawful by reason of

alleged data protection issues for which an adequate and effective remedy exists under the

statutory code prescribed for the purpose of protecting data rights, if a breach is established.


248.   The point is further illustrated by the decision in Open Rights Group v The Secretary of

StatefortheHomeDepartment[2021]EWCACiv 800,thecaseidentifiedintheCommission’s

adequacy decision as the basis for the exclusion of data exchange in the immigration context
from that decision. In Open Rights Group v The Secretary of State for the Home Departmentcivil rights organisations brought judicial review proceedings seeking a declaration that the

Immigration Exemption from GDPR as applied in the UK was unlawful and an order
disapplying it. There was no attempt in the challenge to invalidate any immigration decisions

taken in reliance on data exchanged in breach of GDPR. The main grounds of challenge were

that the so-called Immigration Exemption was incompatible with GDPR and the Charter and

accordingly, by virtue of the principle of supremacy of EU law, the exemption could not stand.


249.   The English Court of Appeal found that as there existed no legislative measure that

contains specific provisions in accordance with the mandatory requirements of Article 23(2) of
the GDPR, the Immigration Exemption was an unauthorised derogation from the fundamental

rights conferred by the GDPR, and therefore incompatible with the Regulation. Despite this

conclusion, the Court of Appeal did not make orders immediately noting in the principal

judgment (Warby L.J.) (para. 56):

       “The appropriate remedy in a case of incompatibility is a sensitive matter, that may

       depend on the nature of the incompatibility identified by the Court: see the decision of

       the Divisional Court in R (Liberty) v Secretary of State for the Home

       Department [2019] EWHC 2057 (Admin), [2020] 1 WLR 243 [87-90], [391] (Singh LJ
       and Holgate J). Here, I have identified an omission that is, in principle, capable of

       remedy by measures that amend or supplement the existing provision. In the

       circumstances, I see merit in the cautious approach of both sides. I would defer a
       decision on relief, inviting further submissions on that issue in the light of these

       reasons.”


250.   On the 29th of October 2021 the Court of Appeal handed down a further judgment

addressed to the remedies issue (Open Rights Group v Secretary of State for the Home

Department [2021] EWCA Civ 1573) and providing for relief in the form of a declaration of
incompatibility which was nevertheless suspended until 31 January 2022 “in order to provide

a reasonable time for the Data Protection Act 2018 to be amended so as to remedy the

incompatibility.” In this second judgment on the remedies issue, Warby J. observed (at paras.
36-38):



       “It is obvious that this process is bound to take some time. It requires careful thought

       at the policy level, legal input, and Parliamentary time.….Immediate disapplication of        the Immigration Exemption would, as the Appellants concede, cause serious practical

        difficulties at least in the short term. The evidence demonstrates that the Immigration
        Exemption has been and still is extensively relied on by the Home Office.”



251.    It appears that the effect of the finding of a breach of GDPR did not ground an

immediateorder disallowing its applicationto permit dataexchangein theimmigrationsystem.
Whatever steps were taken on foot of the decision in Open Rights Group v The Secretary of

State for the Home Department it appears from a later decision in R (on the application of

The3million and Open Rights Group) v. The Secretary of State for the Home Department
[2023] EWHC 713 they were considered inadequate, and a further challenge was taken

resulting in yet another finding of non-compliance with Article 23(2).



252.    The relevance of this sequence events in the Open Rights Group litigation is not the
fact that amending provisions may have been introduced in the UK to bring them into line with

GDPR requirements. While this might bear on the appropriate remedy for any established

breach, it would not be an answer to the question arising as to the legal basis for transfer in the
absence of a further adequacy decision. Furthermore, the basis for transfer primarily invoked

by the Respondents during the hearing before me is that provided under Article 49(1)(d) which

is expressed in very different terms to Article 23 GDPR such that the treatment of the data

breach contended for has no bearing on any question of law as to the existence of a breach
arising in these cases. What I find of some interest though is the relief sought and granted in

the proceedings upon a finding of a data breach. It was neither suggested nor found by the

Court that the breach invalidated decisions in the immigration system taken in reliance on data
exchanged in breach of GDPR. Relief was focussed on remedying the data breach and time

was afforded to do so.



253.    The importance of appropriately tailoring remedies in cases of established data breach
is reflected in the two judgments in Open Rights Group v The Secretary of State for the Home

Department, albeit in a case where the relief sought was a declaration that the Immigration

Exemption from GDPR as applied in the UK was unlawful and an order disapplying it, unlike

here where the relief is directed to the third safe country system itself. The Court of Appeal
did not immediately grant this relief and ultimately granted declaratory relief suspended for a

period of time to allow for legislation to be introduced to bring UK law into compliance with

Article 23(2) GDPR. There was no question of any action taken on foot of the data transferwhich had occurred in reliance on a measure found to be non-compliant with Article 23(2)

GDPR being invalidated or rendered void. Indeed, it appears that the system may have
continued to operate without the safeguards considered to be required by means of statutory

amendment during the period of suspensive effect on the Declaration of Incompatibility made.



254.    By a parity of reasoning I am satisfied that if any breach of data protection rights has
been or is occasioned by the making of and/or implementation of the Return Order and/or the

safe third country system this would not have the effect of rendering s. 72A of the 2015 Act

and/or 2020 Designation Order ultra vires the Procedures Directive and/or contrary to the
State's obligations under the CEAS as none of the criteria established under s. 72A(2) of the

2015 Act and/or Article 27 Procedures Directive relate to whether a returnee's data protection

rights might be breached in the event of a return to a designated safe third country. There is

no legal requirement for the same "provisions ... for the protection of an applicant's data" to
be included in the Safe Third Country system as are contained in the Dublin III Regulation

because this part of the Dublin III Regulation has not been applied to third country transfer

cases.


255.    Furthermore, I am satisfied that even if Iam wrong in this, any alleged non-equivalence

of specific provisions regarding data protection as between the Dublin Ill Regulation and the

safe third country system is immaterial to the validity of the latter or to the Minister's vires to
enact the 2020 Designation Order. If it were to be established that such non-equivalence is in

breach of GDPR rights, a remedy exists under the Data Protection Act, 2018 or in court

proceedings directed to restraining unlawful data transfer.


256.    Finally, I wish to record that I would not be happy to arrive at any conclusions on the
lawfulness of data transfer, with obvious serious, wider ramifications most particularly for the

CTA which depends on data exchange for its operation, on the case as pleaded and argued

before me and in the absence of a proper basis in the evidence upon which conclusions might

be reached in relation to the nature and extent of any data breach and permitting an appropriate
remedy to be fashioned for any breach determined to have been established. It is recalled that

in judicial review proceedings the court must remain vigilant as to whether an appropriate

alternative remedy exists and only exercise its discretionary jurisdiction where it is appropriate

to do so. Whilst the rights to data privacy and data protection concerned in the safe third
country process are important, the factual and legal context in which they have been raised inthese proceedings is not such as to allow for proper consideration of those issues where I am

satisfied that remedies exist in respect of established data breaches and the issue does not go to
the vires of the 2020 Designation Order.



257.    Any determination as to the lawfulness of data transfer to the UK in the immigration

context requires careful consideration in proceedings in which it is fully argued on an
appropriate evidential basis and properly arises for determination and should await such a case.


Rationality of Designation

258.    As I have decided that the original and continuing designation of the UK and Northern

Ireland is unlawful for the reasons given above, it is not necessary for me to decide whether
the decision that the United Kingdom and Northern Ireland was a safe third country was

rationally made in the first instance or to address the argument that the designation cannot be

impugned on the basis of developments subsequent to the making of the order. Whether the

said developments as established in evidence and summarized above are such as might warrant
the revocation of the safe third country designation is not now a question I need to decide to

determine the issues between the parties in these proceedings.

Was the Minister’s assessment of prohibition of refoulement unlawful or irrational as contrary

to s. 50A of the 2015 Act? Is the challenge to this decision a collateral attack on the

Inadmissibility Decision?

259.    In the light of my findings above, it is also not necessary for me to consider whether

the Minister’s decision that there was no risk of refoulement is sustainable in law on rationality

or reasonableness grounds. The Minister’s powers under s. 51A to decide on a risk of
refoulement under s. 50A is predicated on there being an effective and lawful designation of a

safe third country in the first instance. Where this is absent, any decision taken on foot of it

must fall.


260.    Insofar as it was contended, however, that the decision was not amenable to rationality

challenge because such a challenge would constitute a collateral attack on the inadmissibility

decision which had not been impugned, my view, while strictly obiter, is that for so long as the
grounds of challenge are directed to the findings in relation to the prohibition on non-

refoulement under s. 50A of the 2015 Act and are not directed to the separate decision of the

Tribunal that s. 21(17) and (18) of the 2015 Act are satisfied in this case, then this ispermissible. I agree with the Respondents, however, that the Tribunal decision on the

following issues are not amenable to being revisited through a challenge to the decision of the
Minister, namely:


           a) having regard to the matters referred to in s. 21(18) of the 2015 Act, the

               applicant has a sufficient connection with the UK on the basis of which it is

               reasonable for the Applicant to return there, within the meaning of section
               21(17)(a) of the 2015Act; and

           b) The applicant will be re-admitted to the UK, within the meaning of s. 21(17)(c)

               of the 2015Act.


261.    Contrary to the Respondents’ position, however, it seems to me that the Tribunal’s

decision on whether an applicant will be subjected in the UK to the death penalty, torture or

other inhuman or degrading treatment or punishment, within the meaning of s. 21(17)(b) of the

2015 Act does not preclude this issue being revisited through a challenge to the decision of the
Minister. This is because this is a question which the Minister is separately required to

determine as part of the prohibition on non-refoulement. The discretion to determine risk of

refoulement under s. 50A of the 2015 Act is a standalone discretion which falls to be exercised
by the Minister and while the Minister may have regard to the Tribunal’s consideration of this

question and may attach considerable weight to the Tribunal’s decision and may even adopt

the same decision for the reasons given by the Tribunal, he or she is entitled to reach a different

decision and is therefore amenable to challenge on this decision where legal grounds for
challenge are identified.



262.    Furthermore, notwithstanding overlap insofar as consideration of risk of being
subjected to the death penalty, torture or other inhuman or degrading treatment or punishment,

thereis also a difference between thesafethird countrytest appliedunder s. 21(which provides

that the country is safe if an applicant will not be subjected in the country concerned to the

death penalty, torture or other inhuman or degrading treatment or punishment) and the
prohibition on refoulement under s. 50A (which precludes return to a country if (a) the life or

freedom of the person would be threatened for reasons of race, religion, nationality,

membership of a particular social group or political opinion, or (b) there is a serious risk that

the person would be subjected to the death penalty, torture or other inhuman or degrading
treatment or punishment).263.    As a separate decision in the process, it is my view that the decision under s. 51A is
amenable to challenge as such regardless of any prior decision by the Tribunal that the country

in question is a safe third country within the meaning of ss. 21(2)(c), 21(17) & 21(18). The

reason why this must be so turns not only on the differences between the two tests but is also

well illustrated by the facts in Applicant A’s case where there were factual developments
between the two decisions. As established in YY v. Minister for Justice and Equality [2018]

ILRM 109 the Minister is an office holder obliged by law to be aware of up-to-date information

in respect of a country and to act on it even if it had not been adverted to by or on behalf of an
applicant.



264.    As demonstrated by Applicant A’s case developments may occur in the deemed third

safe country between the s. 21 admissibility consideration and consideration of a return under
s. 51A which impact on an assessment of the safety of the third country. In Applicant A’s case

there was no reference to the Rwanda Policy at admissibility decision stage by either the

Applicant or the Tribunal but it was addressed in some detail at return order stage in
circumstances where in the intervening period the fledging policy had evolved and was the

subject of legal challenge, legislative proposals and amendments. The need to consider

changed circumstances before making an order under s. 51A is recognised by s. 50A(3) which

expressly requires that the Minister be appraised of a change in circumstances which may be
relevant to s. 50A considerations.



265.    I am satisfied that Applicant A may not revisit issues which were within the exclusive
competence of the Tribunal in later proceedings challenging the subsequent Return Order if the

matter was determined by the Tribunal and not thereafter challenged. Accordingly, it is not

open to Applicant Ato challengethefinding bythe Tribunalthathis applicationis inadmissible

on the basis that he is a person who has arrived in the State from a safe third country that is, in
accordance with 21(17), a safe country for him. This does not mean, however, that the Return

Order may not be challenged where no challenge has been brought against the Tribunal

determination of inadmissibility. As stated above, the Tribunal has a distinct statutory function

under s. 21 which is separate from the Minister’s function under s.51A. It is open to and
sometimes necessary for the Minister to come to a different conclusion to that of the IPO and

the Tribunal on a matter the Minister has competence to determine even though the samequestion has been determined otherwise by them (see YY v. Minister for Justice and Equality

[2018] ILRM 109 particularly at pages 138, 141 and 144).


266.    As for the Minister’s refoulement considerations, I refer to without repeating the

contents of the Report prepared on the 23rd of January, 2023 addressed to those considerations

(summarized above at paragraph 56). Suffice to say that it is clear that detailed consideration
was given not only to the terms of the MoU between the UK and Rwanda, the Inadmissibility

Guidance published in respect of same but also to the decision of the European Court of

Human Rights in NSK v United Kingdom (application no. 28774/22), the decision of the
England and Wales High Court in R (AAA) v Secretary of State for the Home Department

[2022] EWHC 3230 then under appeal and the fact that proposed transfers from the UK to the

Republic of Rwanda had been suspended.


267.    Given my conclusions on the vires of the Minister to designate the UK it is not

necessary for me to consider further when the Minister came to an unsustainable decision in
failing to conclude that there were substantial grounds for believing that the removal of

Applicant A to the UK would expose him to a real risk of ill-treatment as a consequence of his

refoulement on an application of the test developed in cases such as Soering v. UK (1989) 11
EHRR 439 and Ilias v. Hungary (2019) 71 EHRR 6 or a real risk of the asylum seeker being

denied access in the receiving third country to an adequate asylum procedure protecting him or

her against refoulement (see Ilias v. Hungary (2019) 71 EHRR 6, paras. 134 and 137).


268.    Without deciding the issue and avoiding the temptation to trespass into areas which no

longer require to be determined, it bears reiteration that it is never for a court in judicial review

proceedings to step into the shoes of the decision maker where it is demonstrated that proper
consideration has been given to relevant matters, the correct legal test has been applied and the

decision arrived at is one which is available to the decision maker on the material available.

Similarly, a court should not be asked to consider a point which could have been made to the

decision maker but was not (see, for example, M.N. (Malawi) v. Minister for Justice and
Equality [2019] IEHC 489 (Humphreys J.). A court in judicial review proceedings should not

be asked to impugn the rationality of a decision taken at a point in time with reference to

developments which post-dated that decision.


Was the Tribunal Inadmissibility Decision in Applicant B’s case Irrational?269.    There is no challenge to the Tribunal decision under s. 21(9) of the 2015 Act in

Applicant A’s case. Unlike Applicant A’s case, where the challenge is focused on the
designation order, a failure to review the said order and the making of a return order, Applicant

B’s case has not proceeded to the point of the making of a return order and he has sought to

challenge the Tribunal decision under s. 21(9) of the 2015 Act that his application is

inadmissible on various grounds including the rationality of the finding.


270.    It is not necessary for me to determine whether the decision to find that Applicant B

had “sufficient connection” with the United Kingdom was a rational decision which was
properly open to the Tribunal in the light of my findings as regards the lawfulness of the 2020

Designation Order and I do not propose to do so. It may be useful to recall, however, in view

of my findings above regarding a broader rights analysis as an issue which goes to the

lawfulness of the third safe country return system, that it is no function of the Tribunal to
conduct a broader rights analysis than that required for the specific purpose of s. 21. Similarly,

it is no function of the Tribunal to determine whether there has been a breach of data protection

rights and it has no jurisdiction to decide that question.


271.    In terms of the statutory scheme and the requirement to ensure compliance with

conditions precedent to application of the third safe country concept, different actors have

different roles (the IPO, the Tribunal and the Minister). The question the Tribunal must
determine is fixed by the terms of the statute from which it derives its jurisdiction. When one

considers the terms of s. 21(17) and (18), the question is not whether it is more reasonable for

a claim to be determined in this jurisdiction than a third country but rather whether there is a
“sufficient connection” with the safe third country to make it reasonable for the claim be

determined there. It is no function on the Tribunal under the statutory scheme to consider the

connection with this State at all.


272.    Insofar as rights are concerned, under s. 21 in its current form, the Tribunal is

constrained and is concerned only to determine that an applicant will not be subjected in the

countrydesignated as safeto thedeath penalty,tortureorotherinhumanordegrading treatment

or punishment. For this to include risks arising from the application to an applicant of the
Rwanda Policy, it would be necessary for an applicant to demonstrate, firstly, that there was a

real risk of the Policy being applied to that individual and, secondly, that the application of thesaid Policy could result in the individual being subjected to the death penalty, torture or other

inhuman or degrading treatment or punishment.


273.    In circumstances where no returns have yet taken place on foot of the Rwanda Policy,

where the legislative framework required to give effect to the said Policy has not been enacted

and where the evidence suggests that there is no Policy which is intended to apply to a category
of protection seekers which might reasonably be understood as including Applicant B, a real

question must arise as to whether a basis has been laid upon which a court could properly

intervene by way of judicial review to quash the reasoned decision of the Tribunal supported
by material before it in finding that the UK was a safe third country for the Applicant within

the meaning of s. 21(2)(c). This is particularly so where the Tribunal’s statutory function is

confined to a determination of whether distinct statutory criteria are met and does not extend

to ensuring that the State respects and vindicates the full panoply of Applicant B’s rights.


274.    By way of final observation, it is difficult to see how there could be a basis for
challenging the reasonableness of the Tribunal’s decision for a failure to consider matters

which are beyond the parameters of this delimited and specific statutory competence. I do not,

however, express any concluded view on the arguments pressed in this regard given my
findings in relation to the 2020 Designation Order.


Whether the decision under s. 50A is captured by s. 5 of the Illegal Immigrants (Trafficking)

Act, 2000?

275.    In Opposition papers filed in the case of Applicant A, it is contended that he is not

entitled to an order of certiorari quashing the Minister's decision dated the 26th of January
2023 made pursuant to s. 51A of the 2015 Act requiring the Applicant to leave the State and

return to the UK. It is pleaded that, in order to be granted leave to challenge the Impugned

Decision and/or Return Order, the Applicant is required by, inter alia, s. 5(1)(ok) Illegal

Immigrants (Trafficking) Act 2000 (as inserted by s.123 of the 2020 Act)(hereinafter “the 2000
Act”) to demonstrate substantial grounds for contending that the Impugned Decision and/or

Return Order is/are invalid or ought to be quashed. The significance of this plea is that a

challenge to decision subject of s. 5 of the 2000 Act is subject to the time limits prescribed
under s. 5 as well as the requirement to seek a certificate giving leave of the High Court to

appeal against its findings on the basis that the decision involves a point of law of exceptional

public importance. Section 123 of the 2020 Act amended s. 5(1) by the insertion of a new s.5(1)(ok) which has the clear effect of expanding the application of that section to a return order

under s. 51A using the following words:


      “(ok) a return order under section 51A of the International Protection Act 2015 , or”.



276.    An issue arises from the language of the statutory amendment as to whether in
circumstances where a return order under s. 51A of the 2015 Act has been made subject to s. 5

it should follow that a decision under s. 50A is also captured. Given that the proceedings come

before me as lead cases, the Respondents confirmed during the hearing that they were not
relying on any time limit issue which might arise under s. 5(2)(a) of the 2000 Act. They

nonetheless pressed that I would determine whether s. 5 applies to a challenge to a decision

under s. 50A in respect of refoulement. The reason for this was the practical necessity to

determine whether a certificate for leave to appeal would be required in respect of any finding
on the rationality challenge brought to the refoulement decision. It was submitted on behalf of

the Respondents in urging me to decide this issue that this was a question yet to be decided by

the courts which would benefit from some clarity. The requirement for a certificate for leave
to appeal in respect of decisions subject to s. 5 of the 2000 Act is expressed as follows under s.

5(3)(a):


        “(3) (a) The determination of the High Court of an application for leave to apply for
        judicial review as aforesaid or of an application for such judicial review shall be final

        and no appeal shall lie from the decision of the High Court to the Supreme Court in

        either case except with the leave of the High Court which leave shall only be granted
        where the High Court certifies that its decision involves a point of law of exceptional

        public importance and that it is desirable in the public interest that an appeal should

        be taken to the Supreme Court.”



277.    In argument I was referred to the decision of the Supreme Court in A.W.K. (Pakistan)

v. Minister for Justice & Ors. [2020] IESC 10 (McKechnie J.) where it was concluded that a
challengeto arefusalofpermissiontoremainshouldberegardedasadecision unders.49(4)(b)

of the 2015 Act and therefore subject to s. 5 of the 2000 Act on a proper interpretation of that

provision. The question to be determined is whether the challenge to a decision of s. 50A is so

closely connected with the return decision under s. 51A as to lead to the conclusion that it too
is subject to the restrictions imposed under s. 5 of the 2000 Act. This requires detailedconsideration of the language of the section and the statutory context to establish legislative

intention adopting a similar approach to that of the Supreme Court in A.W.K. (Pakistan) v.
Minister for Justice & Ors.



278.    As I have concluded that it is not necessary to determine the challenge to the Minister’s

decision under s. 50A of the 2015 Act (as amended) in Applicant A’s case, it seems to me that
there is similarly no necessity to determine whether s. 5(3) of the 2000 Act requiring

certification that my decision involves a point of law of exceptional public importance as a

precondition of a right to appeal applies to a challenge to this decision. My conclusions in this
case rest on my findings as to the lawfulness of the safe third country system and the vires of

the 2020 Designation Order. There is no question but that these findings are amenable to full

appeal to the Court of Appeal as of right. I do not consider it appropriate to make any further

findings in relation to the scope of s. 5(1)(ok) of the 2000 Act where it is not necessary to do
so to determine any live issue in these proceedings. This issue must await determination in a

case in which it properly arises.

Standing


279.    An issue was raised on behalf of the Respondents as to the Applicants standing in these

proceedings in circumstances where it was contended that they had not demonstrated that they
were personally at risk of removal to Rwanda. Even though it does not arise for determination

based on the conclusions I have reached, I have no hesitation in accepting that the question of

personal risk of removal to Rwanda is relevant to the standing of each of the Applicants to
challenge an admissibility decision or a return order as to its lawfulness having regard to the

application of the Rwanda Policy. In these cases, however, both Applicants have been made

subjecttofindingsofinadmissibilityandhavebeenexcludedfromconsiderationoftheirclaims

for international protection in the State by reason of the continuing designation of the United
Kingdom and Northern Ireland as a safe third country. As such they are clearly affected by the

designation. I am satisfied that they have an interest in challenging the lawfulness of the

designation and have established standing for this purpose.


280.    As I have not found it necessary to make findings on the case made regarding the

rationality oftheTribunal’s and/ortheMinister’sdecisions having regardto theRwandaPolicy

because of my findings that there has been a failure to meet the requirements of EU law in thedesignation of the United Kingdom and Northern Ireland as a safe third country, no further

issue as to standing requires to be determined to resolve these proceedings.

Lack of Candour

281.    It came to light during the hearing that Applicant A had been convicted of a sexual

offencein theUKin 2018 which hehadfailedto disclose in eitherhis applicationforprotection

or his application by way of judicial review. I allowed the Respondents to raise this issue

during the hearing before me as a lack of candour issue, albeit without then determining its
relevance. I did so to ensure that any matter which might properly bear on my decision was

before me and was considered and would be available to any appellate court in the event of an

appeal.


282.    The duty of candour has long been a feature of the public law landscape. The duty

requires the parties before a court to provide all the facts and information needed for a fair

determination of the issue at hand. The duty is engaged long before the parties to a judicial
review appear in court and applies to applicants throughout the proceedings but is of particular

importance for applicants at the leave stage in the case of ex parte applications.



283.    While the duty of candour as developed in public law proceedings has tended to focus
on the duty on the Respondent to place “all cards face up” in responding to such proceedings,

the duty of candour also impacts on applicants. This is reflected in HC 81 Practice Direction

in respect of Asylum, Immigration and Citizenship List in the terms of directions there set out
for the conduct of proceedings. The Practice Direction provides at paragraph 7 as follows:



        “(1). In order to give effect to the duty of candour to the court resting on all legal

        representatives, every ex parte application to which this Practice Direction applies
        shall be accompanied by a written legal submission on behalf of the Applicant



        (2). Inclusion of any matter (such as a previous civil or criminal proceeding) in a
        submission is without prejudice to the entitlement of an applicant to contend that such

        matter disclosed is not legally relevant to the grant or refusal of relief and save where

        otherwise stated by an applicant, the inclusion of any given matter in a written

        submission does not amount to a concession of such relevance by the applicant.”284.    It is further provided that the submissions should include a heading “Procedural

history” which shall state:

        “in succinct form any relevant procedural history including the date of grant of leave,

        any stays, injunctions or undertakings and any other interlocutory applications or

        appeals. This section shall include details of: (a). any previous proceedings involving
        any of the applicant(s) in the Asylum, Immigration and Citizenship List and (b). any

        other civil or criminal proceedings whether in the State or elsewhere involving any of

        the applicant(s) that could be potentially relevant to any of the issues or their factual

        background.….This section must contain a positive statement either that the only other
        proceedings that could be potentially relevant to any of the issues or their factual

        background are as indicated in the section, or that there are and have been no such

        other proceedings.”

285.    Notwithstanding these provisions of the Practice Direction, Applicant A failed to

disclose his previous conviction in the UK. On his behalf it is contended that there is no breach

of the Practice Direction because the conviction is not relevant to the issues in these
proceedings. The Respondents contend, in response, that the duty is to disclose convictions

which could be “potentially” relevant and that it is not for the Applicant to determine potential

relevance.


286.    The Practice Direction flags that in the event of a failure to comply with its terms, the

court may make such order as it considers appropriate including any order as to costs against a

defaulting party, and/or an order as to costs against a defaulting solicitor under Order 99 rule
6, and/or an order disallowing costs as between a solicitor and his or her client under Order 99

rule 7, and/or an order disallowing the costs of an otherwise successful party as against the

otherparty. Otheroptions,ofcourse,includedisallowingreliefondiscretionarygroundswhere

this is an appropriate response in a given case.


287.    While I take a dim view of Applicant A’s failure to disclose the fact of his previous

criminal conviction and I do not accept that it was unintentional as he suggests on affidavit, I
am also conscious that I should not allow an issue raised in this manner at such a late stage to

result in a litigation prejudice, unless it is properly relevant to the substantive matters which I

must determine. I am mindful that these cases present before me as lead cases with systemicimplications. I am also conscious that the purpose of the Practice Direction is not to hold

applicants in these types of cases to a higher duty of candour than in other areas of judicial
reviewbut rathertomakeexpressthatwhichisalreadythelawinrelationtothedutyofcandour

applying to all applicants in public law proceedings and to set out how this obligation is

discharged in this category of case. Seen in this way, the relevance of the non-disclosed matter

to the issues in the proceedings is the key consideration. Afterall, there is no general duty on
applicants to specifically disclose past criminal convictions in judicial review proceedings

unless it bears on the issues in the proceedings.


288.    It seems to me that theprevious criminal conviction in theUK qualified as “potentially”

relevant when these proceedings were in contemplation. I consider that Applicant A has been

improperly selective with the history he has presented on this application. Afterall, it would

have been reasonable for him to apprehend that the fact of a previous conviction in the UK
wouldhaveabearingon adecisiontoreturnhimthere. Indeed,itseems to menotunreasonable

to suspect that this conviction might well have been a factor in Applicant A’s resistance to

returning to the UK. As such it should have been disclosed.


289.    Notwithstanding its “potential” relevance as aforesaid, it is fairly accepted on behalf of

the Respondents, that non-disclosure of the criminal offence in the UK is not relevant to any

substantive issue I am required to determine in these proceedings. Indeed, were it otherwise, I
would have expected the Respondents to disclose the information at a much earlier stage in

discharge of the duty of candour which applies to Respondents in public law proceedings. No

doubt had the fact of Applicant A's previous conviction been considered relevant to his
international protection application, he would have been asked about his failure to refer to it on

his application form at a much earlier stage. Furthermore, his non-disclosure would have been

raised in these proceedings from the outset.


290.    Separately, it cannot be overlooked that information relating to Applicant A’s

conviction for a sexual offence was in the possession of the Minister’s agents since October,

2021 without steps being taken to raise with Applicant A his obligations under Irish law to

register as a sex offender arising therefrom. I am troubled that this fact has not come to light
soonergiventhepurposeofmaintainingasexoffendersregisterasasafety andcontrolmeasure

in the public interest. The requirement to register does this by ensuring that convicted sex

offenders are effectively managed and monitored while in the State. Given the routineinvolvement of An Garda Síochána in immigration matters and their ongoing contact with

Applicant A through the Garda National Immigration Bureau, it is a real concern that no action
was taken upon becoming aware of the nature of Applicant A’s conviction to alert Applicant

A to the registration obligations on him as a matter of Irish law.



291.    The late application on behalf of the Respondents to introduce the non-disclosure of a
previous criminal conviction as an issue in these proceedings during the hearing itself in

circumstances where the case had been identified as a lead case many months earlier and where

the information was also available to the Respondents since the inception of the proceedings,
for the apparent purpose of asking me to refuse to grant reliefs, risks distracting improperly

from the serious issues which arise for determination. Attaching any great significance to this

issue risks resulting in an unfair litigation prejudice. It was for this reason that I offered no

views when the matter came to light at hearing as it seems to me that this development calls
forameasured andproportionateresponsedisconnectedfromareactionagainstwhat Iconsider

to be the dishonest intention of Applicant A.


292.    Considered objectively, I am satisfied that there is no prejudice to the Respondents in

respect of the conduct of the proceedings arising from the non-disclosure of Applicant A’s

previous convictions. To refuse relief in these proceedings when the fact of the criminal

conviction in the UK has no bearing whatsoever on the vires of the Minister to designate the
UK as a safe third country or on any issue I have determined and is therefore not relevant,

would be entirely disproportionate and uncalled for. In the circumstances of this case, most

importantly the concession that the non-disclosed criminal offence is not relevant to the legal
issues which I am required to determine, it seems to me that no action on foot of this non-

disclosure issue is warranted.


CONCLUSION

293.    The safe third country concept is provided for as a matter of domestic law. It is not

precluded by EU law for so long as mandatory conditions precedent to its application,
prescribed by EU law, are in place and operating effectively.



294.    Mandatory conditions prescribed by EU law have not been provided, however, through

the legislative provision made for same under the 2015 Act (as amended). Specifically, no
proper provision has been made for conditions precedent to the application of the safe thirdcountry concept necessitated by Article 38(1)(b) of the Recast Procedures Directive as regards

the risk of serious harm within the meaning of Article 15(c) of the Recast Qualifications which
applies by operation of Article 3(3) of the Dublin III Convention.         Similarly, no proper

provision is made for the Minister or the Tribunal to be satisfied as to whether Article 27(1)(d)

of the Procedures Directive (as reflected in s.72A(2)(d) of the 2015 Act) is met with regard to

the existence in the third safe country of a possibility to request refugee status and, if found to
be a refugee, to receive protection in accordance with the Geneva Convention when returning

an applicant (as opposed to when the designation was made).


295.    In the absence of these provisions, the designation of the United Kingdom and Great

Britain as a safe third country is unlawful as a matter of EU law. Reliance by the Minister on
the2020 Designation Orderis thereforeultra vires as thestatutoryschemeis incompatiblewith

the requirements of EU law by reason of the failure to make provision in Irish law for effective

rules of methodology to ensure that the conditions for designation continue to be met before a

return order is made. Compounding matters, there has been a failure to provide for a broader
rights analysis prior to the making of a return order which I consider is also contrary to the

requirements of EU law.




296.    In consequence of this decision, I propose granting a declaration that the designation of
the United Kingdom and Great Britain as a safe third country pursuant to the 2020 Designation

Order is contrary to Ireland’s obligations under EU law. It seems to follow that decisions in

reliance on this designation challenged in these proceedings should also be quashed,

specifically the decision of the Minister under s.50A and 51A of the 2015 Act in Applicant A's
case and the decision of the Tribunal in Applicant B’s case.


297.    The parties are invited to agree, if possible, the form of my final order as flowing from

the terms of this decision. I will hear the parties as to the appropriate remedy, if necessary, and

this matter will be listed to deal with any consequential matters arising following the passage
of two weeks from the electronic delivery of judgment.