“The HFEA maintains its position that its decision to offer Special Directions to the ARGC, as opposed to a short term licence, was entirely lawful and proportionate, as per Mrs Justice Lang’s Order of13 July 2012 . However, the HFEA is mindful that the adjournment on 16 July inevitably means that what was intended as a short term measure may now persist for a longer period. In those circumstances, although you will of course appreciate that the formal granting of any licence would be a matter for a Licence Committee or the Executive Licensing Panel (ELP”), it is prepared to consider offering the ARGC a short term licence without condition T123 on the following terms: “This licence shall remain in force until the sooner of: (a) the date the Person Responsible accepts the offer licence offered on6 June 2012 ; (b) until a decision is made in relation to the current representations, or in respect of any appeal subsequently made by the Person Responsible should his representations not be successful and he exercises his right to reconsideration, or (c)30 November 2012 .”
“We fail to see what power your client has to offer the ARGC a licence with such precise terms, dates and conditions, and it is of concern that your client is apparently able to steer the Executive Licensing Panel (or any other committee) in this way. Notwithstanding this, the terms of your speculative proposal are in themselves acceptable but for the proposed date of the 30 November at paragraph (c) of the draft. We do not believe that it is realistic to anticipate that the licensing and appeals process will be resolved by this date (not least because a licence committee is yet to be assembled) and we would propose31 March 2013 as an alternative. If a licence is offered imminently and with this variation, our clients would be willing to withdraw their claim for judicial review on the condition that the HFEA pays their reasonable costs to date.” (a) the date the Person Responsible accepts the offer licence offered on6 June 2012 ; (b) until a decision is made in relation to the current representations, or in respect of any appeal subsequently made by the Person Responsible should his representations not be successful and he exercises his right to reconsideration, or (c)30 November 2012 .”
“As our earlier letter made clear, the grant of such a licence is a matter for the Executive Licensing Panel but the Executive is offering to invite ELP to consider granting such a licence. In view of the issues set out above the HFEA would be willing to agree to suggest that the period be until31 March 2013 and accordingly the recommendation would be for a licence on the following terms: “This licence shall remain in force until the sooner of: a) The date the Person responsible accepts the offer licence offered on6 June 2012 , b) Until a decision is made by an HFEA Committee in relation to the current representations, including any consideration by the Appeal Committee, or c)31 March 2013 ” a) The date the Person responsible accepts the offer licence offered on6 June 2012 , b) Until a decision is made by an HFEA Committee in relation to the current representations, including any consideration by the Appeal Committee, or c)31 March 2013 ”
“9. The Panel agreed to the Inspectorate’s recommendation and to offer a short-term licence, based on the conditions applying to the last accepted licence. This short-term licence, if accepted, would apply from the expiry of the current Special Directions on1 October 2012 to no later than31 March 2013 . The Panel noted that this seemed not to be what either the PR or the Inspectorate wanted. Therefore, this would only be used if needed and would serve to keep the centre licensed should the offer licence not be accepted.”
“Having listened to and weighed all of the arguments including but not limited to those outlined above, we are persuaded that the proposed condition and the policy of the HFEA in imposing it is reasonable as well as being transparent; accountable; proportionate; consistent; and targeted. Further we are of the view that the HFEA has discharged the burden upon it and has established that it is necessary and appropriate that condition T123 should be imposed upon the licences of the two centres under consideration.”
“S16(1) The Authority may on application grant a licence to any person if the requirements of subsection (2) below are met.”
“That the Authority is satisfied that the character of that individual is such as is required for the supervision of the activities and that the individual will discharge the duty under section 17 of this Act.”
“Directions may make provision for the purpose of dealing with a situation arising in consequence of— (a) the variation of a licence, or (b) a licence ceasing to have effect.”
“6.3 Licensing Functions 6.3.1 The authority shall establish and maintain an ELP composed of staff employed by the Authority. 6.3.2 The Authority delegates to the Executive Licensing Panel: a) The exercise of its routine licensing functions, as set out in annex B to these Standing Orders as amended from time to time by the Authority; and b) The power to issue directions under section 24(5A) to (5E) and section 24(13) of the Act. 6.3.3 The Executive Licensing Panel shall be constituted and shall operate in accordance with the Executive Licensing Panel Protocol set out in annex C to these Standing Orders. 6.3.4 In accordance with Section 9A(2) of the Act, the Authority shall establish and maintain a Licence Committee which will include Member(s) of the Authority and such additional Committee Member(s) as the Authority considers necessary. 6.3.5 The Authority delegates to the Licence Committee: a) The exercise of its novel, complex or controversial licensing function, as set out in annex B to these Standing Orders as amended from time to time by the Authority; and b) The power to issue directions under section 24(5A) to (5E) and section 24(13) of the Act 6.3.6 Save when considering representations under Section 19(4) of the Act, the Licence Committee shall be constituted and shall operate in accordance with the Licence Committee Protocol set out in annex D to these Standing Orders. 6.3.7 When considering representations under Section 19(4) of the Act, the Licence Committee shall be constituted and shall operate in accordance with the Human Fertilisation and Embryology (Procedure for Revocation, Variation or Refusal of Licences) Regulation 2009 (as amended).”
“53. On25 March 2013 , the parties received the Licence Committee decision, which rejected Mr Taranissi’s representations and decided that Condition T123 should be imposed upon the ARGC and RGI’s licences. 54. Given the terms of the ARGC’s short term licence, as approved by the ELP on24 September 2012 , I understood that the ARGC’s short term licence would expire on31 March 2013 . This was Easter Sunday and so it was important to address the ARGC’s licence position urgently and by Thursday28 March 2013 at the latest, as Friday 29 March was not a working day. (I would note that there was no such urgency in December 2011 following the Licence Committee’s earlier, quashed decision.) 55. I discussed the matter with the Authority’s Legal Adviser and its Director of Compliance on the morning of26 March 2013 . Given the decision of the Licence Committee, I understood that the proposal to vary the RGI’s licence had now been determined so as to now include Condition T123. 56. In relation to the ARGC I also considered that the issue of the inclusion of Condition T123 in its licence had been resolved. I understood that the four year licence which had been offered to Mr Taranissi in June 2012 could now take effect as the outstanding dispute about Condition T123 had been dealt with via the representations process. My view was that licences in the terms offered to both centres in 2011 (and again to the ARGC in 2012) should now apply to the two centres. Confirming this in writing to the centres appeared to be the appropriate and lawful way of dealing with the impending expiry of the short term licence. 57. There was no reason to think that the Authority was compelled to do anything else. We were not obliged under the Act or the terms of the short term licence) to offer the ARGC another short term licence without Condition T123. I understood that the Authority would have had power to offer either a further short term licence or Special Direction in these terms but I did not believe this was the appropriate route. 58. Mr Taranissi had not given notice of his intention to exercise his right to appeal by this stage, nor had he indicated that he would not accept the Licence Committee’s decision. Whilst I realised that he might well exercise his right to appeal, I did not consider our decision making should presume an appeal was inevitable and I did not consider that there was any obligation on the Authority to make an arrangement covering the 28 day period in which he could exercise his right to appeal, or covering any period pending the determination of any appeal. 59. The internal discussion which took place on March 26 2013 included consideration of whether we needed to schedule an ELP meeting. (There was no ELP meeting scheduled that week.) My view was that this was unnecessary as the decision that Condition T123 should be included in the licence of the ARGC and the RGI had already been taken by the Licence Committee. I could not see what the ELP could be asked to do in the light of this. The task now was to put the decision of the Licence Committee into administrative effect by issuing the licences. 60. In reaching this decision, Nick Jones (Director of Compliance) and I were also conscious that the rest of the sector had been operating with Condition T123 on their licences since 2011 and that there were important public policy reasons for this condition. Weighing up our responsibilities to act in the public interest, whilst considering the interest of Mr Taranissi’s clinics, Nick and I were firmly in the view that the balance now tipped in the favour of the need to have the condition in place. ”
“Those functions of the authority which have not been reserved by the authority or delegated to the chair or committee or working group of the authority shall be exercised by the chief executive on behalf of the authority” 6.7.2: “The Chief Executive shall determine which functions he/she will perform personally and shall nominate officers to undertake the remaining functions for which he/she will retain accountability to the authority.”
“Authority shows that where a substantive expectation is to run the promise or practice which is its genesis is not merely a reflection of the ordinary fact (as I have put it) that a policy with no terminal date or terminating event will continue in effect until rational grounds for its cessation arise. Rather it must constitute a specific undertaking, directed at a particular individual or group, by which the relevant policy's continuance is assured. Lord Templeman in Preston referred (866 – 867) to "conduct [in that case, of the Commissioners of Inland Revenue] equivalent to a breach of contract or breach of representations".”
“The position is different where, properly understood, a promise is only for a limited period. If it is for a specified limited period then once that period has expired the promise ceases to bind. The promise may also be subject to an implication that it is for no more than a reasonable period. In that event once a reasonable period of time has elapsed the promise ceases to bind.”
“Where an authority is considering whether to act inconsistently with a representation or a promise which it has made and which has given rise to a legitimate expectation, good administration as well as elementary fairness demands that it takes into account the fact that the proposed act will amount to a breach of the promise. Put in public law terms, the promise and the fact that the proposed act will amount to a breach of it are relevant factors which must be taken into account.”