16 December 1998. Thanks to YA.
Source:
http://www.parliament.the-stationery-office.co.uk/pa/cm199899/cmtrdind/65/6501.htm
House of Commons
Session 1998-99
Trade and Industry - Second Report
Here you can browse the report together with the Proceedings of the Committee. The published report was ordered by the House of Commons to be printed 2 December 1998.
LIST OF MEMORANDA INCLUDED IN THE MINUTES OF EVIDENCE
LIST OF APPENDICES TO THE MINUTES OF EVIDENCE
II LEGISLATION AND PARLIAMENTARY SCRUTINY
III PURPOSE AND SCOPE OF CONTROLS
APPENDICES TO THE MINUTES OF EVIDENCE
Prepared 10 December 1998
The Trade and Industry Committee is appointed under Standing
Order No 152 to examine the expenditure, administration and policy of the
Department of Trade and Industry and associated public bodies.
The Committee consists of 11 Members. It has a quorum of three.
Unless the House otherwise orders, all Members nominated to the Committee
continue to be members of it for the remainder of the Parliament.
The Committee has power:
The membership of the Committee since its nomination on 9 July
1997 has been as follows:
Mr Martin O'Neill (Chairman)
Mr Tony Baldry Mr John Bercow (added 15.6.98) Mr Roger Berry Mr John Butterfill Mr Jim Cunningham Mr Lindsay Hoyle (added 19.2.98) Mr Alan Johnson (discharged 19.2.98) |
Mr Bob Laxton Gillian Merron (discharged 9.11.98) Mr Alasdair Morgan Linday Perham (added 22.6.98) Mr David Prior (discharged 15.6.98) Mrs Helen Southworth (added 9.11.98) Joan Walley (discharged 22.6.98) |
Mr Martin O'Neill was elected Chairman on 16 July 1997.
Mr Paul Eavis, Saferworld and Ms Fiona Weir, Amnesty International
UK
Major General Alan Sharman, Director General, Mr Brinley Salzmann, Director,
Market Information, Mr David Evans, Managing Director, Chemring Group plc,
Mr Nick Prest, Chairman and Chief Executive, Alvis plc and Mr Douglas Garland,
Managing Director, RBR International
Sir Brian Tovey, KCMG, Chairman
Barbara Roche MP, Under Secretary of State, Dr Roger Heathcote, Director,
Export Control and Non Proliferation and Mr Andrew Mantle, Director, Export
Control
Submitted by
Amnesty International UK
Saferworld
Defence Manufacturers Association
Joint Electronics and Telecommunications Security Control Committee of the Federation of the Electronics Industry
Department of Trade and Industry
Department of Trade and Industry, Supplementary memorandum
Submitted by
Confederation of British Industry
EEV Limited
RBR (UK) Ltd
Terry Palfrey, Leeds Business School
TAPOL: Indonesia Human Rights Campaign
Campaign Against Arms Trade
UK Working Group on Arms
Foreign and Commonwealth Office
Foreign and Commonwealth Office, Supplementary memorandum
World Development Movement
Committee of Vice Chancellors and Principals of the Universities of the UK
Oxfam GB
Society of British Aerospace Companies Ltd
British American Security Information Council
Dr Ross Anderson, University of Cambridge
BLWA Ltd
Department of Trade and Industry, Further Supplementary memorandum
Foreign and Commonwealth Office, Further Supplementary memorandum
Saferworld, Supplementary memorandum
Department of Trade and Industry, Further Supplementary memorandum
Department of Trade and Industry, letter to the Chairman
Ministry of Defence
Foreign and Commonwealth Office, Further Supplementary memorandum
Department for International Development
Defence Manufacturers' Association, Supplementary Memorandum
The Trade and Industry Committee has agreed to the following
Report:
Past Inquiries
22. The operation of strategic export controls, and analysis of weaknesses
in the system of controls, have been matters of interest to our predecessors.
In its Report of March 1992 on Exports to Iraq: Project Babylon and Long
Range Guns the Committee inquired into a tangled web of events between
1988 and 1990, which ended with the detention of eight huge steel tubes at
Teesport and the arrest of a number of people
involved.[1] The Committee's conclusions
were critical of several aspects of the performance of DTI's Export Control
Organisation (ECO). In June 1996 the Committee published its Report on
Export Licensing and BMARC, following a debate in June 1995 in which
the allegations of diversion to Iran of naval cannon exported by BMARC to
Singapore in the late 1980s had in effect been referred to the
Committee.[2] The Committee examined export
licensing procedures in some detail, both as they had been in the late 1980s,
and as they were at the time; and came to a number of critical conclusions.
Scott Report and Green Paper
23. In November 1992, following the collapse of the prosecution of Matrix
Churchill executives for alleged export control offences in relation to the
export of machine tools to Iraq in the 1980s, an inquiry was established
by the Government into the Export of Defence Equipment and Dual - Use Goods
to Iraq and Related Prosecutions, undertaken by Lord Justice Scott. His Report
was published in February 1996, and was highly critical of both the statutory
basis for strategic export controls the Import, Export and Customs
Powers (Defence) Act 1939, passed as emergency legislation on the outbreak
of the Second World War and many of the procedures and practices followed
by departments in operating those
controls.[3] His recommendation of a
comprehensive review was accepted by the then Government, which published
a Green Paper on Strategic Export Controls in July 1996
.[4] This sought responses by the end of
October 1996, to be followed by more detailed consultation in late 1996 and
early 1997. The 36 responses to the Green Paper were placed in the Library
in February 1997 and subsequently published as a departmental volume in June
1997.[5] These responses have been very
useful in preparing this Report.[6]
White Paper
24. The new Government came to power with a number of commitments designed
to be implemented quickly without the need for legislation, primarily the
agreement and publication of new criteria in considering applications for
export licences announced in July 1997 and the adoption of an
EU - wide Code of Conduct, formally agreed in June 1998. It was not until
1 July 1998 that it published its White Paper on Strategic Export Controls,
seeking written comments by the end of September
1998.[7] These responses 54 of them
were made publicly available on 30 November
1998.[8] Copies were made available to
the Committee in confidence on 17 November, and have assisted the preparation
of this Report. Legislation in the 1998 - 99 Session should technically be
possible, although responses to the White Paper in some areas, particularly
proposed new controls over the export of intangibles, raise genuinely complicated
issues requiring resolution. The Minister assured us that legislation would
be introduced when parliamentary time was
available.[9] We note that the Queen's
Speech makes no reference to the Bill. Given that almost 3 years have passed
since all parties accepted the strong recommendation in the Scott Report
that there should be a new legislative framework for strategic export controls,
and that controls are still being operated under a barely refurbished piece
of emergency legislation from 60 years ago, we hope that time can be found
for such largely uncontroversial legislation.
Inquiry
25. We decided to inquire into the proposals in the White Paper and related
matters as part of a wider programme of inquiries into matters connected
with ethical trading, and to take forward some of the detailed concerns raised
by our predecessors. Fortunately, we have not had to delve into the intricacies
of particular past cases. We have benefited from the results of the Government's
own inquiries into two recent cases involving trafficking of arms in
contravention of UN embargoes: in 1995 to Rwandans in Zaire by Mil - Tec,
an Isle of Man - based company, and in 1997 - 98 to Sierra Leone by Sandline,
a UK company.[10] We have also been aware
of the inquiry into Foreign Policy and Human Rights undertaken earlier this
year by the Foreign Affairs Committee, although the results of that inquiry
were unfortunately not available to us in drawing up this Report. The Committee
heard oral evidence on 10 November 1998 from Amnesty International UK (AIUK)
and Saferworld: the Defence Manufacturers Association (DMA): the Joint
Electronics and Telecommunications Security Export Control Committee (JETSECC)
of the Federation of the Electronics Industry: and the Minister at the DTI
responsible for the ECO, Barbara Roche MP, and her officials. We also benefited
from a most instructive informal briefing and visit to the ECO's offices
where we were able to see for ourselves the processing of licence applications.
We are grateful to all those who have assisted in the inquiry.
Annual Report
26. The new Government is also committed to the production of an Annual Report
on UK strategic exports, setting out the state of export controls and reporting
hopefully in greater detail than has been the case in the past
on their application. We await its publication with interest and some impatience.
The 1998 White Paper suggested that it was "likely that various Select Committees
will wish to examine the Annual Report which, in turn, may lead to a
parliamentary debate".[11] Several Select
Committees are potentially concerned, primarily Defence, Foreign Affairs,
International Development and ourselves. As we reported to the House in
conjunction with the Defence Committee in July 1998 "we consider that to
leave such scrutiny to the individual exertions of each of these committees
would risk confusion, and would be likely to result in effective scrutiny
being lost in the gaps between committees ..... . It is for all the committees
involved, working through the Liaison Committee to propose any sort of new
joint mechanism. At this stage, we emphasise our joint belief that it would
be desirable to have some definite mechanism for effective consideration
of these matters by select
committees."[12] Proposals are being
considered for some form of joint consideration, which we hope will bear
fruit in due course. We have therefore refrained in this Report from anticipating
the possible outcome of such joint inquiry, and from attempting to lay down
in advance of its publication a detailed template for the first Annual Report.
The experience we have gained of the process of licensing as a result of
this inquiry will however be of obvious assistance in scrutiny of the
Government's Annual Report in due course.
Multilateral controls
27. From our examination of the White Paper, the responses made to it and
the evidence submitted to us, it is clear that it would be foolish to examine
the UK system of controls in isolation from those of our allies and partners.
Although there remain a few areas where the UK pursues a purely national
policy such as the arms embargoes on Argentina and Iran, or in subjecting
some goods to dual - use controls beyond those in multilateral
regimes[13] or where there is
within an international embargo a significant degree of national discretion
notably the rather loosely phrased EU arms embargo on China
for the most part UK controls operate as part of an array of interlocking
and overlapping multilateral regimes, under the auspices of the EU, OSCE
and UN. The EU's role has significantly expanded through adoption, albeit
only as a Council Declaration rather than a legally binding Joint Action
or Common Position, of the Code of Conduct on Arms Exports. The Wassenaar
Arrangement, formally launched in July 1996, with the aim of promoting
transparency and greater responsibility in transfer of conventional arms
and dual - use goods and technologies, offers great opportunities for concerted
international action not yet fully realised. The 33 participating states
include several states implicated in recent cases of UN sanctions breaches.
Other arms exporters such as China, Brazil and South Africa are not
participating. We hope that the Annual Report will include details of
work underway within the Wassenaar Arrangement, including efforts to increase
the number of participating states, and to pursue cases where there would
seem to have been a failure of control by participating states.
28. Such internationalisation makes the system far stronger, but also more
rigid, since any change has to be agreed by a large number of other national
and international authorities. It also facilitates constructive comparison
with arrangements in other nations. Evidence from non-governmental organisations
(NGOs) referred to arrangements for parliamentary scrutiny in the US, Canada
and Sweden: to rules on registration of dealers in Germany: to the operation
of licensing by default in France: and to end - use controls operated by
Belgium and other countries.[14] If,
as we envisage, there develops a coherent form of UK parliamentary scrutiny
of strategic exports, it will hopefully be possible to learn from such examples,
and to develop a constructive relationship with similar bodies in other national
parliaments.
The 1939 Act
29. Strategic export controls are operated under powers given under the Import,
Export and Customs Powers (Defence) Act 1939 "the 1939 Act"
as amended by the Import and Export Control Act 1990. Section 1 provides
for the Board of Trade (now DTI) to make by order "such provisions as it
thinks expedient" for prohibiting or regulating, in all cases or any specified
classes of cases the import or export of all goods or goods of any specified
description. Orders under the Act are not subject to any parliamentary procedure,
and are not even laid before Parliament. As the Scott Report pointed out,
it was explicitly intended that the Act should continue in force only until
the end of the emergency.[15] No Order
as was envisaged by Section 9 (3) of the Act was however laid to repeal the
Act, and Governments have continued to use what the then Mr Douglas Hurd
described in 1980 as "a block - buster within the field that it
covers".[16] The Scott Report sets out
in detail the sorry story of the failure over many decades of successive
Governments, and of Parliament, to set this
right.[17] The situation was then made
safer at law, but worse in equity and common sense, by the passage of the
1990 Import and Export Control Act, which in effect rendered permanent the
granting in 1939 of temporary emergency powers. As the Scott Report put it
"The impropriety in using in peacetime wartime powers of subordinate
legislation without Parliamentary control became entrenched de
jure."[18] Sir Richard was highly
critical of the failure to use this opportunity to import into the Act some
provision for Parliamentary scrutiny of Orders made under the 1939 Act, despite
consideration of this possibility by Ministers, officials and, apparently,
Opposition front - benchers. The question of parliamentary scrutiny of
Orders made under the 1939 Act and its eventual successor is therefore of
central concern both because of a sorry history of 60 years of failure by
Government and Parliament in this regard, and in the light of the attention
devoted to it in the Scott Report. Parliament must be vigilant to ensure
that new arrangements do not replicate the mistakes of the past.
New or amending legislation
30. The Scott Report recommended "new empowering legislation in place of
the 1939 Act". The 1996 Green Paper announced that "the Government has no
concluded view on the desirability of introducing new legislation to replace
the 1939 Act", noting that the Court of Appeal had recently confirmed the
technical propriety of continuing to rely on the Act. The 1998 White Paper
confirms the Government's view that new primary legislation is desirable
but leaves open the question as to whether this should be by amendment or
repeal and replacement. The practical advantage of amending the Act is that
other controls relying on the 1939 Act such as those on heritage items,
personal firearms and bovine offal would remain in
place.[19] Much of the 1939 Act has however
been repealed or is not used or relied on. While it may be a nuisance
to seek new legislative authority for other export (and import) controls,
it can hardly come as a surprise to those concerned. For example, as
long ago as October 1991 the Review on controls on the export of works of
art concluded that it was "curious" that the legal framework for such controls
was based on the 1939 Act, and strongly urged specific legislation. In June
1997 the Reviewing Committee on the Export of Works of Art noted in its Annual
Report that "The need for legislation relating to the export of works of
art not only arises from the fact that the world has changed a great deal
since 1952, but also because some people who have appeared before us have
questioned whether the same willingness to respect the spirit of the system
as well as its letter remains universal." In its October 1998 Annual Report
it stated "Times have changed and there is a need for new legislation ....
. A legislative slot will be bid for in due course
....".[20] The Ministry of Agriculture,
Fisheries and Food (MAFF) have used the powers under the 1939 Act, most recently
in 1994 and 1995 to prohibit the export of various specified categories of
bovine offal; but these powers have been largely superceded by powers under
other Acts, and we understand that in recent emergencies MAFF has judged
that these powers are sufficient. It would be in the general interest to
have proper new legislative authority for export and import controls, not
only for strategic exports, but in other areas as well. We consider that
it would in principle be desirable to repeal the 1939 Act and replace it
with wholly new legislation, rather than seeking to amend it.
Secondary legislation
31. The Scott Report devoted considerable space to criticising the absence
of parliamentary scrutiny of the Orders made under the 1939 Act. Indeed,
as long ago as December 1988 our predecessors on the Committee recommended
an annual debate on the Cocom Order made under the 1939
Act.[21] The 1996 Green Paper stated
the then Government's initial view that "any new legislation should allow
for formal parliamentary consideration of rules and orders made under
it."[22] In response to unanimous support
for some form of scrutiny, the White Paper proposes that the negative
procedure should be used, whereby an instrument comes into force
immediately but is subject to revocation by Parliament within 40 sitting
days.[23] The Scott Report explicitly
proposed a form of modified affirmative
procedure, whereby an instrument comes into force immediately but
lapses after a specified period if not explicitly approved. This would allow
for Government to react urgently, while ensuring that every change was debated
in both Houses, however briefly. The Government based their rejection of
this proposal on grounds of the frequency of amendments of the lists of
controlled goods, which would "impose a significant burden on parliamentary
time" if requiring approval in every case, and the fact that most amendments
were uncontroversial and technical.[24]
There have been 12 Orders since 1994 amending the Export of Goods Control
Order (EGCO) made in April 1994; and 6 since 1996 to the Dual - Use Regulations
made in February 1995, subject to negative procedure. None of these six amending
Orders subject to negative procedure has been "prayed against" (the formal
mechanism by which any Member may indicate a desire to have a debate on such
a document). None of the 18 documents would seem to have been controversial.
For example, one recent Order involved the raising of a computer CTP Threshold:
the deletion of controls on certain machine tools: and the creation of defined
exceptions for specified categories of nuclear - grade graphite. Nor do any
of them seem to have been urgent.[25]
As the White Paper confirms, most "are needed to update the lists of controlled
goods to take account of changing technology, often as a result of changes
agreed in the various international regimes on export control in which the
UK participate".[26] Most amendments
to the Dual - Use Regulations follow at least several weeks after the related
decision taken within the EU Common Foreign and Security Policy (CFSP).
32. We are not unduly persuaded by the argument that the form of affirmative
scrutiny proposed in the Scott Report would be unduly burdensome on Parliament,
nor by the suggestion in the White Paper that, in order to avoid excessive
numbers of Orders, amendments would be introduced less frequently, leading
to a "less effective export control regime". We do however accept that the
substance of changes to the lists are for the most part uncontroversial,
and that the modified affirmative procedure would be likely to lead to further
very brief and pointless meetings of Delegated Legislation Committees in
order to debate wholly technical and uncontroversial measures. In order
to ensure that significant changes are not slipped through Parliament without
debate, we recommend that (a) drafts of Orders under the new Act be made
available to this Committee in advance of their being made; and (b) that
the Government undertake to find time for a debate on an Order if at least
6 Members so desire. On this basis, we consider that the negative procedure
for orders laid under the new legislation will be found acceptable.
33. Eight Orders amending the 1994 EGCO have been made since the Scott Report's
publication in 1996. None has been particularly momentous. None has been
laid. While technically available on request, this means that they are notably
less conspicuous to Members and others. We recommend that should Ministers
wish to make any further Orders under the 1939 Act prior to the passage of
new legislation, they give consideration to laying the relevant Order before
the House.
Parliamentary scrutiny of primary purposes
34. The Scott Report stated that the absence of any indication in legislation
of the purposes for which export controls could legitimately be used had
led "to a dangerous confusion between the law on export controls and the
Government's policy on export controls," and set out six suggested
purposes.[27] We discuss the purposes
further in paras 25 - 26 below. The 1996 Green Paper sought views on whether
it would be desirable to set out the purposes of export control in legislation:
and set out ten suggested purposes on which it invited
comment.[28] The 1998 White Paper records
"clear support" for the purposes being set out, "with most consultees favouring
their inclusion in legislation", although some suggested including them in
guidelines "in order to provide flexibility for Government to respond to
changing situations". The Government proposes that the new primary legislation
should make provision for the purposes of strategic export control to be
set out in secondary legislation, subject to the modified affirmative resolution
procedure. The Government's concern is to retain "the flexibility to respond
to unforeseen circumstances, potentially at short
notice".[29] The White Paper then sets
out eight suggested purposes to be included in this secondary legislation.
35. It is evident that careful thought has gone into drawing up these proposed
purposes. The 1996 Green Paper added counter - proliferation, consideration
of the economy of recipient countries, preservation of stability and avoidance
of diversion to the Scott Report purposes. The 1998 White Paper further refines
the 1996 list, omitting separate reference to human rights abuses, and the
reference to achieving "the least diversion for armaments of human and economic
resources." In a parallel process, national criteria for export licensing
and an EU Code of Conduct have been promulgated, covering similar ground.
There have now been 3 lists of possible purposes for inclusion in the
legislation, with some significant additions, deletions and re-draftings
along the way. It can reasonably be assumed that there are no wholly
distinct purposes omitted through ignorance or neglect.
36. We are very far from persuaded that there could be a need to respond
urgently to unforeseen circumstances such as to require the immediate entry
into effect of a new purpose, presumably to provide legislative authority
to block a particular class of goods. If such a new purpose were to be thought
desirable for example, to prevent environmental damage, or to avoid
the spread of offensive material we accept that it would be reasonable
for it to have immediate effect, subject to subsequent ratification by
Parliament. The list of purposes for which export controls can legitimately
be used is at the heart of the proposed new legislation, as the White Paper
explicitly recognises.[30] The primary
purpose in enshrining export controls in new legislation is to give Parliament
the opportunity to debate and decide on the broad purposes for which controls
should and should not be used. If the procedure put forward by the Government
were adopted, it would be impossible for Parliament to amend the list of
purposes. There are genuine and important questions over the phraseology
which Parliament is entitled to scrutinise and amend if it thinks fit: otherwise
Parliament would in practice be repeating its flawed grant of powers given
60 years ago in an emergency. Even Charles I might have blushed at asking
Parliament for powers and proposing to set out later the purposes of such
powers in subsequent secondary legislation. We welcome the opportunity
to be provided soon for parliamentary scrutiny of the purposes of export
controls, and urge Ministers to go the extra distance to provide an opportunity
for proper examination and debate. We recommend that the principal list of
purposes be set out in the primary legislation: and that power be given to
Ministers to amend that list by secondary legislation subject to subsequent
ratification by Parliament using the modified affirmative procedure as proposed
in the White Paper for agreeing the original list.
Scrutiny of destination of exports
37. Orders made under the 1939 Act, and the Dual - Use Regulations made under
the European Communities Act, set out in exhaustive detail the categories
of goods which require an export licence, as will the combined Orders
envisaged as being made under new legislation. They are however generally
silent as to permitted or prohibited destinations. The 1994 Order
includes one curious heading former Group 3 of Part I of Schedule
1 prohibiting the export of various heavy vehicles to the former
Yugoslavia and other provisions relating to controls on the export of aircraft
and some other goods to specified countries including Libya, Iran and
Iraq.[31] In general, however, control
of destinations is composed of several different but overlapping layers,
subject to widely varying degrees of parliamentary scrutiny.
(a) United Nations binding sanctions regimes are normally given effect
in the UK and Crown Dependencies and Dependent Territories by Orders in Council
under the United Nations Act 1946.[32]
Such Orders are laid before Parliament but are subject to no parliamentary
procedure. There are eight currently in force.
(b) Sanctions decided upon by the EU under its Common Foreign and
Security Policy, of which there are currently seven, of varying levels of
complexity, are generally first given effect by EC Regulations and then brought
into UK law by secondary legislation. In the most recent case, the imposition
of an EU embargo on the Federal Republic of Yugoslavia in relation to equipment
which might be used for internal repression and a moratorium on export credit,
one statutory instrument was made under the 1939 Act prohibiting the export
of certain goods specified in the relevant EC Regulation, and was of course
not laid before Parliament. A second instrument, making it an offence to
infringe that prohibition and providing for a licensing and enforcement regime,
was made and laid under the European Communities Act, subject to negative
procedure.[33] The recent amendments
to the system for handling European Business should in due course ensure
some possibility of parliamentary scrutiny of EU decisions to impose sanctions,
albeit we suspect often after they have been
decided.[34]
(c)There are two embargoes as a result of OSCE decisions, on Armenia
and Azerbaijan, subject to no parliamentary scrutiny.
(d)The UK and other nations also operate embargoes at a national level,
such as the arms embargo on Argentina in force since April 1982, now under
review. In July 1998 it was also announced in a Written Answer that all export
licence applications for dual - use items on the Nuclear Suppliers Group
List would be denied to nuclear and nuclear - related end - users in India
and Pakistan, as well as other
goods.[35] None of these national embargoes
has required legislation or parliamentary authorisation.
38. In seeking an appropriate degree of parliamentary scrutiny of secondary
legislation on export controls, the absence of any equivalent level of scrutiny
over the geographical application of controls comes sharply into focus.
At a simple level, it is not easy to discover what embargoes are in place,
let alone what policies exist in relation to particular countries. The Scott
Report reveals the reasons behind the delay in publishing to Parliament the
Guidelines on defence sales to Iran and Iraq. We do not know how many similar
guidelines are currently in force. If recent amending Orders had been laid
and subject to parliamentary scrutiny, Parliament would at least have had
a theoretical opportunity to consider matters such as the lifting of the
ban on aircraft exports to South Africa and Syria. Were it, to be decided
however, to lift or modify the embargo on Argentina, or to adjust the application
of the embargo on one (or both) of the countries subject to an OSCE embargo,
Parliament would we hope be informed by Written Answer, but would have no
more of a formal role than it had over the imposition of an embargo. There
are gaping holes in the system of parliamentary accountability governing
the framework within which licences are granted, and in particular the
geographical application of controls. Replacement of the 1939 Act will go
only some way towards improving the situation.
Parliamentary scrutiny of operation of system
39. The 1996 Green Paper sought suggestions for improvements in the information
published on strategic export controls, and drew attention to the results
of the MOD review of information provided to Parliament on the export of
arms and defence - related
equipment.[36] Beyond that, it did not
envisage any significant changes in parliamentary scrutiny or the provision
of information. The responses included a number of proposals for greatly
enhanced scrutiny, including for systems of prior scrutiny by Parliament
and others of applications for licences, through some form of public register
of such applications. Many drew on equivalent systems of prior scrutiny and
approval in the USA and Sweden.[37] Exporters
on the other hand expressed concern at the prospect of information on planned
exports being made publicly available, principally because overseas customers
often express a wish for their purchases not to be
revealed.[38] The 1998 White Paper announced
the Government's view that there should not be "parliamentary scrutiny of
individual applications either before or after the decision on whether to
grant a licence has been taken."[39]
40. The voluntary sector expressed in its submissions to the DTI following
the White Paper and in oral evidence to us its disappointment at the rejection
by the Government of proposals for some form of prior scrutiny of licence
applications, and by implication a power of approval or disapproval. AIUK
suggested that in cases such as the supply of armoured personnel carriers
to Indonesia "there should have been a very good informal public debate before
any licence application was
granted."[40] Saferworld emphasised the
potential deterrent effect on officials and Ministers of the possibility
of having to justify a decision to Parliament, leading them to "err on the
side of caution".[41] The DMA on the
other hand was relieved that there would not be "opportunities for
unrepresentative pressure groups unduly to influence policy or decisions",
avoiding "being swept along by the idealistic and emotive arguments of a
vocal minority". It felt that the White Paper had "exactly the right balance
of openess and Parliamentary
scrutiny".[42]
41. We accept the Government's view that a system of registration of, and
parliamentary and public access to, the thousands of applications every year
would not only be administratively onerous, but of doubtful value. It would
be unusual within the existing informal division of powers between Parliament
and the Executive for casework of this sort, much of it by its nature containing
commercially and diplomatically sensitive material, to be seen in advance
by Parliament. There would also be some risk that Parliament could be presented
in some way as having at least tacitly endorsed an application technically
laid before it, and on which it had failed to register any reservations.
On the sort of hard cases referred to in oral evidence to us we doubt if
it would be helpful to have a formal parliamentary input prior to
decisions. We are content at this stage to continue to leave individual
decisions on export licences to Ministers who are accountable to Parliament,
in accordance with constitutional conventions.
42. Ministers can however only be properly held to account for their decisions
if Parliament is in possession of the full facts, and has access on request
to detailed casework on decisions taken by Ministers and those responsible
to them. That requirement is not met by a statistical abstract of decisions,
however useful that may be in providing a broad picture of the licensing
process. Such figures, which have been published annually for some years
in the Annual Report of the ECO, form no more than the necessary starting
- point for parliamentary scrutiny. Nor can Parliament depend on answers
to a random series of parliamentary questions from individual Members. What
is required is a system of parliamentary scrutiny which combines the greatest
possible access to the details of decisions taken licences granted,
refused and delayed with safeguards to protect commercial confidentiality
in the interests of individual exporters and customers legitimate demands
for confidentiality. As BASIC put it in its 1996 submission "The Government
has itself set guidelines for arms exports; it should make it possible for
those outside the executive to judge whether those guidelines are being
followed."
43. We cannot therefore accept the bald proposition advanced in the White
Paper that there should be no parliamentary scrutiny of individual applications
after a decision has been taken. It must be open to Parliament,
preferably through some form of committee, to test individual licences, or
refusals of licences, against the Government's own criteria, the EU Code
of Conduct and indeed any other criteria it wishes. That need not lead to
public identification of individual companies, or indeed individual overseas
destinations. It is also important that any system should not disadvantage
UK exporters as against their competitors. The EU Code provides for a remarkable
degree of communication at a confidential level between Governments. It would
be useful if it could be extended to provide for a common standard of
transparency within each state, to assuage the anxiety expressed in the White
Paper that countries "would seek in future to buy equipment from countries
which would not disclose details of individual
contracts."[43]
44. We do not propose in this Report to seek to establish in detail either the desirable content of the forthcoming Annual Report, nor the extent to which, or means by which, detailed information could be made available to Parliament. In conjunction with other Select Committees, we have proposed on an experimental basis a system of joint inquiry by select committees on the first Annual Report (see para 5 above). The Report of that Committee can be expected to make detailed proposals, based on experience, as to how the exercise should be managed next time around. It is however likely that any system will have to allow for access, sometimes on a basis of confidentiality, to details of
The aggregated information will also have to be disaggregated below the main
headings used in the current Military List, and similarly in the listing
of Dual - Use Goods, so that needless effort is not devoted to pursuing details
of licences of little or no
sensitivity.[44]
24. Parliament and the public are entitled to have full confidence that the
licensing system is working as
intended.[45] The fundamental requirements
include a system of access by parliamentary committees to confidential
information, and a means of reporting the results of scrutiny of that information
to Parliament without breaching confidentiality. We share the view expressed
that the existence of a robust system of parliamentary scrutiny can act as
a useful prompt to officials and Ministers. We are confident that
such a system can and will be developed.
Purposes and Criteria
General
25. The Scott Report, the 1996 Green Paper and the 1998 White Paper each
set out proposals for defining the purposes of strategic export controls
as set out below . Parallel with these are the detailed principles to be
applied to licence applications set out in July 1997 "the Cook criteria"
and the EU Code of Conduct of June 1998. There would be evident advantage
both to those administering the system and those monitoring it if the various
points of slight contradiction or difference of emphasis could be resolved
in a common text. It is also unfortunate that the Cook criteria and the EU
Code should have preceded parliamentary legitimisation of the basic principles
from which they might in logic have been expected to flow. We have sympathy
with those who question whether there is not some incoherence among these
lists.
PROPOSED PURPOSES OF STRATEGIC EXPORT CONTROLS
Scott Report |
Green Paper |
White Paper |
(i) complying with international treaty obligations |
(a) to adhere to the UK's international obligations and commitments, including international arms embargoes |
To adhere to the UK's international obligations and commitments, including international arms embargoes and international control regimes |
(b) to prevent the proliferation of weapons of mass destruction and of missiles and unmanned air vehicles capable of delivering weapons of mass destruction |
To prevent the proliferation of weapons of mass destruction and of missiles and unmanned air vehicles capable of delivering such weapons |
|
(ii) protection of our armed forces |
(c) to ensure the security of the UK, its dependencies and its armed forces abroad, and of allied countries |
To safeguard the UK's security interests and those of allies and EU partners |
(iv) avoidance of assistance to human rights abuses in foreign countries |
(f) to avoid contributing to human rights abuses |
|
(d) to avoid contributing to internal repression and instability within the country of destination of the licensed goods |
To avoid contributing to internal repression |
|
(e) to take into account the economic and technical capability of the recipient country, and to achieve the least diversion for armaments of human and economic resources |
To avoid seriously undermining the economy of the recipient country |
|
(vi) avoidance of assistance to aggression by foreign countries |
(g) to avoid contributing to the prolongation or aggravation of existing armed conflicts between states |
To avoid contributing to international aggression |
(h) to preserve international and regional stability |
To avoid damaging regional stability |
|
(v) avoidance of assistance to serious crime in foreign countries |
(i) to avoid contributing to terrorism and serious crime |
To avoid contributing to terrorism and crime |
(iii) prevention of terrorism |
||
(j) to avoid re - export or diversion of goods, likely to prejudice purposes (a) to (i) |
26. Sir Richard Scott's remark accompanying his original list of six purposes
that "the case for the inclusion of additional purposes remains, in my view,
to be made out"[46] is a warning against
too ready an assumption that the latest list is perfect. Three particular
concerns have been raised:
July 1997 criteria
27. The new Government came to office committed not to permit the sale of
arms to regimes that might use them for internal repression or international
aggression, and to work for the introduction of a European Code of Conduct.
The former commitment was met by the publication in July 1997 of new criteria
to be used in considering arms export licence
applications.[49] The criteria are to
be applied to all military and dual - use exports, including exports by the
Government, which do not require a
licence.[50] These criteria have no statutory
force. They are open to amendment by Government at any time. As we explain
at para 5 above , we have not set out to establish how these new criteria
have been applied: that will arise in the course of scrutiny of the Annual
Report. We do however emphasise to the House the Foreign Secretary's statement
that it was not "realistic or practical" to revoke any of the 20,000 valid
licences outstanding.[51] Licences under
consideration may indeed have been held up close to the point of approval:
but the system is such that exports will potentially still be continuing
under licences granted prior to May 1997.
28. Before July 1997 there was no clear and comprehensive public statement of arms export licensing policy. FCO desk officers used a guidance booklet listing 13 factors to be taken into account in considering applications: a copy was placed in the Library of the House of Commons in March 1997 and was available to the public on demand.[52] The Memorandum from the FCO printed with this Report sets out in helpful fashion some of the changes in the criteria from these immediately preceding ones. These include
These national criteria will probably have to be adapted in light of the
EU Code of Conduct, and of experience gained in their application to the
hard realities of difficult cases. We welcome the publication of criteria
for the grant of arms exports licenses hitherto only technically accessible,
providing the necessary yardstick against which to judge licenses granted
or refused. Comparison of the new criteria with their predecessors suggests
however that the July 1997 criteria represent a rather less radical break
with past policy than is sometimes represented to be the case. As before,
Ministerial interpretation of the criteria in difficult cases is the touchstone
of their real significance.
EU Code of Conduct
29. The national criteria have since been edited and merged with the pre - existent 8 EU Common Criteria for Arm Exports into the EU Code of Conduct formally adopted on 8 June 1998, with a "no - undercut" mechanism bolted on. The FCO Paper sets out some of the relatively minor differences between the UK national criteria: the Anglo - French draft circulated to partners in January 1998: and the finally agreed version.[54] The differences include
The FCO paper notes that "The Code is one of the major common Foreign and
Security Policy achievements of the UK's EU Presidency ........the Code should
help to ensure a level playing field for UK exporters while ensuring that
our own licensing policy should remain basically
unchanged."[55]
30. Crucial to the Code are the "no - undercut" provisions set out in operative
paragraphs 3 and 4 under which a Member State circulates to all Member States
outlines of licences refused and the reason for such refusal. Before a Member
State grants a licence for an "essentially identical transaction", it will
consult the denying State(s). If it nonetheless proceeds to grant a licence
as any Member State is entitled to do it will notify the denying
State or State(s) with a detailed explanation. The FCO told us that the UK
and Germany have circulated first tranches of denial notifications, others
have not yet done so. The UK has not been involved in any discussions on
potential undercuts.[56]
31. There are self - evident weaknesses and uncertainties in the Code's
procedures, many of which have been criticised by the NGOs
concerned.[57] The FCO told us that the
UK was "not aware" of any consultations between other Member States on potential
undercuts. Because consultations are usually bilateral, they have no reason
to know.[58] There is however an annual
review process, in which the UK intends to play a leading role. It is to
be hoped that some of the potential weaknesses identified can then be addressed.
We also hope that the countries applying for EU membership are taking active
steps towards not only "aligning themselves with the
criteria"[59] but also enforcing them:
it has to be observed that some Associated States still seem to trade in
arms with scant regard to UN or other embargoes.
32. The Minister confirmed in evidence to us that the Code and the national
criteria were complementary, but that officials would naturally work to the
national criteria.[60] The FCO paper
referred to the criteria as "broadly similar" and noted that consideration
was being given to adopting a single set of criteria based on those in the
Code.[61] We strongly favour the adoption
of a slightly modified set of national criteria so long as it was clear that
it was no more restrictive than the current set in its practical implementation.
We would also welcome confirmation that any proposed changes to the EU Code
of Conduct should be subjected to the new parliamentary scrutiny procedures
for Common Foreign and Security Policy proposals.
New Controls
Trafficking and Brokering
33. The 1996 Green Paper referred briefly to "growing concern about trafficking
or brokering activities" and sought views on future
legislation.[62] The 1998 White Paper
proposes to extend the controls already in the Chemical Weapons Act to cover
assistance by a UK person to a foreigner overseas, and to extend these enhanced
controls to any activities in relation to weapons of mass destruction (WMD)
programmes, and associated ballistic or cruise missile programmes, except
the "official nuclear weapons programmes of NATO members" and "certain missile
and rocket programmes".[63] These proposals
have not attracted much comment. Evidence from BASIC questioned the legality
under the Non Proliferation Treaty of the proposed exemption of NATO nuclear
weapons programmes.[64] The legislation
on extension of the scope of controls over participation in programmes of
weapons of mass destruction could usefully be accompanied by clarification
of the legal position under the Non Proliferation Treaty, and of the precise
scope of the exemptions it is intended to permit by licence.
34. The White Paper also proposes to take power to exercise some control
over trafficking and brokering in conventional weapons. Recent examples which
have raised concerns include the brokering by UK companies of torture equipment
such as electro - shock batons, the activities in relation to Rwanda of the
Isle of Man registered company Mil-Tec, and most recently the arrangement
by Sandline to transfer weapons from Bulgaria to Sierra
Leone.[65] For conventional weapons,
the only current UK controls relate to powers under the United Nations Act
in relation to implementing a binding UN decision. The White Paper proposes
to extend this control to cover trafficking and brokering in
The "goods and/or destinations" subject to these controls would be laid down
in secondary legislation subject to negative resolution procedure. To the
extent that this increases current levels of parliamentary control, it is
indeed welcome, particularly if it provides an opportunity for greater
accountability over prohibited destinations as well as goods. It would for
example render illegal the brokering of arms to the Democratic Republic of
Congo, allegations of which have been made in recent weeks.
35. The voluntary sector would like to see these selective proposals for
controls on trafficking and brokering extended, in some cases to produce
a system of registration of
dealers.[66] The DMA supported the
Government's efforts to try to do something about brokering, while warning
that the scope of any controls would have to be carefully defined, and that
there would be difficulties in effective
enforcement.[67]As the December 1996
Interdepartmental Committee following the Rwandan arms dealing furore put
it "The principal problems with new legislation to prohibit trafficking
generally seem likely to concern enforceability. The offending events will
take place principally overseas and there can, therefore, be little or no
Customs & Excise regulatory control in the UK to detect illicit activity.
Enforcement would be heavily dependent on intelligence - often after the
event - about breaches, and evidence to sustain a prosecution might not be
easily available in the UK or from abroad. International action might therefore
be required to develop effective enforcement against trafficking." We
welcome the limited proposals on trafficking and brokering, and recommend
that their extension be considered only once experience has been gained of
enforceability.
36. In late 1996 in the wake of the Mil - Tec affair and concerned that the
Government might be "rushed into introducing some hastily and ill - thought
out legislation", the DMA submitted a paper to DTI suggesting that consideration
be given to statutory registration of brokers involved in shipping a clearly
defined range of lethal goods, and to an obligation of prior notification.
The DMA paper recognised that there were responsible and irresponsible brokers,
and that some kind of controls was needed, to enable the Government to prosecute
transgressors if they had broken the
law.[68] The value of a registration
system is partly deterrent, to the extent that the availability of criminal
sanctions may deter the otherwise irresponsible or indifferent. An obligation
on a licensed dealer to notify could conceivably have alerted Sandline
if the directors of that company were genuinely unaware and if they had been
licensed of the stringent nature of the UN sanctions regime on Sierra
Leone. Any system would have to be more than merely national; evidence to
us suggested that the German system of registration and notification is readily
by - passed.[69] It will, as the Minister
noted, be difficult to police.[70] We
welcome the proposals for new controls on trafficking and brokering, and
call on Ministers to explore further within the EU and the Wassenaar Arrangement
the benefits and potential pitfalls of some multilaterally agreed form of
licensing or registration of arms dealers.
Transfer of Technology by Intangible Means
37. Technology has been subject to some degree of export control under the
1939 Act, but limited to tangible transfers, by paper, diskette or
similar.[71] Transfers of technology
by fax, e- mail or word of mouth are not covered. The dangers of uncontrolled
transfer of technology by intangible means were raised in the 1996 Green
Paper.[72] The 1998 White Paper proposes
new legislation to make electronically transmitted documents transferred
abroad, whatever their form, subject to licensing requirements, if "containing
controlled technology": and to support the proposal of the European Commission
to extend controls on dual-use goods to cover electronic
transfers.[73] There is an irrefutable
logic in the proposal which nearly all involved accept; there is no argument
in favour of the principle of explicitly exempting such transfers
from the licensing regime. Grave doubts have however been expressed as
to the practicality of the proposals and fears raised as to their consequences
if implemented.
38. There is no clear idea of the extent of the problem which this proposal
seeks to address. The Minister told us "There clearly is a gap here which
does need to be plugged .... it is difficult for us to give you an exact
(category) of how much information we are talking about because it is simply
impossible to judge it ..".[74] The White
Paper states that "it is difficult to make an accurate assessment of the
extent to which UK firms may be exporting technology intangibly without
consulting the government ..... such transfers are likely to become more
frequent in the future ...".[75] In 1997
there were only 232 individual applications for licences for tangible transfer,
much of which is permitted under two existing Open General Export Licences.
DTI assume that the increased requirement as a result of the new controls
"is unlikely to impose a significant burden on industry particularly as it
would be spread over a large number of
companies".[76] Existing open licences
would permit intangible transfer as they currently permit tangible transfer.
Transfer of classified information by any means would potentially be a breach
of the Official Secrets Act: the White Paper is therefore intended to catch
technology not caught thereby.[77]
39. Defence exporters have made clear their concerns over the potential burden
on them, in having to consider for a much wider range of transactions than
at present whether they should be seeking licensing, and over the enforceability
of the controls. The DMA felt that the proposal required a lot more thought,
warning that activities such as "post - sale servicing and maintenance of
software, providing update and support of on - line instruction manuals"
could be affected. It called for study of the equivalent system in operation
in the US and for delay in introduction to provide time for detailed
consultations and for international discussions so that any new controls
were implemented in concert.[78] The
SBAC suggested on the basis of an informal survey among its members that
the ratio of intangible transfers to tangible was "very conservatively 4:1,
suggesting a major potential burden on
firms.[79] One manufacturer, GKN Westland,
set out the problems in enforcement for example, over high technology
seminars and suggested that any legislation would be impossible to
enforce.[80] Evidence from Sir Brian
Tovey on behalf of JETSECC emphasised the need for multilateral agreements
and the impossibility of enforcement without the active co-operation of those
involved.[81]
40. Responses to the White Paper also came from a variety of academic sources,
fuelled by concerns that the proposals could have serious and possibly unintended
effects on the academic research community and on teaching of overseas students,
since the transfer of any information with potential applications to a WMD
programme would be made subject to licensing. The Committee of Vice - Chancellors
and Principals (CVCP) claimed that the proposed extension "poses an unacceptable
threat to the operation and standing of UK higher education" and that it
"fails to acknowledge that almost any advanced technology has a potential
weapons application".[82] The possible
threat applies to teaching in a wide range of subjects, not just nuclear
physics and chemistry, but all those branches of medicine relevant to a potential
chemical and biological weapons programme, and virtually all computer science
research, much of which is cooperative. As one respondent put it, "The
restrictions that previously only applied to physical hardware objects will
be extended to the software used to design, test, control or operate them,
or to integrate them into larger systems." It was also implied by some
respondents to the White Paper that the proposed extension of controls was
a somewhat sneaky attempt to control the transfer of "strong" cryptography.
The USA has apparently tried and failed to prevent such transfers. It has
also been implied that the new controls sought will be unenforceable unless
the Government's agency has access to the necessary decryption, and that
this will be used as a justification to obtain sweeping decryption powers:
an implication firmly rejected by the
Minister.[83]
41. On 14 May 1998 the Commission presented a proposal for a Council Regulation
on dual - use export controls, which sought to extend the current authorisation
requirement for the export of dual - use items to cover "transmission of
technologies via electronic media, telephone and fax", but excluding "the
supply of services or the transmission of technology requiring cross - border
movement of natural persons."[84] The
document is under discussion in a Council Working Party Group, and it is
understood that a final version is unlikely to be agreed until the second
half of 1999. We have been surprised to discover that the document, specifically
referred to in the White Paper, has not apparently been deposited in Parliament,
and so has not been through the scrutiny process. Given the degree of
controversy raised over the proposals in the White Paper, there can be no
question of the United Kingdom agreeing to an extension in the EU's dual
- use regime, under whatever legal power, until a consensus has been arrived
at on the way forward on controls of intangible transfer of technology
generally.
42. We would be disturbed if there were good grounds for suspecting that
licensable information was being transferred by intangible means in order
to circumvent existing controls: but we understand that there are no such
grounds. If there is deliberate evasion, it will remain exceedingly difficult
to detect, let alone prevent.[85] The
proposed extension might deter deliberate evaders by the distinct threat
of a subsequent prosecution, while imposing a burden on industry substantially
greater than seems to be recognised by the Department. It presents at worst
a real nuisance to the academic world. The Government's proposals are in
two legs: the proposal on non - documentary transfer and on publication of
controlled technology on the internet is limited to WMD programmes, in view
of difficulties of administration and enforcement and given "sensitivities
in relation to free speech and academic
freedom".[86] The Government should
consider limiting the proposed extension of licensing requirements to electronic
transfer of documentation to technology related to weapons of mass
destruction.
Coverage
43. There are, in simple terms, two classes of goods requiring licences to
export: military goods as set out in Part III of Schedule 1 to the Export
of Goods (Control) Order as the "Military List", and dual - use goods, set
out in Schedule 2 to the Dual Use and Related Goods (Export Control) Regulations
1995.[87] The range of goods covered
is vast: from main battle tanks to chemical storage tanks. The Military List
is 10 pages long. The relevant part of the Dual - Use Regulations is around
145 pages, with an index of 36 pages. The ECO makes laudable efforts to assist
intending exporters through this maze, including an Internet web site which
contains a full list of goods subject to export control and the text of
OGELs.[88] The 1996 Paper sought comments
on "any points of technical detail" on the range of goods subject to export
control.[89] The 1998 White Paper refers
only to work on agreeing a common definition of the much - used phrase "specially
designed" and to the possibility of military end - use "catch - all" control.
[90]
44. AIUK seek extension of controls to a wider range of military security
and police goods and services than is presently the case, in particular dual
- use equipment not hitherto covered which could be used for repressive internal
security. Examples given included firearms training systems for the Indonesian
police: traffic control cameras used for internal security in China and Tibet:
and computers such as those used in the past to automate pass law enforcement
in South Africa.[91] A number of bodies
seek coverage of training and other non - goods transfers, and of licensed
production overseas.[92]
45. Exporters raised a number of issues where the need for licensing is far
from self - evident. It is, of course, true that "just because a thing is
controlled does not mean to say it is always going to be
refused:"[93] but the complaint of exporters
is that they should not be obliged to seek licences for some categories of
equipment currently covered. One such category is purely defensive
equipment. We received evidence from RBR International Ltd, who export
ballistic helmets and shields, and, quite apart from fury at losing orders
through delays, question why "non - aggressive equipment which saves lives"
need be licensable. The "protection of members of security forces from violence"
is a specifically excluded area under the Cook criteria, although not under
Heading 2 of the EU Code (see para above). An application for a licence to
export helmets and face shields to China was, after several months of
consideration, refused on grounds of an "unacceptable risk of diversion for
use for the purposes of internal
repression".[94] An appeal against the
refusal was turned down at ministerial level. In written evidence to us,
DTI state that "it was concluded that the arguments in favour of allowing
the export for the protection of members of the security forces were outweighed
by the clearly identifiable risk that the goods might be used represively,
for example in the violent suppression of an incident such as
Tiananmen."[95] This is not only a
peculiarity of policy, but has to be read in the context of the removal in
June 1994 by an amending Order of "anti - riot helmets" from the scope of
licensing under PL5001.[96] "Military
helmets" however require a licence under heading ML13.c. of the Military
List, except for conventional steel helmets, and those manufactured before
1945. It seems that "anti-riot helmets" can be exported without a licence,
while those designed to stop bullets cannot; but then a licence is refused
for military helmets in case they are used as anti - riot helmets.
46. The other categories of equipment whose need for licensing is not obvious
is that designed to provide defence against chemical or biological
warfare. Such equipment is sought by countries deciding to embark on
prohibited programmes of such warfare; but a growing number of countries
are increasingly seeking such equipment. In response to the 1996 Green Paper,
Graseby Dynamics, a major producer of such equipment, suggested that the
Government should be actively promoting the sale of defensive NBC equipment:
Stella - Meta, who manufacture water purification equipment, questioned as
to why it was licensable: and STI, a major manufacturer of self - injecting
syringes including those providing antidotes to nerve and chemical agent
poisoning, while not questioning the licensability of such equipment, did
call for a simplified system. The DMA repeated in 1998 its 1996 questioning
of the need for such rigorous control of purely defensive
equipment.[97] More generally, it expressed
disappointment at the absence from the 1998 White Paper of any sign of reduced
coverage or clearer categorisation as sought in 1996, for example, by the
Chemical Industries Association. Responses to the 1998 White Paper also
emphasised the sense of dissatisfaction among the NBC community at the
requirement for licensing.
47. There are difficulties as the 1996 Green Paper warned in
contemplating any change to the coverage of strategic export controls, since
they are agreed in the EU and other fora, including among the 33 states within
the Wassenaar Arrangement. The Minister warned that changes could bring the
UK into conflict with internationally agreed
standards.[98] As the Director ECO told
the Managing Director of RBR, the text of the Military List "has been agreed
internationally through the Wassenaar Arrangement, and to include any exemption
would require agreement by all 33 Wassenaar parties. This would obviously
be a very long term matter if indeed it was to prove
possible".[99] Unilateral national decontrols
are evidently undesirable, and purely national controls are of doubtful efficacy.
That should not however, lead to a position where the lists are
inflexible.[100] The Dual - Use list
has been amended on several occasions over recent years, as has the Military
List. It may be that there is a need for a more active mechanism within the
Wassenaar Arrangement for ongoing technical review and revision. The
production of a unified list covering military and dual - use goods under
the new Act and the revision within the EU of the basis for dual - use controls
present an opportunity for review of the present coverage.
48. We have some sympathy with the concerns expressed by voluntary bodies
over the freedom with which licensed production arrangements can be
set up overseas for the production and re - export of goods whose export
from the UK would have required licensing and which might well have been
refused.[101] The two examples most
frequently given are of Land Rovers produced in Turkey and exported therefrom
as Otokars: and firearms to be produced in Turkey under licence from Heckler
& Koch. There must in practice be some controls over the export of the
necessary technology and other intellectual property, although if the production
is to take place in many countries it will be covered by an open licence.
In our view, this concern underlines the need for closer co - ordination
within the Wassenaar Arrangement of destinations to which export of sensitive
equipment is likely to be prohibited, and for a forum where decisions taken
by nations within that Arrangement can be publicly challenged and indeed
publicly defended, in a spirit of transparency. We recommend that the
question of controls on licensed production of arms and dual - use goods
be addressed within the Wassenaar Arrangement.
End - Use Control
49. Controls on the ultimate destination and use of goods licensed for export
are intended to prevent diversion to third countries, through re - export,
or use within the original country of destination outside any conditions
under which a licence has been granted. Licence applications have to be
accompanied by "full supporting documentation". The ECO gives guidance on
the nature of such documentation under different circumstances, including
specimen wordings for consignees to use, such as "the goods are for our own
use at (full address of location) and will not be re - exported or
sold for export".[102] Reference to
end - use "certificates" is unintentionally misleading, since it suggests
a degree of formality and commonality of format unfortunately absent. There
still seems to be a high degree of flexibility in determining what is required
by way of end - user certification.
50. The end - user control regime has been extensively criticised, notably
as a result of the revelations in the Scott Report and in our predecessors'
BMARC Report. The Scott Report contained evidence to suggest that a number
of countries had been notoriously willing to act as conduits for onward re
- export to Iraq, so that end - user certification from some countries was
effectively meaningless.[103] The Select
Committee's inquiry revealed that in the late 1980s most export licence
applications had evidently inadequate supporting
documentation.[104] Procedures have
been tightened. In 1996 the Select Committee expressed satisfaction at the
institution of procedures to increase the likelihood of detecting diversion.
It recommended, reflecting the Scott Report, that applicants be required
"to distinguish between the potential and actual uses of military and dual
- use goods". DTI consulted on this; industry concerns as to its practicality
led to it not being introduced in the present form. There will however be
a reminder to applicants in the new electronic format form to provide as
much information as possible about end -
use.[105] The Committee also recommended,
following the failure in the 1980s to make the necessary connection between
BMARC and Oerlikon, that ways should be found of making checks on third
parties.[106] We have been briefed
in confidence on this during our visit to the ECO, and in writing, and commend
DTI for its positive response to this recommendation.
51. The 1996 Green Paper invited views on "the subject of end- use control
generally".[107] The 1998 White Paper
refers to the Labour Party's Manifesto commitment to strengthening end -
use monitoring and to seeking "co - operation to build a common approach
on effective monitoring of end - use within the European Union and under
the Wassenaar Arrangement": but offered nothing concrete beyond the statement
that "the Government is currently reviewing the
options".[108]
52. The voluntary sector respondents who had made a number of proposals in
their responses to the 1996 Paper, and had variously described existing
arrangements as "badly flawed" and "woefully inadequate", are naturally
disappointed at the absence of concrete
proposals.[109] In earlier submissions,
they had made various proposals largely designed to enable either UK authorities
or some acceptable independent body to audit end - user certificate compliance,
using inspection as a means of verification. Some also sought the introduction
of so called "catch - all" military end - use control, similar to the system
in operation in Germany, whereby the current obligation on an exporter to
refer to any grounds for suspecting that dual - use goods may be used in
programmes of weapons of mass destruction is in effect, extended to any military
end - use in certain sensitive destinations. They reiterate demands for an
internationalised system, based on the allegedly more proactive system used
in Belgium and elsewhere for checks in the receiving
state.[110] Tapol state that "In the
case of Indonesia, there has been no attempt to monitor the use of equipment
despite clear breaches of assurances by the Indonesian Government that equipment
would not be used for internal
aggression".[111] There is indeed
no practicable or internationally accepted verification or enforcement
regime.
53. Exporters also have a number of reservations about end - use, while sharing
the preference expressed for a common internationally accepted format. The
DMA suggested in its 1996 response that there might be scope for a WEU harmonised
format, noting that the "suggested form" in use was totally unlike any other
nation's, and reflecting a view of several firms that the requirements of
the statement varied from one individual official to
another.[112] The DMA also suggested
that an end - user statement should be a condition of the use of a
licence, rather than a prerequisite for its grant. Several respondents
emphasised the difficulties confronting exporters of components who might
well be unaware of the identity of the ultimate end - user or of manufacturers
of relatively common products exported by the laboratory supply industry
principally to dealers.[113]
54. The principal concern of exporters is that the burden of monitoring end
- use should not fall on them, but on Governments, with far greater resources,
and that there should not be such a burden of intrusive verification in a
recipient state as to lead such states to place orders
elsewhere.[114] The DMA stated that
companies "should not be held responsible for what use is made of their goods
after delivery".[115] EEV, for example,
stated that "We do all we can to make sure that our customers are
bona - fide, but ultimately we have no control over what a foreign company
or country does".[116] As Lucas Varity
candidly observed, an end - user undertaking is ultimately "a piece of paper
supplied by the customer stating the intended end use of a product. It guarantees
nothing ....".[117] SBAC noted that
"it guarantees nothing and should goods be diverted or misused government
has no extra - territorial powers to prosecute the
customer".[118] Particular dislike
was expressed by Sir Brian Tovey of the optional provision in the 1994 EU
Dual - Use Regulation, taken up only by the UK and Germany, to require that
goods require a licence if the exporter has "grounds for suspecting" that
they may be used in connection with a weapons of mass destruction programme
the so - called "catch - all" clause. He suggested that legal advice
might unnecessarily discourage firms from exporting, and that firms were
being asked to exercise the sort of intelligence function which was the
Government's responsibility.[119] It
is of course open to Government to refuse to grant a licence.
55. A few well - publicised cases apart, generally dating back a decade or
more, no evidence has been forthcoming of widespread breaches of end - user
certification. While it is for example possible that both the Indian and
the Pakistani nuclear programme may have benefited at some level from British
equipment, exported under dual - use licenses, we have seen no evidence to
that effect. There is however much to be said for a general EU, or preferably,
wider agreement on mutual end - use verification, and systematic certification
based on the prevailing best practice. The Minister told us that it was a
"very, very difficult issue" and that it was being taken forward within the
EU:[120] she reasserted the Government's
absolute commitment to taking it forward. Without introducing extra - territorial
controls, there are limits on what can realistically be achieved. We share
the sense of disappointment that there should as yet be nothing to show on
the work done on creating a more effective end - use regime.
Departmental responsibility
56. The DTI's particular responsibility in strategic export licensing is
for the integrity of the system, as the Minister responsible emphasised to
us in oral evidence.[121] Other Government
departments, principally FCO, MOD and DFID, but also the intelligence and
security agencies and others with technical expertise, have advice to offer
on specific applications: it is DTI who hold the ring, and issue licences.
The system is administered by the Export Control Organisation, consisting
of around 135 staff, over half of whom are in the Licensing Group devoted
to processing applications and providing technical
advice.[122] The ECO is located in
the DTI office in Kingsgate House, Victoria Street. Members of the Committee
paid a most instructive informal visit there in early November 1998, and
were able to see the practicalities of licence processing.
57. The Scott Report raised the question as to where in Government responsibility
for administration of export licensing should lie, expressing the view that
administration of controls ran counter to a principal departmental interest
of DTI in promoting exports. In their BMARC Report, our predecessors also
recommended a review of current export licensing responsibilities, in particular
as to which department should have the lead
responsibility.[123] The 1996 Green
Paper sought views on this
matter.[124] The responses favoured
either an independent authority or body giving an "extra degree of objectivity"
or maintenance of the status quo but with an enhanced status and closer
cooperation between the various
players.[125] The 1998 White Paper
announced the Government's conclusion that "the licensing authority should
remain with the DTI",[126] a conclusion
which has naturally disappointed those seeking change.
58. It is for general convenience that there should be some form of central
point to which all licence applications can be made, whether covering military
or dual - use goods. There is something to be said for it covering all
export licensing, including works of art and animal products, with advice
being sought in each case from expert departments. Those processing the
application within the Government structure should be able to have access
to the full range of expert advice. Those providing such advice are only
able to do so authoritatively and with a degree of independence because of
their daily involvement with work other than export licensing. The strength
of the present system lies in its access to, for example, FCO Desk Officers
profoundly familiar with a particular country and MOD technical experts on
a relatively narrow area of technology. No independent authority could match
that, without an absurd waste of resources. There is also a requirement for
Ministerial involvement across departments, and for one identifiable Minister
to take responsibility for decisions reached. Although we heard that only
about 3 per cent of applications reach Ministers, and that only a handful
of those few hundred lead to active inter - Ministerial
discussion[127] this involvement is
the necessary keystone of the system. Licensing of strategic exports is as
much a matter of political judgement of risk as of technical assessment.
It is logical to retain the central processing unit in that Minister's
department.
59. We concur with the conclusion of the White Paper that the DTI is indeed
the appropriate department. We have detected no excessive championing
of intending exporters by the ECO: such is certainly not the impression given
by their representatives. Transfer to the FCO, or separation from the DTI,
might lead to an excessively negative regime of licensing. There are some
grounds for seeking greater institutional recognition of the special nature
of the ECO within DTI, and closer integration at a working level with HM
Customs and Excise. The priority at present is however not to jiggle around
with allocation of Ministerial responsibility for the licensing process,
but to raise further its quality and speed.
Work of the ECO
General
60. It should be recorded at the outset that the ECO is praised as well as
criticised for its performance.[128]
One company responding to the 1998 White Paper stated that most of the officials
were "courteous and helpful but like ourselves prisoners of a bureaucracy
which is cumbersome and overly secretive". The management of ECO has shown
an admirable recognition of the need for improvement in some areas. It must
also be recorded that applicants do not always do themselves any favours
in the way in which applications are submitted with evidently incomplete
supporting material. The relationship between applicants and a licensing
authority is not and should not be stress - free. The ECO is engaged in a
formal process, ultimately subject to judicial review. We are encouraged
by the prospect of closer liaison between the ECO and its clients, and of
constructive co - operation in improving current
weaknesses.[129]
Delays
61. The principal complaint about the licensing system is the inordinate
length of time it can take to get a licence. Very few are refused: there
were 89 refusals of basic Standard Individual Export Licences (SIELs) between
August 1997 and August 1998.[130] This
of course understates the real effect of controls, since some proposed exports
will be turned down on the basis of a Form 680 rejection and others will
simply not be sought in the first place. On 24 June 1998, however, there
were at least 450 SIELs which had been awaiting decision for at least 2
months.[131] The ECO does not at present
maintain details of what has been described as the "tail" of undecided
applications, so that it cannot easily be discovered how many in this waiting
list have been there for many months. The annual rate achieved hovers around
50 per cent, with a severe recent dip in performance attributable to uncertainty
and the subsequent introduction of tighter controls in July 1998 following
the nuclear tests conducted by India and Pakistan. Some 15 per cent of circulated
applications in October 1998 were for exports to India or Pakistan; staff
time devoted to these apparently had an unquantifiable knock - on effect
on the processing of other
licences.[132] Performance in 1997
was also affected by the need to adapt to the new July 1997 criteria, leading
to a very high rate of referrals to Ministers of doubtful
cases.[133] The target of 70 per cent
achievement of 10 working days (2 weeks) for non - circulated applications
has now been reached. Given the circumstances, it is perhaps disappointing
that any non - circulated applications should still take more than 2 weeks.
The ECO fails by some distance to meet its own target of processing within
20 working days 70 per cent of those applications requiring circulation to
other departments: this covers most applications
received.[134] It is possible to
gain a snapshot view of how long licence applications have been waiting on
a specified date: but DTI are "seriously considering whether we cannot find
a means of recording timings in every case in order to be able to give a
better more easily recoverable, picture of how long licence applications
take to process."[135] We recommend
that vigorous steps be taken to give a rounded picture of the ECO's performance
not only in relation to its own targets, but showing the full extent and
nature of the waiting - list of applications.
62. We received anecdotal but compelling evidence from witnesses of the
reality behind the figures. Mr Douglas Garland, Managing Director of
RBR International, a leading manufacturer of personal protection equipment
(body armour, helmets, shields etc) had received only one licence within
the 20 day target out of 9 applications made in the past
year.[136] The Minister has accepted
in subsequent evidence to us that a decision on a May 1997 application to
supply helmets to UNHCR in Afghanistan had indeed taken too long: no decision
had been made by the time the order was cancelled in July
1997.[137]Mr David Evans, Managing
Director of Chemring plc, manufacturers of military pyrotechnics and other
products, told us that, of 140 licences sought since January 1998, 40 per
cent had taken over 50 days and 14 per cent over 100. One, for the export
of stun grenades to Colombia, had been given provisional clearance through
the Form 680 procedure, and a licence was submitted on 29 October 1997; it
still awaits a decision, although the order has now been
lost.[138] From subsequent evidence
forwarded, it would seem that after several months consideration the FCO
recommended refusal and that other departments, including MOD, sought a review
of this decision. Other applications seem to have taken equally long. Some
were for CS gas to understandably sensitive
destinations.[139] Others included
an application to export one 30 mm multi - purpose gun to a laboratory in
an EU/NATO country for use in testing; this took almost a year. An application
to export passive air defence countermeasures to another EU/NATO nation took
6 months. Mr Evans described the length of time for most of his company's
applications as "unacceptable".[140]
A company responding to the White Paper recorded an average time of 84 days
for applications to be decided, and 3 applications taking between 18 and
23 months. These were for rifle and mortar parts to a South Asian country,
including a safety device for the extraction of jammed mortar rounds. We
can only hope that these examples are not typical.
63. The Scott Report proposed that the target time limits used should be
formalised, and specifically that there should in effect be licensing by
default in the absence of a decision within a prescribed time limit. The
1996 Green Paper sought views as to whether there should be such limits and
if so how they might operate.[141]
The 1998 White Paper turned down the idea of licensing by default, given
the self - evident risk that licences might as a result be granted "contrary
to the UK's international obligations or the Government's own policy", and
set out steps being taken to improve the speed and efficiency of processing
for decision.[142] The DMA felt that
its arguments in favour of licensing by default had been unduly summarily
dismissed.[143] While that may be the
case, we can see little merit in it. It is clearly important to avoid creating
a system which would artificially encourage a refusal, as a means of reaching
a decision. We could not accept a system which carried with it the inherent
risk of inappropriate export.
64. The time taken to process applications circulated to other departments
depends to a significant degree on the speed with which those departments
respond. Within MOD, applications are circulated by the Defence Export Services
Secretariat to a range of expert advisers "in order to produce the agreed
MOD recommendations". Within FCO, the Non - Proliferation Department is similarly
tasked.[144] There is apparently an
"informal" target of 10 working days for these departments to reach an agreed
departmental view.[145] The extent
to which they achieve that target has not hitherto been
published.[146] The DMA and others
have the strong impression that it is to consideration of licences by the
FCO that most of the delay can be
attributed.[147] If so that may well
be for good reason, such as the need to seek information and advice from
overseas posts on the end -
user.[148] Annex E to the 1997 Guidance
for FCO desk officers noted that 10 days is "a target, not a deadline" and
that "speed is not the same as efficiency": it also acknowledged that
"unnecessary delays in processing an ELA can lose the applicant company money
or even a contract. Unexplained delays in the FCO damage our reputation."
It would be pointless for DTI to take steps to speed up that part of the
process for which it bears direct responsibility only to find that applications
linger in other Whitehall in - trays. We recommend that some analysis
be carried out and published of the reasons for other Government departments
failing to meet a 10 working day target on export licence applications, and
of steps which could be taken to improve performance.
65. In addition to delays, evidence from those doing business with the ECO has in the past expressed frustration with various bureaucratic problems
From our visit to the ECO and other sources, we are satisfied that some steps
are being taken to address these matters. Applicants should be informed
what is happening to an application which will not be decided within the
time limit: be offered the opportunity to make direct representations in
response to objections raised: and be assured of a decision one way or the
other within an agreed further timescale
Appeals
66. There are relatively few appeals against refusals of licences: 15 in
the most recent 12 - month
period.[149] Following a recommendation
in the Scott Report, the 1996 Green Paper sought views on the creation of
a formal appeals procedure against export licensing
decisions.[150] In response, the 1998
White Paper proposes a statutorily established formal system of appeals,
not however independent as sought by the DMA and others but comprising senior
expert officials.[151] Where a decision
primarily a refusal has been taken by a Minister, the appeal
would also be at Ministerial level. The right sought by some voluntary bodies
for third parties to be able to appeal against grant of a licence has not
been ceded, to their chagrin: but, as the 1998 White Paper observes, there
is always the possibility of seeking judicial review of export licensing
decisions.[152] There should be
a time limit for determination of appeals as there is for giving notice of
appeal. It is also our intention to ensure that appeals are subject to a
degree of subsequent parliamentary scrutiny by select committee.
Judicial review
67. The system of export licensing has always been subject to judicial review.
The Scott Report records the sobering effect on the DTI of the eventually
unsuccessful case brought in 1983 by Chris International Foods Ltd of a refusal
by the Secretary of State to licence the import of 200 tons of bananas from
dollar area countries.[153] It was
noted by several respondents to the 1996 Green Paper that the introduction
of formal statutory purposes would make judicial review a livelier prospect,
not only of refusals and grants of licences, but also of other stages in
the process. The 1998 White Paper notes explicitly that making preliminary
advice that no licence is required (NLR decisions) legally binding would
have the effect of making "licence required" decisions subject to judicial
review.[154] The proposal to set out
some of the procedures in primary or secondary legislation, or even in statutory
guidance, does in our view raise the spectre of judicial review to an as
yet unappreciated degree. The DMA accepted that there was some prospect of
a more litigious approach.[155] At
least one company responding to the 1998 White Paper actively sought judicial
review as an option. We understand that there has been a recent successful
challenge in the German courts to the refusal by the authorities there of
an export licence.
Open Licences
68. Whilst most licences granted are standard individual licences, much of the volume of trade in controlled goods is carried on under open licences. There are two types of open licences
The system of open licensing grew in the late 1980s as a means of reducing
the administrative burden on frequent exporters of making large numbers of
"repeat" licence applications for export to standard destinations, and on
the ECO in processing them.
69. The Scott Report noted that goods had been exported in the 1980s to,
for example, Jordan under open licences, and had subsequently been diverted
to Iraq, and concluded that "the grant of these OIELs left open a gaping
hole in the procedural fences erected for the purpose of policing the Guidelines
on defence - related exports to
Iraq....".[158] Our predecessors' BMARC
Report expressed concern at the use of open licences and recommended a review
of their availability in view of possible
diversion.[159] The system of compliance
inspection has been substantially strengthened since the events on which
earlier criticism was based. DTI told us indeed that "it may become increasingly
appropriate to put more emphasis on self - regulation by making increasing
use of OIELs ....", while accepting that it remained difficult to identify
potential diversionary procurement routes at the moment of imposing an
embargo.[160] OIELs are not exactly
swift to procure. One company wrote that "we have found that DTI are keen
to suggest that we apply for an Open Individual Export Licence in certain
cases but that these have taken 6 - 12 months to be granted which somewhat
nullifies the benefit of their
offer."[161] Nor does the compliance
record suggest that there are many breaches of the
system.[162] It is obviously necessary
to strike a balance between reducing the burden of unnecessary individual
applications and retaining a degree of detailed control. We counsel caution
in moving too rapidly towards yet greater use of open licences, and Open
Individual Export Licences in particular: and look forward to detailed reporting
of the nature of such licences granted in the Government's Annual Reports.
Electronic transfer
70. In its response to our predecessors Report on Exports to Iraq, the DTI announced that an integrated ECO - wide computer system was to be in place in 1993. It was in fact introduced in March 1995.[163] Our predecessors also noted that MOD had developed its own computer system incorporating data from ELAs, and that there was no mutual access between these departments. The Committee recommended that "the three departments (DTI, FCO, MOD) allow mutual access to their computerised information relating to export licensing and that the DTI export licensing database be developed for the benefit of all three departments."[164] The Government Reply accepted that there would be merit in more co - ordinated use of IT and reported that the scope for downloading licence data from the DTI's ECLIPS system was under consideration.[165] Such efforts were not however fruitful.[166] In addition to procedural difficulties, it became apparent in late 1997 that the ECLIPS database was in some respects seriously deficient.[167] Efforts are now therefore being concentrated on a new project, ELATE, designed to provide for
71. We have seen a hard copy and an electronic on - screen version of the proposed new application form, which should in theory save much time and repetitive work, as well as overriding the need for manual typewriters. Having been trialled it is due for introduction shortly.[170] Several of the companies in the trials are pressing for the introduction of down line transmission rather than postage of a diskette. Some notes of caution must be sounded. The past track - record does not give great cause for confidence that there will be a trouble - free introduction of ELATE. The associated material, notably end - user certificates provided from abroad and in particular technical documentation, may not be readily transmissible electronically, although applicant companies may already have digitalised versions of technical information. There are also issues of security between Government and applicant as well as within Government: of validation of electronic signatures: and of the requirement to keep records of transactions, not least for purposes of audit and parliamentary accountability. We are pleased to note the degree of progress made; the days of ever - thicker files of applications winding their weary way up and down Whitehall may be drawing to a close. We recommend vigorous pursuit of the programme of bringing the export licensing system into this decade before we embark on the next.
Legislation
(a) We note that the Queen's Speech makes no reference to the Bill. Given
that almost 3 years have passed since all parties accepted the strong
recommendation in the Scott Report that there should be a new legislative
framework for strategic export controls, and that controls are still being
operated under a barely refurbished piece of emergency legislation from 60
years ago, we hope that time can be found for such largely uncontroversial
legislation. While it may be a nuisance to seek new legislative authority
for other export (and import) controls, it can hardly come as a surprise
to those concerned. We consider that it would in principle be desirable to
repeal the 1939 Act and replace it with wholly new legislation, rather than
seeking to amend it (paragraphs 3 and 9).
Annual Report and parliamentary scrutiny
(b) We hope that the Annual Report will include details of work underway
within the Wassenaar Arrangement, including efforts to increase the number
of participating states, and to pursue cases where there would seem to have
been a failure of control by participating states. If, as we envisage,
there develops a coherent form of UK parliamentary scrutiny of strategic
exports, it will hopefully be possible to learn from overseas examples, and
to develop a constructive relationship with similar bodies in other national
parliaments (paragraphs 6 and 7).
Parliamentary scrutiny of secondary legislation
(c) The Scott Report devoted considerable space to criticising the absence
of parliamentary scrutiny of the Orders made under the 1939 Act. The question
of parliamentary scrutiny of Orders made under the 1939 Act and its eventual
successor is therefore of central concern both because of a sorry history
of 60 years of failure by Government and Parliament in this regard, and in
the light of the attention devoted to it in the Scott Report. Parliament
must be vigilant to ensure that new arrangements do not replicate the mistakes
of the past. In order to ensure that significant changes are not slipped
through Parliament without debate, we recommend that (a) drafts of Orders
under the new Act be made available to this Committee in advance of their
being made; and (b) that the Government undertake to find time for a debate
on an Order if at least 6 Members so desire. On this basis, we consider that
the negative procedure for orders laid under the new legislation will be
found acceptable. We recommend that should Ministers wish to make any further
Orders under the 1939 Act prior to the passage of new legislation, they give
consideration to laying the relevant Order before the House (paragraphs 8
to 12).
Parliamentary scrutiny of primary purposes
(d) We welcome the opportunity to be provided soon for parliamentary scrutiny
of the purposes of export controls, and urge Ministers to go the extra distance
to provide an opportunity for proper examination and debate. We recommend
that the principal list of purposes be set out in the primary legislation:
and that power be given to Ministers to amend that list by secondary legislation
subject to subsequent ratification by Parliament using the modified affirmative
procedure as proposed in the White Paper for agreeing the original list
(paragraph 15).
Parliamentary scrutiny of geographical application
(e) In seeking an appropriate degree of parliamentary scrutiny of secondary
legislation on export controls, the absence of any equivalent level of scrutiny
over the geographical application of controls comes sharply into focus .
There are gaping holes in the system of parliamentary accountability governing
the framework within which licences are granted, and in particular the
geographical application of controls. Replacement of the 1939 Act will go
only some way towards improving the situation (paragraph 17).
Parliamentary scrutiny of licences
(f) We are content at this stage to continue to leave individual decisions
on export licences to Ministers who are accountable to Parliament, in accordance
with constitutional conventions. Ministers can however only be properly held
to account for their decisions if Parliament is in possession of the full
facts, and has access on request to detailed casework on decisions taken
by Ministers and those responsible to them. We cannot therefore accept the
bald proposition advanced in the White Paper that there should be no
parliamentary scrutiny of individual applications
after a decision has been taken. What is required is a system
of parliamentary scrutiny which combines the greatest possible access to
the details of decisions taken licences granted, refused and delayed
with safeguards to protect commercial confidentiality in the interests
of individual exporters and customers legitimate demands for confidentiality.
We share the view expressed that the existence of a robust system of
parliamentary scrutiny can act as a useful prompt to officials and Ministers.
We are confident that such a system can and will be developed (paragraphs
20 to 24).
National criteria and Code of Conduct
(g) We welcome the publication of criteria for the grant of arms
exports licences hitherto only technically accessible, providing the necessary
yardstick against which to judge licences granted or refused. Comparison
of the new criteria with their predecessors suggests however that the July
1997 criteria represent a rather less radical break with past policy than
is sometimes represented to be the case. As before, Ministerial interpretation
of the criteria in difficult cases is the touchstone of their real
significance. We strongly favour the adoption of a slightly modified
set of national criteria so long as it was clear that it was no more restrictive
than the current set in its practical implementation. We would also welcome
confirmation that any proposed changes to the EU Code of Conduct should be
subjected to the new parliamentary scrutiny procedures for Common Foreign
and Security Policy proposals (paragraphs 28 and 32).
Controls over weapons of mass destruction programmes
(h) The legislation on extension of the scope of controls over
participation in programmes of weapons of mass destruction could usefully
be accompanied by clarification of the legal position under the Non Proliferation
Treaty, and of the precise scope of the exemptions it is intended to permit
by licence (paragraph 33).
Trafficking and brokering
(i) We welcome the limited proposals on trafficking and brokering, and
recommend that their extension be considered only once experience has been
gained of enforceability. We call on Ministers to explore further within
the EU and the Wassenaar Arrangement the benefits and potential pitfalls
of some multilaterally agreed form of licensing or registration of arms dealers
(paragraphs 35 and 36).
Intangibles
(j) Grave doubts have been expressed as to the practicality of the proposals
relating to transfer of technology by intangible means and fears raised as
to their consequences if implemented. Given the degree of controversy
raised over the proposals in the White Paper, there can be no question of
the United Kingdom agreeing to an extension in the EU's dual - use regime,
under whatever legal power, until a consensus has been arrived at on the
way forward on controls of intangible transfer of technology generally. The
Government should consider limiting the proposed extension of licensing
requirements to electronic transfer of documentation to technology related
to weapons of mass destruction (paragraphs 37 to 42).
Review of coverage
(k) The production of a unified list covering military and dual - use
goods under the new Act and the revision within the EU of the basis for dual
- use controls present an opportunity for review of the present coverage
(paragraph 47).
Licensed production
(l)We recommend that the question of controls on licensed production of
arms and dual - use goods be addressed within the Wassenaar Arrangement
(paragraph 48).
End - use controls
(m) We share the sense of disappointment that there should as yet be nothing
to show on the work done on creating a more effective end-use regime (paragraph
55).
Departmental responsibility
(n) There is something to be said for a central department to cover all
export licensing, including works of art and animal products, with advice
being sought in each case from expert departments. We concur with
the conclusion of the White Paper that the DTI is indeed the appropriate
department . The priority at present is not to jiggle around with allocation
of Ministerial responsibility for the licensing process, but to raise further
its quality and speed. The priority at present is not to jiggle around with
allocation of Ministerial responsibility for the licensing process, but to
raise further its quality and speed (paragraphs 58 and 59).
Administration and delays
(o) We are encouraged by the prospect of closer liaison between the ECO
and its clients, and of constructive co-operation in improving current
weaknesses.The principal complaint about the licensing system is the inordinate
length of time it can take to get a licence. The ECO fails by some distance
to meet its own target of processing within 20 working days 70 per cent of
those applications requiring circulation to other departments. We recommend
that vigorous steps be taken to give a rounded picture of the ECO's performance
not only in relation to its own targets, but showing the full extent and
nature of the waiting - list of applications. We recommend that some analysis
be carried out and published of the reasons for other Government departments
failing to meet a 10 working day target on export licence applications, and
of steps which could be taken to improve performance. Applicants should be
informed what is happening to an application which will not be decided within
the time limit: be offered the opportunity to make direct representations
in response to objections raised: and be assured of a decision one way or
the other within an agreed further timescale (paragraphs 60 to 65).
Appeals
(p) There should be a time limit for determination of appeals as there
is for giving notice of appeal. It is also our intention to ensure that appeals
are subject to a degree of subsequent parliamentary scrutiny by select committee
(paragraph 66).
Open licences
(q) We counsel caution in moving too rapidly towards yet greater use of
open licences, and Open Individual Export Licences in particular: and look
forward to detailed reporting of the nature of such licences granted in the
Government's Annual Reports (paragraph 69).
Electronic transfer
(r) We are pleased to note the degree of progress made [in the introduction of electronic document transfer]; the days of ever - thicker files of applications winding their weary way up and down Whitehall may be drawing to a close. We recommend vigorous pursuit of the programme of bringing the export licensing system into this decade before we embark on the next (paragraph 71).
Mr Roger Berry Mr Lindsay Hoyle Mr Bob Laxton |
Linda Perham Mrs Helen Southworth |
The Committee deliberated.
Draft Report (Strategic Export Controls), proposed by the Chairman, brought
up and read.
Ordered, That the draft Report be read a second time, paragraph by
paragraph.
Paragraphs 1 to 71 read and agreed to.
Resolved, That the Report be the Second Report of the Committee to
the House.
Ordered, That the Chairman do make the Report to the House.
Ordered, That the provisions of Standing Order No. 134 (Select committees
(reports)) be applied to the Report.
Several papers were ordered to be appended to the Minutes of Evidence taken
before the Committee in the last Session of Parliament.
Ordered, That the Appendices to the Minutes of the Evidence be reported
to the House.
[Adjourned till Wednesday 9 December at Ten o'clock.
Trade and Industry - Minutes of Evidence Here you can browse the Minutes of Evidence which were ordered by the House of Commons to be printed 2 December 1998. |
||
Memorandum
submitted by Amnesty international UK
Memorandum
submitted by Saferworld
FIONA WEIR, Amnesty International
UK and MR P EAVIS, Saferworld,
examined.
Question Numbers: Memorandum submitted by The Defence Manufacturers' Association (DMA)
MAJOR GENERAL A
SHARMAN, Director General, MR B
SALZMANN, Director, Market Information,
MR D EVANS, Managing Director,
Chemring Group PLC, MR N PREST,
Chairman & Chief Executive, Alvis PLC and MR D
GARLAND, Managing Director, RBR International, Defence
Manufacturers' Association (DMA), examined.
SIR BRIAN
TOVEY, Chairman of the Joint Electronics and
Telecommunications Security Export Control Committee (JETSECC) of the Federation
of the Electronics Industry and Chairman of CBI Export Control Group,
examined.
Question Numbers: Memorandum submitted by The Department of Trade and Industry The Export Control Organisation - Diagram Processing Licence Applications - Diagram
MRS BARBARA
ROCHE, a Member of the House, (Under Secretary of State),
DR R HEATHCOTE, Director, Export
Control and Non Proliferation and MR A
MANTLE, Director, Export Control, Department of Trade
and Industry, examined.
Question Number:
|
1 Second Report 1991 - 92, HC
86 Back
2 Third Report of 1995 - 96, HC
87 Back
5 HC Deb, 20 February 1997 col 725w: HC
Deb, 5 June 1997, cols 236 - 7w: URN
97/752 Back
6 They are referred to by reference to the respondent
and date as e.g. "AIUK, 1996" Back
8 HC Deb, 30 November 1998, col
55w Back
10 HC Deb, 21 January 1997, cols 536 - 7w:
Report of the Sierra Leone Arms Investigation, HC 1016 of 1997 -
98 Back
14 See in particular evidence from Saferworld,
Ev, pp 154 - 6 Back
16 Quoted at ibid, C.1.
33 Back
19 Cm 3349, 1.6: Cm 3989,
1.4.1 Back
21 Trade with Eastern Europe, Second
Report of 1988 - 89, HC 51, para 65 Back
22 Cm 3349, 2.6.1 -
2.6.2 Back
25 The prohibition of the export of microlight
aircraft to any non - EU destination in June 1995, by SI, 1995, No 1424,
may have been seen as "urgent" Back
28 Cm3349, paras 2.2.1 -
2.2.4 Back
29 Cm3989, 2.2.1 - 2.2.2: Qq 89 -
91 Back
31 Ev, p149,
A1 Back
32 See eg Report of Sierra Leone Arms Investigation,
HC 1016, paras 3.24 - 3.26: and Inter - departmental Committee Report on
Trafficking in Arms: Controls and Procedures, December 1996 (not
published) Back
33 SIs Nos 1530 & 1531,
1998 Back
34 We are, for example, aware that the Foreign
Affairs Committee is pursuing a recent problem over the EU ban on flights
to and from the Federal Republic of
Yugoslavia Back
35 HC Deb, 10 July 1998, cols 687 -
8w Back
36 Cm 3349,
2.8 Back
37 Eg Qq 3ff, 10 - 11: Ev, p6: p103, 2 -
6: Back
38 Eg Ev, pp48 - 50, Annexes B &
D Back
42 Ev, pp29,
32 Back
45 see eg Ev, p100, para
6 Back
46 K2.18 Back
47 Ev, p7: p20: p101, para 12 and Qq 19ff: Appendix
26, see Qq 92 - 3 for Ministerial response and Ev, p111, para 1.4.5
Back
48 Ev, p35: p127, para
1.3 Back
52 Ev, p151: House of Commons Library Deposited
Paper 3/5026 Back
57 For a full critique, see Ev, p107 - 110: also
pp128 - 9 Back
63 Cm 3989, 3.1.1 -
3.1.4 Back
66 egEv, p21 & Q13: p104, 13 - 16: Ev,
p143 Back
67 Ev, pp38 -
9 Back
70 Qq 123 -
126 Back
73 Cm 3989, para 3.2.1 -
3.2.3 Back
75 Cm 3989, p25: also Ev, p
68 Back
77 Cm 3989, para 3.2.1; Q60,; Ev, p151, A3 &
p70, fn 25 Back
78 Ev, p38: Q60. Also Ev,
p58 Back
80 1998, GKN Westland: not
printed Back
81 Qq72ff: Ev, p58, para
5 Back
84 Com (1998) 257 final, Article
3 Back
85 For a legal perspective, see Ev, pp93 -
100 Back
87 For details, see Ev, pp69 - 70 , Annex A.
There is a third category potentially covering any goods which the intending
exporter has grounds for suspecting may be used in connection with a weapons
of mass destruction programme Back
90 Cm 3989,
5.1 Back
97 Ev, pp45 -
6 Back
101 Ev, pp13 - 14: 22:
145 Back
103 Scott, passim; quoted by
AIUK,1996,p9. Back
104 BMARC Report, paras 39 &
70-72 Back
105 Ev, p64, para 3.2.2 and
footnote Back
107 Cm 3349,
2.3.5 Back
108 Cm 3989,
5.2.1 Back
109 Ev, p12: p21: p102, paras 19 - 22: p105,
paras 17 - 19: p135, para 2. 4 Back
110 eg, Qq 24ff & Ev p21: p135, para 2 .
4 Back
112 DMA,1996,p15 - 16: EEV,1996,p3:
Lucas,1996 Back
113 eg Ev, p46 & p59: GEC - Marconi 1996,
3: Ev, p149 Back
115 DMA,1996,14: also CBI,1996,p2: Ev, Appendix
25 Back
116 EEV,1996,3 Back
119 Qq 75ff and Ev, p58: also p37 and Appendix
26 Back
120 Qq 107 -
8 Back
121 Qq 109 -
110 Back
123 BMARC Report, paras 91 -
93 Back
124 Cm 3349, 2.7.1 -
2.7.3 Back
125 Eg Q29: Ev,
p13 Back
126 Cm 3989,
5.3.3 Back
127 Qq 112 -
3 Back
128 Qq 103 - 6 and Ev, Appendix 21: see eg
Q38 Back
129 See eg Ev,
p32 Back
130 Ev, p65, paras 3.2.7 &
3.2.9 Back
131 HC Deb, 24 July 1998, col
741w Back
132 Ev, p151,
A4 Back
133 Ev, p65, para 3.2.12: Qq
101,103 Back
134 Ev, p65, 3.2.10 and p74, Annex
E Back
135 Ev, p151,
A5 Back
137 Ev, Appendix
21 Back
138 Qq 33ff: Ev, Appendix
20 Back
139 Eg Qq55 - 6: and for use of CS gas in Kenya,
Ev, p14, fn15 Back
144 Ev, pp66 - 67, paras 4.2.1 &
5.2.3 Back
145 Qq 102, 114 - 5: Appendices 22
etc. Back
146 MOD show an average of 77 per cent cleared
within 10 working days over the past 12 months: Ev, Appendix 22. FCO have
an average of 70 per cent: Ev, Appendix 23. DFID does not keep detailed figures
but "all applications received are replied to within 10 working days": Ev,
Appendix 24 Back
147 Qq34, 37: Ev, Appendix
25 Back
149 Ev, p65,
3.2.9 Back
150 Cm 3349, 2.5.1 -
2.5.3 Back
151 Cm 3989, 4.6.2; Ev,
p44 Back
152 Cm 3989,
4.6.1 Back
153 Scott Report, C l.
50ff Back
154 Cm 3989,
4.2.1 Back
155 Qq 48 - 9: see also Ev, p102, paras 16 -
17 Back
156 Ev, p63, paras 2.3 -
2.4 Back
157 Ev, p67, para 2.5 and
p71 Back
159 HC 87 of 1995 - 96, para
67 Back
160 Ev, p69: p63, para
2.7 Back
161 Ev, p89 (EEV Ltd): also Ev, Appendix
25 Back
162 Ev, p150,
A2 Back
163 BMARC Report, para 73
Back
165 HC 713 of 1995 - 96,
pvii Back
166 Ev, p75, para
3 Back
167 HC Deb, 30 October 1997, cols 870 -
1w: ibid, para 4 Back
169 For details, see Ev, pp75 -
6 Back
170 Cm 3989, 4.4.2:Ev, p , para
6 Back
[End]