ISSN 1977-1010 |
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Jornal Oficial da União Europeia |
C 318 |
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Edição em língua portuguesa |
Comunicações e Informações |
57.° ano |
Número de informação |
Índice |
Página |
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IV Informações |
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INFORMAÇÕES DAS INSTITUIÇÕES, ÓRGÃOS E ORGANISMOS DA UNIÃO EUROPEIA |
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Comité de Fiscalização do OLAF |
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2014/C 318/01 |
Relatório de Atividades do Comité de Fiscalização do OLAF — Fevereiro de 2013-janeiro de 2014 |
PT |
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IV Informações
INFORMAÇÕES DAS INSTITUIÇÕES, ÓRGÃOS E ORGANISMOS DA UNIÃO EUROPEIA
Comité de Fiscalização do OLAF
16.9.2014 |
PT EN |
Jornal Oficial da União Europeia |
C 318/1 |
Relatório de Atividades do Comité de Fiscalização do OLAF
Fevereiro de 2013-janeiro de 2014
(2014/C 318/01)
Membros do Comité de Fiscalização do OLAF
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ÍNDICE
MANDATO | 3 |
PREFÁCIO DO PRESIDENTE | 4 |
PANORÂMICA | 5 |
1. |
CONTROLO DOS INQUÉRITOS DO OLAF | 5 |
Instruções destinadas ao pessoal sobre os procedimentos de inquérito | 6 |
Prioridades da política de inquérito | 6 |
Seleção de casos no OLAF | 7 |
Duração dos inquéritos | 7 |
Processos transmitidos às autoridades judiciárias nacionais | 8 |
Decisões de adiar a transmissão de informações à instituição, órgão, organismo ou agência | 9 |
Recomendações formuladas pelo Diretor-Geral do OLAF | 9 |
Procedimentos do OLAF para o tratamento das queixas | 10 |
Queixas e pedidos dirigidos ao Comité de Fiscalização | 10 |
2. |
CONTROLO DA GESTÃO DO PODER DE INQUÉRITO DO OLAF | 11 |
Anteprojeto de orçamento para 2014 | 11 |
Reorganização do OLAF e inquéritos de satisfação do pessoal | 12 |
3. |
COOPERAÇÃO COM O OLAF | 12 |
Seguimento dado pelo OLAF às recomendações formuladas pelo Comité de Fiscalização | 12 |
Protocolos de colaboração com o OLAF | 12 |
4. |
COOPERAÇÃO COM AS PARTES INTERESSADAS | 13 |
Reuniões com as instituições da UE | 13 |
Trocas de opiniões com as instituições da UE | 13 |
Audição pública do Parlamento Europeu sobre as garantias processuais | 13 |
Sociedade civil | 13 |
5. |
GOVERNAÇÃO DO COMITÉ DE FISCALIZAÇÃO | 14 |
Papel do Comité de Fiscalização em conformidade com o Regulamento (UE, Euratom) n.o 883/2013 | 14 |
Prioridades e objetivos | 14 |
Código de conduta | 14 |
Métodos de trabalho | 14 |
6. |
SECRETARIADO DO COMITÉ DE FISCALIZAÇÃO | 15 |
ANEXOS | 16 |
MANDATO
Artigo 15.o, n.o 1, do Regulamento (UE, Euratom) n.o 883/2013: O Comité de Fiscalização controla periodicamente o exercício do poder de inquérito do Organismo, a fim de reforçar a independência do Organismo no devido exercício dos poderes que lhe são conferidos pelo presente regulamento. O Comité de Fiscalização acompanha, em especial, a evolução da aplicação das garantias processuais e a duração dos inquéritos, com base nas informações fornecidas pelo Diretor-Geral nos termos do artigo 7.o, n.o 8. |
A missão do Comité de Fiscalização do OLAF (a seguir designado «CF»), tal como definida no Regulamento (UE, Euratom) n.o 883/2013 (1), consiste em reforçar a independência do Organismo no devido exercício dos poderes que lhe são conferidos (2). Para cumprir esta missão, o legislador da UE confiou ao CF um papel triplo:
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O CF é o órgão de fiscalização do OLAF e o garante da sua independência; controla periodicamente o exercício do poder de inquérito do OLAF, em especial a evolução da aplicação das garantias processuais e a duração dos inquéritos; |
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O CF desempenha um papel consultivo relativamente ao Diretor-Geral do OLAF, ao qual presta assistência no cumprimento das suas responsabilidades:
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O CF é um interlocutor das instituições da UE, às quais apresenta informações sobre as suas atividades, a pedido das quais pode emitir pareceres e com as quais troca pontos de vista a nível político, proporcionando-lhes competências especializadas únicas baseadas na sua experiência em matéria de controlo. |
PREFÁCIO DO PRESIDENTE
Na qualidade de Presidente do Comité de Fiscalização do Organismo Europeu de Luta Antifraude, tenho o prazer de apresentar o relatório anual de atividades do Comité, em conformidade com o artigo 15.o, n.o 9, do Regulamento (UE, Euratom) n.o 883/2013.
Neste segundo relatório de atividades do atual Comité de Fiscalização é apresentada uma panorâmica geral das principais atividades realizadas durante o período de referência, compreendido entre 1 de fevereiro de 2013 e 31 de janeiro de 2014.
Os capítulos 1 e 2 oferecem uma descrição completa das atividades de controlo do CF. Centram-se no controlo do exercício do poder de inquérito do OLAF e na gestão pelo Organismo do seu poder de inquérito. Os capítulos 3 e 4 dizem respeito às relações do CF com o OLAF, bem como com as instituições da UE e outras partes interessadas. Os capítulos 5 e 6 apresentam uma panorâmica dos métodos de trabalho do Comité, dos documentos estratégicos por ele adotados, bem como considerações relativas ao seu Secretariado.
No final do período de referência, um dos membros do Comité, Jens Madsen, deixou o Comité para assumir um novo posto exigente na sua administração nacional. Gostaria de aproveitar esta oportunidade para agradecer o seu valioso contributo para os trabalhos do Comité, bem como para acolher um novo membro, Dimitrios Zimianitis, a partir de 1 de fevereiro de 2014.
Por último, gostaria de expressar um agradecimento especial ao pessoal do Secretariado pelo seu precioso apoio e pela elevada qualidade do seu trabalho, que contribuíram em grande medida para a eficácia do nosso controlo do poder de inquérito do OLAF.
Bruxelas, 12 de março de 2014
Johan DENOLF
PANORÂMICA
Atividades de controlo
Análise e avaliação de:
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56 casos que requerem o envio de informações às autoridades judiciais nacionais; |
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186 relatórios de nove meses; |
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293 pareceres sobre casos selecionados; |
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14 queixas e pedidos individuais; |
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1 queixa de uma instituição da UE; |
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2 pedidos de acesso do público aos documentos do CF; |
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1 pedido de cooperação de uma autoridade judiciária nacional. |
Pareceres e relatórios
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4 pareceres relativos à execução e gestão do poder de inquérito do OLAF:
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Relatório anual de atividades de 2012. |
Documentos de tomada de posição e documentos estratégicos
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Documento de tomada de posição sobre o «Reforço das garantias processuais no OLAF»; |
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Observações sobre os procedimentos de inquérito do OLAF; |
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Documento sobre a missão e as competências do CF à luz do Regulamento (UE, Euratom) n.o 883/2013 e sobre a estratégia a médio prazo; |
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Orientações em matéria de controlo (em curso); |
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Alteração do Regulamento interno (em curso). |
Cooperação
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Novos protocolos de colaboração com o OLAF. |
1. CONTROLO DOS INQUÉRITOS DO OLAF
1. |
O Comité de Fiscalização do OLAF (CF) controla diferentes aspetos das atividades de inquérito do OLAF com base nas informações que o Diretor-Geral do OLAF (a seguir designado DG do OLAF) é obrigado a prestar, bem como nas informações solicitadas pelo CF por iniciativa própria. |
O artigo 15.o, n.o 1, terceiro parágrafo, do Regulamento (UE, Euratom) n.o 883/2013 estabelece o seguinte: O Comité de Fiscalização dirige ao Diretor-Geral pareceres, incluindo, se for caso disso, recomendações adequadas, nomeadamente sobre os recursos necessários para o exercício do poder de inquérito do Organismo, as prioridades de inquérito do Organismo e a duração dos inquéritos. Os pareceres podem ser formulados por iniciativa própria, a pedido do Diretor-Geral ou a pedido de uma instituição, órgão, organismo ou agência, sem contudo interferir no desenrolar dos inquéritos em curso. |
Instruções destinadas ao pessoal sobre os procedimentos de inquérito
2. |
Em 7 de fevereiro de 2013, o DG do OLAF transmitiu ao CF uma cópia de uma versão alterada das Instruções ao pessoal sobre os procedimentos de inquérito (ISIP). Em 5 de julho de 2013, transmitiu ao CF uma segunda versão alterada das ISIP, destinada a alinhar os procedimentos de inquérito do OLAF com as novas disposições previstas no (projeto de) Regulamento (UE, Euratom) n.o 883/2013. O DG do OLAF informou o CF da sua intenção de adotar a versão alterada das ISIP em 31 de julho de 2013. |
3. |
Embora salientando que não podia proceder a uma análise aprofundada das ISIP num período tão curto, o CF transmitiu, em 30 de julho de 2013, uma série de observações e perguntas sobre a versão alterada das ISIP (3). O CF analisou, em especial, as disposições relativas ao procedimento de seleção, à condução dos inquéritos e aos casos de coordenação. |
4. |
O CF considerou que a versão alterada das ISIP devia, nomeadamente:
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5. |
Em 5 de setembro de 2013, a pedido do CF, o DG do OLAF apresentou as suas observações e informações complementares sobre as questões suscitadas pelo CF. Informou igualmente o CF da finalização das alterações introduzidas nas ISIP, que tiveram em conta algumas das observações do CF e enviou a este último o projeto final das novas «Orientações sobre os procedimentos de inquérito destinadas ao pessoal do OLAF», que substituem as ISIP. |
Prioridades da política de inquérito
6. |
O Parecer n.o 1/2014 avaliou as prioridades da política de inquérito (PPI) do OLAF, estabelecidas anualmente pelo DG do OLAF e publicadas no plano de gestão anual (4). |
7. |
O CF comparou as PPI para os anos de 2012 e 2013 com o projeto de PPI para 2014 e congratulou-se com a melhoria da definição destas últimas na sequência das observações que fez durante as reuniões técnicas com o DG do OLAF que defendem que as PPI não devem conter princípios gerais (que devem sempre ser tidos em conta ao decidir da eventual abertura de um inquérito), mas fazer referência unicamente a domínios ou tipos de fraude específicos que o OLAF deve tratar prioritariamente. |
8. |
O CF verificou que os indicadores financeiros, que nos anos anteriores tinham sido sobrestimados, foram completamente excluídos do projeto de PPI para 2014. O CF sublinhou que estes indicadores devem ser relevantes para a apreciação da gravidade do risco de fraude e podem ser úteis como elemento de referência e a título de orientações internas sobre a aplicação do princípio da proporcionalidade. O CF também chamou a atenção para a necessidade de reconsiderar a política de subsidiariedade e de valor acrescentado e de a aplicar com prudência, bem como para a necessidade de efetuar uma avaliação periódica das PPI. |
9. |
O CF sublinhou a necessidade de clarificar as PPI e recomendou que o DG do OLAF elabore orientações sobre a aplicação dos princípios de seleção estabelecidos no Regulamento (UE, Euratom) n.o 883/2013 e dê início a um diálogo construtivo com as partes interessadas sobre a definição e a aplicação das PPI, em especial no que se refere aos indicadores financeiros e ao eventual acompanhamento dos processos indeferidos quando a sua apreciação levar à conclusão de que existe um número suficiente de suspeitas de fraude. Nesta fase, continua a ser difícil para o CF apreciar o desempenho do OLAF nos domínios abrangidos pelas PPI, uma vez que o próprio OLAF não realizou qualquer avaliação de impacto das PPI. Por conseguinte, o CF solicitou que o DG do OLAF apresente uma avaliação dos resultados da aplicação das PPI em 2012 e 2013 em cada um dos domínios considerados prioritários, acompanhada de uma síntese das observações formuladas pelas partes interessadas. |
Seleção de casos no OLAF
10. |
O parecer n.o 2/2014 sobre a seleção de casos no OLAF (5) avaliou a eficácia, a qualidade e a transparência da seleção de casos no OLAF. A avaliação do CF foi realizada com base, nomeadamente, na análise de uma amostra de 293 pareceres da Unidade de Seleção e Revisão de Inquéritos do OLAF (ISRU) que recomendava quer a rejeição dos processos quer a abertura de processos de inquérito ou de coordenação. |
11. |
Em primeiro lugar, o CF avaliou a eficácia da função de seleção examinando os recursos colocados à disposição da ISRU para executar as suas tarefas e os resultados concretos alcançados em 2012 e 2013. O CF verificou que, por vezes, as competências técnicas, de investigação e linguísticas eram inexistentes ou insuficientes; a análise jurídica não era suficientemente fundamentada; o tempo consagrado às seleções (período de 2 meses obrigatório) não se afigurava adequado nalguns casos; era também necessário um procedimento claro para o tratamento dos denunciantes. |
12. |
Seguidamente o CF avaliou a qualidade dos pareceres no que se refere à sua conformidade com os critérios de seleção estabelecidos pelo DG do OLAF. O CF verificou que as instruções sobre a aplicação dos critérios de seleção não eram seguidas de forma estrita: era dada pouca atenção aos instrumentos jurídicos pertinentes ao avaliar a competência do OLAF para agir; os selecionadores não dispunham de indicadores precisos para determinar se as informações eram suficientes; sempre que tais indicadores existiam, não eram utilizados de modo constante e coerente; a utilização de declarações não fundamentadas era também frequente. |
13. |
Por último, foi analisada a transparência do processo de seleção examinando o fluxo de informação ao longo de todo o processo de seleção, em especial no que se refere à cooperação entre a ISRU e as unidades de investigação. |
14. |
O CF formulou uma série de recomendações para o DG do OLAF destinadas a melhorar a função de seleção da ISRU. Como conclusão geral da sua avaliação, o CF formulou uma recomendação final convidando o OLAF a realizar uma avaliação interna das atividades da ISRU com vista a determinar, entre outras coisas, o nível de recursos necessários, os pontos fortes e fracos da unidade e a «taxa de erro» dos processos avaliados. O CF solicitou igualmente ao Diretor-Geral que o informasse sobre o seguimento dado às recomendações do parecer, um ano após a sua adoção. |
Duração dos inquéritos
Artigo 11.o, n.o 7, do Regulamento (CE) n.o 1073/1999: Quando um inquérito estiver a decorrer há mais de nove meses, o diretor informará o Comité de Fiscalização sobre as razões que não permitem a conclusão do mesmo, bem como sobre o prazo previsivelmente necessário ao seu termo. Artigo 7.o, n.o 8, do Regulamento (UE, Euratom) n.o 883/2013: Se um inquérito não puder ser encerrado nos 12 meses seguintes à sua abertura, o Diretor-Geral informa o Comité de Fiscalização no termo do referido prazo de 12 meses e, daí em diante, de seis em seis meses, indicando os motivos e as medidas previstas para acelerar o inquérito. |
15. |
O CF controlou a duração dos inquéritos do OLAF utilizando como fonte de informação os relatórios de nove meses (6) e os relatórios elaborados sobre os processos enviados às autoridades judiciais nacionais e transferidos pelo OLAF ao abrigo do antigo Regulamento (CE) n.o 1073/1999, bem como outros documentos relacionados com os processos quando foi concedido acesso ao sistema de gestão de processos (Case Management System — CMS) do OLAF. |
16. |
O CF começou a analisar os motivos apresentados pelo OLAF para justificar a duração dos processos que excederam nove meses: complexidade da questão objeto do inquérito, falta de recursos, prioridade baixa do processo, falta de cooperação. O CF verificou uma divergência entre níveis administrativos — direções e unidades responsáveis pelo inquérito — no que respeita à precisão das explicações apresentadas. A análise do CF está ainda em curso. |
17. |
O Regulamento (UE, Euratom) n.o 883/2013 introduziu duas grandes alterações destinadas a permitir um melhor controlo da duração dos inquéritos por parte do CF: os relatórios de doze meses, que substituem os relatórios de nove meses (o que corresponde melhor à realidade, uma vez que a maior parte dos inquéritos do OLAF dura mais de 12 meses), e a nova obrigação de o OLAF apresentar informações regularmente daí em diante, de seis em seis meses, o que permite ao CF acompanhar todo o ciclo de um inquérito. |
18. |
Em 31 de janeiro de 2014, o CF recebeu, pela primeira vez, 83 relatórios de doze meses, de um total de 243 processos que duraram mais de 12 meses. O CF observou com preocupação que, embora o formulário utilizado para estes relatórios tivesse sido revisto pelo OLAF em conformidade com os requisitos no Regulamento (UE, Euratom) n.o 883/2013, os novos relatórios transmitidos ao CF não continham informações suficientes, em especial relativamente a elementos que teriam permitido ao CF verificar a existência de eventuais atrasos indevidos nos inquéritos. A título de exemplo, 33 dos 83 relatórios relativos aos processos com uma duração superior a 12 meses indicam os motivos e as medidas corretivas previstas para acelerar o inquérito, sem no entanto acrescentarem quaisquer informações factuais (ou seja, uma descrição dos factos, as medidas de inquérito tomadas pelo OLAF e respetiva cronologia, os eventuais períodos de inatividade, o tipo de fraude, o impacto financeiro, considerações sobre os prazos de prescrição, etc.), sem as quais é impossível para o CF avaliar plenamente a duração de um inquérito. Embora o Regulamento (UE, Euratom) n.o 883/2013 tenha reforçado o papel do CF no controlo da duração dos inquéritos, o OLAF não lhe transmite, por iniciativa própria, informações suficientes para poder desempenhar essa missão. O CF abordou esta questão numa reunião com o DG do OLAF e espera que os relatórios apresentados futuramente sejam mais descritivos. |
19. |
Durante uma reunião técnica, o OLAF informou o CF dos instrumentos que utiliza para controlar a duração dos processos, que consistem principalmente num sistema de alerta no CMS que assinala as datas em que os relatórios de doze e de seis meses devem ser apresentados. O OLAF criou também uma nova estrutura de gestão de categoria mais baixa, nas unidades de inquérito, responsável, nomeadamente, pelo controlo da duração dos inquéritos. O CF congratula-se com os esforços do OLAF, bem como com a sua vontade de sensibilizar os inspetores para as limitações temporais. Ao mesmo tempo, o CF sublinha que os relatórios de doze e de seis meses que lhe são enviados poderão constituir um instrumento de gestão muito útil para o próprio OLAF no âmbito do controlo da duração dos inquéritos, mas que tal é impossível devido à ausência de informações substanciais na maior parte destes relatórios. Este aspeto é particularmente importante nos processos cuja duração prolongada seja suscetível de afetar negativamente a reputação e a vida profissional das pessoas em causa ou possa dar origem à prescrição dos prazos dos procedimentos jurídicos nacionais subsequentes. |
Processos transmitidos às autoridades judiciárias nacionais
Artigo 11.o, n.o 7, do Regulamento (CE) n.o 1073/1999: O diretor informará o Comité sobre os casos que requeiram a transmissão de informações às autoridades judiciárias de um Estado-Membro. Artigo 17.o, n.o 5, terceiro parágrafo, do Regulamento (UE, Euratom) n.o 883/2013: O Diretor-Geral informa periodicamente o Comité de Fiscalização: (…)
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20. |
O Regulamento (UE, Euratom) n.o 883/2013 introduziu uma mudança importante no que diz respeito aos casos que o OLAF tenciona transmitir às autoridades judiciárias nacionais: o OLAF não tem a obrigação de informar o CF desses casos antes da transmissão [como o previa o anterior Regulamento (CE) n.o 1073/1999], mas apenas periodicamente, após a transmissão. |
21. |
Entre 1 de fevereiro de 2013 e 30 de setembro de 2013 [até à entrada em vigor do Regulamento (UE, Euratom) n.o 883/2013], o CF recebeu 56 casos (7) no âmbito dos quais era necessário transmitir informações às autoridades judiciárias nacionais. Em 18 casos, o CF obteve, a seu pedido, pleno acesso aos documentos que figuram no CMS relacionados com os casos. |
22. |
No entanto, o CF não pôde examinar aprofundadamente os referidos casos antes da sua transmissão às autoridades judiciárias nacionais, já que só poderia aceder aos dossiês dos casos no CMS após o termo do período de 5 dias previsto nos anteriores acordos com o OLAF. A avaliação pelo CF da aplicação pelo OLAF das garantias processuais baseia-se principalmente nas informações contidas nos pareceres sobre os relatórios finais ou intercalares e nas recomendações formuladas pela ISRU (8) e, nos casos em que foi concedido acesso aos dossiês, nos documentos relacionados com processos registados no CMS. O CF observou que, de acordo com a totalidade dos pareceres da ISRU, todas as atividades de inquérito foram realizadas em conformidade com as normas jurídicas aplicáveis. Com base nesses pareceres e noutros documentos examinados, o CF identificou apenas problemas pontuais relativamente ao respeito das garantias processuais pelo OLAF (por exemplo, não informação do interessado da conclusão do inquérito, num caso, e falta de um mandato escrito para entrevistar a pessoa em causa noutro caso (9)). |
23. |
Num caso, um interessado comunicou ao CF uma alegada infração grave do requisito de confidencialidade por parte do OLAF. Contudo, uma vez que o CF não dispõe de instrumentos de inquérito adequados (o incidente não foi referido no dossiê do processo do OLAF), só pôde apresentar a queixa ao DG do OLAF, que negou a existência de tal infração. |
24. |
Em 31 de janeiro de 2014, o CF recebeu informações sobre 17 casos suplementares relativamente aos quais tinham sido transmitidas informações às autoridades judiciárias dos Estados-Membros desde 1 de outubro de 2013 [ou seja, desde a entrada em vigor do Regulamento (UE, Euratom) n.o 883/2013]. Tendo em conta o facto de estas informações terem chegado no último dia do período abrangido pelo presente relatório de atividades, o CF solicitará informações adicionais e examinará estes casos mais tarde, em 2014. |
Decisões de adiar a transmissão de informações à instituição, órgão, organismo ou agência
Artigo 4.o, n.o 6, do Regulamento (UE, Euratom) n.o 883/2013: Se os inquéritos internos revelarem que um funcionário ou outro agente, membro de uma instituição ou órgão, chefe de organismo ou agência ou membro do pessoal pode ser uma pessoa em causa, a instituição, órgão, organismo ou agência dessa pessoa, é informada. (…) Em casos excecionais, a transmissão dessas informações pode ser adiada com base numa decisão motivada do Diretor-Geral, que é transmitida ao Comité de Fiscalização depois de encerrado o inquérito. |
25. |
O Regulamento (UE, Euratom) n.o 883/2013 introduziu, pela primeira vez, a obrigação de o DG do OLAF transmitir ao CF, após o encerramento de um inquérito, a sua decisão fundamentada de adiar a transmissão de informações à instituição, órgão, organismo ou agência a que pertença a pessoa objeto de um inquérito interno. Em 31 de janeiro de 2014, o CF foi informado pelo OLAF de que não se tinham verificado tais adiamentos desde a entrada em vigor do regulamento. |
Recomendações formuladas pelo Diretor-Geral do OLAF
Artigo 11.o, n.o 7, do Regulamento (CE) n.o 1073/1999: O diretor informará o comité sobre os casos em que a instituição, o órgão ou o organismo em causa não tiver dado seguimento às recomendações que lhe foram dirigidas. Artigo 17.o, n.o 5, terceiro parágrafo, do Regulamento (UE, Euratom) n.o 883/2013: O Diretor-Geral informa periodicamente o Comité de Fiscalização:
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26. |
Durante o período de referência e, de facto, desde o início do seu mandato, o CF recebeu muito poucas informações sobre casos em que as recomendações formuladas pelo Diretor-Geral não foram seguidas. O inquérito do próprio CF leva-o a concluir que, tal como nos anos anteriores, um número significativo dessas recomendações não foi seguido. O CF salientou nos seus relatórios de atividades anteriores que o próprio OLAF não parecia dispor, no passado, de instrumentos de controlo adequados que lhe permitissem assegurar um controlo adequado da aplicação das suas recomendações pelas autoridades nacionais e da UE. |
27. |
Na sequência da reorganização do OLAF em 2012, o controlo da aplicação das suas recomendações foi descentralizado para as unidades de inquérito. O OLAF trabalha atualmente no desenvolvimento e aplicação de novos instrumentos de controlo que permitam um melhor acompanhamento dos resultados e do impacto das suas recomendações. O CF notou que o OLAF já tinha envidado esforços significativos para avaliar a aplicação das suas recomendações, nomeadamente as de caráter judicial e financeiro. Por exemplo, o OLAF está a examinar mais de 600 processos encerrados com recomendações judiciais. O CF tomou conhecimento com interesse da grelha de avaliação utilizada para este exame, com base na qual o seguimento das recomendações pelas autoridades judiciárias nacionais foi verificado à luz das principais fases dos processos judiciais nacionais (início de uma investigação criminal, acusação ou decisões de indeferimento, decisão de absolvição ou condenação, etc.). Quanto ao acompanhamento financeiro, o OLAF procura melhorar os seus procedimentos a fim de poder determinar os montantes efetivamente recuperados para o orçamento da UE. |
28. |
O CF reconhece a complexidade deste exercício ainda em curso e congratula-se com o empenhamento do OLAF em melhorar os seus instrumentos de acompanhamento. Contudo, na presente fase, e na falta de informações pertinentes, é prematuro para o CF avaliar o impacto das alterações decorrentes da reorganização sobre a eficácia e a eficiência do trabalho de controlo do OLAF. O CF espera informações de melhor qualidade do OLAF no futuro, uma vez implementados os instrumentos de controlo adequados. |
Procedimentos do OLAF para o tratamento das queixas
29. |
No seu parecer n.o 2/2013 (Estabelecimento de um procedimento interno do OLAF relativo às queixas), adotado em dezembro de 2013 (10), o CF analisou as possibilidades de recurso de que dispõem as pessoas implicadas nos inquéritos do OLAF relativas a eventuais violações dos seus direitos e garantias processuais. O CF verificou que essas pessoas não dispunham de vias de recurso suficientes e imediatas contra eventuais violações, quer através de um mecanismo externo (um tribunal da UE ou nacional, o Provedor de Justiça Europeu ou a Autoridade Europeia para a Proteção de Dados) quer interno (o próprio OLAF). |
30. |
O CF sublinhou que o novo Regulamento (UE, Euratom) n.o 883/2013 relativo aos inquéritos efetuados pelo OLAF não resolve o problema, na medida em que não introduz um mecanismo para o tratamento das queixas individuais. O CF manifestou a opinião de que o atual vazio legislativo poderá ser colmatado através de um procedimento formal de queixa no âmbito do OLAF, em especial no que diz respeito às alegadas violações dos direitos fundamentais e das garantias processuais no decurso de um inquérito do OLAF. |
31. |
Por conseguinte, o CF recomendou que o DG do OLAF estabelecesse e publicasse esse procedimento interno após consulta do CF relativamente aos pormenores. O CF manifestou o seu desejo de que o DG do OLAF o informe periodicamente sobre as queixas recebidas pelo OLAF, bem como sobre o seguimento dado às mesmas. |
32. |
Em janeiro de 2014, o OLAF publicou no seu sítio Web uma descrição das medidas tomadas relativamente ao tratamento das queixas. Na sequência de um pedido do CF, que desejava tomar conhecimento da decisão escrita relativa ao estabelecimento de um procedimento, na sua carta de 17 de fevereiro de 2014, o DG do OLAF confirmou que considerava que a referida publicação no sítio web constituía a formalização dos procedimentos existentes, que não requerem uma decisão formal, por escrito, da sua parte. |
33. |
Consequentemente, o CF deve concluir que a sua recomendação não foi aplicada. O CF está preocupado com o risco de induzir em erro os cidadãos que pretendam apresentar uma queixa junto do OLAF. Estes poderão pensar que o texto apresentado no sítio web do OLAF constitui a base jurídica para a queixa, quando, na realidade, não existe formalmente um procedimento aplicável (para as queixas relativas às garantias processuais), dado que nenhum ato jurídico constitui a base jurídica de tal procedimento. |
Queixas e pedidos dirigidos ao Comité de Fiscalização
34. |
Durante o período abrangido pelo relatório, o CF recebeu 14 queixas e pedidos individuais, o que representa um aumento de 100 % comparativamente ao ano anterior. As queixas diziam respeito, nomeadamente, ao alegado não respeito dos direitos fundamentais e das garantias processuais, à violação da obrigação de confidencialidade dos inquéritos, à duração excessiva dos inquéritos e ao encerramento alegadamente ilegal de casos sem formular recomendações. As queixas provinham maioritariamente de pessoas objeto de inquéritos do OLAF, mas também de denunciantes que não ficaram satisfeitos com as decisões tomadas pelo OLAF na sequência das suas denúncias de alegadas fraudes. |
35. |
O CF respondeu aos autores das queixas sublinhando que, no âmbito do atual regulamento, o CF não constitui uma instância de apreciação de queixas. No entanto, o CF teve em conta estas queixas no âmbito do seu controlo sistémico do poder de inquérito do OLAF, tendo solicitado, sempre que o considerou adequado, informações e explicações suplementares ao OLAF e/ou pleno acesso aos dossiês dos processos registados no CMS. |
36. |
Em janeiro de 2014, o CF recebeu uma notificação formal de uma instituição da UE, que manifestava a sua preocupação relativamente a uma ingerência alegadamente injustificada do OLAF em relação ao direito à proteção dos dados pessoais dos funcionários dessa instituição. Na sua resposta, o CF sublinhou que esta alegação dizia respeito a um inquérito em curso em que o CF não estava autorizado a intervir. O CF precisou também que a autoridade competente para tratar as queixas deste tipo é a Autoridade Europeia para a Proteção de Dados e que o CF teria de aguardar a sua decisão. |
37. |
O CF recebeu 2 pedidos de acesso ao seu parecer n.o 2/2012. O CF considerou que o documento solicitado era abrangido pelas exceções previstas no artigo 4.o do Regulamento (CE) n.o 1049/2001 do Parlamento Europeu e do Conselho (11), em especial no artigo 4.o, n.o 2, segundo e terceiro travessões, e no artigo 4.o, n.o 1, alínea b), e que, por conseguinte, não podia ser divulgado publicamente nessa altura. No entanto, o CF manifestou a sua disponibilidade para facultar o referido documento, se solicitado, no âmbito de processos judiciais em curso. |
38. |
Por último, uma autoridade judiciária nacional solicitou o levantamento da inviolabilidade dos arquivos do CF relativamente ao parecer n.o 2/2012, bem como do direito de reserva dos seus membros, para efeitos de um processo nacional. O CF deu uma resposta favorável a este pedido. |
39. |
O Estatuto dos Funcionários da UE e o Regime aplicável aos outros agentes da União Europeia preveem que um funcionário ou outro agente que tenha conhecimento de factos que levem à presunção de existência de possíveis atividades ilegais, ou de condutas relacionadas com o exercício de atividades profissionais, que possam constituir incumprimento grave das obrigações dos funcionários da União, informam sem demora, quer o seu superior hierárquico ou o seu Diretor-Geral ou, se o considerar útil, o Secretário-Geral ou o OLAF (12). Estas normas são igualmente aplicáveis no OLAF, o que significa que os membros do pessoal do OLAF são obrigados a comunicar a um dos seus superiores hierárquicos do OLAF ou, se o considerarem adequado, diretamente ao Secretário-Geral da Comissão quaisquer informações factuais e elementos de prova sobre possíveis atividades ilegais ou faltas profissionais graves no OLAF de que tenham conhecimento. A fim de ter em conta a posição especial do pessoal do OLAF que pretenda comunicar eventuais irregularidades no seio do OLAF, foi acordado (13) com o CF que estas questões podem ser comunicados ao seu Presidente. |
40. |
O CF nunca recebeu informações desta natureza. É possível que o procedimento não tenha sido comunicado adequadamente ao pessoal do OLAF, mas, o que é ainda mais importante, o CF não dispõe de qualquer instrumento para acompanhar as eventuais queixas e para garantir um inquérito e medidas corretivas efetivas. |
2. CONTROLO DA GESTÃO DO PODER DE INQUÉRITO DO OLAF
Artigo 6.o, n.o 2, da decisão da Comissão que institui o OLAF, alterada pela Decisão 2013/478/UE da Comissão (14) : O diretor-geral deve comunicar ao diretor-geral do orçamento em tempo útil, após consulta do Comité de Fiscalização, um anteprojeto de orçamento destinado a ser inscrito no anexo do Organismo da secção do orçamento geral da União Europeia relativa à Comissão. Artigo 15.o, n.o 1, terceiro parágrafo, do Regulamento (UE, Euratom) n.o 883/2013: O Comité de Fiscalização dirige ao Diretor-Geral pareceres, incluindo, se for caso disso, recomendações adequadas, nomeadamente sobre os recursos necessários para o exercício do poder de inquérito do Organismo (…). |
Anteprojeto de orçamento para 2014
41. |
Para oferecer garantias de que o orçamento do OLAF tem devidamente em conta a independência do poder de inquérito do OLAF e que o OLAF dispõe dos recursos necessários para funcionar de forma eficaz e eficiente enquanto serviço interinstitucional na intensificação da luta contra a fraude, o CF adotou o parecer n. o 1/2013 relativo ao anteprojeto de orçamento do OLAF para 2014 (15). |
42. |
O CF analisou a afetação dos recursos às atividades prioritárias e a estratégia de recursos humanos. As recomendações do CF incidiram no seguimento dos inquéritos e no desenvolvimento de indicadores de eficiência e de qualidade do poder de inquérito seguindo a política de luta contra a fraude da UE e a estratégia de luta contra a fraude da Comissão. Foi também recomendado que o OLAF dê importância à formação, à progressão na carreira, ao planeamento da sucessão, bem como a um equilíbrio adequado entre os serviços de apoio e os inspetores. |
43. |
O CF sublinhou a importância de ser consultado através de uma troca de pontos de vista concreta entre o DG do OLAF e o CF antes do envio do anteprojeto de orçamento, sob qualquer forma, ao Diretor-Geral do Orçamento. |
44. |
Por último, o CF recomendou a introdução de uma rubrica orçamental separada, no orçamento do OLAF, para o CF e o seu Secretariado, a fim de clarificar os custos da função do CF e sublinhar com transparência o caráter interinstitucional do CF e do seu Secretariado. Além disso, o CF sublinhou a importância de o DG afetar recursos suficientes ao seu Secretariado e de garantir a independência do seu funcionamento. |
45. |
O CF apoiou o anteprojeto de orçamento para 2014 na condição de as recomendações formuladas no seu parecer serem tidas em conta. |
Reorganização do OLAF e inquéritos de satisfação do pessoal
46. |
O inquérito realizado em 2013 em toda a Comissão, seguido de um inquérito interno no OLAF, revelou um baixo nível de satisfação do pessoal com o seu ambiente profissional. O CF está particularmente preocupado com três elementos, dado o seu potencial impacto sobre a eficiência do poder de inquérito do OLAF:
|
47. |
Consequentemente, o CF solicitou ao DG do OLAF que o informasse periodicamente sobre as medidas previstas ou aplicadas para fazer face a estes problemas. |
3. COOPERAÇÃO COM O OLAF
Seguimento dado pelo OLAF às recomendações formuladas pelo Comité de Fiscalização
48. |
Em 2012, o CF formulou uma série de recomendações para o DG do OLAF relativas, em especial, à proteção dos direitos fundamentais e às garantias processuais (16). A análise inicial do CF indica que a aplicação da maior parte das suas recomendações desde 2012 não foi satisfatória. As respostas do DG do OLAF ou não davam uma justificação suficiente para a não aplicação ou não forneciam informações substantivas sobre o modo como essas recomendações foram supostamente aplicadas. Por conseguinte, o CF analisará esta questão num parecer separado a emitir em 2014. |
Protocolos de colaboração com o OLAF
49. |
Durante o período abrangido pelo relatório, o CF teve debates extensos e prolongados com o DG do OLAF sobre o acesso do CF às informações relacionadas com os processos. O resultado desses debates encontra-se refletido nos protocolos de colaboração (17) assinados pelo DG do OLAF e pelo Presidente do CF em 14 de janeiro de 2014. Estes protocolos estabeleceram (i) o alcance das informações sobre as atividades de inquérito do OLAF a prestar ao CF, (ii) a metodologia para a transmissão de informações e (iii) o calendário. Destinam-se a alcançar um justo equilíbrio entre o dever do OLAF de proteger a confidencialidade das informações relacionadas com os seus inquéritos e as necessidades de controlo do CF. |
50. |
No que se refere aos processos transmitidos às autoridades judiciais nacionais, o CF manifestou a sua vontade de dispor de um exemplar dos pareceres emitidos pela ISRU ao DG do OLAF sobre o relatório final e as recomendações, a fim de poder acompanhar a evolução da aplicação das garantias processuais. Uma vez que este documento pode conter dados pessoais, o CF concordou com o OLAF em solicitar primeiro à Autoridade Europeia para a Proteção de Dados o seu parecer sobre a questão. O referido parecer está atualmente pendente. |
51. |
A primeira transmissão ao abrigo dos protocolos de colaboração das informações que o DG do OLAF tem a obrigação de enviar ao CF periodicamente teve lugar em 31 de janeiro de 2014, o último dia do período de referência do presente relatório. Consequentemente, será apresentada uma avaliação mais pormenorizada da aplicação dos protocolos de colaboração no relatório seguinte. |
52. |
Embora considere que os protocolos de colaboração representam uma realização importante, o CF insiste agora no melhoramento da sua aplicação, em especial no que se refere ao conteúdo das informações que o OLAF fornece ao CF. Caso contrário, o CF não estará em condições de desempenhar eficazmente as suas funções de controlo. |
4. COOPERAÇÃO COM AS PARTES INTERESSADAS
Reuniões com as instituições da UE
53. |
Entre maio e julho de 2013, o CF foi convidado a apresentar as conclusões do seu relatório de atividades de 2012 ao Parlamento Europeu (Comissão do Controlo Orçamental), ao Conselho (grupo de trabalho sobre a luta contra a fraude) e ao Tribunal de Contas Europeu. |
54. |
Em várias outras reuniões com a Comissão do Controlo Orçamental e com o Comissário Šemeta, o CF apresentou um relatório sobre os resultados dos inquéritos do OLAF e o respeito dos direitos fundamentais. Além disso, apresentou as suas conclusões sobre a eficácia da supervisão do OLAF, a reforma do Regulamento do OLAF e uma nova estrutura de fiscalização do OLAF, como proposta na Comunicação da Comissão «Aperfeiçoar a governação do OLAF e reforçar as garantias processuais nos inquéritos» (18). |
55. |
Em novembro de 2013, o CF organizou uma troca de pontos de vista informal sobre os desafios que se colocam ao OLAF e ao seu CF após a entrada em vigor do Regulamento (UE, Euratom) n.o 883/2013. |
Trocas de opiniões com as instituições da UE
56. |
Em agosto de 2013, o CF iniciou os preparativos para uma troca de opiniões formalizada com a Comissão, o Parlamento, o Conselho e o Tribunal de Contas, a nível político, sobre as atividades do OLAF, tal como previsto no artigo 16.o do Regulamento (UE, Euratom) n.o 883/2013. O CF propôs centrar a atenção, numa primeira fase, no quadro de fiscalização para o OLAF reformado. Infelizmente, ao organizar as reuniões preparatórias, a administração da Comissão incluiu todos os outros participantes, mas excluiu o CF. Resta, pois, saber se a primeira troca de opiniões satisfará os objetivos estabelecidos no regulamento. |
Audição pública do Parlamento Europeu sobre as garantias processuais
57. |
Em outubro de 2013, o CF adotou, com base na sua experiência de controlo, um documento de posição sobre o Reforço das garantias processuais no OLAF (19). A posição do CF sobre eventuais novas alterações legislativas do Regulamento (UE, Euratom) n.o 883/2013, como propostas pela Comissão na sua comunicação, foi apresentada durante uma audição pública organizada pelo Parlamento (20). |
58. |
O CF acolheu favoravelmente a proposta da Comissão, mas assinalou a necessidade de reconsiderar algumas soluções estruturais, prestando especial atenção à independência do OLAF e do CF. Em especial, devem ser evitados os potenciais conflitos de competências e a duplicação do trabalho entre as estruturas de fiscalização atuais e futuras. O CF propôs soluções alternativas que permitiriam conservar os instrumentos úteis propostos pela Comissão, integrando-os ao mesmo tempo num mecanismo de fiscalização global. |
Sociedade civil
59. |
A secção da UE da «Transparência Internacional» (TI-UE) decidiu realizar uma avaliação do sistema de integridade da UE (21). Em janeiro de 2014, o Presidente do CF e alguns membros do Secretariado encontraram-se com representantes da TI-UE, tendo debatido questões como a relação entre o OLAF e o CF, a responsabilização e a independência do OLAF e as regras de integridade que regem o próprio CF. |
5. GOVERNAÇÃO DO COMITÉ DE FISCALIZAÇÃO
Papel do Comité de Fiscalização em conformidade com o Regulamento (UE, Euratom) n.o 883/2013
60. |
O Regulamento (UE, Euratom) n.o 883/2013 introduziu uma série de alterações no papel do CF e nos seus instrumentos de controlo. Uma parte considerável das reuniões do CF foi consagrada aos debates sobre o impacto destas alterações sobre as atividades do CF. |
61. |
O CF realizou uma análise aprofundada das alterações relativas à sua missão e ao seu papel, às suas tarefas principais e aos seus instrumentos de controlo e de comunicação de informações. O documento do CF sobre a Missão, competências e objetivos do CF (22)à luz do novo Regulamento OLAF explica estas mudanças, os métodos de controlo do CF e o papel do seu Secretariado, cujo funcionamento independente é uma garantia da independência do próprio CF. |
Prioridades e objetivos
62. |
O CF definiu os seus objetivos estratégicos e prioridades para o próximo período de mandato, as quais se destinam a aumentar a eficácia e o impacto das suas atividades principais e, por conseguinte, o apoio ao poder de inquérito do OLAF e o reforço da independência do Organismo. O CF definiu os seguintes objetivos estratégicos: (i) desenvolver instrumentos de controlo eficazes e pragmáticos; (ii) melhorar a cooperação com o OLAF e o seu Diretor-Geral; (iii) agir como parte interessada na implementação da política de luta contra a fraude; (iv) aumentar a visibilidade do CF junto das instituições da UE e dos Estados-Membros; (v) desenvolver os métodos de trabalho do CF; (vi) salvaguardar o funcionamento independente do CF e do seu Secretariado; (vii) contribuir para a proposta legislativa que visa reforçar a fiscalização do OLAF. Para cumprir estes objetivos, o CF identificou uma série de prioridades, que também são apresentadas no documento sobre a Missão, competências e objetivos do CF, que constitui simultaneamente a estratégia a médio prazo do CF. |
Código de conduta
63. |
Em 9 de outubro de 2013, o CF adotou um Código de Conduta juntamente com uma Exposição de motivos sobre as Salvaguardas da imparcialidade e riscos de conflitos de interesses no exercício das funções de controlo (23). O CF salientou que geralmente os seus membros desempenham funções essenciais nos seus sistemas judiciais ou administrações nacionais, o que lhes permite agir como homólogos/parceiros do OLAF a nível nacional, em qualquer fase de um processo do OLAF. Ao mesmo tempo, controlam regularmente os processos do OLAF, em especial os que requerem a transmissão de informações às autoridades judiciais nacionais. Por conseguinte, podem ocorrer situações em que podem ser confrontados com o mesmo processo do OLAF no quadro das suas responsabilidades nacionais e como membros do CF. É, pois, fundamental zelar por que o tratamento de um caso nesta dupla capacidade não dê origem a conflitos de interesses reais ou potenciais que ponham em perigo a confiança do público na imparcialidade e objetividade do seu trabalho. O CF realizou um exame geral das tarefas específicas dos membros do CF suscetíveis de dar origem a situações de conflitos de interesses, e seguidamente um inventário das situações concretas em que podem surgir conflitos de interesses. O Código de Conduta prevê um procedimento claro sobre a forma de gerir as situações de conflitos de interesses. |
64. |
A fim de estabelecer esta política e este Código de Conduta em termos jurídicos claros, o CF considerou adequado alterar o seu regulamento interno. Este trabalho está atualmente em curso. |
Métodos de trabalho
65. |
Em março de 2013, o CF acolheu um novo membro, Tuomas PÖYSTI. Na reunião de outubro de 2013, o CF reconduziu Johan DENOLF no cargo de Presidente por mais um ano. |
66. |
De fevereiro de 2013 a janeiro de 2014, o CF realizou 11 reuniões plenárias em Bruxelas e no Luxemburgo. O Presidente, os relatores e os membros do Secretariado também se reuniram regularmente para trabalharem em questões específicas, bem como para assegurarem a preparação e o seguimento das reuniões plenárias. |
67. |
Para cada questão importante examinada, o CF nomeou um relator. Foi o caso, nomeadamente, para o orçamento do OLAF, a análise dos procedimentos do OLAF para o tratamento das queixas, as instruções do DG ao pessoal responsável pelos procedimentos de inquérito, as prioridades da política de inquérito do OLAF e a análise do processo de seleção no OLAF. Os relatores trabalharam com o Secretariado do CF para a elaboração de projetos de pareceres ou de documentos a debater nas reuniões plenárias. |
68. |
Durante a reunião plenária de fevereiro de 2013, o Secretariado do CF apresentou à direção do OLAF os métodos de trabalho do CF, em especial no que se refere aos processos que o OLAF deve transmitir às autoridades judiciárias nacionais. Foi igualmente explicado quais as informações de que o CF necessita para desempenhar adequadamente as suas funções. Esta apresentação serviu de base para o CF desenvolver um conjunto de orientações em matéria de controlo. Na sequência da entrada em vigor do Regulamento (UE, Euratom) n.o 883/2013, o CF está a trabalhar na elaboração de novas orientações em matéria de controlo. |
6. SECRETARIADO DO COMITÉ DE FISCALIZAÇÃO
69. |
O Secretariado do CF é composto por juristas, inspetores e assistentes que asseguram o controlo diário das atividades de inquérito do OLAF e prestam assistência aos membros do CF na execução das respetivas tarefas. O Secretariado recebe todas as informações transmitidas ao CF e procede a um exame preliminar. O Secretariado é igualmente responsável pela preparação do aconselhamento jurídico para os membros do CF. |
70. |
O CF gostaria de salientar que o seu Secretariado deve estar em condições lhe prestar assistência no desempenho das suas funções de controlo com lealdade e eficácia, sem se expor ao risco de potenciais conflitos de interesses enquanto pessoal do OLAF subordinado ao DG do OLAF. Nos últimos anos, o CF tem sublinhado de forma constante a importância do seu funcionamento independente e eficaz, o que requer um Secretariado independente e com um número de efetivos adequado que, embora integrado na estrutura do OLAF, funcione de forma independente e sob as instruções exclusivas do CF. O CF congratula-se com o facto de o funcionamento independente do seu Secretariado estar agora garantido pelo Regulamento (UE, Euratom) n.o 883/2013 (24). |
71. |
O CF identificou quatro condições básicas que garantem o funcionamento independente do Secretariado: (i) recrutamento, avaliação e promoção de Chefe do Secretariado com base nas decisões do CF; (ii) reclassificação de Chefe do Secretariado como quadro superior; (iii) recrutamento, avaliação e promoção do pessoal do Secretariado pelo seu Chefe; (iv) subdelegação da execução do orçamento no seu Chefe. O CF iniciou discussões com o DG do OLAF, atualmente em curso, sobre a aplicação deste novo requisito regulamentar. |
72. |
O CF também se congratula com o facto de o DG do OLAF ter restabelecido o número de postos atribuídos ao Secretariado em oito, como era o caso antes da reestruturação do OLAF em 2012. |
Como contactar o Comité de Fiscalização
Através do seu Secretariado:
Por correio postal: |
J30 13/62 — Rue Joseph II, 30 — 1049 Bruxelles/Brussel, BELGIQUE/BELGIË |
Por telefone |
+32 22984022 |
Por correio eletrónico: |
OLAF-FMB-supervisory-committee@ec.europa.eu |
Por fax |
+32 22959776 |
Sítio web |
http://ec.europa.eu/anti_fraud/about-us/supervisory-committee/index_en.htm |
(1) Regulamento (UE, Euratom) n.o 883/2013 do Parlamento Europeu e do Conselho, de 11 de setembro de 2013, relativo aos inquéritos efetuados pelo Organismo Europeu de Luta Antifraude (OLAF) e que revoga o Regulamento (CE) n.o 1073/1999 do Parlamento Europeu e do Conselho e o Regulamento (Euratom) n.o 1074/1999 do Conselho (JO L 248 de 18.9.2013, p. 1).
(2) Artigo 15.o.
(3) Ver anexo 5.
(4) Ver anexo 3.
(5) Ver anexo 4. Apesar de este parecer ter sido adotado em março de 2014, o CF decidiu anexá-lo ao presente relatório de atividades, dado que quase todo o trabalho relativo ao parecer foi realizado durante o período de referência.
(6) Em 2013, o CF recebeu 186 relatórios de nove meses.
(7) Os 21 casos que requeriam a transmissão de informações às autoridades judiciárias nacionais e que foram enviados ao CF pelo OLAF em janeiro de 2013 foram referidos no relatório anual de atividades do CF de 2012. O número total de casos recebidos em 2013 foi de 77.
(8) O OLAF transmitiu ao CF os pareceres sobre os relatórios finais e intercalares e as recomendações de 72 dos 77 casos transmitidos às autoridades judiciárias nacionais em 2013.
(9) Neste último caso, a entrevista do interessado foi realizada em conformidade com as regras estabelecidas no antigo Manual do OLAF.
(10) Ver anexo 2.
(11) JO L 145 de 31.5.2001, p. 43.
(12) Artigo 22.o-A do Estatuto dos Funcionários e artigo 11.o do Regime aplicável aos outros agentes da União Europeia.
(13) Após consulta do Serviço Jurídico da Comissão — ver nota do DG do OLAF, de 10 de novembro de 2008, aos membros do pessoal do OLAF.
(14) JO L 257 de 28.9.2013, p. 19.
(15) Ver anexo 1.
(16) Ver resumo no anexo 7.
(17) Ver anexo 10.
(18) COM(2013) 533 final de 17.7.2013.
(19) Ver anexo 6.
(20) Audição pública de 3 de outubro de 2013, «O OLAF e os direitos das pessoas em causa».
(21) Ver http://www.transparencyinternational.eu/european-union-integrity-system-study/
(22) Ver anexo 8.
(23) Ver anexo 9.
(24) Considerando 40.
ANEXOS
1. |
Parecer n.o 1/2013: Anteprojeto de orçamento do OLAF para 2014 |
2. |
Parecer n.o 2/2013: Estabelecimento de um procedimento interno do OLAF relativo às queixas |
3. |
Parecer n.o 1/2014: Prioridades da política de inquérito do OLAF |
4. |
Parecer n.o 2/2014: Seleção de processos no OLAF |
5. |
Observações do CF sobre os procedimentos de inquérito no OLAF |
6. |
Documento de posição sobre o «Reforço das garantias processuais no OLAF» |
7. |
Recomendações do CF de 2012 |
8. |
Missão, competências e objetivos do CF: estratégia a médio prazo |
9. |
Código de Conduta dos membros do CF e Exposição de motivos sobre as salvaguardas da imparcialidade e riscos de conflitos de interesses no exercício das funções de controlo |
10. |
Protocolos de colaboração com o OLAF |
ANEXO 1
OPINION No 1/2013
OLAF's preliminary draft budget for 2014
Brussels, 16 July 2013
INTRODUCTION
At the meetings of 27 February and 16 July, 2013, OLAF's Supervisory Committee examined OLAF's preliminary budget for 2014 and adopted the following opinion.
In accordance with the Regulation (EC) No 1073/1999 of the European Parliament and of the Council of 25 May 1999 concerning investigations conducted by the European Anti-Fraud Office (OLAF) (1) and Article 3 of the Commission Decision 1999/352/EC, ECSC, Euratom (2), the European Anti-Fraud Office (hereinafter OLAF) shall have full independence to exercise its investigative function in all institutions, bodies, offices and agencies established by or on the basis of the Treaty on the European Union, Treaty on the Functioning of the European Union and the Euratom Treaty. To do this and to ensure that OLAF is able to function in an efficient and effective manner and contribute in the best possible way to the Union's objectives of the fight against fraud defined in Article 325 of the Treaty on the Functioning of the European Union, a specific budget line within the Commission budget (European Commission section of the general budget of the European Union) is created for OLAF. (3)
In accordance with Article 11 of the Regulation (EC) No 1073/1999 the mission of the OLAF Supervisory Committee (SC) is to reinforce the independence of OLAF in the exercise of OLAF's investigative function. In the reform of Regulation (EC) No 1073/1999 adopted by the European Parliament and the Council in 2013, the role of the SC has been strengthened as guardian of the independence of OLAF in its investigative function and in the supervision of the respect of fundamental rights and freedoms. In this context, and with a view to the powers conferred by the Commission on the SC (4), the SC has considered OLAF's preliminary draft budget (PDB) and the Commission draft budget for 2014 concerning OLAF and delivers the following Opinion.
The objective of the procedure in which the SC adopts an Opinion on OLAF's preliminary draft budget and draft budget is to give assurance that the draft budget duly takes into account the independence of the investigative function of OLAF and that OLAF is resourced to function effectively and efficiently as an inter-institutional service in stepping up the fight against fraud as foreseen by the Union legislator in Regulation (EC) No 1073/1999. The SC Opinion on the preliminary draft budget also creates a documented forum of the SC advice to the Director-General of OLAF and to the Budgetary Authority of the Union and other Institutions of the Union on the prerequisites for efficient allocation and use of resources to and within OLAF. In this way the SC Opinion contributes to the attainment of value for money, legal certainty and efficient anti-fraud policy in the European Union. The Opinion of the SC is not therefore limited only to commenting on the budget line on the SC of the OLAF.
I. RESOURCES
In the draft budget presented by the Commission on 26 June 2013, the OLAF budget will be increased by approximately 1,5 % with a total expenditure of EUR 58 523 000. The increase comes principally from the transfer of an additional 6 posts from headquarters budget line ‘Expenditure related to officials and temporary staff working with the institution to OLAF’. If the impact of the EU enlargement to include Croatia is taken into account, the increase in the OLAF expenditure is 0,7 %. In the draft budget presented by the Commission the general increase in the Commission's administrative expenditure is 0,1 % and 0,8 % when taking into account the expenditure resulting from the enlargement to Croatia. The OLAF Budget has not been subject to the same strict savings measures as those within the Commission services in general. The SC notes this with satisfaction and considers that this line on resources provides the conditions necessary to continue the fight against fraud as one of the important priorities of the European Union.
The budget line concerning buildings and IT has been kept on zero growth in accordance with the general orientation of the Commission. The SC observes that a well-organised and up-to-date ICT support and infrastructure are necessary conditions for a cost-effective fraud investigation function. The SC has no objection to the general orientation in the Commission draft budget but SC would stress the need to keep both OLAF's Case Management, ICT analytics and other information systems up to date in order to enable OLAF to function efficiently.
Allocation of resources to priority activities
The SC has regularly recommended to OLAF in its previous opinions on the budget to allocate more staff to OLAF's core business — investigations — by shifting them from the support units. In addition, the SC has proposed clarification of the distinction between investigative and operational activities of OLAF. The SC notes the reorganisation of OLAF put in place on 1 February 2012 in which resources at the organisational level were increasingly concentrated on investigations. As a result of this, in the OLAF Report of 2012, the distribution of staff in the units dealing with the fight against fraud, OLAF policy strategy and coordination and administrative support is reported separately. This goes in the direction of clarification of the distinction between investigative and other operational activities of OLAF in line with the SC's earlier recommendations. However, the SC considers that clarification between investigation and investigation support functions, anti-fraud policy functions and other operational activities of OLAF should go still further.
Opening and follow up of the investigations
The SC would mention that consistent application over the years of the investigative policy priorities in line with Union's anti-fraud policy and the Commission's anti-fraud strategy is a core issue in the resources management of OLAF and in the performance of its investigative function. The SC notes that in the OLAF Management Plan the alignment with the investigative policy priorities is defined as one of the performance indicators for OLAF. (5) The SC underlines the importance of transparent and reliable follow-up of the investigative policy priorities.
The SC would refer to its earlier observations and statistics as presented by the European Court of Auditors in the Special Report No 2/2011 (6) on the low number of OLAF investigations leading to convictions by Member States judicial authorities. (7) The SC considers that the rate of OLAF reports leading to convictions is one of the key indicators of the effectiveness of OLAF's investigative function requiring close and open attention. The SC recognises that the reasons why OLAF reports do not lead to conviction may, in some instances lie outside OLAF's control, however, the impact of such external factors should be carefully analysed and transparently reported. The SC therefore encourages OLAF to continue to develop indicators and report on them in a transparent and reliable manner in order to show an example of value for money and to demonstrate the positive impact that contribution of additional resources to OLAF has in the fight against fraud in the European Union, appropriate follow-up thus ensuring that the ultimate results of investigations are achieved. Without this OLAF risks carrying out good, hard work which may ultimately not produce the required results.
HR strategy
The reorganisation of the Office resulted in significant shifts of staff and modifications in their job description or even a completely new allocation of tasks. In such circumstances the SC reiterates its earlier position that it is essential to have an appropriate human resources strategy built on the identified and real needs of the organisation and its priorities, with the aim of giving direction and maximising the use of existing resources. The SC draws particular attention to OLAF's ability to recruit and maintain high quality professionals in its investigative functions as a focal point of cost-effective anti-fraud service at the Union level.
A crucial element of the human resources strategy should continue to be the continuous training related to internal mobility and overall restructuring. It should address the optimum balance between administrators and staff members with administrative professional background performing core investigative tasks and assistants providing support services.
Recommendations:
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II. BUDGETARY PROCEDURE
The Commission Decision establishing OLAF is clear that the SC must be consulted on the PDB of OLAF before it is sent to the Director-General for Budgets (8). Up to now the Director-General of OLAF has transmitted the PDB to the Committee after ‘technical’ meetings/arrangements with DG Budget. In 2013 the SC was presented with the preliminary draft budget in February and informed in June with regard to the Commission Decision on the draft budget for 2014. The SC believes that to provide an effective opinion on the PDB is one of its core tasks and would remind the Director-General of OLAF to undertake a substantive consultation with the SC prior to budget negotiations with DG Budget. Furthermore, the SC would encourage the Director-General to consult the SC on the OLAF Annual Management plan in order to have independent support and feed-back based on the follow-up of the investigative function by the SC.
Conclusion:
|
III. THE SC AND THE SECRETARIAT OF THE SC
The SC expenditure
The SC notes that the budget line of the expenditure related to the SC is not changed in 2014 draft budget.
The SC draws attention to the fact that with the extended responsibilities attributed to the SC by the Union legislator, the performance of the duties of the SC requires the devotion of a considerable amount of time by its Members who, by definition, do so on a part time bases.
The Resources of the Secretariat of the SC
In accordance with Regulation (EC) No 1073/1999 the SC has a crucial role to play in the monitoring of OLAF's investigative function. Moreover, the SC has a specific inter-institutional character.
In the discharge of its duties assigned by the legislator, the SC is dependent on its Secretariat. The SC would like to point out that the role of the Secretariat is primarily not to assist in the organisation and documentation of the meeting of the SC. In practice, the SC Secretariat performs an overall, regular monitoring of the investigative function of OLAF. This results from the fact that it is the SC Secretariat which has access, in accordance with the established access arrangements, to the OLAF Case Management System. The data protection rules de facto require that access to case information by the SC is implemented via the SC secretariat. An adequately staffed Secretariat with high quality personnel is thus a vital condition for the SC in the discharge of its duties as stipulated by the legislator.
The SC considers that the 2014 draft budget creates conditions for appropriate resourcing of the SC Secretariat.
The SC would point out the general principle of sincere cooperation between Institutions and bodies of the European Union, which is a general principle of the Union law, specifically that Regulation (EC) No 1073/1999 sets out further requirements on the sincere cooperation between the Director-General of OLAF and the SC. The Director-General of OLAF shall, in the spirit of sincere cooperation, consult the SC on all issues which relate to the staffing, promotion of personnel and resources of the SC Secretariat.
To be fully informative and representative of the total cost of supervision, the budget entry for the SC should incorporate the total cost of operations stemming from the duties stipulated in Regulation (EC) No 1073/1999, that is, all the SC Members' expenditure as well as that of its Secretariat which includes their salaries, training, travel etc.
OLAF has the privilege of transferring its funds freely from one line item to another. By joining up the total cost of the SC's function in a separate budget entry it is ensured that funds targeted for use by the SC are actually used for the supervisory function. However, funds remaining unused could be redeployed to other headings within the OLAF budget. Such redeployment should only be possible with prior notification to the SC and its approval.
The Head of the SC Secretariat should be sub-delegated as the authorising officer to manage the total fund allocation for the SC's operations under the control of the Committee. Having one budget line which incorporates all expenditure will facilitate the management and efficiencies of the supervisory framework whilst, at the same time, any unused funds are passed on to other OLAF budget lines by the Director-General upon the approval of the SC.
A separate budget line has the benefit of transparency and reflects also the independence of the SC in line with the Regulation. At the same time, this separate budget line will inform the three institutions appointing the SC regarding the resources specifically allocated to the supervisory function.
Secretariat Staff
The SC maintains its position, as expressed in its previous opinions on the OLAF budget, on the minimum requirement of eight Secretariat staff, which is equivalent to the current needs of the SC. This represents about 2 % of OLAF staff (9) which the SC deems the minimum number required for it to carry out its monitoring function efficiently. (10) The SC would point out that the legal duties of the SC require a small, but high quality staff in Secretariat. The SC has noted with satisfaction the intention of the OLAF Director-General to allocate additional posts to the Secretariat. The SC expects a fluid and rapid implementation of the announced intention.
Furthermore, the SC is of the opinion that, with regard to the appointment of the Head of the Secretariat and other staff for its Secretariat, including internal transfers, there should be close consultation with the Committee, as indicated in its Rules of Procedure (11) reflecting the principle of cooperation stipulated in the Regulation.
The SC acknowledges that the Commission staff rules and the appraisal and promotion system do not currently permit the SC Members to evaluate the performance of the staff of the Secretariat directly. The SC also notes that nothing in the Commission staff rules and appraisal and promotion system excludes the consultation of the SC and that some Institutions have developed consultation systems for situations in which a member of staff is effectively working for another directorate or body than the one which is legally responsible for the appraisal and promotion. Therefore the SC considers that even though the appraisal of the Head of Secretariat and his promotion are ultimately decided by the Director-General of OLAF, he should make these decisions on the basis of the opinions of the Committee under whose direct authority the Secretariat works, as it is foreseen in the SC's Rules of Procedure (12). This will ensure the continuous independence of the Secretariat in their day to day functions.
Recommendations:
|
IV. CONCLUSION
The SC supports OLAF's draft budget for 2014 with the provision that the above recommendations be taken into consideration.
In accordance with Article 6(2) of the Commission Decision of 28 April 1999, the Opinion should be transmitted to the Budgetary Authority by OLAF. Furthermore, the SC invites the Director-General of OLAF to update the SC regularly on measures taken by OLAF towards implementation of the recommendations in this Opinion.
Adopted in Brussels, on 16 July 2013
For the Supervisory Committee,
Johan DENOLF
Chairman
(1) Regulation (EC) No 1073/1999 of the European Parliament and of the Council of 25 May 1999 concerning investigations conducted by the European Anti-Fraud Office (OLAF) (OJ L 136, 31.5.1999, p. 1).
(2) Commission Decision 1999/352/EC, ECSC, Euratom of 28 April 1999 establishing the European Anti-Fraud Office (OLAF) (OJ L 136, 31.5.1999, p. 20).
(3) See Art. 13 of Regulation (EC) No 1073/1999 (Art. 18 of the Regulation amended as of 1 October 2013).
(4) Article 6 of the Commission Decision 1999/352/EC, ECSC, Euratom.
(5) See OLAF Annual Activity Report 2012 final, Ares (2013) 509786 — 26.3.2013: chapter 1.3, Specific objectives for ‘fight against fraud’: investigative and coordination activities, p. 5.
(6) Special Report No 2/2011, ‘Follow-up of Special Report No 1/2005 concerning the management of the European Anti-Fraud Office’.
(7) See the SC Opinion 1/2012 of the 2013 OLAF draft budget, reproduced as Annex 2 of the SC Annual Report of 2012.
(8) Article 6(2) of the Commission Decision 1999/352/EC, ECSC, Euratom cited above provides: ‘After consulting the Surveillance Committee, the Director shall send the Director-General for Budgets a preliminary draft budget to be entered in the special heading for the Office in the annual general budget’.
(9) According to the OLAF report for 2011, there are 437 staff in the Office.
(10) For the detailed analysis of the SC workload and consequently of the necessary SC Secretariat resources, see the note of the Head of the SC Secretariat of 21 March 2013. In view of the incoming amendments to Regulation (EC) No 1073/1999 entrusting additional tasks to the SC, the resources of the SC Secretariat may require reinforcement in the year 2014.
(11) Article 11(3) of the SC's Rules of Procedure provides as follows: ‘In any case, the Head of the Secretariat shall inform the SC about the candidates for membership of the Secretariat. Once the applications are known, the Committee shall discuss in the plenary session whether they meet the Committee's working needs with a view to submitting a proposal for their appointment to OLAF's Director-General’ (OJ L 308, 24.11.2011, p. 114).
(12) Article 11(5) of the SC's Rules of Procedure provides as follows: ‘The Supervisory Committee shall periodically evaluate the work of the Head of the Secretariat and of the Secretariat members’.
ANEXO 2
OPINION No 2/2013
on establishing an internal OLAF procedure for complaints
The Supervisory Committee of the European Anti-Fraud Office (OLAF) examined the options for redress open to persons involved in OLAF's investigations regarding potential violations of their rights and procedural guarantees. The Committee found that such persons do not have sufficient and immediate remedies to redress potential violations either through an external (an EU or national court, the European Ombudsman or the European Data Protection Supervisor) or internal mechanism (OLAF itself). The Committee believes that the new Regulation (EU, Euratom) No 883/2013 concerning investigations conducted by OLAF has not resolved the problem, since it does not introduce a mechanism for dealing with individual complaints. The Committee expressed the opinion that the current legislative gap could be closed by putting in place a transparent and efficient complaints procedure within OLAF, to deal with complaints alleging potential breaches of fundamental rights and procedural guarantees in the course of an OLAF investigation. The Committee therefore recommended that the Director-General of OLAF institute such an internal procedure and put forward concrete suggestions with regard to its implementation. |
INTRODUCTION
1. |
OLAF has been given far-reaching powers of investigation in order to efficiently carry out its mission to protect the financial interests of the EU. The exercise of these powers is very likely to touch upon the fundamental rights of persons concerned by investigations (1), and therefore their respect by OLAF is essential. It contributes — as the SC has already emphasised (2) — not only to ensuring the effectiveness and efficiency of OLAF's investigative activities, but also to consolidating its reputation, credibility and ultimately its independence. |
2. |
OLAF is obliged to ensure the protection of fundamental rights by safeguarding the procedural guarantees as listed by the EU Charter of Fundamental Rights (3). In addition, the EU legislator decided to enhance OLAF's accountability for its investigative activities by reforming its legal framework (4) which resulted in the adoption of Regulation (EU, Euratom) No 883/2013 (5) (hereinafter, the Regulation). |
3. |
The SC welcomes the changes brought by the Regulation but would like, nevertheless, to point out that the mechanisms put in place to enforce the procedural guarantees need further improvement. The Regulation provides for a legality check (6) and a monitoring mechanism (7), but does not establish a mechanism for dealing with individual complaints which would be, in the SC's view, indispensable for ensuring effective protection of fundamental rights. |
4. |
In the SC's opinion, persons involved in OLAF investigations do not have sufficient and immediate remedies to redress potential violations of their rights and the recent reform of the legal framework has not solved that problem. Therefore, the SC takes the view that the Director-General of OLAF ((hereinafter, the DG) should swiftly establish a transparent and stable internal procedure for dealing with individual complaints. |
I. INSUFFICIENCY OF THE EXISTING REDRESS MECHANISMS
5. |
Persons considering that, in the course of an investigation, OLAF breached their fundamental rights and wishing to complain, have at their disposal various means of judicial and non-judicial review which, however, may be insufficient, for the reasons stated below. |
6. |
Firstly, they may seek the direct judicial review by an EU Court (action for annulment, action for damages and request for interim relief) or indirectjudicial review by EU and national courts (preliminary ruling procedure). (8) However, it should be noted that these actions are governed by rather strict rules on admissibility (9) and must fulfil a number of conditions to trigger a right to reparation (10). Even when an action is successful, ‘Judicial protection is obtained long after the contested investigative act and the act as such is not affected by the EU court's ruling; only compensation for the prejudice created by that act is obtained’ (11). |
7. |
Secondly, persons wishing to complain may address themselves to the European Data Protection Supervisor (EDPS), who is specifically entrusted (12) with the competence of hearing and investigating complaints lodged by persons whose personal data are processed by OLAF. However, the material scope of his review is limited to the protection of personal data and privacy. |
8. |
Thirdly, the European Ombudsman (EO) is competent to investigate complaints regarding maladministration (13) against OLAF, namely failure to act in accordance with the law, to respect the principles of good administration, or breaches of fundamental rights. Nevertheless, it is the EO's view — which the SC fully shares — that an institution ‘in frequent contact with people who may have reason to complain should provide for a first line complaints mechanism allowing for their problems to be addressed and solved rapidly, before, in the event that resolution is not successful, having to turn to other redress mechanisms, such as Ombudsmen and courts’ (14). The SC considers that this statement also applies to OLAF. |
9. |
Fourthly, the SC itself — as the OLAF's supervisory body — is quite often the addressee of individual complaints which it takes into consideration as a valuable source of information concerning OLAF's investigations and thus triggering the SC's monitoring activity. The SC's role, as emphasised by a ruling of the EU General Court (15) and confirmed by Regulation (EU, Euratom) No 883/2013, is to monitor developments concerning the application of procedural guarantees and the duration of investigations (16) which cannot be carried out without examination of individual cases. However, the SC was not established as a complaints body and its supervision takes place only ex post, since the SC cannot intervene in ongoing investigations. Furthermore, the SC regrets the lack of appropriate monitoring tools at its disposal and the absence of a specific reporting obligation for the DG to inform the SC of complaints addressed to him and, in particular, on the way they were dealt with. |
10. |
In addition to the external mechanisms, the SC notes that an internal mechanism for dealing with individual complaints is not completely absent from the legal framework governing OLAF's investigations. Any official or other servant of the EU who is the subject of an internal investigation has the right to submit to the DG a complaint against an act adversely affecting him in connection with investigations by OLAF (17). However, according to the existing EU case-law, OLAF's investigative acts do not constitute acts adversely affecting the persons concerned within the meaning of Article 90a of the Staff Regulations and therefore are not challengeable acts (18). |
11. |
Moreover, the SC would point out that OLAF staff who are aware of possible illegal activities or serious violations of professional duties that might trigger potential breaches of fundamental rights and procedural guarantees within an investigation have the additional possibility to report wrongdoing within OLAF to the President of the SC, on the basis of Article 22a of the Staff Regulations and of the agreement between the DG and the SC (19). |
II. LACK OF A COMPLAINT PROCEDURE IN REGULATION (EU, Euratom) No 883/2013
12. |
The SC notes that the intention of the EU legislator was to strengthen the protection of procedural guarantees applicable in OLAF's investigations (a) by inserting in the Regulation detailed provisions concerning the procedural guarantees and (b) by enforcing them by means of an enhanced review. As a result, Article 9 of the Regulation contains now explicit procedural guarantees and thus defines and clarifies the contents of those foreseen in the Charter. On the other hand, although the EU institutions involved in the legislative process all agreed on the need for a review of potential violation of fundamental rights and put forward various proposals aimed at establishing both an ex ante legality check (relating, inter alia, to the respect of procedural guarantees of persons under investigation, during all stages of the investigation) and an ex post review procedure for handling individual complaints (20), it seems that no consensus was finally reached, since the Regulation does not explicitly put in place any such procedure. |
13. |
The SC would point out that in the past, via its internal rules, OLAF put in place a review procedure open to all persons concerned in internal and external investigations in which procedural guarantees were allegedly not respected in a manner possibly having an impact on the conclusions of the investigation (21). This procedure evolved under the influence of interinstitutional discussions on reforming the OLAF legal framework. Since the Commission's proposal of 17 March 2011 contained provisions on a review procedure (22), the Instructions to Staff on Investigation Procedures (ISIP) (23) adopted by the OLAF DG as of 1 February 2012 anticipated the forthcoming legislative changes with the setting up of a procedure for dealing with complaints concerning an alleged failure to respect procedural guarantees (24). However, that Commission's proposal, which was subject to negotiations during the legislative process, was ultimately not maintained. Therefore, when the ISIP were replaced by the new Guidelines on Investigation Procedures (GIP), which entered into force on the same day as the new OLAF Regulation (1 October 2013), this internal procedure disappeared. |
14. |
As a result, neither the Regulation nor OLAF's internal rules foresee any formal procedure for dealing with individual complaints. Therefore, the objective of improving the mechanisms for redressing potential breaches by OLAF of procedural guarantees of persons under investigation has not been achieved. The SC would point out that the recent Communication from the Commission on Improving OLAF's governance and reinforcing procedural safeguards in investigations (25) supports the SC's view and its repeated recommendations (26) concerning the introduction of transparent and stable procedures for an internal legality check and for an independent review of complaints. This Communication also confirms the need for further improvements to the Regulation, by establishing of the office of a ‘Controller of procedural safeguards’. |
15. |
With its longstanding experience in monitoring OLAF's investigative function and thereby compliance by OLAF with fundamental rights and procedural guarantees, the SC is therefore concerned by the lack of a transparent procedure for dealing with individual complaints and takes the view that, at least during the transitional period, until further amendments to the Regulation are adopted, the current gap should be closed by the DG re-establishing an internal procedure for complaint in OLAF. |
III. THE WAY FORWARD: AN INTERNAL PROCEDURE FOR COMPLAINTS
16. |
In OLAF's view, the notion of ‘complaints’ covers (i) complaints concerning procedural guarantees in the context of investigative actions, (ii) complaints against a reply by OLAF to a request for access to personal data and (iii) complaints from whistle-blowers (concerning either OLAF's obligation to inform them on the action taken following their fraud reporting or the protection of their identity) (27). According to information provided by OLAF, in the last three years there were 25 complaints concerning OLAF's investigation activity, of which 13 were addressed to the EO (28), 8 were addressed to the EDPS (29) and 4 were requests for review addressed to OLAF (30). OLAF is also aware of other complaints, addressed to other bodies (e.g. to the SC), but it does not have any systemic overview, register or statistics related to them. |
17. |
Taking into account the number of cases opened by OLAF (718 in 2012 (31)) and the fact that complaints against OLAF are addressed, in particular, to the EDPS, the EO and the SC (32), the small number of complaints addressed to OLAF itself may lead to the conclusion that the absence of a transparent and independent procedure for handling complaints in OLAF effectively deters potential complainants from exercising their rights. |
18. |
The SC notes, from its monitoring experience, that in the previous years the handling of complaints appeared to be carried out on a case-by-case basis rather than through a stable and consistent procedure. The SC shares the EO's view that a case-by-case approach is not ‘the best way to ensure the efficient and transparent handling of complaints’ (33) and that without a proper complaint procedure ‘compliance [with fundamental rights] cannot ultimately be effective’ (34). Such a procedure is a key element of OLAF's accountability and legitimacy, because protecting fundamental rights ‘is not only to the benefit of persons under investigation but also of OLAF, whose legitimacy can only increase when fundamental rights are (seen to be) effectively protected’ (35). |
19. |
The SC considers that, from the OLAF perspective, a complaint procedure would help (i) the detection by OLAF of any breach of its own legal obligations, thus allowing for a prompt reaction, (ii) monitoring by OLAF of compliance with fundamental rights and procedural guarantees by its own staff, (iii) avoiding the risk of discriminatory treatment of persons concerned, (iv) settling possible disputes before they aggravate (36). |
20. |
In the SC's opinion, Article 41 of the Charter of Fundamental Rights (37) (right to good administration) would offer a sufficient legal basis for establishing an internal procedure for dealing with individual complaints. Complainants are entitled to expect from OLAF that their ‘affairs’ are ‘handled’ — according to the principles defined by the Charter. |
21. |
The SC therefore believes that the DG should put in place a transparent and efficient internal procedure for dealing with all the types of complaints related to OLAF investigative activities, including not only complaints alleging potential breaches of fundamental rights in the course of an OLAF investigation, but also those concerning duration of investigations, legality of OLAF's acts, breaches of confidentiality, refusals to provide information. The following practical recommendations are without prejudice to the forthcoming legislative proposals (38) or to the SC's position as expressed in its paper on Reinforcing procedural safeguards in OLAF — in view of the monitoring experience of the Supervisory Committee (39) — they should be regarded as transitional measures until the current legal framework is improved. |
22. |
The SC would firstly point out that it is for the DG to establish and define the exact scope and content of rules on handling of complaints in OLAF. In so doing, the DG should take into consideration a number of requirements triggered by the right to good administration. Recommendations by the EO and the Code of Good Administrative Behaviour should be also taken into account. Without establishing an exhaustive list, the SC would point to the following requirements:
|
23. |
Secondly, with regard to the person entrusted with the handling of complaints, he should have the appropriate competencies, qualifications and experience. Such person should have well defined tasks and benefit from access to appropriate resources. He should have access to all relevant case-related information and OLAF staff should fully cooperate with him. |
24. |
Regarding particularly the requirement of independence, the SC would stress that any effective internal complaint procedure, which would necessarily imply the handling of a complaint by an OLAF (senior) official, requires that this person act, when carrying out his review duties, in full independence of the DG. This is a key element in ensuring external credibility and public trust. The SC acknowledges the difficulty of implementing such a requirement, since this person should report to the DG on his findings while the latter remains the appointing authority deciding on the career progress of all OLAF officials (46). |
25. |
The SC would indicate three possible solutions to that problem.
|
26. |
Finally, the SC considers that information on how to address complaints to OLAF, together with a description of the procedure for handling them, should be published on OLAF's website, for the sake of transparency and legal certainty. Moreover, the SC should be regularly informed of the complaints received by OLAF and the way they have been handled, this allowing it to properly perform its role of monitoring developments concerning the application of procedural guarantees and the duration of investigations. |
SUPERVISORY COMMITTEE'S RECOMMENDATIONS
In the light of the above considerations, the Supervisory Committee:
(1) |
Recommends that the Director-General set up an internal procedure for dealing with individual complaints concerning OLAF investigations; |
(2) |
Invites the Director-General to consult the details of the procedure with the SC, before its adoption; |
(3) |
Recommends that the Director-General publish the procedure on OLAF's website after its adoption; |
(4) |
Expects the Director-General to report regularly to the SC on complaints received by OLAF and the way they have been handled. |
Adopted in Brussels, December 2013
For the Supervisory Committee
Johan DENOLF
Chairman
(1) Although little consideration was given to this aspect when OLAF was created, the few procedural guarantees defined in the former Regulation (EC) No 1073/1999 were developed by the case-law of the EU General Court.
(2) See the SC's Opinion No 5/2010 on Respect for fundamental rights and procedural guarantees in investigations by the European Anti-Fraud Office, point 3.
(3) See in particular Article 41 of the Charter.
(4) One of the objectives of the reform was to reinforce the protection of fundamental rights and procedural guarantees within OLAF's investigations.
(5) Regulation (EU, Euratom) No 883/2013 of the European Parliament and of the Council of 11 September 2013 concerning investigations conducted by the European Anti-Fraud Office (OLAF) and repealing Regulation (EC) No 1073/1999 of the European Parliament and of the Council and Council Regulation (Euratom) No 1074/1999 (OJ L 248, 18.9.2013, p. 1).
(6) The legality check relates, inter alia, to the respect of procedural guarantees and fundamental rights of persons concerned (Article 17(7)).
(7) Article 15(1).
(8) For a thorough overview of the different kinds of judicial review of OLAF's investigative acts, see J.F.H. Inghelram, Legal and Institutional Aspects of the European Anti-fraud Office (OLAF) — An Analysis with a Look Forward to a European Public Prosecutor's Office, Europa Law Publishing, 2011, p. 203. See also X. Groussot, Z. Popov, What's wrong with OLAF? Accountability, due process and criminal justice in European anti-fraud policy, Common Market Law Review 47, 2010, p. 605-643.
(9) For example, the actions for annulment introduced against OLAF investigative acts have constantly been declared inadmissible on the grounds that none of such acts has to date been deemed to bring about a distinct change in the applicant's legal position.
(10) In actions for damages, there are three conditions to be met in order to trigger a right to reparation: the infringement of a rule of law intended to confer rights on persons; a sufficiently serious breach of this rule; the existence of a direct causal link between the breach of the rule of law and the damage allegedly suffered by the complainant.
(11) J.F.H. Inghelram, Judicial review of investigative acts of the European Anti-Fraud Office (OLAF): a search for balance, Common Market Law Review 49, 2012, p. 601-628.
(12) Regulation (EC) No 45/2001 of 18 December 2000 on the protection of individuals with regard to the processing of personal data by the Community institutions and bodies and on the free movement of such data (OJ L 8, 12.1.2001, p. 1).
(13) According to the definition given by the EO, ‘Maladministration occurs when a public body fails to act in accordance with a rule or principle which is binding upon it’ (see the EO's Annual Report 1997, p. 23).
(14) See the Special Report of the EO in own-initiative inquiry OI/5/2012/BEH-MHZ concerning FRONTEX, 12 November 2013, point 43.
(15) Franchet and Byk v Commission (No 2),8 July 2008, Case T-48/05.
(16) Article 15(1) of Regulation (EU, Euratom) No 883/2013.
(17) See Article 14 of the former Regulation (EC) No 1073/1999. Its content has been included in Article 90a of the Staff Regulations and as a consequence has been deleted from Regulation (EU, Euratom) No 883/2013.
(18) See Commission v Antonello Violetti and Others and Nadine Schmit, 20 May 2010, Case T-261/09.
(19) See the note of the Director-General to OLAF staff (I/011472 of 10 November 2008) and the note JUR(2008)45321 of 1 April 2008 of the Commission's Legal Service.
(20) During the legislative process, the EU institutions put forward various proposals: an independent Review Adviser with the participation of the SC, a Review Panel consisting of senior officials of OLAF and of the Commission's Legal Service, two separate procedures (legality check by legal experts of OLAF and complaints to the Review Adviser via the SC), a review procedure to be set up by the DG within the Office.
(21) See the former OLAF Manual — Operational Procedures, version July 2011, point 5.1.6.
(22) Article 7b: this procedure aimed at dealing with requests from persons concerned by an investigation, to have an independent opinion regarding the respect of the procedural guarantees provided for in the Regulation.
(23) Replacing the former OLAF Manual — Operational Procedures.
(24) Article 23 of the ISIP — ‘23.1 Where a natural person concerned by an investigation has requested a review of the handling of his procedural guarantees, the Director-General appoints a member of OLAF staff not connected with the investigation, to conduct such a review. 23.2 The person entrusted with the review must act independently in his review of the complaint and report his findings to the Director-General. 23.3 The Director-General may take appropriate action in respect of any failure to respect procedural guarantees and will inform the complainant’.
(25) COM(2013) 533 final, 17.7.2013.
(26) See the SC's Annual Activity Report 2012, specifically Section 2 of Annex III.
(27) OLAF does not count as ‘complaint’ the applications for access to documents (including ‘confirmatory applications’), the requests for access to personal data, staff complaints (Art. 90 of Staff Regulations), motions to courts, complaints addressed to the Commission which do not concern directly OLAF, letters from informants/whistle-blowers unhappy with OLAF's decision to dismiss a case.
(28) 7 complaints in 2013, 3 complaints in 2012 and 3 complaints in 2011.
(29) 5 complaints in 2012 and 3 complaints in 2011.
(30) 1 request in 2013, 2 requests in 2012 and 1 request in 2011.
(31) See the OLAF 2012 Activity Report.
(32) See the Annual Activity Reports of the EDPS and the EO. The SC itself received 7 complaints in 2012 and 14 complaints in 2013, concerning, inter alia, alleged failure to respect fundamental rights and procedural guarantees, breach of confidentiality of investigations, duration of investigations.
(33) See the EO's Decision closing his inquiry into complaint 3072/2009/MHZ against the Commission, 5 April 2011, point 27.
(34) See the Draft recommendation of the European Ombudsman in his own-initiative inquiry OI/5/2012/BEH-MHZ concerning the European Agency for the Management of Operational Cooperation at the External Borders of the Member States of the European Union (FRONTEX), 9 April 2013, point 79.
(35) J.F.H. Inghelram, Judicial review of investigative acts of the European Anti-Fraud Office (OLAF): a search for balance, quoted above, p. 627.
(36) See the Draft recommendation of the European Ombudsman in his own-initiative inquiry OI/5/2012/BEH-MHZ quoted above, point 47.
(37) Article 41(1) of the Charter: ‘Every person has the right to have his or her affairs handled impartially, fairly and within a reasonable time by the institutions and bodies of the Union’.
(38) See the Commission's proposal quoted above.
(39) This paper was adopted at the SC's plenary meeting on 8 October 2013 and transmitted to the three appointing Institutions on 24 October 2013.
(40) See the Decision of 26 June 2008 of the EO on complaint 1354/2007/VIK against the European Economic and Social Committee, point 2.3: ‘it is good administrative practice that complaints against a Community official should normally not be answered by this very same official, but by the superior of this official or by another appropriate official/body’.
(41) See Article 18 of the European Code of Good Administrative Behaviour. See also the Draft recommendation of the EO in the inquiry into complaint 1183/2012/MMN against OLAF, 15 November 2013.
(42) See Article 17(1) of the European Code of Good Administrative Behaviour, which elucidates the ‘reasonable time’ requirement of the Charter by establishing a two months period from the date of receipt of a request or complaint. Article 17(2) allows for an extension of this period if it is justified by the ‘complexity of the matters which it raises’. The SC notes with interest the EO's statement that extension of the time limit within which an EU institution may deal with a complaint can be justified by the complexity of the issues raised, but not by an alleged lack of sufficient human resources or internal obstacles within its own services, since ‘in accordance with the principles of good administration, the EU institutions have the duty to ensure that they provide their various services with sufficient resources to fulfil the tasks which have been entrusted to them’ and to ‘structure their various services in a such a way as not to hinder the performance of the institution's duties, including in particular, the need to treat complaints by citizens within a reasonable time’ (see EO's Decision closing his inquiry into complaint 2288/2011/MMN against the European Investment Bank, 25 September 2013, pt. 28, 30).
(43) This right may be limited by the need to respect the legitimate interests of confidentiality and of professional and business secrecy.
(44) See also Article 13 of the European Code of Good Administrative Behaviour.
(45) See, in this respect, the Decision of the EO on complaint 1512/2007/JMA against the European Commission, 5 June 2008. Article 19 of the European Code of Good Administrative Behaviour may also be relevant in this respect.
(46) See the concerns expressed by civil society representatives with regard to the compatibility of the principle of independence with the fact that a person works in the interest of a specific entity (see the Draft recommendation of the European Ombudsman in his own-initiative inquiry OI/5/2012/BEH-MHZ quoted above, point 78).
(47) Recital 40 of Regulation (EU, Euratom) No 883/2013.
(48) As it was suggested by the Commission in its proposal of 17 March 2011, Article 7b.2.
(49) Idem. See also Article 14 a) of the European Parliament legislative resolution of 20 November 2008 on the proposal for a regulation of the European Parliament and of the Council amending Regulation (EC) No 1073/1999 concerning investigations conducted by the European Anti-Fraud Office (OLAF) (COM(2006) 244 — C6-0228/2006 — 2006/0084(COD)) (OJ C 16E, 22.1.2010, p. 201).
ANEXO 3
OPINION No 1/2014
OLAF Investigation Policy Priorities
The Supervisory Committee of the European Anti-Fraud Office (OLAF) examined the Investigation Policy Priorities (IPPs) established, on a yearly basis, by the Director-General of OLAF. The Committee compared the IPPs for 2012 and 2013 with the draft IPPs for 2014. The Committee welcomed the improved definition of the IPPs for 2014. The Committee considered however that the policy on financial indicators and the implementation of the proportionality principle needs further clarification. The Committee also drew attention to the need to reconsider the subsidiarity/added value policy and to apply it with caution, as well as to the need of a regular assessment of the IPPs. |
TABLE OF CONTENTS
INTRODUCTION | 29 |
I. |
THE IPPS ESTABLISHED BY THE DIRECTOR-GENERAL | 29 |
I.1. |
IPPs for 2012 | 29 |
I.2. |
IPPs for 2013 | 29 |
I.3. |
Regulation (EU, Euratom) No 883/2013 | 30 |
I.4. |
Draft IPPs for 2014 | 30 |
I.5. |
Feedback from other Directorates-General of the European Commission | 30 |
II. |
SUPERVISORY COMMITTEE'S ASSESSMENT OF THE IPPS | 31 |
II.1. |
Improved definition of the IPPs | 31 |
II.2. |
Need to clarify the policy on financial indicators | 31 |
II.3. |
Need to reconsider the subsidiarity/added value policy | 32 |
II.4. |
Need to regularly assess the IPPs | 32 |
III. |
SUPERVISORY COMMITTEE'S RECOMMENDATIONS | 33 |
INTRODUCTION
1. |
The Investigation Policy Priorities (IPPs) were established by the European AntiFraud Office (OLAF) for the first time within the framework of the Management Plan 2012 as an element of the reorganisation of the Office, aiming at improving the selection procedure. ‘The IPPs [were] used by OLAF to decide on the opening of investigations. These priorities [came] into play after the competence of OLAF and the necessary level of suspicions [had] been established’ (1). |
2. |
On 1 October 2013, Regulation (EU, Euratom) No 883/2013 (2) entered into force. It obliges the Director-General of OLAF (OLAF DG) to determine the IPPs each year and also to forward them, prior to their publication, to the Supervisory Committee (SC) of OLAF (3). In the light of its role of reinforcing OLAF's independence and of its duties to assist the OLAF DG in discharging his responsibilities (4), the SC decided to thoroughly examine the IPPs for 2012, 2013 and 2014. |
I. THE IPPS ESTABLISHED BY THE DIRECTOR-GENERAL
I.1. IPPs for 2012
3. |
There were five IPPs established in 2012:
|
4. |
The special policy objectives were related to sectors and geographical areas decided by the OLAF DG on the basis of concerns and priorities expressed by the European Institutions and of OLAF's own risk analyses. For 2012 the special policy objectives included:
|
5. |
The priority related to the financial impact included financial indicators, e.g. EUR 500 000 in the European Social Fund and Cohesion Fund and € 1 million in the European Regional Development Fund (estimated misappropriation or wrongful retention of funds), over € 1 million (estimated illegal diminution of resources) in the customs sector (6). |
I.2. IPPs for 2013
6. |
The IPPs have been updated for 2013 and they include four criteria:
|
7. |
The special criteria for 2013 are related to sectors only and no longer to geographical areas. The adoption of those criteria is linked to documents issued by stakeholders (7). There are three prioritised sectors:
Finally, the special criteria include also financial indicators which are equivalent, in content, to the financial impact priority of 2012 (9). |
I.3 Regulation (EU, Euratom) No 883/2013
8. |
Regulation (EU, Euratom) No 883/2013 establishes certain principles to be taken into account by the OLAF DG, alongside the IPPs, when deciding whether or not to open an investigation (10). |
9. |
Those general principles include:
|
I.4 Draft IPPs for 2014
10. |
On 4 December 2013 the OLAF DG transmitted to the SC the draft IPPs for 2014 which are to be adopted by the end of January 2014. The draft priorities for investigation in 2014 include:
|
11. |
The draft priorities are related to the areas of activities of OLAF Directorate B only (not Directorate A). They are based on 9 key documents issued by stakeholders and they do not contain any reference to financial indicators. |
I.5 Feedback from other Directorates-General of the European Commission
12. |
On 11 February 2013 the responsible unit in the Directorate-General for Agriculture and Rural Development (DG AGRI) formally alerted OLAF via a registered note (11) that the financial indicator for one of the priorities — rural development — adopted by the OLAF DG, apparently without having consulted DG AGRI and defined as over EUR 250 000, would exclude 99,83 % of cases, since only 1 036 beneficiaries, out of 563 196, received subsidies above that threshold. DG AGRI expressed the view that it might be worthwhile considering a revision of the threshold of EUR 250 000, in order to increase the impact of OLAF's activities in the rural development sector. In May 2013 the Director-General of DG AGRI complained (12) to the OLAF DG that the above mentioned note of 11 February 2013 had never been answered. OLAF DG replied in July 2013, ‘taking note’ of the proposed ‘adaptation of the financial thresholds’, stressing that they are just one of the indicators and that when cases are dismissed on the basis of the IPPs, the relevant information is ‘systematically’ transferred to the competent authorities (13). |
13. |
With regard to a number of cases dismissed by OLAF and transferred to DG AGRI for appropriate action, DG AGRI continued to express its disagreement. In particular, DG AGRI pointed out that its competence lies in carrying out system audits; it therefore cannot undertake verifications regarding individual cases (e.g. possibly irregular payments to individual beneficiaries) that would amount to investigative activities for which it is not competent. As a consequence, DG AGRI decided not to follow-up such cases forwarded by OLAF. (14) In reply, DG AGRI was referred to OLAF's ‘Guidance note for treatment of dismissed cases’ (15) listing actions that can be taken in such circumstances. |
14. |
The SC's inquiries have shown that the problem of insufficient consultation with the stakeholders concerns also other ‘spending’ DGs. In particular the issue of criteria for establishing financial indicators and the issue of the follow-up of cases of fraud or irregularity which are dismissed by OLAF seem to be addressed unilaterally by OLAF, without taking effectively into account opinions of the stakeholders. |
II. SUPERVISORY COMMITTEE'S ASSESSMENT OF THE IPPS
II.1 Improved definition of the IPPs
15. |
The IPPs for 2012 and 2013 contained, as priority criteria to be taken into consideration by OLAF to decide on the opening of investigations, three general principles, namely proportionality, need for efficient use of investigative resources and subsidiarity. The SC has pointed out in technical meetings with OLAF that proportionality and subsidiarity belong to the general principles of the EU law and as such must be always applied by all the EU bodies in accordance with the established EU case-law. As a result, those principles cannot constitute discretionary priorities of the Director-General of OLAF. |
16. |
The SC notes that Regulation (EU, Euratom) No 883/2013 has established a clear distinction between the three general principles which always need to be taken into account by the Director-General and the priorities which he himself is to determine each year within the context of the annual management plan (16). The principles established in the Regulation correspond largely to the first three IPPs for 2012 and 2013. Therefore, since 1 October 2013, only the special annual criteria and the financial indicators determined by the Director-General can be considered as the IPPs for OLAF in the sense of the Regulation. |
17. |
The SC welcomes the fact that, following its comments expressed during technical meetings, the Director-General included in the draft IPPs for 2014 only those elements which can be clearly considered under the Regulation as priorities (and not principles). |
18. |
Moreover, the SC would draw attention to the fact that the general principles established in the Regulation are binding on the Director-General for all his decisions on opening or not an investigation. Since these decisions are based on the opinions of the Investigation Selection and Review Unit, the SC believes that it is important to provide the responsible staff in that unit with guidelines on the application of those principles. |
II.2. Need to clarify the policy on financial indicators
19. |
The IPPs for 2012 and 2013 listed a certain number of financial indicators to be taken into account in the selection process, together with other priority criteria. Already in its 2012 Annual Activity Report, the SC indicated that some of the thresholds were excessively high. At that time, the SC expressed its concern that potential fraud or irregularities likely to have a lower, but still significant financial impact, may not be taken into consideration, despite clear evidence (17). In particular, the SC highlighted that ‘The setting by the Director-General of high financial thresholds, to be taken into consideration by OLAF prior to open an investigation in various sectors and the possibility for the Director-General not to open an investigation even if there is ‘sufficient suspicion’, without a parallel duty for the Director-General to inform the competent authorities of institutions when he decides not to open an investigation, risks resulting in areas of impunity’ (18). |
20. |
Another concern that the SC wishes to express relates to the fact that those financial indicators were established apparently without any consultation with the stakeholders. It would not be consistent with the European Commission's anti-fraud strategy, which promotes OLAF's proactive and reinforced role in assisting the Commission Services, by providing, inter alia, a methodology and guidance on the development and implementation of the sectoral anti-fraud strategies (19). The SC would point out that the departments responsible for managing and/or supervising EU funds should receive proper information concerning suspicions of fraud or irregularities detrimental to the EU financial interests. In the absence of such information, they cannot ensure adequate protection of the EU's financial interests. In addition, the SC considers that OLAF would benefit from a constructive dialogue with its stakeholders with regard to financial indicators, since they are primarily responsible for managing EU funds and, as such, hold the most reliable information on elements of expenditure potentially affected by fraud, irregularities or other illegal activities detrimental to the EU financial interests. |
21. |
The SC welcomes the fact that, following its comments expressed in its Activity Report for 2012, the Director-General decided to review the policy on financial indicators. The SC is, however, concerned that, as the result, the DG has completely excluded any financial indicators from the draft IPPs for 2014, leaving the unit responsible for case selection without any concrete guidance in this respect. |
22. |
The SC would point out that, despite the financial indicators for 2012 and 2013 being arbitrary and dangerously overstated, it considers that some financial impact criteria — discussed with the stakeholders — are, however, relevant for the assessment of the seriousness of the risk involved and could be useful as an element of reference and as internal guidelines on the application of the proportionality principle. The financial criteria should take into account the input from the European Commission's Directorates-General and from the EU institutions or bodies involved in the financial lifecycle and which are the best placed for holding timely information on the management of EU funds and on potential risks of fraud or irregularities detrimental to the EU financial interests. |
II.3. Need to reconsider the subsidiarity/added value policy
23. |
The SC notes that the subsidiarity principle, combined with the assessment of the added value of OLAF's action, was one of the IPPs for 2012 and 2013. In Regulation (EU, Euratom) No 883/2013 the added value appears as a stand-alone principle concerning internal investigations (20), while the principle of subsidiarity is referred to (in the meaning of Article 5 of the Treaty on European Union) in the context of external investigations (21). However, they continue to be applied by the Investigation Selection and Review Unit as one selection criterion, regardless of the type of case (22). Since the two principles have been reinforced by the Regulation and defined in two different contexts, the SC considers that OLAF should clarify their application in the selection process. |
24. |
The SC also notes, from the feedback received from other Directorates-General of the Commission, as well as from its own analysis of opinions of the Investigation Selection and Review Unit, that the application of this principle by OLAF is a matter of concern and that the likelihood of a follow-up by another authority seems to be insufficiently taken into consideration. While reiterating its views with regard to OLAF's ‘de minimis’ policy, in particular the opinion that, in cases where minor wrongdoings/low impact cases can be dealt with satisfactorily by other services, OLAF may forward incoming information to other Commission services, rather than decide to open an OLAF investigation (23), the SC would point out that OLAF should be careful to verify whether or not the recipient authority has the necessary competence and powers to deal with the case, in order to be sure that appropriate follow-up is given to cases dismissed by another authority. |
II.4 Need to regularly assess the IPPs
25. |
The SC notes that the IPPs, which are determined within the context of OLAF's Annual Management Plan, change every year and there are significant differences between the IPPs for 2012, 2013 and 2014. In the SC's opinion, such changes should be justified by concrete needs and measurable indicators. However, the SC is not aware of any internal or external evaluation, feedback or follow-up of the IPPs for 2012 and 2013, and equally notes the absence of any action aimed at assessing the impact of the priorities prior to their adoption. |
26. |
The SC believes that the IPPs should have as a purpose accomplishing certain objectives and therefore their implementation should be regularly assessed by OLAF, in order to establish whether or to what extent those objectives have been achieved. Moreover, the adoption of any new IPPs should be based on an impact assessment, which should include concrete and measurable indicators, lessons learnt from the implementation of previous IPPs and results of internal audits. The draft IPPs which shall be forwarded to the SC every year should be accompanied by the assessment of the implementation of former IPPs and the impact assessment of new IPPs, together with background documents. |
III. SUPERVISORY COMMITTEE'S RECOMMENDATIONS
27. |
In light of the above considerations, the Supervisory Committee:
|
Adopted in Brussels, on 6 February 2014
For the Supervisory Committee
Johan DENOLF
Chairman
(1) OLAF Management Plan 2012, p. 20.
(2) Regulation (EU, Euratom) No 883/2013 of the European Parliament and of the Council of 11 September 2013 concerning investigations conducted by the European Anti-Fraud Office (OLAF) and repealing Regulation (EC) No 1073/1999 of the European Parliament and of the Council and Council Regulation (Euratom) No 1074/1999 (OJ L 248, 18.9.2013, p. 1).
(3) Article 17(5) of Regulation (EU, Euratom) No 883/2013.
(4) Article 15 and recital 37 of Regulation (EU, Euratom) No 883/2013.
(5) OLAF Management Plan 2012, p. 21.
(6) Ib., p. 22.
(7) OLAF Management Plan 2013, footnotes 32, 33 and 34 on p. 44.
(8) Ib., p. 44.
(9) Ib., p. 45.
(10) Article 5(1).
(11) Note Ares(2013)175305 addressed to the Head of Unit 0.1.
(12) Note Ares(2013)1118690.
(13) Note Ares(2013)2587818.
(14) E.g. note Ares(2013)3660752 of December 2013.
(15) Ares(2013)622043 of April 2013.
(16) See Article 5.
(17) See the SC's 2012 Annual Activity Report, p. 23.
(18) Ib., p. 42.
(19) See Communication from the Commission to the European Parliament, the Council, the European Economic and Social Committee and the Committee of the Regions and the Court of Auditors, on the Commission antifraud strategy, 24.6.2011, COM(2011) 376 final.
(20) Article 5(1).
(21) Recital (49).
(22) The work-form ‘Opinion on opening decision’ (version amended and adopted as of 1 October 2013) lists the subsidiarity/added value amongst the IPPs to be evaluated, without any distinction between internal and external cases.
(23) See the SC's Annual Activity Report, June 2008-May 2009, point II — 1.2.
ANEXO 4
OPINION No 2/2014
Case selection in OLAF
CONTENTS
INTRODUCTION | 35 |
Scope and purpose of the SC's review | 35 |
Methodology | 35 |
PART I |
RESULTS AND RECOMMENDATIONS | 36 |
Need to improve the resources allocated to the ISRU | 36 |
Need to improve the application of the selection criteria | 37 |
Need to increase transparency of the selection process | 40 |
Need to improve the reporting to the SC | 41 |
Final remarks and recommendation | 41 |
PART II |
ANALYSIS AND FINDINGS | 42 |
(1) |
The resources allocated to the selection function | 42 |
(1.1) |
Human resources | 42 |
(1.2) |
Time resources | 43 |
(1.3) |
Instructions | 44 |
(1.4) |
IT/technical resources | 45 |
(2) |
The selection process: compliance with the selection criteria | 45 |
(2.1) |
OLAF's competency to act | 45 |
(2.2) |
Sufficiency of information | 46 |
(2.3) |
Investigation Policy Priorities | 47 |
(3) |
The information flow during the selection process | 50 |
(3.1) |
Information provided to the competent EU or Member States' authorities | 51 |
(3.2) |
Information provided to the investigation directorates | 51 |
(3.3) |
Information provided to the source of information | 51 |
ANNEX: THE SELECTION PROCESS — A STEP-BY-STEP APPROACH | 52 |
INTRODUCTION
1. |
On 1 February 2012, OLAF's investigative procedures and internal organisation were significantly changed. New Instructions to Staff on Investigative Procedures (ISIP) were issued and a new Investigation Selection and Review Unit (ISRU) was created. This unit deals with both the selection and review of cases (1) and provides opinions on the basis of which the Director-General (DG) of OLAF takes decisions on opening or dismissing cases, on the main investigative activities, on the final report and on the recommendations. The ISRU is thus involved in the whole lifecycle of an investigation or coordination case and most of the decisions taken by the DG in the investigation area are based on its opinions. Therefore, the internal rules, the organisation, the competences, the efficiency and the quality of the work of the ISRU have a major and direct influence on the performance of the whole OLAF investigative function. The Supervisory Committee (SC) has therefore decided to pay particular attention to the execution by this unit of its role. |
Scope and purpose of the SC's review
2. |
The SC's review has focused on the selection function of the ISRU — and, in particular, on the selection process (2). The SC's analysis takes into account the legal provisions and instructions to staff in force at the time when the analysed opinions were delivered, namely Regulation (EC) No 1073/1999 (3) and the ISIP. However, the SC's recommendations are made in the light of the current Regulation (EU, Euratom) No 883/2013 (4) and the new Guidelines on Investigative Procedures (GIP), both of which entered into force on 1 October 2013. |
3. |
On 1 February 2012, the assessment of the incoming information of possible investigative interest to OLAF was transferred from the investigation units to the ISRU. A centralised decision-making system was created, consisting of two levels: the decisional level, represented by the DG, and the advisory level, represented by the ISRU. Such centralisation may help to improve the efficiency and consistency of the selection of cases, provided that the ISRU carries out its function in an effective, competent and transparent manner, according to clear principles and drawing on the expertise of investigative, analytical and legal units. The SC's review has as its objective to verify whether those requirements have been satisfied. |
Methodology
4. |
The SC selected a sample of opinions on the opening or dismissal of cases: it consisted of a statistical sample of opinions from all the cases created between 1 September 2012 and 31 March 2013 plus all opinions of May 2013 and plus further 20 opinions selected by the DG. According to the criteria submitted by the SC, OLAF identified 314 opinions (5) of which 1 contained erroneous numbering and 20 were submitted in duplicate (appearing twice on OLAF's lists). Therefore the total number of opinions eligible to be examined by the SC came to 293, of which 218 opinions (74,4 %) recommended the dismissal of cases and the remaining 75 opinions (25,6 %) recommended the opening of investigation or coordination cases (figure 1). All the recommendations have been followed by the DG. |
Figure 1
Cases dismissed/opened
5. |
The SC's review is based on:
|
6. |
The details of the analysis and of the findings are presented in Part II of this opinion. In Part I the SC presents its conclusions and recommendations made to the DG. |
PART I RESULTS AND RECOMMENDATIONS
Need to improve the resources allocated to the ISRU
7. |
The SC's examination of allocation of resources to and within the ISRU revealed that, generally, there are experienced selectors in the unit, covering a wide range of specialisations. However, each selector deals with different sectors, including those where they have less expertise, which, in particular with regard to selectors who have no investigative experience, may have affected the quality of the assessment carried out. The limited number of the training courses completed by the selectors does not appear to compensate for the lack of previous experience. The SC found also that legal knowledge was not sufficiently demonstrated in many opinions and that language expertise was sometimes missing (see paragraphs 31-35 and 38). |
8. |
The SC is of the opinion that the fact that selectors are required to assess information in domains with which they are not always familiar may increase the risk of losing time when having to switch between different sectors and of performing incomplete assessments of incoming information. Selectors need to be experienced and properly trained to perform selection tasks. Selectors should also concentrate their efforts on tasks and sectors in which they are most qualified. |
9. |
The SC equally noted that it was neither possible nor productive to strictly adhere to the mandatory 2-month period foreseen in the ISIP for completing the selection of cases. Therefore, the SC welcomes the fact that the new Guidelines on Investigation Procedures eliminated this overly rigid time limit, which allows for a better balance to be struck between OLAF's objective to improve the efficiency and effectiveness of its investigation and coordination cases (by speeding up the period dedicated to the assessment of incoming information) and the need to avoid excessive time pressure (which might be damaging to the quality of the assessment) (see paragraphs 39-40). |
10. |
Lastly, the SC noted that the adoption of clear instructions for dealing with whistle-blowers, as well as technical improvement of the Fraud Notification System (FNS) would also be desirable (see paragraphs 41-44). |
Recommendation 1: Improve the resources allocated to the ISRU OLAF should take appropriate measures to ensure that ISRU has at its disposal sufficient and adequate resources to carry out its selection tasks. In particular, OLAF should:
|
11. |
The SC also noted that the reviewers have been entrusted not only with review tasks, but also with the selection of cases. The SC would point out that, the tasks of the selectors being fundamentally different from those of the reviewers, combining their responsibilities is questionable. The SC is therefore of the opinion that the attribution of cases for selection to the reviewers, in order to compensate for the insufficiency of the language expertise within the unit and resulting in an increase of the reviewers' workload, should remain a temporary and exceptional solution (see paragraphs 36-37). |
Recommendation 2: Separate structurally the selectors from the reviewers OLAF should place the selectors in an organisational structure separate from the reviewers. OLAF should also reduce, as much as possible, the number of cases for selection allocated to the reviewers. Furthermore, OLAF could consider either decentralising the selection function to the investigative Directorates, or introducing a rotation system whereby investigators from each investigation unit are allocated, for a period of time, to the ISRU. |
Need to improve the application of the selection criteria
12. |
The SC found that the assessment of OLAF's competence to act was insufficiently substantiated and in general little consideration was given to the relevant legal instruments (see paragraphs 47-49). |
Recommendation 3: Improve the assessment of the criterion ‘OLAF's competence to act’ OLAF should require the selectors:
In addition, OLAF could also consider compensating for the lack of sufficient legal expertise by the introduction of appropriate training courses and procedures for consultations with OLAF's Legal Advice Unit. |
13. |
The SC notes that there are no clear instructions with regard to the indicators to be used by the selectors to evaluate whether or not the information is sufficient to justify the opening of an investigation or coordination case. As a result, evaluation of this selection criterion was not always properly carried out, while at the same time a variety of practices and a certain degree of inconsistency was noted in the ISRU's opinions. The SC concludes that OLAF's approach to assessing this selection criterion needs to be further developed and clarified. To that nd, OLAF could take note of concrete indicators used by selectors in some of the opinions (see paragraphs 50-54). |
Recommendation 4: Further develop and clarify parameters for evaluating the ‘sufficiency of information’ OLAF should establish a list of concrete and measurable indicators for assessing the reliability of the source, credibility of the allegations and sufficiency of suspicions. |
14. |
The SC notes that the Investigation Policy Priorities (IPPs) established by the DG indicate very clearly a number of concrete and measurable indicators that shall be used in the selection process. However, the SC's review of opinions revealed that these indicators are not systematically and rigorously applied, in particular with regard to ‘proportionality’, ‘efficient use of resources’ and ‘special policy objectives/criteria’. |
15. |
With regard to assessment of proportionality of OLAF's action, the SC found that, despite instructions in the IPPs, the opinions frequently contain unsubstantiated statements and, in many of them, the proportionality test is either absent or incomplete. Moreover, the special policy objectives/criteria are not systematically used (see paragraphs 56-57 and 64-65). |
Recommendation 5: Clarify the application of the proportionality principle OLAF should clarify the application of the proportionality principle and provide the selectors with clearer guidelines. In particular, OLAF should better assess the forecast of the manpower required and other foreseeable costs, weighted against the likelihood of financial recovery and/or of prosecution, and deterrent value. Financial indicators, which are relevant for the assessment of the seriousness of the risk involved, should be used as an element of reference and as internal guidelines on the application of the proportionality principle. |
16. |
The SC also found that the evaluation of the criterion ‘efficient use of resources’ was not properly carried out. The SC believes that several factors may explain that. On the one hand, the evaluation of the four indicators mentioned in the IPPs is hardly achievable without close contact with the investigation units. While the selectors may indeed check in the CMS on the workload of the investigation units (in terms of number of investigators and investigations per unit), the management of these units is better placed to appreciate whether this workload permits swift and continuous investigative activities or could slow down priority investigations. On the other hand, neither the IPPs nor other guidelines on selection (8) establish a threshold above which the ratio of cases per investigator would be considered to be excessive workload. As a consequence, in the absence of clear instructions as to the way in which the size of the workload should be evaluated and of a systemic dialogue between the ISRU and the investigation units, the evaluation of the efficient use of investigative resources would appear to depend to a great extent on a personal approach of each selector. The variety of approaches and sometimes inconsistencies noted by the SC in the opinions confirm this conclusion (see paragraphs 58-60). |
17. |
The SC's review of opinions revealed that, in the few cases where an estimate of the size of the workload of investigators was made, it was not a determining factor for the dismissal of cases. The SC would support the approach that the workload of investigation units should not in itself be sufficient justification for the dismissal of a case. The lack of sufficient resources in investigation units should be tackled by other means, especially via management tools (e.g. temporary reallocation of staff). |
Recommendation 6: Clarify the parameters for the evaluation of the criterion ‘efficient use of resources’ OLAF should apply more rigorously and, where necessary, clarify the application of some of the indicators established in the IPPs for evaluating the ‘efficient use of resources’. In particular, OLAF should better assess the following indicators: size of workload of investigation units and its impact on the on-going investigations, as well as the availability of expertise. To that end, OLAF could improve the cooperation between the ISRU and the investigation units. |
18. |
The SC found that the reasons outlined as to why an OLAF action would not bring any added value to the control activities carried out by other EU or national bodies, which are better placed to act, are generally well explained. Some reasons are recurring, so it would be more efficient for OLAF to identify the main reasons and establish for the selectors a pre-determined list of possible situations where another authority is considered better placed to act (see paragraph 61). |
19. |
The SC noted with concern that the likelihood of a follow-up by another EU or national authority seems to be insufficiently taken into consideration by OLAF. When information on dismissed cases is forwarded to national or EU authorities, it is of the utmost importance that OLAF follows up the action taken by them, in order to be able to react in an appropriate manner when a case is not effectively dealt with by these authorities (see paragraphs 62-63). |
20. |
The SC would point out that, while the national authorities may indeed often be better placed to act, the situation is, however, different with regard to the EU institutions. When OLAF forwards information on serious suspicions of fraud to various DirectoratesGeneral of the Commission or to other EU institutions, bodies, offices or agencies for further action, OLAF must check whether they have, apart from a general competence to carry out system audits, the appropriate powers to undertake (possibly investigative) actions in individual cases. These checks are necessary especially in the EU staff sector, where OLAF has, in certain matters, sole competence, while in others it has shared competence with the EU institutions, bodies, offices and agencies, with some of which it has concluded agreements on the de minimis policy. |
Recommendation 7: Apply with caution the subsidiarity principle OLAF should pay special attention to cases it decides to dismiss on grounds of subsidiarity/added value reasons. In particular, OLAF should:
|
21. |
The SC's overall assessment of the way in which selectors evaluated and applied the selection criteria revealed that the quality (in terms of completeness, clarity, consistency) of the motivation of opinions depends to a great extent on the individual approach and experience of selectors. To enhance the quality, OLAF should apply more rigorously the indicators it established for the assessment of these criteria and further develop and clarify some of them. |
Recommendation 8: Improve the quality of the motivation of opinions OLAF should improve the quality, clarity and consistency of the motivation of the opinions on opening decision. In particular, OLAF should consider amending the work-form ‘Opinion on opening decision’, in order to include specific reference to a number of items, to be chosen by the selectors from pre-determined lists. These pre-determined lists could include references to:
|
Need to increase transparency of the selection process
22. |
The examination of the information flow during the selection process showed that in general OLAF is ready to provide information on dismissed cases to other EU or national authorities, while at the same time it would appear that sources of information are not systematically informed of OLAF's decisions upon completion of the selection process (see paragraphs 67-69 and 72). |
23. |
The SC finds it important for the persons or entities providing OLAF with initial information to be informed of the relevant action (not) taken by OLAF. Appropriate feedback encourages fraud reporting, and it is, at the same time, a strong transparency indicator. The SC shares the view of the European Ombudsman that providing the sources of information with reasons for decisions taken by OLAF as a follow-up to that information increases transparency and strengthens trust in OLAF's functioning (9). |
24. |
The SC also noticed an apparently low level of cooperation between the ISRU and the investigation units (or investigation support units) which receive very little information on dismissed cases. The SC would point out that, when a case is dismissed, the information held (sometimes exclusively) by the ISRU may still be of interest for the investigation units (e.g. to detect new fraud mechanisms), and they could also sometimes provide, thanks to their expertise, useful feedback for the selection unit and thus increase the efficiency of the selection process (see paragraphs 70-71). |
Recommendation 9: Increase transparency of the selection process OLAF should improve the transparency of the selection process. In particular, OLAF should:
|
25. |
The SC noted that the conclusions of the opinions do not always clearly mention the actions that OLAF should take at the end of the selection process. When they are not completely omitted, some of these actions can only be deduced from other sections of the opinion (see paragraphs 67-69 and 72). |
Recommendation 10: Improve the clarity of conclusions of opinions Further improvements are needed with regard to the conclusions drawn up at the completion of the selection process, which should clearly specify the actions that OLAF should take following a decision to dismiss or open an investigation or coordination case. In particular, conclusions of opinions should clearly mention the actions that OLAF intends to take upon completion of the selection process, such as:
|
Need to improve the reporting to the SC
26. |
The SC found instances where it had not been informed of obstructions that OLAF had encountered during the selection process. Moreover, OLAF did not inform the SC of cases dismissed where the opinions recommended that information should be transmitted to national judicial authorities. OLAF's obligation to inform the SC of ‘cases’ requiring information to be forwarded to the judicial authorities of a Member State (10) covers both cases opened as investigations and cases dismissed. Although such examples may be quite rare, the SC would highlight that such situations fall within its mandate and OLAF should thus provide the SC with appropriate information (see paragraphs 54 and 71). |
Recommendation 11: Improve reporting to the SC on risks to OLAF's independence and on dismissed cases transmitted to national judicial authorities OLAF should improve its reporting to the SC on issues falling within the mandate of the SC. In particular, OLAF should:
|
Final remarks and recommendation
27. |
During technical meetings with OLAF in 2013, the SC presented some concerns arising from its examination of the ISRU's opinions and from the interviews conducted with OLAF staff, with regard to, inter alia, the time-frame for completing selections, the decreasing number of analysts within the ISRU and the division of tasks between selectors and reviewers. The SC notes that OLAF introduced some significant improvements during the period when this opinion was being drafted. The 2month time limit for selection was removed from the GIP. The internal structure of the ISRU was modified on 1 January 2014: the unit is now divided into 3 sectors (two sectors dedicated to the selection and one dedicated to the review), run by heads of sectors assisting the head of unit. The SC welcomes these improvements. |
28. |
Moreover, the SC wishes to underline that it is not its intention to substitute its own judgment on cases examined for that of OLAF, i.e. the SC is not judging whether individual cases should or should not have been opened. However, taking into consideration all of the above conclusions and recommendations and, in particular, the concerns with regard to the sufficiency of human and time resources allocated to the ISRU as well as with regard to compliance with the selection criteria, the SC believes that it would be of benefit for OLAF to carry out an internal evaluation of the activities of the ISRU, aimed at establishing, inter alia, the level of resources needed (number of staff and expertise), the strengths and weaknesses, the ‘error rate’ in evaluated cases (in particular those dismissed) and the relation between selectors and reviewers. |
Recommendation 12: Carry out an internal evaluation of the activities of the ISRU OLAF should carry out an internal evaluation of the activities of the ISRU. Such evaluation could be done either by OLAF's internal auditor and/or by a special team designated by the Director-General, in close consultation with Directors A and B. |
The SC invites OLAF to consider the recommendations of this opinion and to report to the SC on the follow-up given to them. The SC expects to receive OLAF's report by 15 June 2014.
PART II ANALYSIS AND FINDINGS
29. |
The SC defined a number of indicators for the evaluation it carried out. To assess the efficiency of the selection function, the SC looked into the resources made available to the ISRU to carry out its tasks and the concrete results achieved in 2012 and 2013. The quality of the opinions was evaluated in the light of their conformity with the selection criteria established by the DG (11), while the transparency of the selection process was scrutinised by looking into the information flow throughout the selection process. |
(1) The resources allocated to the selection function
30. |
Appropriate staff (number and expertise), sufficient time and clear instructions, appropriate technical and IT tools — those elements are critical for a successful selection process. Therefore, the SC has assessed the allocation of these resources to and within the ISRU. |
(1.1) Human resources
31. |
Number of staff — The ISRU had 16 selectors in 2012 and 2013 (12), who dealt with an ever increasing amount of incoming information (13). The average number of selections per selector was 74, meaning that an average of 3 working days was spent on one selection (14). An opinion was expressed in the interviews conducted by the SC that the staffing of the ISRU may be insufficient and that the heavy workload may affect the quality of the opinions. The SC does not have the necessary means and information to compare whether the performance of the ISRU is equivalent to that of the investigators who formerly carried out the assessment of the initial information prior to the OLAF reform. The SC believes that OLAF itself could and should perform such an analysis. (15) |
32. |
Technical and investigative expertise — In order to accomplish its mission, the ISRU needs to work within all the areas of OLAF's investigative competence. A wide range of expertise is covered by the staff within the unit, both through their education (economy, law, accounting/finances, biology, political sciences) and their professional experience (public finances inspectors, repression of corruption/fraud specialists, lawyers and magistrates, lecturers, auditors, customs officers, national police force, administrative assistants and secretaries). However, it appears from information provided by OLAF that some of the selectors do not have any investigative experience. |
33. |
The SC noted, from the examination of the opinions of the ISRU, that cases appear to be attributed to the selectors on the basis of their personal skills (competencies, language etc.). However, the distribution of cases per sector and per selector indicates that each selector provides opinions not only within their sectors of expertise. Statistical information extracted from the CMS showed that selectors without investigative experience dealt with a high number of cases — mostly dismissed — in very different sectors. Some of the opinions examined clearly reflected the lack of specific or investigative expertise of the selectors, who themselves sometimes acknowledged that they ‘are not specialist [in the matter analysed]’ (16). |
34. |
Legal expertise — In the opinions analysed, the SC notes the limited use of references to the relevant legal instruments (17). This is a clear indicator that the appropriate legal knowledge is either missing or not being sufficiently applied within the unit. |
35. |
Language expertise — The ISRU must be able to handle incoming information potentially drafted in all the 24 EU official languages, which is clearly impossible given the current number of selectors (18). As a result, the lack of language expertise has sometimes prevented the selectors from properly assessing the incoming information (19). |
36. |
The lack of appropriate language expertise has been supplanted by the attribution of cases for selection to the reviewers (20), based mainly on their language skills (21), leading to an increase in their workload, while they were already in charge of providing opinions to the DG on the legality of OLAF's key investigative activities (22), on the requests to extend the scope of cases (23) and on case closures (24). |
37. |
The SC believes that this may represent only a temporary solution of an exceptional nature, more especially considering that the workload of reviewers will likely continue to increase in the future given that the new GIP foresee that, in addition to the opinions provided under the ISIP, they will also need to advise the DG on interviews with witnesses (25) as well as to provide opinions on the requests to split and merge cases (26). |
38. |
Trainings — The SC would like to stress that the lack of previous experience or knowledge need not be an impediment to performing a good selection process, at least for ‘simple’ cases (e.g. cases clearly outside OLAF's competence, the so-called ‘prima facie’ non-cases or where allegations are not substantiated), as long as appropriate training has been provided. The SC was surprised to note that, on the one hand, the training courses followed by the selectors did not cover all the different sectors of OLAF's field of work while, on the other hand, the specialised courses were followed by only a very limited number of selectors (27). |
(1.2) Time resources
39. |
The percentage of selections which the selectors completed within the 2-month period foreseen in the ISIP (28) was 76 % (29). Some cases were dismissed (mainly on the grounds of the insufficiency of information), because it was not possible to acquire the necessary information within the fixed time limit imposed (30). At the same time, it appears that some cases which were previously dismissed have been opened later, on the basis of the information provided by the source after the fixed period (31). Moreover, it was ascertained during the interviews conducted by the SC that the assessment of the incoming information was affected by time pressure. These examples show that it was not only impossible, but sometimes also counterproductive to adhere strictly to the 2-month time limit, in the absence of a procedure, in the ISIP, allowing extending this period, in duly justified situations. The SC believes that a flexible approach is recommendable taking into account that sometimes the necessary supplementary information may emerge after the 2-month period or the source of information may take some time to reply to supplementary questions. |
40. |
The SC notes that Regulation (EU, Euratom) No 883/2013 does not impose a mandatory selection period, except for cases where a Member State concerned or an EU institution, body, office or agency requests that OLAF open an investigation and where a decision whether or not to open an investigation shall be taken within two months of receipt by OLAF of the request, otherwise OLAF shall be deemed to have decided not to open an investigation (32). The new GIP eliminated the overly rigid 2-month time limit, while at the same time maintaining strict deadlines for the Registry to register the incoming information and transmit it to the ISRU (33). |
(1.3) Instructions
41. |
Selectors carry out their tasks on the basis of instructions given by the DG, namely the ISIP (and, since 1 October 2013, the GIP) and of standardised work-forms (34). The SC has analysed these instructions and already provided the DG with a number of comments (35). The SC also makes some recommendations with regard to the work-form ‘Opinion on opening decision’ used by the selectors in Part I of this opinion. |
42. |
During the interviews carried out with OLAF staff it was stated, inter alia, that in all probability many cases are not reported to OLAF due to the lack of a clear procedure for dealing with whistle-blowers. The SC notes that the selectors are instructed to comply with general rules (36), but do not have specific instructions or any formal procedure for dealing with whistle-blowers (e.g. formal contact points, work forms, process for the selectors to contact the OLAF's Legal Advice Unit). As a result, different approaches have sometimes been noted amongst the selectors (37). While taking note of the increase over the past few years, of the number of cases where the source of information was a whistle-blower (figure 2), the SC believes that the adoption of clear and detailed guidelines on how to deal with them would be helpful for the selectors. |
Figure 2
(1.4) IT/technical resources
43. |
Successful assessment of incoming information depends to a great extent on IT/technical tools available to the ISRU which is able to access various internal and external databases. The SC noted that, for the most part, the opinions make clear mention of the consultation of databases and of the results of the research carried out by the selectors. |
44. |
The IT tools made available to the public to report fraud are also important. One of them is the OLAF Fraud Notification System (FNS), a web-based information system that may be used to submit information to OLAF, and through which the selectors may communicate with the source of information (38). On several occasions, the opinions of the ISRU mention that the informants have tried to send documents through the FNS, but these documents have not been received because of the restrictions imposed by the FNS, which blocks the upload of overly large files or limits the number of characters that can be used, without, however, informing the sender. |
(2) The selection process: compliance with the selection criteria
45. |
The selection process consists of a step-by-step application of three selection criteria: OLAF's competency to act, the sufficiency of information to open an investigation or coordination case and the Investigative Policy Priorities (IPPs) established by the DG (39). If the first selection criterion (or the first and second selection criteria) is not fulfilled, the case is dismissed and the information assessed no further (40). Figures 3 and 4 show the distribution of cases dismissed and opened by sector. |
Figure 3
Distribution of cases dismissed by sector
Figure 4
Distribution of cases opened by sector
46. |
The ISIP and the IPPs contain instructions on how to apply each of the selection criteria. The SC's review of the opinions was thus aimed at assessing their conformity with these instructions. |
(2.1) OLAF's competency to act
ISIP, Art. 5.4: In assessing whether OLAF is competent to act, consideration must be given to relevant EU Regulations, Decisions, Interinstitutional Agreements and other legal instruments relating to the protection of the financial and other interests of the EU (41). |
47. |
The SC notes that the lack of OLAF's competence to act, being the reason given for the dismissal of 15 % of the cases (figure 5), was in general well explained (42). On the other hand, little consideration was given to the relevant legal instruments in those cases where OLAF was considered to be competent to act (43). Moreover, the assessment of OLAF's competency to act is not sufficiently substantiated: in many opinions there is a general and unsubstantiated reference to a potential impact on the EU financial interests or to the fact that EU funds were involved (44); in some opinions it is just stated ‘yes’ in the parts referring to the potential impact on the EU financial interests/potentially serious matter relating to the discharge of professional duties (45); other, very few, opinions only mention that ‘OLAF is competent’ without giving any further explanation (46). |
48. |
In general, the SC notes that the quality of the assessments varies according to selectors and their experience in specific sectors: opinions concerning customs, cigarettes and EU staff are comprehensive and generally contain a clear explanation as to the irregularity arising from the allegations, the way it impacts the EU budget and the amount at stake (when determined). |
49. |
The SC also notes that the work-form ‘Opinion on opening decision’ used by the selectors includes two different options for referring to the potential impact on the EU financial interests and to possibly serious matters relating to the discharge of professional duties: one in the ‘summary’ part of the work-form, where the selectors need to tick the relevant boxes, and one in the body of the opinion (part 3 of the work-form), where the selectors need to assess in concreto OLAF's competency to act. This double option might have created some confusion amongst the selectors, since some of them seem to assume that ticking the boxes in the ‘summary’ part exempts them from carrying out a concrete analysis of OLAF's competency to act in Part 3 of the opinion, which should not be the case. |
(2.2) Sufficiency of information
ISIP, Art. 5.4: In evaluating whether the information is sufficient to open an investigation or coordination case, consideration must be given to the reliability of the source and the credibility of the allegations. In addition, all information collected during the selection process must be taken into account when justifying the opening of an investigation or coordination case (47). |
50. |
The insufficiency of information was the main reason for dismissing cases (figure 5). The SC therefore paid particular attention to the grounds on which the selectors based their conclusions. |
Figure 5
Reasons for dismissing cases
51. |
The SC identified opinions where the assessment of the sufficiency of the information (reliability of the source and credibility of the allegations) is unsubstantiated (48), incomplete (49) or inconsistent (50). Equally, little consideration was given to a third parameter emerging from the EU case-law (sufficiency of suspicions), which was rather rarely used, mainly because it was not mentioned in the ISIP or in the workform used by the selectors (51). Moreover, it seems to have various meanings for the selectors: most of the time it was considered that the information was insufficient due to lack of ‘clear indications of fraud’ or ‘absence of fraud elements’ or because there was ‘no concrete information as regards possible irregularities or fraud’ (52); in other cases the (in)sufficiency of suspicions was determined by the quality of the information at OLAF's disposal (53), sometimes the ‘seriousness of the allegations’ was also an element taken into consideration (54). Bearing in mind the existing difference between the ‘seriousness of the allegations’ and the ‘seriousness of suspicions’, the SC would point out that this latter parameter should not have been considered as optional, since the EU case-law has established the ‘sufficiently serious suspicion’ as a precondition for the opening of an investigation (55). The new Regulation (EU, Euratom) No 883/2013 has now explicitly incorporated this requirement (56) and this change is reflected in an amended work-form accompanying the new GIP. The SC welcomes this improvement. |
52. |
The SC believes that the deficiencies noted above could be explained, at least partially, by the fact that neither the ISIP nor any other internal document (57) provides the selectors with precise indicators for implementing this criterion, namely concrete situations when a source of information can be considered reliable (or not), when the allegations put forward are credible (or not) or when there are sufficient suspicions of fraud or irregularities (or not). Appreciation of these elements depends, therefore, very much on the personal approach of each selector, based on their investigative experience and specialised knowledge. |
53. |
The SC was, however, able to identify a number of concrete indicators used in some of the opinions. The reliability of the source was evaluated by using indicators such as (i) the verifiability of the source (anonymous or not), (ii) the type of the source (natural person; EU institution, body, office, agency or a Member State or third country authority; OLAF itself), (iii) the (in)direct knowledge of or connection with the matter reported to OLAF, (iv) the possibility for OLAF to contact the source to request further information (v) the degree of cooperation between the source and OLAF, (vi) the trustworthiness of the source, (vii) the motivation of the source and potential degree of subjectivism. As to the assessment of the credibility of the allegations, their appreciation was based on indicators such as (i) the quality of the initial information provided to OLAF (58), (ii) its verifiability (59), (iii) the context. |
54. |
On the other hand, the SC identified a number of objective reasons explaining the insufficiency of information gathered during the selection process, such as (i) the imprecision of the initial information, which did not allow further research; (ii) technical problems with the FNS preventing the reception of documents; (iii) time pressure of the 2-month period for selection, which did not allow in-depth searches for additional information; (iv) lack of response from stakeholders (EU, national or third countries authorities, sources of information) or even obstruction on their part (60). The SC regrets that, in the latter case, such obstruction was not reported to it. |
(2.3) Investigation Policy Priorities
ISIP, Art. 5.4: The IPP set out the criteria to be applied in determining whether information falls within an established investigative priority (61). |
55. |
Each of the investigation policy priorities established by the DG — proportionality, efficient use of investigative resources, subsidiarity/added value and special policy objectives/criteria for 2012/2013 — can be assessed on the basis of the concrete and measurable indicators which are clearly indicated in the IPPs. The SC's review is aimed at assessing the way in which the selectors applied those indicators. (62) |
(2.3.1) Proportionality
IPPs: OLAF should focus on cases where it can expect a fair return for its efforts. The expected results need to be balanced against the human and material resources that will be needed to bring a case to a successful conclusion. This entails formulating a reasonable forecast of the manpower required and other foreseeable costs (e.g. due to missions) in connection with the investigation while also taking into account:
|
56. |
In general terms, the proportionality principle requires that there be a reasonable relationship between an objective to be achieved and the means used to achieve it. Applied to OLAF's decisions, these require an appropriate equilibrium between, on the one hand, the investigative means to be deployed by OLAF if a decision to open an investigation or coordination case is taken and, on the other, the results that are expected. This approach is well reflected in the IPPs, which provide the selectors with clear indications as to the elements that need to be weighed against each other, resulting in a ‘fair return for [OLAF's] efforts’. |
57. |
The SC notes however that there are a limited number of cases where the indicators for proportionality, as mentioned in the IPPs (likelihood of recovery and of prosecution, possible deterrent value) are clearly indicated and where a balance is struck between the number and type/complexity of the investigative activities needed to be carried out and the expected amount to be recovered/the likelihood of action to be taken by a competent authority, or between the relatively low financial impact of the alleged irregularities and the workload of the investigative unit (63). However, the indicators contained in the IPPs were not rigorously applied in some cases: investigations were opened on the basis of only the two first selection criteria (64); the proportionality test consisted of unsubstantiated statements (65) or in remarks with regard to a different policy criteria (66); reference to a financial cost/benefit ratio of an investigation to be carried out was incomplete (67). |
(2.3.2) Efficient use of investigative resources
IPPs: An efficient use of resources means inter alia that once opened, investigations should be dealt expeditiously. This will entail checking whether:
|
58. |
The SC notes that the evaluation of the workload of the investigation units is often missing (68), unsubstantiated (69), inconsistent (70), or makes reference to indicators such as proportionality or the added value of OLAF's action (71). When verification in concreto of the workload of the investigation unit is carried out, the selectors mention the number of cases per unit and the number of investigators per unit, without making any estimate as to the size of the workload of the investigation unit (72). In the few cases where such an estimate was made, the heavy workload of the investigators was a reason for dismissing them, but always used in conjunction with subsidiarity reasons (73). |
59. |
The number of opinions making reference to the possibility to carry out activities continuously and without slowing-down on-going or priority investigations is also very limited (74), while the availability of expertise within a specific unit seems to be better evaluated (75). |
60. |
Few opinions make explicit reference to an internal consultation as to the availability of the human resources and/or expertise within the investigation units (76). From the interviews conducted by the SC it is also clear that the investigation units are only rarely consulted regarding the resources situation. |
(2.3.3) Subsidiarity/added value
IPPs: OLAF will prioritise cases where it is the only authority with competence in a specific situation or when it can clearly add value to the actions of others. This will entail checking whether:
|
61. |
The SC notes that the criterion of subsidiarity/added value represents the main reason used for advising the dismissal of a case on the grounds outlined in the IPPs, taken alone or combined with other reasons (77). Apart from a small number of opinions giving it no consideration (78) or unsubstantiated (79), the reasons outlined as to why an OLAF action would not bring any added value in terms of recovery, prosecution or deterrence to the control activities carried out by other EU or national bodies, which are better placed to act, are generally well explained (80). |
62. |
The SC received information, from other Directorates-General of the Commission, pointing out that OLAF is dismissing cases, while at the same time forwarding them for action to those Directorates without, however, checking whether they had the necessary competence and powers to act. The SC notes with concern that the Directorates-General of the Commission, which have been considered by OLAF to be better placed to act and thus receive from OLAF information on dismissed cases, are not required to report back to OLAF on actions taken (81). |
63. |
Moreover, the SC notes that cases concerning Members of the European Parliament (EP), where OLAF has clearly competence to act (82) were dismissed on the grounds of subsidiarity, although it was stated that in similar cases the EP did not report back to OLAF, despite an explicit request, on the action taken with regard to the information sent by OLAF (83). The SC would draw attention to the Practical Arrangements recently agreed between the EP and OLAF (84) which do not include such situations on the list of activities which usually/probably do not lead to serious situations requiring OLAF investigations and where OLAF is presumed not to intend to open an investigation or where there is a high probability that OLAF will not open an investigation (85). |
(2.3.4) Special policy objectives/criteria
64. |
According to the IPPs, OLAF will focus its investigative activity on sectors considered to be a priority and also on those cases where financial indicators determine the seriousness of fraud (86). When it comes to the prioritised sectors, the SC noted that the reference to them was quite rare (87). Similarly, the financial indicators were not always used: in some cases there is no reference at all, even when the financial impact is known (88). When they are referred to, mainly in sectors such as EU staff or structural funds, they are used either to dismiss cases on the grounds that the financial impact was non-existent or too low, taken alone or in conjunction with other IPPs, or to recommend the opening of an investigation or coordination case. The SC noted that the financial indicators were not always a determining factor when proposing to dismiss or open a case: when the financial indicators correspond to the IPPs, the case may, however, be dismissed on subsidiarity/added value grounds (89) or, conversely, when a case does not fall within the special policy objectives it may however be opened as an investigation if the other selection criteria are fulfilled (90). |
65. |
As a general remark, the SC would point out that the financial indicators should not be used as thresholds for justifying the dismissal or opening of cases, but rather as an indicator for estimating or measuring the seriousness of the fraud risk involved (proportionality test) (91). |
(3) The information flow during the selection process
66. |
A centralised system where the number of OLAF staff aware of specific incoming information is very limited (92) may lead, in the SC's opinion, to a lack of transparency and of accountability in the decision-making process, especially with regard to the cases dismissed. It should be balanced by a procedure for providing the appropriate information to the relevant EU or national authorities with which OLAF shares competence in the antifraud fight, to the investigation directorates and also to the sources providing OLAF with the initial information. The SC therefore examined the transparency of the selection process in the light of these three information-sharing requirements. |
(3.1) Information provided to the competent EU or Member States' authorities
67. |
Whenever an EU or national authority is better placed to deal with a case, OLAF should transfer it there. Such follow-up is necessary for every case where a sufficient suspicion of fraud has been established, but where OLAF decides not to open an investigation. Otherwise, not only would areas of impunity be created, but the transparency and coherence of the selection process would also be compromised. |
68. |
Opinions advising dismissal of a case on the grounds of subsidiarity/added value usually indicate that information should be forwarded to the authority considered better placed to act (93). However, it is not always clearly stated in the ‘conclusions’ part of the opinion, but can sometimes only be deduced from other sections. |
69. |
Another important aspect that OLAF needs to take into account when transferring information to a competent authority is the necessity to protect the identity of the source, in particular of whistle-blowers. The SC notes the very limited number of opinions recommending non-disclosure of the identity of the source to those authorities, sometimes upon request by the source itself (94). |
(3.2) Information provided to the investigation directorates
70. |
During the interviews with OLAF staff, the lack of transfer of information on dismissed cases to the investigation units was described as inhibiting the exchange of knowledge and experience. On the other hand, the SC was informed by OLAF notes (95) that there was a regular contact between the ISRU and the investigation units during the selection phase, principally in order to check the availability of investigative resources in a specific unit, or connections between new incoming information and already existing cases. |
71. |
However, the opinions reviewed by the SC do not reflect regular contacts. Few opinions make explicit reference to an internal consultation (96) or to the forwarding of information on a dismissed case of possible interest for an on-going investigation to the investigator in charge (97). This lack of consultation is even more evident in a few other cases where the selectors faced difficulties in carrying out searches or assessing information drafted in a language with which they were not familiar and where the investigation units (possessing the relevant language expertise) were never consulted (98), as well as in instances where investigation/coordination cases similar to or connected with the information being assessed were identified (99). That situation could raise problems in cases where it is recommended to send the information under assessment to a competent national judicial authority but not to the investigation unit dealing with the connected case, or to the SC (100). |
(3.3) Information provided to the source of information
72. |
The SC notes that the opinions of the ISRU do not systematically propose informing the source of information of OLAF's decisions (101). While this is understandable with regard to decisions to open investigation/coordination cases (for confidentiality reasons) (102), it may be questionable with regard to dismissed cases. |
Adopted in Brussels, on 12 March 2014
For the Supervisory Committee
Johan DENOLF
Chairman
(1) During the selection stage, the ISRU is in charge of processing the incoming information and provides the DG with opinions on the opening or dismissal of cases; during the investigation stage, it provides opinions on the necessity and legality of the main investigative activities requiring prior authorisation by the DG; before the closure of an investigation or coordination case, the ISRU reviews the final report and recommendations.
(2) Article 5 of the ISIP.
(3) Valid until 30 September 2013.
(4) Regulation (EU, Euratom) No 883/2013 of the European Parliament and of the Council of 11 September 2013 concerning investigations conducted by the European Anti-Fraud Office (OLAF) and repealing Regulation (EC) No 1073/1999 of the European Parliament and of the Council and Council Regulation (Euratom) No 1074/1999 (OJ L 248, 18.9.2013, p. 1).
(5) Selecting one in three cases created between 1.9.2012 and 31.3.2013 came to a total of 237 cases of which 11 were found by OLAF to be duplicates of pre-existing cases = 226 opinions; all opinions delivered for the month of May 2013 = 68 opinions.
(6) It contains, inter alia, general guidelines for selection and review.
(7) Covering two periods of reference: February 2012 to December 2012 and January 2013 to November 2013.
(8) The ‘Starter Kit’.
(9) See the Draft recommendation of the European Ombudsman in her inquiry into complaint 1183/2012/MMN against OLAF, 15 November 2013, paragraph 28.
(10) See Article 11(7) of the former Regulation (EC) No 1073/1999 and Article 17(5) of Regulation (EU, Euratom) No 883/2013.
(11) The three selection criteria are: OLAF's competency to act, the sufficiency of information to open an investigation or coordination case and the Investigative Policy Priorities.
(12) Ares(2013)3357296.
(13) The information of possible investigative interest received by OLAF was defined by the ISIP as ‘all information received by OLAF or information gathered on OLAF's own initiative, that could be considered for the opening of an investigation or coordination case and which must be submitted to the selection procedure for analysis’. In 2012, OLAF received 1,264 incoming information items which represented an increase of 21 % compared to 2011 (Source: OLAF 2012 Activity Report, page 13). The number of incoming information items also slightly increased in 2013 compared to 2012: OLAF received 1 156 incoming information items from February 2012 to December 2012, and 1 222 items from January 2013 to December 2013. Source: Ares(2013)3357296.
(14) According to statistics provided by OLAF, a selector dealt with, on average, 72 cases from February 2012 to December 2012 (221 working days) and 76 from January 2013 to December 2013. Source: Ares(2013)3357296.
(15) Prior to the reform of OLAF, incoming information was assessed by the investigators allocated to the 8 investigation units. In 2010, the investigation units counted 152 staff members (including Heads of Unit and secretaries). Source: Special Report No 2/2011 of the European Court of Auditors, Annex II.
(16) 1 opinion.
(17) See Part II.2 of this opinion.
(18) According to the 2012 Activity Report of the ISRU, this unit was comprised of 11 different nationalities and was able to deal with information in 16 languages.
(19) At least in 2 opinions.
(20) The unit had 7 reviewers. A statistical search in the CMS showed an average of 60 cases dismissed per reviewer (2012 and 2013 cases).
(21) 71 out of 293 opinions analysed were drafted by the reviewers.
(22) Article 12.2 of the ISIP. In 2012 OLAF performed 97 on-the-spot checks and inspections, 66 interviews with persons concerned, 38 investigative missions to third countries, 11 inspections of EU premises, 10 digital forensic examinations (Source: OLAF 2012 Activity Report, page 21). These activities were authorised by the DG, on the basis of opinions provided by the reviewers of the ISRU.
(23) Article 12.3 of the ISIP. The SC has no statistical information as to the number of opinions provided by the ISRU in this respect.
(24) 465 investigation and coordination cases were closed by OLAF in 2012 (Source: OLAF 2012 Activity Report, page 18).
(25) Article 11.2, a) combined with Article 12.2 of the GIP. In 2012, OLAF carried out 108 interviews with witnesses (Source: OLAF 2012 Activity Report, page 21).
(26) Article 12.4 of the GIP.
(27) In January 2012, training for selectors was provided comprising several modules. Module 1 was followed by three participants; module 2 was followed by twelve participants; modules 3 and 5 were followed by seven participants; module 4 was also followed by seven participants. Specialised training courses were also provided later, e.g. in the area of Agricultural funds — Investigations by OLAF (one participant); New financial Regulation (three participants); EIB training on internal procedures (three participants); DEVCO — Budget support (one participant); SPS/SPAS training (four participants); Computer forensics in support of OLAF's investigations (one participant); Operational analysis in support of OLAF's investigations (one participant). Source: OLAF.
(28) Article 5.5 of the ISIP.
(29) Ares (2013) 3357296.
(30) The source of information did not reply to OLAF's requests in 24 out of 125 cases dismissed on the grounds of insufficiency of information (19 %).
(31) 1 case dismissed on the grounds that the information fell outside the IPPs was reopened later on as an investigation.
(32) Article 5(2) and 5(4) of Regulation (EU, Euratom) No 883/2013.
(33) Selection period of no longer than 2 months nevertheless remained a target in OLAF 2013 Management Plan.
(34) General guidelines on the selection appear also in the ‘Starter Kit’.
(35) On 5 July 2013 the DG provided the SC with a copy of an amended version of the ISIP, which the DG envisaged adopting at the date of the entry into force of the new OLAF Regulation. The SC provided its first comments by letter of 30 July 2013.
(36) Articles 22a and 22b of Staff Regulations and Commission Guidelines on Whistleblowing (SEC(2012)679 final).
(37) In one opinion the identity of the whistle-blower is clearly mentioned, while in another opinion it is anonymised. Both opinions recommended the opening of an investigation.
(38) Through the FNS, OLAF collects information supplied by users of the system in a questionnaire, including a free text field. Messages are recorded and analyzed by OLAF staff. If the user chooses to register for ongoing communications, OLAF collects the information subsequently transmitted in all following communications between OLAF and the user. This information is recorded on a dedicated server, and used as a source of intelligence/evidence.
(39) Article 5.3 of the ISIP, which corresponds to Article 5.3 of the GIP. The latter was not significantly changed.
(40) See the Annex which illustrates this approach.
(41) This provision was slightly changed in the GIP: ‘In assessing whether OLAF is competent to act, consideration shall be given to relevant EU Regulations, Decisions, Interinstitutional Agreements and other legal instruments relating to the protection of the financial interests of the EU, and any other interest of the EU the protection of which falls under OLAF's mandate.’
(42) 34 cases, concerning mainly civil/private disputes between individuals/companies where EU funds were not concerned, questions of interpretation of the EU legislation, matters falling within the exclusive competence of the Member States such as criminal offences (e.g. kidnapping).
(43) Reference to legal instruments was made in 25 out of 259 opinions where OLAF was considered to be competent to act (9,6 %).
(44) 55 out of 259 opinions where OLAF was considered to be competent to act (21 %).
(45) 6 out of 259 opinions where OLAF was considered to be competent to act (2,31 %).
(46) 3 out of 259 opinions where OLAF was considered to be competent to act (1,15 %).
(47) This provision was not significantly changed in the GIP.
(48) In 64 out of 259 opinions (24,71 %) where OLAF was considered to be competent to act and the (in)sufficiency of information was evaluated, the SC noted the use of unsubstantiated statements — usually one sentence such as ‘the information is/would/should (not) be sufficient/enough to open an investigation’ (58 opinions), ‘all the elements needed to further investigate have clearly been identified’ (1 opinion), ‘the information is sufficient and the sources are reliable’ (3 opinions), or even a simple ‘yes’ (2 opinions).
(49) No consideration was given either to the reliability of the source or to the credibility of the allegations in 22 out of 259 opinions (8,5 %) where OLAF was considered to be competent to act and the (in)sufficiency of information was evaluated.
(50) In some cases where the source was anonymous, the selectors considered either that its reliability cannot be proved or assessed (5 opinions) or considered it to be unreliable (2 opinions).
(51) The sufficiency of suspicions was clearly assessed in 69 out of 259 opinions (26,64 %) where OLAF was considered to be competent to act and the (in)sufficiency of information was evaluated.
(52) 58 opinions.
(53) 8 opinions.
(54) 3 opinions.
(55) Cases C-15/00 Commission v EIB and C-11/00 Commission v ECB.
(56) Article 5(1).
(57) In particular the ‘Starter kit’.
(58) Clarity, preciseness, completeness: information has been considered to be detailed and substantiated/documented when it provided the names of persons/entities involved, dates, location, and fraud mechanism.
(59) Information has been considered to be verifiable and accurate when confirmed after being cross checked with information otherwise provided to or gathered by OLAF.
(60) Lack of cooperation from a Member State was reported in one opinion. Obstructions from an EU Delegation were also reported in one opinion (disclosure of the existence of OLAF's case to the person concerned and lack of cooperation with OLAF, mainly by not providing the information requested by the latter).
(61) This provision was removed from the GIP. However, the reference to the IPPs as a selection criterion was kept in Article 5.3 of the GIP.
(62) The SC's comments on the IPPs themselves can be found in the SC's Opinion No 1/2014.
(63) 37 out of 134 opinions (27,61 %) where the IPPs were assessed (59 opinions recommending dismissing a case on the grounds outlined in the IPPs and 75 opinions recommending the opening of investigation/coordination cases).
(64) 2 cases.
(65) In 24 out of 134 opinions (18 %) where the IPPs were assessed it was only stated that ‘it is/it would be proportionate/disproportionate’ or ‘it would be/not be proportional’ to open an investigation or coordination case or OLAF ‘can/cannot expect a fair return from its investigative efforts’.
(66) E.g. when carrying out the proportionality test, reference was made to the subsidiarity/added value of OLAF's action (the assumption that an OLAF action would not be proportionate because action was already taken at national level and OLAF cannot bring any added value was found in 15 out of 59 opinions (25,42 %) recommending dismissing a case on the grounds outlined in the IPPs).
(67) Where the potential financial impact of the irregular activity affecting the EU budget was estimated or the likelihood of prosecution in the Member State or of disciplinary action by the EU institution concerned was anticipated, there is no reference to the forecast of the human and material resources needed to investigate: 8 out of 59 opinions (13,55 %) recommending dismissing a case on the grounds outlined in the IPPs.
(68) The evaluation of the workload is missing in 50 out of 134 opinions (37,31 %) where the IPPs were assessed: some opinions mention that no investigative resources should be used (22 opinions), while others make no reference to the investigative resources (28 opinions).
(69) In the sense that it is stated that OLAF would be able to carry out an investigation or that a specific unit would be competent to investigate or would have the necessary resources available, but without any further explanation (30 out of 134 opinions (22,38 %) where the IPPs were assessed).
(70) One opinion mentions that the workload of a specific investigation unit would not allow investigative activities to begin soon after the case has been opened and consequently recommended the dismissal of the case, while another opinion issued in the same period by a different selector indicates the contrary with regard to the same investigation unit, and as a consequence recommends the opening of an investigation case.
(71) 7 out of 134 opinions (5,22 %) where the IPPs were assessed.
(72) 40 out of 134 opinions (29,85 %) where the IPPs were assessed.
(73) In 5 out of 59 opinions (8,47 %) recommending dismissing a case on the grounds outlined in the IPPs.
(74) Such reference was made in 5 out of 134 opinions (1,49 %) where the IPPs were assessed.
(75) 42 out of 134 opinions (31,34 %) where the IPPs were assessed.
(76) 3 out of 59 opinions (5 %) recommending dismissing a case on the grounds outlined in the IPPs.
(77) It was found that OLAF's action could have an added value only in 1 out of 59 cases dismissed on the grounds outlined in the IPPs. The case was however dismissed because it was considered that an OLAF action would not have been proportionate (financial ratio cost/benefit too high).
(78) 1 opinion, advising dismissal of a case exclusively on the grounds that the financial impact was too low.
(79) 2 opinions out of 59 opinions (3,38 %) recommending dismissing a case on the grounds outlined in the IPPs.
(80) E.g. the EU/national authorities were aware or already dealing with the matters submitted to OLAF or with similar matters; due to the nature of the denounced acts they were better placed to conduct a national enquiry or they had more powerful means to investigate than OLAF; there would be duplication of work if OLAF was involved and consequent risk of jeopardising a national investigation; it was considered that, in accordance with principles of subsidiarity and proportionality, the Member State had the primary responsibility for the management and control of the EU funded projects). Those explanations were found in 56 out of 59 opinions (95 %) recommending dismissal of a case on the grounds outlined in the IPPs.
(81) According to the replies by the EC to the EP's written questions to Commissioner Šemeta, in the framework of the 2012 discharge to the Commission (questions 6d and 6e).
(82) 2 cases regarding allegations of possible irregular cost declarations or possible irregular defrayal of parliamentary assistance expenses, with direct impact on the EU financial interests and representing a potentially serious matter relating to the discharge of professional duties of Members of the European Parliament.
(83) The 2 cases referred to in the previous footnote were dismissed on subsidiarity grounds five and, respectively, seven months after another similar case was dismissed and referred to the EP. It was proposed to refer the two cases to the EP, despite the fact that, at the time of the drafting of the opinions, OLAF had not received any feedback from the EP.
(84) 19 July 2013. The cases referred to above were however dismissed several months before the signature of the Practical arrangements.
(85) See Annex II to the Practical arrangements with the EP.
(86) See the IPPs for 2012 and 2013 and the SC's Opinion No 1/2014 on the IPPs.
(87) 17 out of 134 opinions (12,68 %) where the IPPs were assessed.
(88) The financial impact was known in 80 (out of 134) cases where the IPPs were assessed. In 13 of them (16,25 %) the opinions did not make explicit reference to the financial indicators.
(89) The financial impact was known in 34 (out of 59) cases dismissed on the grounds outlined in the IPPs. In 7 of them the financial impact corresponded to the IPPs, but they were dismissed on subsidiarity/added value grounds.
(90) The financial impact was known in 46 (out of 75) cases opened (investigation or coordination cases). In 6 of them the financial impact was below the financial indicators as mentioned in the IPPs.
(91) See the SC's Opinion No 1/2014 on the IPPs.
(92) With regard to dismissed cases, the information flow includes staff of the Registry (the person registering the incoming information), of the ISRU (the selector in charge and/or the Head of Unit) and the DG, who takes the ultimate decision to dismiss the case. The circulation chain may thus include from two persons (the Director-General and the Head of the ISRU, when the latter is acting as selector — this was the case in two of the opinions analysed) — when the incoming information is transmitted exclusively and directly to one of them) up to a maximum of four persons (the Director-General, the Head of the ISRU, the selector and the Registry staff).
(93) 47 out of 59 opinions (79,66 %) recommending dismissing a case on the grounds outlined in the IPPs.
(94) In cases dismissed where it was proposed to forward relevant information to the competent authority, recommendations of non-disclosure of the identity of the source was found in 7 opinions (out of 42 cases where the identity of the source is known by OLAF).
(95) Ares (2013)1903286 and (2013)3417726.
(96) 29 out of 134 opinions (21,64 %) where the IPPs were assessed make reference to an internal consultation, with regard to the availability of the human resources and/or expertise (3 opinions), verification of connection of the information being assessed to existing investigations (3 opinions), or discussions on the proposal to dismiss a case or to open an investigation/coordination case (23 opinions — mainly in those cases where the initial information was forwarded for assessment to the ISRU by the investigation units themselves).
(97) 1 out of 59 opinions (1,69 %) recommending dismissing a case on the grounds outlined in the IPPs.
(98) 2 out of 59 opinions recommending dismissing a case on the grounds outlined in the IPPs.
(99) 3 out of 59 opinions recommending dismissing a case on the grounds outlined in the IPPs.
(100) 1 out of the 3 cases mentioned in the previous footnote.
(101) The identity of the source was known by OLAF and/or OLAF can communicate with the source in 132 out of 218 cases dismissed. It was proposed to inform the source of information of OLAF's decisions to dismiss cases in 22 out of these 132 opinions (16,66 %).
(102) 1 out of 75 opinions recommending the opening of investigation/coordination cases proposed that the source of information be informed of OLAF's decision.
ANNEX
The selection process — a step-by-step approach
ANEXO 5
SUPERVISORY COMMITTEE'S OBSERVATIONS ON THE AMENDED ISIP
GENERAL CONSIDERATIONS
In general, the Committee considers that by their content, the Instructions to Staff on Investigation Procedures (ISIP), which as of February 2012 replaced the OLAF Manual, constitute the governing principles of OLAF investigative procedures. They merit completion by the institution of operational guidelines (practical guidance according to Recital 18 of the amended Regulation) aimed at a concrete definition of the implementation of these guidelines in order to ensure a transparent, coherent implementation, to ensure respect for the equal treatment of all persons. Such guidelines would be useful when confronting those obstacles or difficulties faced by investigators, which are not mentioned in the ISIP.
SPECIFIC COMMENTS
1. The selection procedure (chapter 1)
Decision on the opening of a case
Regarding the conditions governing the opening of cases, the ISIP refer, in Article 5.3, to the existence of information sufficient to open an investigation or coordination case. However, they do not refer to the sufficient suspicion, as provided in the amended Regulation. The existing European jurisprudence has established ‘sufficiently serious suspicion’ as a precondition for the opening of the investigation. Given the importance of that condition for the sake of the guarantee of fundamental rights, the SC considers this notion should be explicitly mentioned.
The measures the ISRU is entitled to take prior to the decision whether to open a case
The ISIP provide the possibility, inter alia, to take a statement from any person able to provide relevant information. The glossary defines a statement as a written record of evidence relevant to an investigation provided by a person within the framework of an OLAF case, which could be applied to a witness. The SC questions to what extent and what type of measures the ISRU is entitled to take prior to the opening of a case taking into consideration the procedural guarantees as outlined in the ISIP following the opening of the case. Clarification on this point would appear useful.
The internal competencies within the ISRU
Whilst enjoying the power of assessment and proposal to open an investigation, the ISRU has, in addition, the responsibility for reviewing the legality of a certain number of investigative measures as foreseen by the investigation units. In order to clearly set out the principle of an independent legality control within OLAF, it would be appropriate to clearly define in the ISIP the separation of selectors and reviewers in this unit.
Dismissed cases where there are grounds for sufficient suspicion
As pointed out by the SC in its annual report, the text of the Reform strengthens the primacy of the principal of opportunity in the opening or investigations without establishing a subsequent duty for the Director-General to inform the competent authorities of the Member State or the institution concerned when he decides not to open an investigation.
As further mentioned by the SC in its annual report, the ISIP does not make any provision for those cases where there may be sufficient grounds for suspicion but which may not necessarily lead to a decision to open an investigation.
2. The provisions regarding the investigations and coordination cases (chapter II)
The nature of the investigations
The SC notes that any reference to the administrative nature of the investigative measures OLAF is entitled to conduct has been deleted. There could therefore be a risk of confusion for persons and the public at large as to the extent of its powers.
The SC notes that the distinction between internal and external investigations has also been removed also and endeavours to understand the reasons supporting this change given that this categorisation is provided for in the text of the amended Reform, as well as in the previous ISIP. The SC would suggest it to be of a particular importance to maintain this distinction, since the powers and the investigative measures OLAF is entitled to carry out do not appear to be similar, according the scope of the investigation.
The scope of the legality check during an investigation
The ISIP establishes a prior legality check of specific and limited investigative measures.
As the SC has pointed out in its annual activity report, some others investigative measures may have a significant impact on procedural guarantees and fundamental rights, for example measures that could be seen as ‘interference by a public authority’ with the exercise of the right to respect for private life could result in an interference with fundamental rights.
The text of the Reform has specifically foreseen that the Director-General shall put in place an internal advisory and control procedure including a legality check relating, inter alia, to respect (…) of the national law of the Member States concerned.
It appears therefore that the ISIP should include provisions for organising a wider internal control covering, in particular, verification of the consistency of the gathering of elements for investigations when requested from Member States.
3. Cooperation with others agencies (Europol, Eurojust)
The ISIP do not contain provisions relating to the rules applicable for the implementation of cooperation, in particular the content and procedures for the exchange of information with other agencies liable to carry out investigations or to coordinate action by Member States in the areas of competence shared with OLAF.
In this regard the SC shares the Recommendations 3 and 4 as issued by the European Court of Auditors in its follow-up report 2011 to its Special Report No 1/2005 on the management of OLAF.
4. Decisions of the Director-General
In order to ensure transparency and impartiality where the Director-General decides not to follow the opinion of the ISRU at important stages (inter alia, the opening or dismissal of cases, closure decisions, extension of the scope of an investigation), the ISIP should provide a reasoned decision from the Director-General.
In several sections of the ISIP (Articles 5.4, 8.1), reference is made to ‘the financial and other interests of the EU ’. This wording should be clarified, in light of recital 6 of the amended Regulation.
Article 13.4 — In the view of the Supervisory Committee, the ISIP should specify the principle according to which inspections of EU premises are conducted in the presence of the Member or official concerned, prior to providing provisions for inspection in the case of absence of the person concerned from the office.
5. Specific changes
The SC would like, in particular, to know the reasons for the modifications to the following Articles:
|
14.6: on-the spot checks, |
|
15.2: digital forensic operations within inspections or on-the-spot checks, |
|
16.2 and 16.5: interviews, |
|
18.1 and 18.2: the opportunity to provide comments, |
|
19.10: the final report and proposed recommendations. |
ANEXO 6
Reinforcing procedural safeguards in OLAF in view of the monitoring experience of the OLAF Supervisory Committee
Present supervision structure
1. |
The European Antifraud Office (OLAF) and its Supervisory Committee (SC) have been established by Commission Decision of 28 April 1999 (1). The scope of supervision has been reinforced and specified by Regulation No 883/2013 (2) of 11 September 2013. The SC is the guarantor of OLAF's independence and it supervises the investigatory function of OLAF through regular monitoring aimed at ensuring the proper conduct of investigations. The SC focuses in particular on examining whether fundamental rights and procedural guarantees are respected in OLAF's investigations and whether the cases are dealt with efficiently, effectively, in due time and according to the relevant rules and legal provisions. |
SC recommendations and Commission proposals
2. |
In its Annual Activity Report 2012 (in particular in Section 2 of Annex III), the SC recommended, on the basis of its monitoring experience and in view of the identified shortcomings, a number of actions aiming at reinforcing procedural safeguards in OLAF's investigations. The SC recommended in particular introduction of transparent and stable procedures for the internal legality check and for independent review of complaints. The SC recommended also clarification of OLAF's powers in different types of administrative investigations and insisted on providing the SC with effective tools for monitoring the respect of procedural guarantees and fundamental rights by OLAF. |
3. |
That need to strengthen the procedural safeguards and legality checks seems to be a common conclusion of the European Parliament, the Council, the Commission, the Court of Auditors and the SC as expressed in their exchanges of opinions on OLAF investigative activities. |
4. |
Such strengthening should be considered in view of the Commission's proposal for the establishment of the European Public Prosecutor's Office (EPPO). Creation of the EPPO would be a change of paradigm by transferring cases of possible criminal fraud from administrative investigations in OLAF to criminal investigations conducted by European prosecutors. Such change is to result in a substantial reinforcement of the procedural guarantees for persons concerned by investigations. |
5. |
Even with the establishment of the EPPO, OLAF would still have a significant role to play in the protection of the EU against offences and irregularities affecting its financial interests. There is a high degree of uncertainty when it comes to the geographical coverage of the EPPO which most probably will be established by enhanced cooperation of some Member States — their number remains unknown, but almost surely not all of them are going to participate. Therefore investigations of similar nature might be in future conducted in parallel by the EPPO and OLAF, depending on a Member State, which would require strengthening the procedural safeguards in OLAF's investigations, so that they could match the foreseen EPPO standards. |
6. |
Therefore, the SC welcomes with satisfaction the Commission's Communication on Improving OLAF's governance and reinforcing procedural safeguards in investigations (3). The SC is currently analysing possible consequences of particular solutions proposed there and is looking forward to discussing them with the Institutions and with OLAF. As the first reflection, the SC considers the substance of the proposals as positive, providing for instruments potentially enabling to improve the current level of safeguards. At the same time, some structural solutions, as proposed in the Communication, should be reconsidered with particular regard to the independence of OLAF and of the SC, to ensure avoiding conflicts of competences with respect to the supervision of OLAF as well as duplication of work and inefficient allocation of resources. |
New bodies and their competences
7. |
At this stage, the SC is considering specifically the issues of the institutional framework for two new offices proposed by the Commission and the scope of their competences. |
8. |
The Communication advocates establishment of a new office of a ‘Controller of procedural safeguard’ who would ‘monitor compliance with the procedural guarantees applicable to OLAF investigations and of prompt handling of investigations to avoid undue delay’. It is very hard to see how the Controller could avoid having his work overlapping with the work of the SC which would ‘monitor systemic developments regarding respect of procedural rights and reasonable deadlines for handling cases’. |
9. |
Even if the differentiation between the tasks of the Controller and of the SC could be possible argued on a theoretical level, the practical experience of the SC shows that review of individual cases is an indispensable element of systemic monitoring of OLAF. Therefore, the daily work — in the separate secretariats of both bodies — would be very similar and consist in examination of individual case files in view of respect of procedural rights and duration of investigation. |
10. |
In its systemic analyses based on samples of individual cases, the SC could be examining, coincidently and even unknowingly, the same case as would be examined by the Controller in the framework of his individual review. It could lead not only to redundant duplication of work, but also to issuing diverging or even conflicting recommendations to the Director-General of OLAF. |
11. |
Furthermore, the Commission proposes to establish an office of a judicial reviewer who would authorise OLAF's intrusive investigative measures concerning Members of EU Institutions. As a result, also his work (as the SC's and Controller's work) would concern examination of the respect of procedural/fundamental rights (although ex ante and not ex post). |
12. |
The reviewer's competences, his punctual interventions and his placement within or next to the Commission could raise serious concerns as regards OLAF's independence. In view of his placement, his competence to advise on investigative measures against Members of the Commission but also of other Institutions could affect the interinstitutional balance. |
13. |
Also as regards the Controller, who would be similarly placed and separated from the SC, there could be concerns with regard to his independence and to the cost effectiveness of him having a separate secretariat doing the job currently done by the SC's Secretariat. |
14. |
Creation of two additional offices controlling OLAF but separate from the Supervisory Committee of OLAF would lead to multiplication of independent supervising structures, probably resulting in confusion or conflict of competences and duplication of work. That could ultimately decrease the efficiency of the supervision of OLAF. |
Alternative solutions
15. |
The SC is considering other options which would retain the useful instruments proposed by the Commission, but which would at the same time incorporate them into a comprehensive and effective supervision structure. |
16. |
To achieve the important aim of reinforcing the procedural safeguards in OLAF set forth by the Communication, the Controller should form a part of a wider supervisory committee. His independence would be strengthened and he could benefit from the expertise of the SC and its Secretariat having a long experience in examining the respect of procedural guarantees in OLAF. The whole joint structure would be stronger, more efficient and would produce an effect of synergy. A common secretariat would ensure consistency, economy of scale and allow avoiding duplication of work. |
17. |
As regards the judicial reviewer, he could be, theoretically, also attached to a wider supervisory committee to benefit from the knowledge and independent resources of the already established structure. On the other hand, the judicial reviewer being attached to the SC (or to the Commission) would implicate the SC (or the Commission, respectively) in the decision-making process in OLAF which could jeopardise OLAF's independence. |
18. |
Therefore, it seems more logical to place the judicial review back in a dedicated judicial unit within OLAF which would consist, as it used to be the case, of national magistrates. They could, without putting OLAF's independence in danger (as it could be the case with an external body), provide the Director-General, rather expeditiously thanks to their presence within OLAF, with independent and formal legal advice, ex ante, on all intrusive investigative measures and other actions requiring compliance with specific national provisions. The SC would continue to monitor, ex post, the judicial recommendations to the Director-General and his ensuing decisions, with a view of ensuring OLAF's independence, on the one hand, and the procedural rights of persons concerned, on the other. |
19. |
In the light of its monitoring experience, the SC supports the Commission's proposal to reinforce the procedural safeguards in OLAF investigations. It is particularly recommendable having regard to the abolition in the reformed OLAF of the SC's prior examination of the respect of fundamental right and procedural guarantees before an OLAF case is sent to national judicial authorities — which was considered by the Court of Justice as a crucial safeguard for persons concerned. The improved supervisory structure must be functional and efficient. The SC is looking forward to the forthcoming exchange of opinions between the Institutions under the new OLAF Regulation which could focus on working out optimal and broadly supported legislative solutions. |
(1) Commission Decision 1999/352/EC, ECSC, Euratom of 28 April 1999 establishing the European Anti-fraud Office (OLAF), (OJ L 136, 31.5.1999, p. 20) as recently amended by Commission Decision 2013/478/EU of 27 September 2013 (OJ L 257, 28.9.2013, p. 19).
(2) Regulation (EU, Euratom) No 883/2013 of the European Parliament and of the Council of 11 September 2013 concerning investigations conducted by the European Anti-Fraud Office (OLAF) and repealing Regulation (EC) No 1073/1999 of the European Parliament and of the Council and Council Regulation (Euratom) No 1074/1999 (OJ L 248, 18.9.2013, p. 1).
(3) COM(2013)533 final, 17.7.2013.
ANEXO 7
SC Recommendations to OLAF DG (2012)
Subject |
Document Reference |
SC Recommendations to OLAF DG (2012) |
||
Right to private life |
Opinion 2/2012 (p. 17) |
|
||
Opinion 2/2012 (p. 17) |
|
|||
Data protection |
Opinion 2/2012 (p. 18) |
|
||
Right to express views on all facts |
Opinion 2/2012 (p. 23) |
|
||
Complaints |
Activity Report 2012 (1) (p. 26) Opinion 3/2010 |
|
||
Whistle-blowers |
Activity Report 2012 (p. 11) Opinion 5/2011 |
|
||
Checks of economic operators |
Opinion 2/2012 (p. 13) |
|
||
Extension of the scope of investigation |
Opinion 2/2012 (p. 13) |
|
||
External vs. internal investigations |
Opinion 2/2012 (p. 13) |
|
||
Legality check incl. national provisions |
Activity Report 2012 (p. 24) |
|
||
Sufficient suspicion |
Opinion 2/2012 (p. 7, 15) Activity Report 2012 (p. 25) |
|
||
IPPs |
|
|||
DG's direct participation |
Opinion 2/2012 (p. 11) |
|
||
Notification to institutions |
Opinion 2/2012 (p. 8-9) |
|
||
Follow-up of investigations |
Opinion 1/2012 (p. 4) |
|
||
Budget |
Opinion 1/2012 (p. 4) |
|
||
HR strategy |
|
|||
SC's access to data |
Activity Report 2012 (p. 9-10) |
|
||
|
||||
SC Secretariat |
Opinion 1/2012 (p. 6) |
|
||
|
||||
|
ANEXO 8
MISSION, COMPETENCES AND OBJECTIVES OF THE SUPERVISORY COMMITTEE OF THE EUROPEAN ANTI-FRAUD OFFICE
Mid-term strategy (2012–2015)
(Updated in February 2014)
TABLE OF CONTENTS
INTRODUCTION | 61 |
1. |
LEGAL FRAMEWORK | 61 |
1.1. |
Mission and role of the Supervisory Committee | 61 |
1.2. |
Core tasks of the Supervisory Committee | 61 |
1.3. |
Reporting | 61 |
1.4. |
Access to information | 62 |
2. |
MONITORING FORMULA | 62 |
3. |
SECRETARIAT OF THE SUPERVISORY COMMITTEE | 62 |
3.1. |
Role of the Secretariat | 62 |
3.2. |
Independent functioning of the Secretariat | 63 |
4. |
STRATEGIC OBJECTIVES AND PRIORITIES | 63 |
INTRODUCTION
1. |
In the light of the mission and tasks entrusted to it by Regulation (EU, Euratom) No 883/2013 (1), the Supervisory Committee (SC) of the European Anti-fraud Office (OLAF) hereby defines its strategic objectives and priorities for the first half of its five years mandate (as of 23 January 2012). |
1. LEGAL FRAMEWORK
1.1. Mission and role of the Supervisory Committee
2. |
The mission of the SC, as outlined by Regulation (EU, Euratom) No 883/2013, is to reinforce OLAF's independence in the proper exercise of the competences conferred upon it (2). To accomplish this mission, the SC was entrusted with a threefold role:
|
1.2. Core tasks of the Supervisory Committee
3. |
The core tasks of the SC are also defined by the Regulation from this triple perspective.
|
1.3. Reporting
4. |
The SC reports to the European Parliament, the Commission, the Council and the European Court of Auditors on its findings and activities via:
|
5. |
The SC underlines that opinions issued at the request of the DG or by an institution, body, office or agency should relate to the core activities of the SC and should not interfere with the conduct of investigations in progress, or put the independence and the objectivity of the SC at risk. |
1.4. Access to information
6. |
The SC's monitoring is based on information that the DG is obliged to provide:
|
7. |
In addition, the SC may ask the Office for additional information on investigations, including reports and recommendations on closed investigations, without however interfering with the conduct of investigations in progress (15). |
2. MONITORING FORMULA
8. |
The SC provides OLAF and the EU institutions with a first-hand practitioners' view based on their expertise as high-level external professionals and on the regular monitoring of OLAF's investigative function. |
9. |
The SC's monitoring is carried out both on a systemic level and on a case-by-case basis, using a matrix review of OLAF investigative activities: the SC collects and examines information concerning OLAF's cases horizontally and on sampling bases for the purpose of systemic and structural analyses; in addition it examines individual files or their components in order to obtain a more profound and concrete understanding of sensitive areas. |
10. |
The SC's monitoring experience, based on examination of individual case files (or their representative samples), on information regularly forwarded by the DG as well as on the SC Members' specific knowledge (savoir-faire) of investigations, allows the SC to provide particular added value to the implementation by OLAF of its investigative function. The SC thus effectively contributes to ensuring, within OLAF, good administration, good governance and respect for fundamental rights and procedural guarantees as set out in EU law. |
3. SECRETARIAT OF THE SUPERVISORY COMMITTEE
3.1. Role of the Secretariat
11. |
The role of the Secretariat of the SC (SCS) is to assist the SC Members in the discharge of their functions. The SCS staff members, legal and operational experts, prepare and carry out the initial examination of those matters subject to the SC monitoring and present the results for the SC Members' consideration. |
12. |
The Regulation obliges OLAF to allocate staff to the SCS ‘in close consultation with the SC’ (16) and to guarantee the independent functioning of the SCS in order to ensure that the SC can carry out its mission efficiently (17) — as already recommended by the European Court of Auditors (18) and by the SC (19) in 2011. |
3.2. Independent functioning of the Secretariat
13. |
It is crucial that the SCS be able to assist the SC in the implementation of its monitoring functions in a loyal and efficient manner without being exposed to the risks of potential conflicts of interest as OLAF staff subordinate to the DG. |
14. |
Therefore, the SC has recommended to the DG four conditions to ensure the independent functioning of the SCS (20): |
— Reclassification of the Head of the SCS as a senior manager
15. |
The Head of the SCS, also having the function of the SC Secretary, represents the SC in the daily monitoring of OLAF's investigative activities. Since, as an OLAF official, he is hierarchically subordinate directly to the DG, it is essential for the integrity of the SC's monitoring to put in place safeguards of independence for the Head of the SCS. Therefore, when the SCS was originally established, its Head was nominated at Director level (21) (in OLAF only the senior management enjoys certain, although very limited, independence with regard to the DG, who is not alone to decide on their appointments, internal transfers or leave) (22). |
— Recruitment, appraisal and promotion of the Head of the SCS on the basis of SC decisions
16. |
The recruitment of the Head of the SCS should be done through an open competition to reinforce the independent nature of the SC. His appraisal and promotion should be decided on the basis of input from the SC Chairman. |
— Recruitment, appraisal and promotion of the SCS's staff by its Head
17. |
The recruitment, appraisal and promotion of the SCS's staff should be delegated, as far as possible, to the Head of the SCS (23). |
— Sub-delegation of the SCS's budget implementation to its Head
18. |
Powers of the authorising officer with regard to the SCS's budget should be delegated to the Head of the SCS as is already the case for the SC's budget. This would mean, for example, that authorisation of missions for the SCS staff and their participation at public events on behalf of the SC be sub-delegated to the Head of the SCS and thus reinforce the ability of the SC Members to carry out their duties efficiently and to work with their Secretariat in a flexible manner. |
19. |
Such sub-delegation would also be in line with the new wording of the provisions on the financing of OLAF (which introduce independently fixed resources for the SCS (24)) as well as with the European Parliament's position (25). |
4. STRATEGIC OBJECTIVES AND PRIORITIES
20. |
In the light of the mission and tasks entrusted to it by the Regulation, the SC hereby defines its strategic objectives for the forthcoming period of its mandate, aiming at increasing the effectiveness and impact of its core activities and thus at supporting OLAF's investigative function and reinforcing OLAF's investigative independence. To meet these objectives, the SC has identified the following priorities. |
Objective 1: Develop effective (and pragmatic) monitoring tools
1. Adopt evaluation grids
— |
Propose new (and/or update the existing) evaluation grids concerning the application of procedural guarantees and the duration of investigations, to be filled in and regularly provided by OLAF. |
2. Define and use criteria for the sampling of OLAF cases
— |
Define and use random, statistical and risk-based criteria for the selection of representative samples of OLAF cases. |
3. Rely on the experience of experts from Member States
— |
Rely on the experience of experts from judicial and administrative authorities of Member States, working with OLAF and/or on the follow-up to OLAF cases. |
— |
Return to the practice of hearing these experts for the purpose of the preparation of the SC activity reports and opinions. |
— |
Organise such hearings by an SC rapporteur together with a member of the SCS working on a specific topic, and/or, exceptionally, in the context of the SC plenary meetings. |
— |
Consider the possibility to occasionally organise the SC's plenary meetings in (some of) the Member States, in order to gather — from national experts — information and evidence on subjects precisely defined in advance. |
Objective 2: Improve cooperation with OLAF and its Director-General
1. Agree on new working arrangements with OLAF
— |
Propose to OLAF and agree on new working arrangements. |
2. Organise regular exchanges of views with the Director-General
— |
Establish a direct reporting and consultation line with the DG and regularly invite him to the SC's plenary meetings. |
— |
Exchange views and information with the DG on specific topics relating to OLAF's investigative activity. |
3. Raise awareness of the SC's role and work within OLAF
— |
Organise/participate in workshops/meetings/lunch debates with OLAF staff. |
Objective 3: Act as an important player in the fight against fraud
1. Participate in the exchange of views with the institutions
— |
Actively participate in the exchange of views with the EU institutions and the DG. |
— |
Use this new inter-institutional forum as a platform for discussing the results of its monitoring as presented in the SC's opinions, reports and activity reports. |
— |
Ensure that the exchange of views represents a positive arena for discussion and for assessment of the effectiveness of OLAF's work and thus becomes an asset in the fight against fraud. |
— |
Ensure that the exchange of views does not entail the politicising of OLAF. |
2. Hold bilateral meetings
— |
Hold regular (yearly) meetings with the three appointing EU institutions and with the European Court of Auditors (at least every two years). |
— |
Hold bilateral meetings with the Commissioner responsible for the fight against fraud (at least once a year). |
3. Take a proactive role in the legislative process concerning the revision of the EU antifraud legislation
— |
Take a proactive role in the on-going/forthcoming revision of the EU antifraud legislation, without however interfering in the EU legislative process. |
— |
Assess the application of Regulation (EU, Euratom) No 883/2013. |
— |
Make appropriate recommendations on the instructions/guidelines to staff on investigative procedures as a way to address some of the remaining weaknesses of the OLAF Regulation, in particular, regarding fundamental rights and procedural guarantees. |
— |
Contribute to the development of the Commission's legislative proposal on Improving OLAF's governance and reinforcing procedural safeguards in investigations (26), in order to:
|
Objective 4: Increase the SC's visibility among EU institutions and Member States
1. Develop an effective communication strategy
2. Improve reporting tools
— |
Inform the appointing institutions of the decisions/action points decided on by the SC during its plenary meetings, in full respect of the principle of confidentiality of investigations. |
— |
Change the format of the activity report, in order to better reflect the reinforced role and the core activities of the SC. |
3. Increase interaction with stakeholders on a broader range of issues
— |
Organise and/or participate in events promoting the SC's work (workshops, presentations, conferences, cocktails etc.). |
Objective 5: Develop the SC's working methods
1. Ensure a consistent approach in monitoring OLAF cases
— |
Adopt monitoring guidelines. |
— |
Adopt a workflow system to monitor the follow-up by OLAF of the SC's recommendations. |
2. Update the SC's Rules of procedure
— |
Update the SC's Rules of procedure, in order to reflect the changes brought about by the new Regulation. |
3. Develop an ethical code of conduct
— |
Develop an ethical code of conduct for the use of the SC Members. |
Objective 6: Safeguard the independent functioning of the SC and its Secretariat
— |
Advocate the modernisation of the remuneration and financial arrangements for the SC's Members. |
— |
Advocate a separate budget line for the SC and its Secretariat. |
— |
Recommend to the DG appropriate measures for ensuring the independent functioning of the SCS: (1) reclassification of the Head of the SCS as a senior manager; (2) recruitment, appraisal and promotion of the Head of the SCS on the basis of SC's decisions; (3) recruitment, appraisal and promotion of the SCS's staff by its Head; (4) sub-delegation of the SCS's budget implementation to its Head. |
(1) Regulation (EU, Euratom) No 883/2013 of the European Parliament and of the Council of 11 September 2013 concerning investigations conducted by the European Anti-Fraud Office (OLAF) and repealing Regulation (EC) No 1073/1999 of the European Parliament and of the Council and Council Regulation (Euratom) No 1074/1999 (OJ L 248, 18.9.2013, p. 1).
(2) Article 15(1) first paragraph.
(3) Article 15(1) first and second paragraphs.
(4) Article 15(1) third paragraph.
(5) Article 15(9).
(6) Article 16.
(7) Article 15(9) first paragraph.
(8) Article 15(9) second paragraph.
(9) Article 15(1) third paragraph.
(10) Article 17(5) first paragraph.
(11) Article 17(5) second paragraph.
(12) Article 17(5) third paragraph.
(13) Article 4(6).
(14) Article 6(2) of the Commission Decision 1999/352/EC, ECSC, Euratom of 28 April 1999 establishing OLAF (OJ L 136, 31.5.1999, p. 20) as amended by Commission Decision 2013/478/EU of 27 September 2013 (OJ L 257, 28.9.2013, p. 19).
(15) Article 15(1) fifth paragraph.
(16) Article 15(8) sixth sentence.
(17) Recital (40).
(18) Point 44 of the European Court of Auditor's Opinion No 6/2011: In order to reinforce the independent role of the Supervisory Committee, the Court recommends that the proposed Article 11(6) should provide that the Committee's secretariat must act solely in accordance with the Committee's instructions and independently of OLAF, and may not be appointed by or subject to the authority of the Director-General.
(19) Point 41 of the SC's Opinion no 4/2011: Although provided by OLAF, the secretariat shall work in complete independence under the chair of the SC and its members. (…) members of the secretariat shall be appointed by an Appointing Authority different from OLAF DG, at the suggestion of the SC; they shall be periodically evaluated solely by the SC; they shall act with loyalty and in full respect of the instructions received exclusively from the SC. (…) the independence of its secretariat — and consequently of the SC — is illusory if the staff of the secretariat is appointed, administered and promoted by the service which it is in charge of monitoring.
(20) Cf. SC's Opinion No 1/2013 on OLAF's Preliminary Draft Budget for 2014 and the previous SC's opinions on OLAF's Preliminary Draft Budget.
(21) His successor was a senior Head of Unit, but the then DG ensured the then SC Chairman on 13.2.2007 that: ‘The status of your Secretariat is indicated by the fact that your present Secretary is one of only three OLAF Heads of Unit to hold the rank of AD14’.
(22) If, under the general rules of the Commission, it were undesirable to classify a Head of a relatively small team as a director, then the model of the Legal Service could be followed with the Head of the SCS classified as a principal (legal) advisor with management functions over a team of legal officers and secretarial staff (e.g. the M team in the Legal Service consists of a principal legal advisor, 7 lawyers and 5 assistants). The tasks of the SCS Head consist mainly in providing legal advice to the SC Members. Alternatively, the arrangements concerning principal advisors in the European Commission's Bureau of European Policy Advisers could be applied.
(23) In accordance with Article 6(1) of Commission Decision 1999/352/EC, ECSC, Euratom establishing OLAF (as amended by Commission Decision 2013/478/EU: The DirectorGeneral of the Office shall exercise, with regard to the staff of the Office, the powers of the appointing authority and of the authority empowered to conclude contracts of employment delegated to him. He shall be permitted to sub-delegate those powers (…).
(24) Article 18 of Regulation (EU, Euratom) No 883/2013:
|
The total appropriations for the Office, including for the Supervisory Committee and its secretariat, shall be entered under a specific budget line within the section of the general budget of the European Union relating to the Commission and shall be set out in detail in an Annex to that section. |
|
The establishment plan of the Office, including the secretariat of the Supervisory Committee, shall be annexed to the establishment plan of the Commission. |
(25) On 23 October 2013 the Parliament recommended to ‘split the line for OLAF expenditure related to officials and temporary staff, to reflect the widened mandate and strengthened independence of the Secretariat of the OLAF Supervisory Committee provided for in the new OLAF Regulation’.
(26) COM(2013)533 final, 17.7.2013.
ANEXO 9
Code of Conduct of the Members of the OLAF Supervisory Committee
1. |
Members of the Supervisory Committee of OLAF (SC) shall act in a manner respecting the dignity and public trust of their office. They shall refrain from any activities which may jeopardise or may appear to jeopardise the independence and impartiality of the SC. |
2. |
Members of the SC shall not deal with a matter in which, directly or indirectly, they have any personal interest, in particular, any family or financial interests such as to impair their independence. |
3. |
Members of the SC shall avoid participation in the examination of individual cases concurrently as the responsible officials of a competent national authority and as SC Members. |
4. |
An SC Member shall withdraw from participation in the SC proceedings on an individual OLAF case if he or the services which he directs or over which he exercises effective control or influence are conducting or assist OLAF in conducting an investigation related to that case. |
5. |
An SC Member shall withdraw from participation in the SC proceedings on an individual OLAF case if he directs or exercises effective control or influence over national judicial or administrative proceedings related to that case. |
6. |
An SC Member in a judicial or administrative position may withdraw, in accordance with national provisions on impartiality, from national proceedings related to an individual case if he participated as SC Member in the SC proceedings related to that case. |
7. |
SC Members shall inform the Chairman and the Secretary without delay of the situations referred to in paragraphs 2-6. |
8. |
Documents drawn up following SC proceedings on an individual case shall clearly indicate if any SC Member withdrew from the proceedings or if any of them participated in his capacity as a national judicial or administrative official. |
9. |
Prior to sending to an SC Member any information related to a case (to be) transmitted to his national authorities, the Secretariat of the SC shall provide such Member with an opportunity to withdraw from the SC proceedings on that case. |
Brussels, 9 October 2013
For the Supervisory Committee,
Chairman
Explanatory memorandum on the Code of Conduct of the Members of the Supervisory Committee: safeguards of impartiality and risks of conflict of interest in the exercise of the monitoring functions
INTRODUCTION
1. |
The Supervisory Committee (SC) of OLAF, whose mission is to reinforce OLAF's independence by the regular monitoring of its investigative function, is composed of five independent members having experience in senior judicial, investigative or comparable functions relating to the areas of OLAF's activities (1). The membership of the SC is a parttime function. |
2. |
As such, the Members of the SC generally hold key functions in their national judicial system or administration, allowing them to act as a counterpart/partner of OLAF at a national level at any stage of an OLAF case. At the same time, they regularly monitor OLAF's cases, in particular those where information has been transmitted to national judicial authorities. Situations may thus occur when they are to deal with the same OLAF case both in the framework of their national duties and as the SC Members. |
3. |
It is essential to make sure that dealing with a case in this dual capacity does not give rise to actual or potential conflicts of interest and then endanger impartiality and objectivity as well as the public trust in the impartiality and objectivity in the exercise of the national functions of the SC Members or in the discharge of their duties in the SC. Actual or potential conflicts of interests could have a negative impact on the impartiality of the decisions taken and on the quality of their work, could damage their reputation and undermine both the EU institutions' and the public's trust in the SC. Given the potential risks involved, it is important therefore to identify the risk areas for conflict of interest situations in order to prevent them. |
4. |
To do so, after defining the conflict of interest (part 1), it is necessary to make an overview of the specific tasks of the SC Members which may possibly lead to conflict of interest situations (part 2), followed by an inventory of concrete situations when conflicts of interest may occur (part 3). Finally, a clear procedure on how to manage conflict of interest situations is also necessary (part 4). |
1. DEFINITION OF THE CONFLICT OF INTEREST
5. |
Apart from their obligation to act independently, without seeking nor taking instructions from any government or any institution, body, office or agency (2), the Members of the SC are required to act in full objectivity and impartiality. |
6. |
In general terms, the requirement of impartiality is enshrined in the European Union Charter of Fundamental Rights, which foresees that ‘every person has the right to have his or her affairs handled impartially, fairly and within a reasonable time by the institutions, bodies, offices and agencies of the Union’ (3). |
7. |
According to the case law of the European Court of Human Rights (standing as a source of general principles of the Union law in accordance with the Article 6(3) of the Treaty on the European Union), ‘as a rule, impartiality denotes the absence of prejudice or bias’ and ‘even appearances may be of a certain importance’ or, in other words, ‘justice must not only be done, it must also be seen to be done’ (4). |
8. |
The requirement of impartiality and objectivity and the obligation to avoid situations in which appearance may give rise to doubts with regard to objectivity and impartiality is also reflected in Article 298 of the Treaty on the Functioning of the European Union which stipulates that, in carrying out their missions, the institutions, bodies, offices and agencies of the Union shall have the support of an open, efficient and independent European administration. Independence here refers generally to objectivity and impartiality. Even though this provision concerns directly only the SC Secretariat (composed of EU officials), it expresses a general principle of Union law guiding also the activities of the SC itself. |
9. |
The requirement of impartiality, applied to the execution by the SC Members of their tasks, includes an obligation to avoid conflicts of interest, as established in the Decision on their appointment and their Rules of Procedurewhich stipulate that the SC Members ‘shall not deal with a matter in which, directly or indirectly, they have any personal interest, in particular, any family or financial interests such as to impair their independence’ (5). |
10. |
The above mentioned acts do not define the concept of conflict of interest. A comprehensive definition can be found in the Guidelines of the Organisation for Economic Cooperation and Development (OECD) (6), which indicates also three types of conflict of interest: — Conflict of interest (actual) : ‘a conflict between the public duty and private interests of a public official, in which the public official has private-capacity interests which could improperly influence the performance of their official duties and responsibilities’. — Conflict of interest (apparent) : ‘an apparent conflict of interest can be said to exist where it appears that a public official's private interests could improperly influence the performance of their duties but this is not in fact the case’. — Conflict of interest (potential) : ‘a potential conflict arises where a public official has private interests which are such that a conflict of interest would arise if the official were to become involved in relevant (i.e. conflicting) official responsibilities in the future’. |
11. |
It is also worth noting the Article 13 of Council of Europe's Committee of Ministers Recommendation No. 2000 (10): ‘1. Conflict of interest arises from a situation in which the public official has a private interest which is such as to influence, or appear to influence, the impartial and objective performance of his or her official duties. 2. The public official's private interest includes any advantage to himself or herself, to his or her family, close relatives, friends and persons or organisations with whom he or she has or has had business or political relations. It includes also any liability, whether financial or civil, relating thereto’. |
12. |
This definition of conflict of interest has three dimensions: (i) the existence of a private or personal interest of a public official, which (ii) comes into conflict with his official duty, and thus (iii) leads to a conflict of interest interfering with professional principles. Essentially, in a conflict of interest situation, the private interest of the public official can or could influence the objective and impartial performance of his official duties (7). |
13. |
Conflict of interest was also defined in the EU case-law. The EU judiciary assessed the scope of the conflict of interest under the Staff Regulations, and gave it a broad definition (8). Although the Members of the SC are not bound by the Staff Regulations, the interpretation of the Court is relevant on the matter since the wording of the legal provisions concerning conflict of interest — in the Staff Regulations and in the Decision on their appointment — is quite similar. They are an expression of the same underlying general principles of EU law enshrined in the Charter of Fundamental Rights. |
14. |
The term conflict of interest as defined above does not, however, take into account expressly all the situations in which the impartiality and independence (as well as the appearance of impartiality and independence) of the SC Members may actually or potentially be endangered. Classic conflict of interest concerns situations in which a public official may have a private interest in conflict with his or her public duties. In the case of the SC Members, the independence and impartiality could be jeopardised also due to their dual roles as high national judicial or administrative officials and SC Members at the same time. |
15. |
Generally, the national in-depth expertise is of great benefit for the discharge of the duties of the SC. Yet, in some situations, an SC Member might have a dual role related to a particular OLAF investigation. This may raise the issue as to whether the judgment of the SC is, or appears to be independent of the judgment and proceedings of national authorities, or whether the data protection and confidentiality requirements either by national law or by Union law are fully observed. In addition, it is important for the independence and impartiality of the SC Members that the third parties understand in all communications in which capacity the SC Members are acting. The analyses of and the measures related to the conflict of interest situations shall cover, in particular, the situation of concurrent duties as national officials and SC Members. |
2. SC MEMBERS' TASKS WHICH MAY LEAD TO CONFLICT OF INTEREST SITUATIONS
16. |
The particular situation of the SC Members arises from the principle that they have their national duties as their primary public obligations. Article 15(2) of Regulation (EU, Euratom) No 883/2013 requires the SC Members to have experience in the senior judicial or investigative functions in the Member States and the appointing Decision specifies that the membership of the SC is a part-time function. As a result the SC Members usually exercise simultaneously their dual roles: national officials and SC Members. |
17. |
When exercising their national duties, the SC Members (or a national office or service which is directed by an SC Member or over which an SC Member exercises effective control or influence) (9) may be involved in an OLAF case at different stages:
|
18. |
In their capacity as SC Members, they carry out the tasks laid down in Regulation (EU, Euratom) No 883/2013 and in Commission Decision 1999/352/EC, ECSC, Euratom establishing OLAF (12). The duties of the SC include, inter alia, the regular monitoring of the implementation by OLAF of its investigative function, in order to reinforce the Office's independence in the proper exercise of its competences and, in particular, the monitoring of developments concerning the application of procedural guarantees and the duration of investigations in the light of the information supplied by the Director-General of OLAF. In duly justified situations, the SC may ask OLAF for additional information on investigations, including reports and recommendations on closed investigations, without however interfering with the conduct of investigations in progress. |
3. POSSIBLE CONFLICT OF INTEREST SITUATIONS
19. |
Taken separately, both capacities in which the SC Members may act are official/public qualities. They are generally national officials, and as SC Members they are appointed by three EU institutions and exercise a mission of public interest. However, from the perspective of the definition of the conflict of interest, each of these two capacities could be regarded as a private interest when set against the other: when they act as national officials, their membership of the SC may be seen as a ‘private interest’; conversely, when they act as SC Members, their national duty could also be regarded as being a ‘private interest’ in the widest sense of the term (personal interest). |
20. |
The conflict of interest would then occur when the activity as SC Members would improperly influence the performance of their official national responsibilities and vice versa, when their activity as national officials would improperly influence the performance of their responsibilities as SC Members. |
(a) Situations when the national duties (as ‘private interest’) could affect the performance of the SC duties (as ‘official duties’)
21. |
Example 1:
— Assumption : after being involved in an OLAF investigation in his national capacity, an SC Member becomes an addressee of an OLAF report to the SC on that investigation. — Possible conflict of interest : participation in a dual role in the same process (as an SC Member evaluating the proper conduct of an investigation in which he was involved at the national level as a national official). |
22. |
Example 2:
— Assumption : after having received as a national judicial official an OLAF report on an investigation, possibly with recommendations to initiate judicial proceedings, an SC Member would have to evaluate compliance by OLAF in that investigation with fundamental rights and with procedural requirements as laid down by the national law. — Possible conflict of interest : a dual role in the same process; use of inside (confidential) information (13); lack of impartiality or lack of independence when acting under the authority of the national office. |
23. |
Example 3:
— Assumption : after having received as a national judicial official an OLAF report on an investigation, with recommendations to initiate judicial proceedings, an SC Member would have to monitor the follow-up by his national judicial authorities of the recommendations made by OLAF. — Possible conflict of interest : a dual role in the same process; use of inside information; lack of impartiality or lack of independence when acting under the authority of the national office. |
(b) Situations when the SC duties (as ‘private interest’) could affect the performance of the national duties (as ‘official duties’)
24. |
Example 4:
— Assumption : after having evaluated an OLAF investigation as an SC Member (in particular with regard to the respect of the fundamental rights and of procedural requirements laid down in the national law), he could receive the case in his national capacity (as a judicial official to whom OLAF report and recommendations or a complaint related to them are addressed). — Possible conflict of interest : a dual role in the same process; use of inside information; lack of impartiality (when acting in his national capacity, he would already have issued/expressed an opinion on the case in his capacity as an SC Member). |
25. |
There may be potentially other situations where the risk of a conflict of interest is not that obvious. They should be assessed on a case by case basis in order to establish in concreto whether there are real risks of lack of independence or impartiality, liable to affect the capability to evaluate cases in an impartial and independent manner. The case-law suggests here a pragmatic approach based on the assumption that a purely abstract risk of a conflict of interest (between the dual national and EU role) is not sufficient to establish an infringement of the obligations of impartiality and integrity — it is necessary to identify a concrete factual element supporting the conclusion that there exists a conflict of interest (14). |
4. PROCEDURE FOR DEALING WITH CONFLICT OF INTEREST SITUATIONS
26. |
The procedural steps for dealing with conflict of interest situations are currently set out in Article 4(3) of the SC Rules of Procedure: ‘The members of the Supervisory Committee shall inform it of any situation liable to compromise any of the principles governing its activity as referred to in paragraphs 1 and 2 so that the Committee may take appropriate measures’. |
27. |
The SC considers that in order to maintain the high integrity of the SC and to ensure a high level of public trust in the proper supervision of the investigative activities of OLAF and in the independence and impartiality of the SC, it will benefit from the establishment of more comprehensive guidance on the matter and more detailed procedures to be followed. |
28. |
Therefore, the SC adopts hereby its Code of Conduct supplemented by this explanatory memorandum. |
29. |
This Code of Conduct will be incorporated in the SC Rules of Procedure which require further amendment following the entry into force of Regulation (EU, Euratom) No 883/2013. |
(1) Article 18(2) of Regulation (EU, Euratom) No 883/2013 of the European Parliament and of the Council of 11 September 2013 concerning investigations conducted by the European Anti-Fraud Office (OLAF) and repealing Regulation (EC) No 1073/1999 of the European Parliament and of the Council and Council Regulation (Euratom) No 1074/1999 (OJ L 248, 18.9.2013).
(2) Article 15(7) of Regulation (EU, Euratom) No 883/2013.
(3) Article 41 of the Charter — right to good administration.
(4) ECtHR, judgment of 9 January 2013, Oleksandr Volkov v. Ukraine, application no 21722/11, §§ 104-106.
(5) Article 2 of Decision 2012/45/EU, Euratom of the European Parliament, the Council and the Commission of 23 January 2012 appointing the members of the Supervisory Committee (OJ L 26, 28.1.2012, p. 30); Article 4 of the Rules of Procedure of the Supervisory Committee (OJ L 308, 24.11.2011, p. 114).
(6) Managing Conflict of Interest in the Public Service: OECD Guidelines and country experiences, OECD, Paris, 2003, p. 28. Source of information: the European Court of Auditors' Special Report No 15/2012 ‘Management of conflict of interest in selected EU Agencies’, http://eca.europa.eu/portal/pls/portal/docs/1/18686746.PDF.
(7) See the Academic research report — Conflict of interest, drafted by Prof. Dr. Ömer Faruk GENÇKAYA, page 5 (this report can be found at http://www.coe.int/t/dghl/cooperation/economiccrime/corruption/projects/tyec/1062-TYEC%20Research%20-%20Conflict%20of%20Interest.pdf).
(8) Case T-89/01 Willeme v Commission, where theCourt of First Instance analysed the scope of the concept of conflict of interest under former Article 14 of the Staff Regulations (currently, Article 11a).
(9) Judicial and administrative structures of the Member States differ substantially, which must be taken into account when establishing rules on potential conflict of interest. The expression ‘directs or exercises effective control over’ comes from Article 25 of the Rome Statute of International Criminal Court which stands as a generally accepted legal definition of de jure or de facto direction or command. The expression ‘exercises effective influence’ is an extension to cover situations in which an SC Member is not formally in the chain of command and thereby not necessarily exercises effective control over a case, but in which he can substantively influence the handling of a case by being, for example, an authority to be heard, actually or potentially, or by being in a position to comment or influence the handling of a case (for example, if an SC Member were a Deputy Prosecutor General and the officer working on an OLAF case reports to the Prosecutor General).
(10) For example, in accordance with Article 3(3) of Regulation (EU, Euratom) No 883/2013, especially as the anti-fraud coordination service (AFCOS) of the Member State concerned pursuant to Article 3(4).
(11) Article 11(3) of Regulation (EU, Euratom) No 883/2013.
(12) As amended by Commission Decision 2013/478/EU of 27 September 2013 (OJ L 257, 28.9.2013, p. 19).
(13) ‘Using confidential information means that a public official disclose to others, or use to further their personal interest, confidential information acquired by them in the course of their official duties. A specific example of this is ‘insider information’ which means the use of information that is gained in the execution of a public official's office and is not available to the general public to further or seek to further the member's private interest’ (see page 7 of the Academic Report quoted in footnote 7).
(14) This pragmatic approach is taken, for example, by the EU judiciary in cases concerning the statutory obligations of the EU officials: see case T-157/04 De Bry v Commission, paragraphs 36 to 38. See also the Opinion of the Advocate General Mazak delivered on 27 March 2012 in joined cases European Commission (C-553/10 P) and Lagardère SCA (C-554/10 P) v Éditions Odile Jacob SAS, paragraphs 35-36.
ANEXO 10
WORKING ARRANGEMENTS
between OLAF and the Supervisory Committee
In order to properly carry out its monitoring tasks with regard to the implementation by OLAF of its investigative function, the Supervisory Committee (SC) needs comprehensive, adequate and timely information with regard to OLAF's investigative activity and the necessary general information, while, at the same time, it fully respects OLAF's independence and the confidentiality of its investigations.
Therefore, the SC and the Director-General of OLAF (DG) hereby agree to the following practical working arrangements in order to implement the provisions of Regulation (EU, Euratom) No 883/2013 (1) and Commission Decision 1999/352/EC, ECSC, Euratom (2).
CHAPTER I
INFORMATION TO BE PROVIDED BY OLAF ON ITS OWN INITIATIVE
SECTION 1
Article 1
Investigative policy priorities
(Art. 17(5), first sentence, Regulation (EU, Euratom) No 883/2013)
1. The DG will forward to the SC the draft investigative policy priorities, prior to their publication and within a period of time sufficient for the SC to provide its comments.
2. The draft will be accompanied by documents and background information on the basis of which the investigative policy priorities have been formulated.
3. This information will be provided annually.
Article 2
Implementation of investigative function and follow-up
(Art. 17(5), second sentence, Regulation (EU, Euratom) No 883/2013)
1. The DG will forward to the SC:
(a) |
the Annual Management Plan, |
(b) |
the Annual Activity Report, |
(c) |
a mid-term report and an end-of-year report on the implementation of the investigative function, reflecting the objectives set out in the annual management plan. |
2. The DG will also provide continuous access for the SC Secretariat to general and specific case-related data held in OLAF's case management database, as set out in Chapter II.
Article 3
Budget
(Art. 6(2), Decision 1999/352/EC, ECSC, Euratom)
1. The DG will forward to the SC the preliminary draft budget, prior to its sending to the Director-General for Budgets and within a period of time sufficient for the SC to provide its comments.
2. The draft will be accompanied by explanations of changes introduced to the draft as compared to the previous budget.
3. This information will be provided annually.
Article 4
Independence
(Art. 15(1), first paragraph, and Art. 17(3), Regulation (EU, Euratom) No 883/2013)
The DG will provide the SC, with timely information on any situation where the investigative independence of OLAF or its DG is or may be jeopardised.
Article 5
Guidelines on investigation procedures
(Art. 17(8), Regulation (EU, Euratom) No 883/2013)
1. The DG will forward to the SC the draft guidelines on investigation procedures or any modifications thereto, prior to their adoption and within a period of time sufficient for the SC to provide its comments.
2. The draft modifications will be accompanied by explanation of reasons for their introduction.
SECTION 2
Article 6
Recommendations
(Art. 17(5)(a), Regulation (EU, Euratom) No 883/2013)
1. The DG will provide the SC with a list of cases in which he has issued recommendations, specifying the recipient and the type of recommendation.
2. The DG will report annually to the SC on cases in which recommendations have not been followed.
3. In addition, the DG will send to the SC an annual summary report on the implementation of his recommendations.
4. The SC Secretariat will have continuous access to information referred to in this Article, as set out in Chapter II.
Article 7
Cases transmitted to national judicial authorities
(Art. 17(5)(b), recital 45 and Article 15(1), second paragraph, Regulation (EU, Euratom) No 883/2013)
The DG will forward to the SC a list of cases in which information has been transmitted to national judicial authorities, together with a copy of the transmission letter.
Article 8
Cases lasting more than 12 months
(Art. 7(8) and 17(5)(c), Regulation (EU, Euratom) No 883/2013)
1. The DG will report to the SC on investigations which have not been closed within 12 months, indicating the reasons for which it was not possible to complete the investigation and the remedial measures, envisaged with a view to speeding up the investigation.
2. The reports will be drawn at the expiry of the 12-month period and every six months thereafter.
Article 9
Deferrals
(Art. 4(6), Regulation (EU, Euratom) No 883/2013)
1. The DG will forward to the SC, after the closure of the investigation, the reasoned decision to defer the information to the institution, body, office or agency to which a person concerned by an internal investigation belongs.
2. The DG will also inform the SC of the date when the institution, body, office or agency was provided with the deferred information.
CHAPTER II
INFORMATION MADE CONTINUOUSLY AVAILABLE BY OLAF (3)
Article 10
Access to general case-related data
The staff members of the SC Secretariat shall have access to metadata of cases by means of automated searches in OLAF's case management database, including:
(a) |
list of cases in selection or dismissed, |
(b) |
list of investigation and coordination cases by Unit and Directorate, as well as by sector of activity, |
(c) |
list of all cases in the monitoring stage by Unit and Directorate, |
(d) |
list of cases lasting more than 12 months. |
Article 11
Access to specific case-related data
1. The Head of the SC Secretariat and the staff members authorised by him will have special access to limited data in the OLAF case management database on the basis of self-validation which confirms that this level of access is justified.
2. These data will include the following:
(a) |
general information (the case number, a general description, the category of source, the relevant EU Institution, office, body or agency in staff cases); |
(b) |
sector (responsible Unit and sector of activity); |
(c) |
stage (selection, investigation/coordination case, monitoring); |
(d) |
case type (investigation or coordination case, legal basis for the opening decision, date of the opening decision, offence category, type of fraud, whether there is an impact on EU financial interests and if so, the estimated amount); |
(e) |
recommendations (recipient of recommendations, type of recommended action, status of recommended action (pending, implemented or not implemented)). |
3. Insofar as the special access for the SC Secretariat to the OLAF case management database is technically not available, the DG will, whenever requested, provide the information described above to the staff members of the SC Secretariat indicated by the Head of SC Secretariat.
CHAPTER III
INFORMATION TO BE PROVIDED BY OLAF AT THE SC'S REQUEST
Article 12
Due justification and procedure for requests of additional information
(Article 15(1) paragraph five,Regulation (EU, Euratom) No 883/2013)
1. Requests for additional information on investigations, pursuant to Article 15 (1) fifth paragraph of the Regulation, including access to a case file, also by sampling, shall be made by the SC to the DG in writing, with due justification. The request shall be signed by the SC Chairman or the SC Member appointed by the SC to act as a rapporteur responsible for a given monitoring activity.
2. When the request concerns also access to personal data, the SC shall justify why it is necessary.
3. The SC determines the purpose and scope of its monitoring activities, within the framework set by the relevant legislation. On that basis the SC provides the due justification for individual requests.
4. The DG shall reply to SC requests for additional information within 15 working days.
5. When the reply is negative, it shall be justified.
6. When the DG considers it impossible to provide the requested additional information within the 15 working days, it shall, within this time limit, explain the reasons and propose a new date for transmission of the requested information.
Article 13
Additional case-related information
(Article 15(1) paragraph five,Regulation (EU, Euratom) No 883/2013)
When the SC considers it necessary for monitoring of the implementation of OLAF's investigative function, it may request additional information, including, inter alia:
(a) |
reports and recommendations in the cases where OLAF recommendations were not followed; |
(b) |
reports, recommendation and opinions of the review unit, including the prior legality check and the final quality and legal review assessing, among others, compliance with the rights and procedural guarantees of persons concerned; |
(c) |
reports and recommendation in the cases of deferral of the information to the institution, body, office or agency to which a person concerned by an internal investigation belongs; |
(d) |
other reports, recommendations, work forms, notes and information on countries concerned. |
Article 14
Access to an OLAF case file
(Article 15(1) paragraph five,Regulation (EU, Euratom) No 883/2013)
1. When the SC considers that it is necessary for monitoring of the implementation of OLAF's investigative function and that the otherwise accessible information is not sufficient in a given case, the SC may request partial or full access to an OLAF case file.
2. Access to the case file will be granted to specified staff members of the SC Secretariat for a specified duration which may be extended upon written request.
Article 15
Sampling
(Article 15(1) paragraph five,Regulation (EU, Euratom) No 883/2013)
1. Where the SC decides to monitor a systemic issue on the basis of sampling of cases which requires additional information or access to OLAF case files, the SC will inform the DG of the criteria for the selection and will request the necessary information or access
2. The SC, in close consultation with the DG, will select a representative sample of cases, following statistical or risk-based sampling.
Article 16
Additional non case-related information
The SC can also ask the DG for additional information relating to OLAF's investigation activity which does not constitute a part of a case file. Such a request shall be signed by the Head of the SC Secretariat, the SC Chairman or the relevant SC Member — rapporteur.
CHAPTER IV
FINAL PROVISIONS
Article 17
Timetable for providing information
Unless otherwise indicated in these Working Arrangements, the information to be provided by the DG on its own initiative will be transmitted to the SC four times a year, by the following dates: (i) 31 January, (ii) 30 April, (iii) 31 July, (iv) 31 October.
Article 18
Delegation
The DG may delegate in writing the exercise of his functions under these Working Arrangements to one or more members of the staff of the Office.
Article 19
Entry into force
These Working Arrangements will take effect from the date of their signature.
Article 20
Review
After one year from the date of the signature of these arrangements, the SC and the DG will evaluate their implementation and may propose, if appropriate, any necessary amendments.
Done in Brussels, on 14 January 2014
Giovanni KESSLER
Director-General of OLAF
Johan DENOLF
Chairman of the Supervisory Committee of OLAF
(1) Regulation (EU, Euratom) No 883/2013 of the European Parliament and of the Council of 11 September 2013 concerning investigations conducted by the European Anti-Fraud Office (OLAF) and repealing Regulation (EC) No 1073/1999 of the European Parliament and of the Council and Council Regulation (Euratom) No 1074/1999 (OJ L 248, 18.9.2013, p. 1).
(2) Commission Decision of 28 April 1999 establishing the European Anti-fraud Office (OLAF), 1999/352/EC, ECSC, Euratom (OJ L 136, 31.5.1999, p. 20) as amended by Commission Decision of 27 September 2013, 2013/478/EU (OJ L 257, 28.9.2013, p. 19).
(3) The SC may access case-related information following the ‘three-step approach’ as outlined in the European Data Protection Supervisor's Opinion on a notification for prior checking received from the Data Protection Officer of the European Anti-Fraud Office (OLAF) on Regular monitoring of the implementation of the investigative function, 19 July 2007 (Case 2007-73). Step 1 is covered by Article 10, step 2 – by Article 11 and step 3 – by Articles 12-15. Whenever personal data are transferred to SC, the SC takes adequate measures to ensure confidentiality and proper handling of such data according to the EU law on personal data protection.