BARBER, James

Enquiry / Availability

BARBER, James


Areas of Practice

  • Banking and Finance
  • Bankruptcy and Insolvency
  • Commercial
  • Corporations
  • Equity/Equitable Relief/Trusts
  • Guarantees
  • Insurance
  • Property Law
  • Securities
 

Summary

James Barber practises in commercial litigation with emphasis on sale of land, restitution, equity & trusts, corporations & securities, property, insolvency and banking & finance.Before his call to the Bar he practised as a commercial litigation solicitor for eight years in Melbourne and London and spent some months seconded to the litigation department of a major bank.He has an LLM from University College, London.

James is co-author, with Nimal Wikramanayake QC, of Voumard – The Sale of Land (published by Thomson Reuters).

Experience:

Significant or interesting matters include:

Hampshire Automotive Pty Ltd v Centre Com Pty Ltd [2019] VSCA 77 (led by Ian Upjohn QC): easements by prescription, doctrine of lost modern grant, whether dominant tenement landlord’s consent is required for tenant’s enforcement of easement;

Red Pepper Property Group Pty Ltd v S 3 Sth Melb Pty Ltd [2019] VSC 41: retail leases, construction, alleged landlord’s repudiation;

CellOS Software Pty Ltd v Huber (2018) 132 ACSR 468 (led by Daniel Crennan QC): diversion of business opportunity, capital raising and secondary market, application by a company to recover profits made in trading in its own shares;

ASIC v Hochtief AG (2016) 117 ACSR 589 (led by Neil Young QC): insider trading;

Rees v Rees [2016] VSC 452; [2016] VSC 579: deed of settlement set aside for mistake, indemnity costs;

Versus (Aus) Pty Ltd v ANH Nominees Pty Ltd [2015] VSC 515: retail leases, landlord’s statutory obligation to repair during renewed term, repudiation;

Vasco Investment Managers Ltd v Morgan Stanley Australia Ltd (2014) 108 IPR 52;[2014] VSC 455 (led by Sam Horgan QC): confidential information, restitution, quantum meruit; success fee;

CNM Investments Pty Ltd v Greek Orthodox Community of Victoria & Melbourne [2013] VCAT 1969: application to restrain counsel from continuing to act;

Westpac Banking Corporation v The Bell Group Ltd (in liq) (No 3) (2012) 44 WAR 1; 270 FLR 1; 89 ACSR 1; [2012] WASCA 157 (led by Neil Young QC): directors’ duties, breach of fiduciary duties; duty to exercise powers for a proper purpose; relief under the rule in Barnes v Addy;dispositions with intent to defraud creditors; equitable relief; compound interest;

RDN Developments Pty Ltd v Shtrambrandt (2011) VSC 130: compensation for lodgement of caveat without reasonable cause;

Re D W Marketing Pty Ltd (in liq) [2009] VSC 663: liquidator’s examination enjoined for abuse of process;

The Bell Group Ltd (in liq) v Westpac Banking Corp (No 10) (2009) 39 WAR 930; (2009) 71 ACSR 300 (led by Michael Corboy QC): equitable relief; compound interest;

In 2009 (with Byrne J and Philip Solomon, now Philip Solomon QC), drafting a new practice note for the Commercial Court of the Supreme Court of Victoria;

The Bell Group Ltd (in liq) v Westpac Banking Corp (No 9) (2008) 39 WAR 1; (2008) 225 FLR 1 (2008) 70 ACSR 1 (led by Ross Robson QC and Jim Peters QC): relief under the rule in Barnes v Addy;dispositions with intent to defraud creditors;

Allstate Exploration NL v QBE Insurance (Australia) Ltd (2007) 14 ANZ Ins Cas 61-743; [2007] VSC 380; [2008] VSCA 148 (led by Neil Young QC): construction of insurance contract;

Beaconsfield Gold NL v Allstate Prospecting Pty Ltd [2006] VSC 320 (led by Allan Myers QC and Peter Collinson QC): joint venture agreement; right of pre-emption;

Tarongo Land Pty Ltd v Lyons [2005] VSC 491 (led by Peter Vickery QC): construction of option agreement;

Alinta DEGP Pty Ltd v Wellington Shire Council (2005) 141 LGERA 187; [2005] VSC 307 (led by Jim Delany QC): rating;

Creasy's Grain Enterprises Ltd v Clarke and Barwood Lawyers Colac Pty Ltd [2004] VSC 77 (led by Nemeer Mukhtar QC): priority dispute between first and second mortgagees;

Oversea-Chinese Banking Corporation Ltd v Malaysian-Kuwaiti Investment Co [2003] VSC 495; [2004] VSC 351 (led by Nimal Wikramanayake QC): priority dispute between purchaser and mortgagee; rule in Hopkinson v Rolt; costs;

Crowe v Stevedoring Employees Retirement Fund Pty Ltd [2003] VSC 316: superannuation fund member's right to documents and information from trustee;

Logue v Hansen Technologies Ltd (2003) 125 FCR 590 (led by Robin Brett QC): security for costs;

Andrew Shelton & Co Pty Ltd v Alpha Healthcare Pty Ltd [2002] 5 VR 577 (led by Peter Vickery QC): restitution, free acceptance.

 

Victorian Bar Committee memberships

  • Ethics Committee.

Professional Qualifications:

  • Barrister and Solicitor of the Supreme Court of Victoria (admitted 23 April 1992);
  • Barrister and Solicitor of the High Court of Australia (admitted 23 October 1992);
  • Solicitor, England and Wales (admitted 1 August 1997);
  • Member of the Victorian Bar (signed Bar Roll 24 May 2001).

Academic Qualifications:

  • LLB (Honours) (Melbourne): qualified 1990, conferred 1991
  • LLM (Merit) (University College, London): 1996
    Subjects: Law of Credit and Security
    Restitution
    Commercial Conflict of Laws
    Theory of Civil Procedure

 

Previous Employment:

November 1998 to February 2001:

Senior Associate/Solicitor Commercial Litigation Department
Blake Dawson Waldron, Solicitors
101 Collins Street Melbourne
(Appointed Senior Associate 1 July 1999)
(including 5 months seconded to the litigation department of a major bank)

September 1996 to October 1998:

Solicitor
Litigation Department
Freshfields, Solicitors
65 Fleet Street, London

September 1995 to August 1996:

Full-time student
LLM programme
University College, London

April 1992 to August 1995:

Solicitor
Blake Dawson Waldron, Solicitors (now Ashurst Australia)

March 1991 to March 1992:

Articled Clerk
Blake Dawson Waldron, Solicitors (now Ashurst Australia)

Before being called to the Bar, major matters as a solicitor included:

  • a 5-month secondment to the litigation department of a major bank involving either direct conduct or instructing external firms in a wide range of matters including claims for alleged breach of contract, defamation, misrepresentation or misleading and deceptive conduct, breach of confidentiality, breach of fiduciary duty and breach of trust, as well as capital markets disputes and disputes over cheques;
  • acting for IAMA Limited in a merger dispute with subsidiaries of Futuris Limited involving litigation before the Supreme Court of South Australia;
  • acting for the victim in proceedings to recover the fruits of a multi-million-dollar fraud, involving claims for knowing assistance with breach of fiduciary duty against a firm of accountants and restitutionary causes of action.
  • acting for a major law firm in the successful defence of a $1.6 million claim for alleged negligence brought by a property management company;
  • acting for a senior executive of a listed Australian company who was the subject of an inquiry by an industry regulator, resulting in no further action being taken;
  • acting for the International Air Transport Association in a series of successful challenges to UK Government attempts to tighten aircraft noise limits at the London airports.

 


 

From 10th August 2011, liability limited by a scheme approved under Professional Standards Legislation.


 

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