IN THE MATTER OF THE REGISTRANT, C.A.
Case Date: 07/31/1996
Docket No: SYLLABUS
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(This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for
the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please
note that, in the interests of brevity, portions of any opinion may not have been summarized).
Argued March 26, l996 -- Decided July 31, 1996
GARIBALDI, J., writing for the Court.
In October 1994, the Legislature enacted a group of bills, collectively known as "Megan's Law," to
protect the community from the dangers of recidivism by sexual offenders. In Doe v. Poritz, this Court
upheld the constitutionality of two of those bills, the Registration Law that requires certain sexual offenders
to register with law enforcement, and the Community Notification Law (collectively referred to as RCNL).
In this appeal, the Court considers whether a nonconviction offense may be considered in determining a
convicted sex offender's tier classification under the RCNL, and whether the prosecutor's use of documentary
hearsay evidence to prove that alleged offense offends procedural due process and the doctrine of
fundamental fairness. The Court also addresses issues that relate to the validity of the Registrant Risk
Assessment Scale. The RCNL contemplates three levels of community notification, depending on the degree of the risk of re-offense. If the risk of re-offense is low, notification must be to law enforcement agencies likely to encounter the person registered (Tier One). If the risk of re-offense is moderate, organizations in the community and law enforcement agencies are to be notified (Tier Two). If the risk of re-offense is high, the public shall be notified in accordance with the Attorney General's Guidelines, in addition to the notification of law enforcement authorities and community organizations (Tier Three).
The Attorney General (AG) promulgated Guidelines and procedures for the notification that identify
factors relevant to the determination of the risk of re-offense, including those enumerated in the RCNL, and
the appropriate tier-level of notification. A registrant is rated by the local county prosecutor pursuant to the
Guidelines and the Registrant Risk Assessment Scale (Scale). A Committee of mental health experts and
members of law enforcement, convened by the AG, drafted the Scale and the accompanying Registrant Risk
Assessment Manual (RRA Manual), that explains the Scale. The Scale focuses on two factors: the
seriousness of the offense should the offender recidivate; and the likelihood that the offender will recidivate.
The Scale identifies thirteen factors, including the eight statutory factors, as well as other factors deemed
relevant to the risk of re-offense. Those factors are assigned to one of four larger categories: "Seriousness
of Offense," "Offense History," "Characteristics of Offender," and "Community Support." Each registrant is
assigned a score for each of the thirteen factors depending on an objective appraisal of that registrant.
Because historical factors tend to be the most powerful predictors of future offenses, the Scale gives greater
weight to the "Seriousness of Offense" and "Offense History" factors than to the "Characteristics of Offender"
and "Community Support" factors. The final score determines what Tier the registrant will be placed in.
On June 14, 1991, C.A. pled guilty to fourth degree sexual assault and burglary and received two
year probationary term for digital penetration of a female victim. Two days later, A.Z. reported to police
that she had been raped by C.A. In his defense, C.A. claimed that he did not rape A.Z.; rather they had
engaged in consensual sex in exchange for drugs. Based on A.Z.'s complaint, the State obtained an
indictment, charging C.A. with sexual assault, robbery, and weapons offenses. On January 30, 1992, another
woman reported a rape committed by C.A. He was charged with aggravated sexual contact. Pursuant to a
plea agreement, C.A. pled guilty to third-degree aggravated criminal sexual contact for the January 30th
incident in exchange for a dismissal of the earlier indictment concerning the rape of A.Z. C.A. was
sentenced to five years' imprisonment, with a two-and-one-half year period of parole ineligibility.
Prior to his release from jail, C.A. was notified that, pursuant to his score under the Scale, he would
be classified as Tier Three. C.A. argued that he should be classified in Tier Two and requested a judicial
hearing, alleging substantive and procedural deficiencies. C.A. contended that the scoring was incorrect
because: he never used a weapon; he was acquainted with all of his victims; and he only had two victims
since A.Z. should be excluded as the dismissed charge was not an offense for purposes of coverage under the
RCNL. C.A. further contended that the State's documentary hearsay was not credible and requested an
evidentiary hearing in which the victim, A.Z., among others, would testify. The trial court affirmed the Tier
Three classification, finding that the nonconviction offense could be counted, the documentary evidence
submitted was sufficiently reliable to establish that the A.Z. incident occurred, and a hearing was not
required.
On appeal, the Appellate Division agreed that the nonconviction offenses could be counted, and that
documentary evidence could be used to evaluate nonconviction offenses. The court, however, in reversing
and remanding, noted that documentary evidence should only be admitted into evidence when adjudged
reliable based on the totality of the circumstances surrounding the statements being considered. The court
concluded that, because C.A.'s story created a direct factual conflict, a hearing was required. The Appellate
Division held that neither side could serve process on the victim without leave of court, to be granted only on
a clear and convincing demonstration of a compelling need for that witness's testimony.
The Supreme Court granted C.A.'s petition for certification.
HELD: Balancing C.A.'s procedural due process rights and the right to fundamental fairness with the
community's right to protect itself against the risk of re-offense, C.A.'s prior nonconviction offense
may be considered in determining his tier classification and the State may prove that offense solely
by reliable documentary hearsay evidence. C.A. presented sufficient evidence to create a material
factual question about the nature and circumstances of the offense that may have had a significant
effect on his Tier classification. In addition, the Registrant Risk Assessment Scale is a reliable and
useful tool that the State can use to establish its prima facie case concerning a registrant's tier
classification and manner of notification. The procedures provided in a civil hearing concerning a
registrant's tier classification and manner of notification together with the requirement for judicial
review of those decisions adequately protect the registrant's rights to procedural due process and to
fundamental fairness.
1. The Scale's inclusion of nonconviction offenses as relevant to the risk of re-offense accords with the views
of other courts and commentators, is statutorily authorized, and is a rational implementation of the AG's
delegated power. (pp. 13-21)
2. Hearsay that is reliable, even though not deemed sufficiently reliable to be admitted under the Rules of
Evidence, should be admissible and sufficient to allow the State to sustain its burden of presenting a prima
facie case. Admission of reliable hearsay is compatible with C.A.'s right to procedural due process and
fundamental fairness. Trial courts must carefully evaluate the proffered hearsay to ensure that the hearsay is
reliable under the totality of circumstances surrounding that statement. (pp. 21-26)
4. Because the hearsay statements were reliable, they were properly admitted and would be sufficient to
sustain the State's burden of proof in presenting a prima facie case that C.A. deserved to be classified as Tier
Three. Nonetheless, C.A. raises a genuine issue of material fact in his claims that he did not use a knife and
that A.Z. engaged in a consensual trade of sex for drugs. He, therefore, should be granted a hearing to
determine whether he has established by the preponderance of evidence that the offense did not occur or
that he did not possess a knife during the offense. If C.A. establishes those facts, then the Scale must be
recalculated. This procedure is in accordance with Doe v. Poritz and the RCNL and properly and fairly
balances the procedural due process rights of the registrant with the needs of the community, as well as
protecting the rights of the victim. (pp. 28-31)
5. The AG's decision to include factors in the Scale that relate to the quality or nature of a re-offense is
consistent with the RCNL and Doe v. Poritz. The Scale's "Seriousness of Offense" and "Offense History"
categories are considered static because they relate to the registrant's prior criminal conduct. The
"Characteristics of Offender" and "Community Support" are considered to be dynamic categories because they
are evidenced by current conditions. The Committee's decision to weight the static factors higher than the
dynamic factors is consistent with the majority of scientific literature that concludes that the static factors
used in the Scale are the best predictors of risk of re-offense. Although the weights assigned to the
categories in the Scale have not been scientifically proven to be valid, the State has produced sufficient
evidence demonstrating that the factors used in the Scale are reliable predictors of recidivism and are
weighted in the Scale according to their relative effectiveness as predictors. (pp. 35-40)
6. Empirical validation of the Scale is neither feasible nor practicable. Based on the record presented, the
Scale is an appropriate and reliable tool and is consistent with the requirements of the RCNL and Doe v.
Poritz. The Scale gives prosecutors a reasonably objective measure on which to assign registrants to a tier
classification. Although a tier classification made on the basis of the Scale should be afforded deference, a
court should not rely solely on a registrant's point total when it conducts judicial review of the correctness of
a prosecutor's tier level classification or manner of notification decisions. (pp. 40-45)
The judgment of the Appellate Division in is AFFIRMED.
JUSTICES HANDLER, POLLOCK, O'HERN, and COLEMAN join in JUSTICE GARIBALDI'S
opinion. JUSTICE STEIN concurs only in the judgment of the Court.
SUPREME COURT OF NEW JERSEY
IN THE MATTER OF THE REGISTRANT,
Registrant-Appellant.
Argued March 26, l996 -- Decided July 31, 1996
On certification to the Superior Court,
Appellate Division, whose opinion is reported
at
285 N.J. Super. 343 (l995).
The opinion of the Court was delivered by
offender's tier classification under the RCNL, and whether the
prosecutor's use of documentary hearsay evidence to prove that
alleged offense offends procedural due process and the doctrine
of fundamental fairness. We also address issues, not directly
raised in this appeal, that relate to the validity of the
Registrant Risk Assessment Scale that the Court sua sponte
requested the parties and amici curiae to address.
We explained the purpose behind Megan's Law in detail in Doe v. Poritz, supra, 142 N.J. at 12-20. The Legislature enacted Megan's Law to protect the community from the dangers of recidivism by sexual offenders. N.J.S.A. 2C:7-la. The Legislature also wanted to provide law enforcement agencies with additional information about sex offenders in their community because that information is "critical to preventing and promptly resolving incidents involving sexual abuse and missing persons." N.J.S.A. 2C:7-lb. The statute provides that sex offenders shall register with local authorities. N.J.S.A. 2C:7-2a. The sex offenses that trigger required registration are set forth in N.J.S.A. 2C:7-2b. After registration by the offender, the chief law enforcement officer in the municipality where a registrant intends to reside is required to provide notification in accordance with N.J.S.A. 2C:7-8. That statute contemplates three
levels of notification "depending upon the degree of the risk of
re-offense." N.J.S.A. 2C:7-8a.
(2) If risk of re-offense is moderate,
organizations in the community including
schools, religious and youth organizations
shall be notified in accordance with the
Attorney General's guidelines, in addition to
the notice required by paragraph (1) of this
subsection;
(3) If risk of re-offense is high, the public
shall be notified through means in accordance
with the Attorney General's guidelines
designed to reach members of the public
likely to encounter the person registered, in
addition to the notice required by paragraphs
(1) and (2) of this subsection.
All registrants are subjected to at least Tier One notification,
which requires registration with law enforcement agencies. Doe
v. Poritz, supra, 142 N.J. at 22.
Factors relevant to risk of re-offense shall
include, but not be limited to, the
following:
(1) Conditions of release that minimize risk
of re-offense, including but not limited to
whether the offender is under supervision of
probation or parole; receiving counseling,
therapy or treatment; or residing in a home
situation that provides guidance and
supervision;
(2) Physical conditions that minimize risk of
re-offense, including but not limited to
advanced age or debilitating illness;
(3) Criminal history factors indicative of
high risk of re-offense, including:
(a) Whether the offender's conduct
was found to be characterized by
repetitive and compulsive behavior;
(b) Whether the offender served the
maximum term;
(c) Whether the offender committed
the sex offense against a child.
(4) Other criminal history factors to be
considered in determining risk, including:
(a) The relationship between the
offender and the victim;
(b) Whether the offense involved
the use of a weapon, violence, or
infliction of serious bodily
injury;
(c) The number, date and nature of
prior offenses;
(5) Whether psychological or psychiatric
profiles indicate a risk of recidivism;
(6) The offender's response to treatment; (7) Recent behavior, including behavior while confined or while under supervision in the
community as well as behavior in the
community following service of sentence; and
(8) Recent threats against persons or
expressions of intent to commit additional
crimes.
Pursuant to that delegation of power, the Attorney General
issued guidelines to determine the risk of re-offense and
appropriate tier level of notification. The Attorney General's
guidelines currently provide that a registrant is rated by the
local county prosecutor pursuant to the guidelines and the
"Registrant Risk Assessment Scale" (Scale). To develop that
Scale, the Attorney General convened a committee composed of
mental health experts as well as members of the Law Enforcement
Committee, which drafted the Scale and the accompanying
Registrant Risk Assessment Manual (RRA Manual),See footnote 1 which explains
the Scale. The Scale focuses on two factors, "the seriousness of
the offense should the offender recidivate," and "the likelihood
that the offender will recidivate." Registrant Risk Assessment
Manual at 2.
"Seriousness of Offense," "Offense History," "Characteristics of
Offender," and "Community Support." Each registrant is assigned
a score for each of the thirteen factors depending on an
objective appraisal of that registrant, with a zero for low risk,
one for moderate risk, and three for high risk. In Doe v. Poritz, supra, 142 N.J. at 107, we concluded that a hearing is required prior to notification under Tiers Two and Three. The Court, recognizing that the RCNL impinges upon interests that trigger the protections of procedural due process and the State's own fairness doctrine, required judicial review of those decisions to "assure that the risk of reoffense and the extent of notification are fairly evaluated before Tier Two [moderate risk] or Tier Three [high risk] is implemented." Id.
at 30. The RCNL judicial hearing process under Doe v. Poritz,
supra, is not governed by the rules of evidence. The reviewing
court may rely exclusively on documentary evidence "on all
issues." Id. at 31. The court has the authority to determine
(l) the extent of witness production; (2) the extent of cross-examination; and (3) the use of expert testimony. Ibid. Those
determinations are to be based on the "apparent complexity of the
matter [and] the extent of doubt concerning the correctness of
the level and manner of notification selected by the prosecutor.
Ibid. At the same time, Doe v. Poritz further prescribed a two-step procedure for evidence production. In the first step, the
prosecutor has the burden of going forward with prima facie
evidence that "justifies the proposed level and manner of
notification." Id. at 32. In the second step, assuming the
prosecutor's burden is met, the registrant then has the burden of
producing evidence challenging the prosecutor's determinations on
both issues. Ibid. Once the State has satisfied its burden of
going forward, the court "shall affirm the prosecutor's
determination unless it is persuaded by a preponderance of the
evidence that it does not conform to the laws and Guidelines."
Ibid. The court's determination is independent and based on its
own review of the case on the merits.
On July 22, 1988, C.A.See footnote 2 entered the room of his sleeping
victim, a friend's girlfriend whom he had known for several
months; when she awoke, he was digitally penetrating her and
fondling her breasts. He pled guilty to fourth degree sexual
assault and burglary and was sentenced on June 14, 1991 to a two
year probationary term.
At that time, [C.A.] opened her unlocked
passenger door, got in, pulled out a small
hunting type knife, held it up in front of
him and told her that she was going to take
him where he wanted to go. They drove north
on Johnston . . . [C.A] had her park in an
alley then told her to get into the back seat
and take off her pants, underwear and pull
out her tampon. At no time did he threaten
her or show her the knife. He then got in
the back seat and had . . . vaginal
intercourse. . . .
She told another detective the same story. She was
eventually admitted to a hospital and treated for depression and
post-traumatic stress disorder. She told the doctors the same
story that she had told police; she also told the doctors that
she had previously been raped eleven years earlier.
On January 30, 1992, another woman called the police to
report a rape committed by C.A. She told the police that C.A.,
whom she had seen before but did not know, had stopped her as she
walked on the street and forced her into an alley. He took her
money and demanded that she remove her clothing; he then had oral
and vaginal intercourse with her after threatening to kill her.
C.A. claimed, as he did with A.Z., that he was friendly with the
victim and had engaged in consensual sex in exchange for drugs.
The victim acknowledged prior drug use but insisted that she was
raped. He was charged with aggravated sexual contact.
may take into account any information
available and encompass all credible
evidence. Thus, a determination of the
number of victims or offenses may be based
upon documentation other than a criminal
conviction. Such documentation may include,
but is not limited to, criminal complaints
not the subject of a conviction but which are
supported by credible evidence, victim
statements, admissions by the registrant,
police reports, medical, psychological or
psychiatric reports, pre-sentencing reports,
and Department of Corrections discharge
summaries.
[Registrant Risk Assessment Scale Manual at
5.]
The trial court found that the nonconviction offense could
be counted and further found that a hearing was not required.
The court decided that the documentary evidence submitted was
sufficiently reliable to establish that the incident occurred,
especially "three separate statements to three separate persons .
. . that while she was in an emotional state, she gave
information each of the three times that a knife was used in that
incident."
evidence when adjudged reliable based on the totality of the
circumstances surrounding the statements being considered. Ibid.
If the State established a prima facie case based on those
documents justifying the proposed level of notification, then the
offender could rebut the claim; if there was a direct factual
conflict, then a hearing would be appropriate. Id. at 349-51.
While providing for a hearing, the Appellate Division held that
neither side could serve process upon the victim without leave of
the court, "which shall be granted only upon a clear and
convincing demonstration of a compelling need for that
[witness's] testimony." Id. at 350. Because the plausible story
told by C.A. created a direct factual conflict, a hearing was
required. Ibid. C.A. contends that the trial court's inclusion of an alleged offense for which C.A. was never convicted was improper, and that only convictions should be counted in evaluating the risk of re-offense and determining the appropriate tier of notification. As
discussed supra at __ (slip op. at 12), the RRA Manual
specifically includes nonconviction offenses. Thus, the question
is whether the RRA Manual's inclusion of nonconviction offenses
is authorized under the statute.
(b) whether the offender served the maximum
term;
(c) whether the offender committed the sex offense
against a child.
"Other criminal history" factors identified by the statute
to be considered in determining risk include:
(a) The relationship between the offender and
the victim;
(b) Whether the offense involved the use of a
weapon, violence or infliction of serious
bodily injury;
(c) The number, date and nature of prior offenses.
Based on those statutory provisions, we find that the
Legislature intended nonconviction offenses to be part of the
statutory factors of "criminal history" and "other criminal
history". Therefore, nonconviction offenses are to be considered
in evaluating a registrant's risk of re-offense, provided there
is sufficient evidence that the offense occurred.
98-99. In reviewing the Attorney General's decision to include
certain non-statutory factors pursuant to this delegation, we
"will not . . . set [it] aside on the ground that it transgressed
the statute unless the transgression is plain; the presumption is
in favor of validity." New Jersey Guild of Hearing Aid
Dispensers v. Long,
75 N.J. 544, 561 (1978)(quoting Lane v.
Holderman,
40 N.J. Super. 329, 335 (App. Div. l956), aff'd,
23 N.J. 304 (1957)).
As described infra at __ (slip op. at 38), experts
generally agree that the best predictor of a registrant's future
criminal sexual behavior is that registrant's prior criminal
record. Accordingly, prior nonconviction offenses should be
considered in the risk calculation provided that there is
sufficient reliable evidence that the offense did happen.
judicial proceedings to avoid criminal
liability suggests the need for
incapacitation and retribution is heightened.
. . .
Similarly, others have argued that, "if incapacitation or
reform is at issue, sentencing authorities must attempt
predictors of an offender's future behavior. In such systems,
Poritz, supra, 142 N.J. at 40-74, that notification pursuant to
Megan's Law is not punishment for a criminal action but rather is
a civil remedy to ensure public safety. See, e.g., In re
McLaughlin,
144 N.J. 133, 143 (1996)(denying application for
admission to bar in part on the basis of prior act that was
"illegal," even though there was no conviction for that prior
act); see also United States v. Ursery, 1
996 WL 340815, *3, *6
(U.S. June 24, 1996)(approving of civil forfeiture for narcotics
violation although conviction was not obtained until after civil
proceedings were completed).
Cuva,
156 N.J. Super. 159, 163 (App. Div. 1978) (approving civil
injunction for violation of township ordinance despite prior
acquittal on same charge); Kugler v. Banner Pontiac-Buick, Opel,
Inc.,
120 N.J. Super. 572, 579-80 (Ch. Div. 1972) (allowing civil
penalty for violation of Consumer Fraud Act despite acquittal on
same charge); Freudenreich v. Mayor of Fairview,
114 N.J.L. 290,
292-93 (E & A 1934) (permitting disciplinary action for police
officer despite prior acquittal); cf. Helvering v. Mitchell,
303 U.S. 391, 397-99,
58 S. Ct. 630, 632-33,
82 L. Ed. 917, 920-22
(1937) (sustaining civil suit to recover tax deficiency despite
prior acquittal).
conduct never charged, e.g., United States v. Andrews,
948 F.2d 448, 448-450 (8th Cir. 1991)(considering defendant's involvement
in prior uncharged robberies to enhance sentence on conviction
for robbery). If nonconviction offenses may be used, how should their existence be established? C.A. contends that a factual hearing must always be held in order to establish that such an offense did in fact occur, and that the use of only hearsay and documentary evidence at such a hearing deprives him of his right to procedural due process and fundamental fairness.
We have previously concluded that notification implicates
"protectible liberty interests in privacy and reputation," and
therefore triggers the constitutional right to procedural due
process. Doe v. Poritz, supra, 142 N.J. at 106. We have also
held that New Jersey's doctrine of fundamental fairness, which
"require[s] procedures to protect the rights of defendants at
various stages of the criminal justice process even when such
procedures were not constitutionally compelled," applies to
notification hearings "to require procedural protections that
will ensure that his classification . . . [is] tailored to his
particular characteristics and are not the product of arbitrary
action." Id. at 108-09.
[Doe v. Poritz, supra, 142 N.J. at 107
(quoting Zinermon v. Burch,
494 U.S. 113,
127,
110 S. Ct. 975, 984,
108 L. Ed.2d 100,
115 (1990)(quoting Mathews v. Eldridge,
424 U.S. 319, 335,
96 S. Ct. 893, 903,
47 L. Ed.2d 18, 33 (1976))).]
The minimum requirements of due process are notice and an
opportunity to be heard. Id. at l06. Applying the Matthews v.
Eldridge test in Doe v. Poritz, supra, we added additional
procedures and concluded:
The Court vested reviewing courts with the obligation of
providing procedural due process to ensure the appropriateness of
a tier classification. Id. at 39. That obligation carries with
it broad powers to control the summary hearing on the level and
manner of the tier notification. Id. at 31. According to Doe v.
Poritz, judges are to structure the hearing based "on the
apparent complexity of the case [and] the extent of doubt
concerning the correctness of the level and manner of
notification selected by the prosecutor." Id. at 3l.
proceeding. In recognition of the countervailing governmental
interests, Doe v. Poritz, supra, did not grant registrants the
full panoply of rights applicable to a criminal proceeding. Id.
at 34. Instead, we expressly held that the "rules of evidence
shall not apply." Ibid. The Court further held that the
reviewing court may "rely on documentary presentations on all
issues." Ibid. In recognizing the need for procedural
safeguards, the Doe Court did not analyze the circumstances under
which admission of hearsay evidence is permissible, but simply
authorized the trial court to determine whether witnesses will be
produced and cross-examinations allowed. Id. at 3l.
does not bar admission.") C.A. contends that, since hearsay is
so unreliable, there is an increased risk of error and the
additional safeguard of requiring admissible evidence would
increase accuracy and should be required.
liberty or property, e.g. In re Polk,
90 N.J. 550, 562-63 (1982),
and implicate the constitutional right to due process. Once the State has proven its prima facie case, the burden of proof and persuasion shifts to the registrant, and the court "shall affirm the prosecutor's determination unless it is persuaded by a preponderance of the evidence that it does not conform to the laws and Guidelines." Doe v. Poritz, supra, 142 N.J. at 32. If the defendant produces proof, whether in the form of reliable hearsay, affidavit, or an offer of live testimony, that is sufficient to raise a "genuine issue of material fact," that the tier classification and the manner of notification are inappropriate, then the trial court should convene a fact-finding hearing and permit live testimony. Brill v. Guardian Life Ins. Co. of America, 142 N.J. 520, 534 (1995). "This is not to suggest that every facially unbelievable and bizarre story advanced by a registrant as a basis for an evidentiary hearing will compel such a hearing. A judge might well conclude that a registrant's unsubstantiated claim that an elderly grandmother or nun was engaged in a consensual sex for drugs transaction is unworthy of belief." In re C.A., supra, 285 N.J. Super. at 350. We adopt the hearing format suggested in Reyes, supra, 207 N.J. Super. 126, for probation violation hearings as the appropriate procedure in notification cases when the offender has raised a genuine issue of material fact. At the hearing, "the
State may be permitted to rely initially on hearsay evidence but
supplement its proofs . . . concerning matters which the
[offender] contests by eliciting evidence on cross-examination or
by the introduction of contrary evidence." Reyes, supra, 207
N.J. Super. at 139. The State may, if it wishes, decide not to
provide additional proof and rely solely on its hearsay evidence,
and the "court may conclude that the State's hearsay evidence is
sufficient to overcome live testimony offered on behalf of the"
offender. Id. at 139 n.5. We have little difficulty concluding that the proffered documentary hearsay evidence in this case was reliable and was properly considered by the trial court. The State offered three
reports (two by police officers and one by a doctor at a
hospital) detailing the incident as related by A.Z. We readily
accept these reports as reliable insofar as they relate that A.Z.
actually told that story to these individuals. We presume that
police officers and medical doctors will accurately report on the
statements given to them. Indeed, because of that indica of
reliability, those reports would ordinarily be admitted in court
as an exception to the hearsay rule under N.J.R.E. 803(c)(6),
although A.Z.'s statements inside those reports would not be
admitted under that rule, see Sas v. Strelecki,
110 N.J. Super. 14, 22 (App. Div. 1970).
culminating in a medical recovery than . . . in obtaining a
favorable medical opinion culminating in a legal recovery."
Biunno, supra, Comment on N.J.R.E. 803(c)(4).See footnote 3 The time and
place when A.Z. made her statements lend credence to their
reliability.
to rely on the hearsay evidence that it has already presented to
establish its prima facie case. The State may also present
additional evidence if it deems such evidence necessary, and, if
C.A. presents live testimony, may challenge his story on cross-examination. After the hearing, the trial court should decide
whether C.A. has established, by the preponderance of evidence,
that the offense did not occur or that he did not possess a knife
during the offense. If C.A. establishes those facts, then the
Scale must be recalculated. Although the validity of the Scale was not directly raised in this appeal, the Court sua sponte requested the parties and various amici curiae to address whether the Scale and the current guidelines comport with the RCNL and Doe v. Poritz. We now discuss the concerns expressed by the parties and the amici curiae about the validity and reliability of the Scale. Generally, those concerns fall into two categories: whether the quality and nature of the re-offense (seriousness of the offense) is an appropriate consideration of risk of re-offense under the RCNL and Doe v. Poritz, and whether the authors of the Scale
assigned the proper weight to each of the four basic categories.
We also examine the proper use of the Scale. As previously stated, supra, at ___ (slip op. at 5), the Attorney General, pursuant to N.J.S.A. 2C:7-8, adopted guidelines. In Doe v. Poritz, supra, 142 N.J. at 24 n.2, we found these original guidelines to be deficient because they failed to include several risk factors required by the Community Notification Law. On September 14, 1995, the Attorney General promulgated new guidelines to meet the requirements contained in Doe v. Poritz. As discussed supra at ___ (slip op. at 5-6), the new guidelines include the Registrant Risk Assessment Scale and the RRA Manual. The Scale and the guidelines were designed to provide prosecutors with an objective standard on which to base the community notification decision mandated by statute and to assure that the notification law is applied in a uniform manner throughout the State. All of the parties and amici agree that the Scale and RRA Manual are premised on the belief that the statutory measurement, the risk of re-offense, includes a combination of two factors: the damage likely to be caused by re-offense, if it occurs, (the quality of the re-offense) and the likelihood of re-offense. The authors of the Scale contend that the quality of re-offense is in large part determined by the seriousness of the registrant's prior offense record. The Registrant and amici, however, dispute the State's contention that the use of quality of re-offense criteria conforms with the risk factors provided by the Legislature in the RCNL. According to the Public Defender, the Legislature did not envision the creation of a scale that would classify registrants according to the potential gravity or nature of future sex offenses. The Public Defender argues that it was the Legislature's intent that tier classification be based solely on the likelihood of re-offense without regard for the degree of harm or lack of harm that might result |