Date: 20060215
Docket: T-2071-04
Citation: 2006
FC 198
Ottawa, Ontario,
February 15, 2006
PRESENT: THE HONOURABLE MR. JUSTICE MOSLEY
BETWEEN:
ELZBIETA
PASZKOWSKI
Plaintiff
and
THE ATTORNEY GENERAL OF CANADA,
THE MINISTER OF CITIZENSHIP AND
IMMIGRATION,
HUGH LOVEKIN, RANDY GURLOCK, and ROBERT FERGUSON
Defendants
REASONS FOR ORDER AND ORDER
[1] The defendants have moved for
summary judgment to dismiss
the plaintiff’s action. The plaintiff claims that Citizenship and
Immigration Canada (CIC) officials, the named individual defendants, committed
torts of public misfeasance and malfeasance by delaying the processing of her
June 5, 1990 permanent residence application and that her rights under the Canadian
Charter of Rights and Freedoms were violated. As a result, the
plaintiff claims she was deprived of opportunities to become a Canadian citizen,
to travel abroad, to continue her education, to earn a living and to have more
children.
BACKGROUND
[2] There is a
lengthy history behind the plaintiff’s action stemming from the claims of her
husband, Ryszard Paszkowski, that he worked for Canadian security and
intelligence agencies and was denied admission to Canada when that
relationship went sour. As stated by Justice James Hugessen in proceedings
brought by the husband, Paszkowski v. Canada (2001), 11 Imm. L.R.
(3d) 28, 103 A.C.W.S. (3d) 400 (F.C.T.D.) at
paragraph 1, the elements of that story “make at least as good reading as a great many of
the spy novels which one encounters nowadays.” On this motion, the parties
have filed a considerable amount of material relating to Mr. Paszkowski’s
immigration proceedings and litigation before the courts.
[3] In those
proceedings, Ryszard Paszkowski said he had been a member of the intelligence
service in cold war Poland, his native country, and that he quit the service
when martial law was imposed in that country. In August, 1982 Paszkowski hijacked
an airplane from Hungary to Munich, West Germany. He
requested and was granted asylum in West Germany. On February 14, 1983,
he was convicted of the offence of “air traffic attack” and sentenced to a term
of imprisonment of four and one half years by a West German court. He was
pardoned for this offence in 1997. While in prison, Paszkowski renounced his
Polish citizenship and became a stateless person.
[4] Mr. Paszkowski
escaped from a German prison in July, 1984 and, after a brief sojourn in France, managed to
get himself to a refugee camp in Italy. In affidavits filed
in his litigation which form part of the record on this motion, he claims to
have approached the Canadian Embassy in
Rome and offered to supply intelligence to
the Royal Canadian Mounted Police (“R.C.M.P.”), in return for which he was to
be resettled in Canada. That claim has not been admitted by the
defendants and has been denied by Crown witnesses in the litigation involving
Mr. Paszkowski.
[5] What is
undisputed, however, is that while in the camp Paszkowski applied
to become a permanent resident of Canada under the name “Robert
Fisher” and was issued a visa as a government sponsored refugee. Paszkowski arrived
in Canada on December 11,
1984 and was given a record of landing under the name of Fisher. As Fisher, he
took up residence in Edmonton. In 1985, he
approached the Canadian Security Intelligence Service (“CSIS”) and offered to
obtain and provide information with respect to the activities of the Polish
intelligence service in Canada.
[6] The R.C.M.P.
had taken Fisher’s fingerprints in Italy in November 1984 for
the purpose of his visa application. It is not clear from the record whether
they determined his actual identity at that time. However, a telex dated
August 18, 1986 indicates that immigration officials had by then become aware
of Fisher’s dual identity and were considering an inquiry into his admissibility.
But Paszkowski /Fisher, the month previously, had returned to Europe. Paszkowski was
arrested in Rome on August 19th by the Italian police and extradited
to Germany to serve the
remainder of his prison sentence.
[7] Paszkowski was
released on parole in November, 1987 and remained in Germany for two
years. During that period he was joined by the plaintiff, then Elzbieta Perlinska,
the daughter of friends in Poland with whom he had corresponded. Ms. Perlinska
testified in 1989 that she was encouraged
by the Polish Security Service to visit
Paszkowski to collect information about his activities. Upon arrival in Germany she claimed
refugee status.
[8] During the
two years he remained in Germany, Paszkowski applied for
and was refused a returning resident permit by Canada.
[9] On October 4,
1989, Mr. Paszkowski and Ms. Perlinska travelled to Canada using false
travel documents. Both claimed refugee status upon arrival at Edmonton
International Airport.
[10]
Mr.
Paszkowski was refused entry, detained and reported for a hearing under s. 20
of the Immigration Act, 1976, R.S.C. 1985, c. I-2 (“the former Act”) as
to his admissibility. The immigration officer relied on three grounds: 1) that
he did not have proper travel documents; 2) that he had not obtained a visa and
was thereby inadmissible under paragraph 19(2)(d) of the former Act; and 3) that
his conviction in Germany made him a member of a class of persons inadmissible
to Canada by reason of paragraph 19(1)(c) of the former Act.
[11]
On
October 12, 1989 an immigration adjudicator issued Mr. Paszkowski conditional
deportation and exclusion orders but found a credible basis for his refugee
claim and referred the claim to the Immigration and Refugee Board, Convention
Refugee Division for determination. During the admissibility hearing, an
immigration officer testified as to Paszkowski’s dual identity, 1984 visa and entry
into Canada. Ms.
Perlinska testified on his behalf.
[12]
Paszkowski’s
application for permanent residence and record of landing in 1984 under the
name of Robert Fisher was entered into evidence at the refugee hearing. Conflicting
testimony, was heard about Mr. Paszkowski’s claim to have been a Polish agent
and with respect to the nature and extent of his involvement with CSIS. Paszkowski
was found not to be a credible witness and on June 6, 1990, his refugee claim
was denied. The conditional deportation orders then became executable.
[13]
CIC’s
subsequent efforts to deport Mr. Paszkowski were unsuccessful as Germany
refused to receive him and he could not be returned to Poland. Between
1990 and November 1996, Paszkowski brought a series of ultimately unsuccessful
applications and appeals in the Federal Court and the Alberta Court of Queen’s
Bench in an effort to overturn the refugee determination and remain in this
country. Despite Paszkowski’s lack of legitimate travel documents, he
periodically left Canada and re-entered, seemingly at will. In 1992,
for example, he appears to have travelled to the Netherlands from which
he sent CIC officials a post-card.
[14]
In
January 1997, when his challenges against the deportation orders had finally
been exhausted, Mr. Paszkowski sought refugee status in the United
States,
was refused and was deported to Poland. A few months later Paszkowski
returned to Canada, again using
false documents. He sought and received sanctuary in an Ottawa church and
filed an action against the Queen, the Minister of Citizenship and Immigration
and the Attorney General of Canada in the Federal Court, Trial Division, as
this court then was, seeking injunctive and declaratory relief.
[15]
In
their statement of defence to the 1997 action, the defendants acknowledged that
Mr. Paszkowski was given assignments in Canada by the
Canadian Security Intelligence Service during 1985 and 1986 but asserted that
he had at all material times represented himself to be Robert Fisher. The
defendants denied that he was entitled to enter into or remain in Canada.
[16]
The
1997 action, in Court file IMM-5510-97, was discontinued by consent of the
parties on September 24, 2002. The following day Mr. Paszkowski filed a
further action against the Crown which resulted in a consent order issued on
November 22, 2002. (See Ryszard Paszkowski v. Her Majesty the Queen,
unreported, docket T-1622-02).
[17]
It
was conceded by the Crown in an Agreed Statement of Facts dated October 1, 2002
that the immigration officer had erred in October, 1989 by reporting Ryszard
Paszkowski under s.20 of the former Act as that provision applied only to
persons who were not citizens or permanent residents. The parties agreed that
he could have been reported under subsection 27(1) of the former Act for deemed
abandonment of his status of permanent resident or on the ground that obtaining
a visa in 1984 under an assumed name vitiated his landing at that time, however,
that was not done.
[18]
In
the result, the parties agreed that the adjudicator did not have jurisdiction
to conduct the s.20 hearing and that the exclusion and deportation orders were
invalid. The officer’s error, the Agreed Statement says, stemmed largely from
the fact that Mr. Paszkowski did not claim to be a returning resident and
rather chose to claim refugee status with his fiancé.
[19]
On
the strength of the agreed statement, a joint memorandum of fact and law and a
draft order submitted by the parties, the Court declared that Ryszard
Paszkowski had been a permanent resident of Canada from and after the 11th
day of December, 1984 and had the right to enter and remain in Canada pursuant
to s.27(1) of the Immigration and Refugee Protection Act, S.C.2001,
c.27.
[20]
Further,
the Court declared that the exclusion and deportation orders dated October, 12,
1989 were void, of no effect and unenforceable in law. No costs were awarded
to the successful party. I was advised during the hearing of this motion that
Mr. Paszkowski had released the Crown from any liability for damages or costs
in return for its consent to the order. That waiver does not apply to any
claim that his wife might have against the Crown as she was not a party to her
husband’s action.
The Plaintiff’s Claim to
Refugee Status and Permanent Residence in Canada
[21]
The
plaintiff’s claim to refugee status was dealt with on a separate track from
that of Mr. Paszkowski following their arrival at Edmonton on October
4, 1989. On January 15, 1990 the plaintiff was determined to be a Convention
refugee. On January 19, 1990 she married Mr. Paszkowski. The couple have two
sons born in Canada, on March 2,
1990 and August 27, 1992.
[22]
On
June 5, 1990 the plaintiff applied for permanent residence in Canada under
section 46.04 of the Immigration Act as it read at that time. She
sought landing only for herself, though her application identified Mr.
Paszkowski as her husband and closest relative in Canada, as she was
required to do by the statute.
[23]
By
a letter dated June 4, 1991, signed by the defendant Robert Ferguson, the
plaintiff was notified that her permanent residence application could not be
processed by reason of the operation of subsection 46.04(3) of the Immigration
Act, as her husband was criminally inadmissible, and that no further action
would be taken on her application until her husband left Canada.
[24]
As
subsection 46.04(3) read in 1991 (S.C. 1988 c.35), an immigration officer
considering an application for permanent residence had no discretion to grant
landing if he or she was satisfied that any member of the applicant’s family,
present in Canada, was inadmissible for criminality whether or not that family
member was listed as a dependant by the applicant.
[25]
The
plaintiff did not seek judicial review of Mr. Ferguson’s decision or of any
subsequent actions taken by immigration officials. Her explanation, on
cross-examination of her affidavit, as to why she did not seek a judicial
remedy, in light of her husband’s litigious history, was that she had never
thought of taking such action and, in any event, her refugee status guaranteed
that she would remain in Canada.
[26]
Education
and employment permits were issued so Mrs. Paszkowski was able to work and
study although there is some evidence that these were not always issued in a
timely manner. Without permanent residence status, the plaintiff was not
eligible for student loans although the record indicates that a CIC official
wrote to Alberta Student Finance in an effort to assist her in that regard.
[27]
By
an enactment, S.C. 1992, c.49 s.38 (3), which came in to force early in 1993,
subsection 46.04(3) was repealed and re-enacted without the reference to an
inadmissible non-dependant family member present in Canada. It is common
ground between the parties that the practical effect of the amendment for the
plaintiff was that so long as her husband was not listed as a dependant, his
inadmissible status (by reason of the criminal record in Germany) would not serve
as a bar to her application for landing whether or not he was present in Canada.
[28]
The
evidence indicates that the significance of this change did not become apparent
to the plaintiff, her husband or to the immigration officers familiar with her
case, until long after the amendment was made as they continued to operate on
the assumption that so long as Mr. Paszkowski remained in Canada, his wife
would be ineligible for landing.
[29]
As
noted above, Mr. Paszkowski left Canada in January 1997 for the United
States,
ostensibly to facilitate his wife’s landing. On February 22, 1997 the plaintiff,
with encouragement from Randy Gurlock, then Assistant Manager of CIC Edmonton,
re-applied for permanent residence for herself and listed only her two sons,
both Canadian citizens, as dependents. This application was provisionally
accepted on May 8, 1997.
[30]
Following
Mr. Paszkowski’s return to Canada later that year, there was some discussion
within CIC as to whether they could continue to process the plaintiff’s
application. On January 7, 1998, Gurlock, wrote to Hugh Lovekin, a case
management analyst at CIC headquarters in Ottawa, seeking
advice and referencing the current wording of subsection 46.04(3). The next
day, Lovekin instructed Gurlock to continue to process the plaintiff’s application
notwithstanding Paszkowski’s presence in the country.
[31]
The
record indicates that among CIC officials there continued to be doubts as to
the proper interpretation of subsection 46.04(3) and whether the plaintiff’s
application could proceed in light of her husband’s uncertain status. I am
satisfied, however, from a close review of the affidavits and documentary
evidence filed that they continued to process the application and that the
primary reason for subsequent delay was the backlog for security clearances
that had accumulated in the late 1990s. The plaintiff was granted permanent
residence on April 10, 2001. On April 29, 2004 Mrs. Paszkowski obtained her
Canadian citizenship.
THE CLAIMS
[32]
The
plaintiff alleges that throughout the material times the defendants knew that
Robert Fisher and Ryszard Paszkowski were one and the same person and that
Robert Fisher was a permanent resident of Canada.
[33]
The
plaintiff claims that each defendant owed her a duty to process her application
for permanent residence in good faith and in a manner consistent with the
legislation and applicable law. The plaintiff alleges that each defendant
breached that duty and caused her damages. Further, or in the alternative, the
plaintiff alleges that each defendant in exercising their statutory or
prerogative power abused their public office, committed the tort of misfeasance
in public office and caused her damages.
[34]
The
plaintiff further alleges that her rights under sections 1, 7 and 15 of the Canadian
Charter of Rights and Freedoms were violated. In particular, the plaintiff
claims that each defendant denied her section 7 rights to liberty and security
of the person based on a deprivation of psychological security during the 11 years
when she was “in limbo”. She seeks damages pursuant to section 24(1) of the Charter.
She claims against each defendant, jointly or severally, damages in the amount
of $2.5 million, $1 million in punitive damages, interest and costs.
SUMMARY JUDGMENT PRINCIPLES
[35]
Before
defining the issues, it is helpful to review the principles applicable to
summary judgment. Rule 213(2) of the Federal Court Rules, 1998 allows a
defendant to bring such a motion. The Rule states:
A defendant may, after serving
and filing a defence and at any time before the time and place for trial are
fixed, bring a motion for summary judgment dismissing all or part of the claim
set out in the statement of claim.
[36]
The
general principles applicable to the disposition of summary judgment motions in
the Federal Court were set out by Madam Justice Danièle Tremblay-Lamer in Granville
Shipping Co v. Pegasus Lines Ltd. S.A., [1996] 2 F.C. 853, 111 F.T.R. 189 [Granville
Shipping]:
a) the rules are
intended to summarily dispense of cases that present no genuine
issue for trial;
b) the test is
whether the case is so doubtful it deserves no further consideration;
c) each case
must be interpreted in its own context;
d) provincial
practice can aid in the interpretation of the Federal Court’s rules;
e) questions of
fact and law may be determined on the motion;
f) summary
judgment cannot be granted if necessary facts cannot be found;
and
g) where there
are serious issues of credibility the matter should go to trial.
[37]
Under
Rule 215 the obligations on the responding party are as follows:
A response to a motion for
summary judgment shall not rest merely on allegations or denials of the
pleadings of the moving party, but must set out specific facts showing that
there is a genuine issue for trial.
[38]
Parties
responding to a summary judgment motion do not have to prove all the facts of
their case, rather the evidentiary burden is to put forward evidence that shows
there is a genuine issue for trial. The burden rests with the party putting
forward the motion but all parties must put their best foot forward: MacNeil
Estate v. Canada (Department of Indian and Northern
Affairs)
(2004), 316 N.R. 349, 2004 FCA 50.
[39]
Summary
judgment is not restricted to the clearest of cases. The correct standard,
enunciated in Granville Shipping is whether the case is so doubtful it
deserves no further consideration: ITV Technologies Inc. v. WIC Television
Ltd.
(2001), 199 F.T.R. 319, 2001 FCA 11. Even where a case is doubtful, if it
turns on the credibility of witnesses that can only be tested through direct
and cross-examination, it should go to trial.
[40]
In
my view, there are no serious issues of credibility in this matter that can
only be tested at trial. The central witnesses have provided affidavits and
have been cross-examined upon their affidavits. In addition, there is
considerable material on the record from the proceedings involving Mr.
Paszkowski.
ISSUES
[41]
The
questions to be addressed in these proceedings are whether the facts raise a genuine
issue for trial, or, in the alternative, whether the Court should find, on the
whole of the evidence, the facts necessary to decide the questions of fact and
law and grant summary judgment under Rule 216(3). On the submissions of the
parties, there are three sub-issues to be addressed in these reasons:
1. Is the action statute-barred?
2. Is the
plaintiff precluded from bringing an action for failing to pursue judicial
remedies that were available and required by the governing legislation?
3. Did the
defendants owe any duty of care to the plaintiff and did they breach
that duty?
[42]
As
a preliminary matter, the plaintiff has sued the Attorney General and the Minister
of Citizenship and Immigration solely in their representative capacities. The
law is clear that Ministers of the Crown may not be sued as such: Cairns v.
Farm Credit Corp. (1991), 49 F.T.R. 308, [1992] 2 F.C. 115 (F.C.T.D.); Canada (Conseil des
Ports Nationaux) v. Langelier, [1969] S.C.R. 60, (1968) 2 D.L.R. (3d)
81; Dix v. Canada (2001), 290 A.R. 281, 2001 ABQB 256.
[43]
When
suing in Federal Court, the Federal Courts Act, R.S.C. 1985, c. F-7,
section 48 and Schedule specify that the claim is to name Her Majesty the Queen
as the defendant to engage the vicarious liability of the Crown for the alleged
actions of Crown servants. Only the Crown is vicariously liable for torts
committed by a Crown servant. No Crown servant, including a Minister or the
Attorney General in their roles as department heads, is vicariously liable for
torts committed by another Crown servant.
[44]
The
plaintiff seeks leave of the Court under rules 76 and 77 to amend the style of
cause in the action and substitute Her Majesty the Queen for the Attorney
General of Canada and the Minister of Citizenship and Immigration as defendants.
I am satisfied that there is no prejudice and the Crown is not misled. Accordingly,
the plaintiff’s request in this respect will be granted.
ARGUMENT & ANALYSIS
1. Is the action
statute-barred?
[45]
Section
32 of the Crown Liability and Proceedings Act, R.S.C. 1985, c. C-50 provides
that provincial limitation laws apply to actions involving the Crown where the
cause of action arises in a province. Under section 39 of the Federal
Courts Act, provincial limitation laws apply to actions in Federal Court
where the cause of action arises in a province. In essence, the cause of
action claimed by the plaintiff relates to alleged public office misfeasance
and malfeasance occurring between 1989 and 2001 in Alberta and Ontario.
[46]
The
applicable limitations statutes in both provinces provide for a general
limitation period for remedies for injuries resulting from acts, omissions or a
breach of duty of two years: see section 3(1) of the Alberta Limitations Act,
R.S.A. 2000 C.L-12 and section 4 of the Ontario Limitations
Act, 2002, S.O. 2002, c.24, Schedule B. The defendant also relies upon
section 7 of the Ontario Public Authorities Protection Act, R.S.O. 1990,
c. P.38 which has a six month limitation period, and is applicable to
proceedings in this Court by the operation of section 32 of the Crown
Liability and Proceedings Act, R.S.C. 1985, c. C-50: see Farzam v.
Canada (Minister of Citizenship and Immigration) 2003 FCT 140, [2003]
F.C.J. No. 203 (QL); Marshall v. Canada, 2005 FC 257, [2005] F.C.J. No.
292 (QL).
[47]
The
bases of the plaintiff’s claims that the defendants are liable in damages for
misfeasance, malice and abuse of trust are not entirely clear from her
pleadings as she has made sweeping allegations without specifying the material
facts upon which they are founded. A motion for particulars on behalf of the
defendants was met with a list of documents and not by reference to specific
facts that would support the plaintiff’s claims.
[48]
However,
to the extent that it can be discerned from the pleadings and the submissions
of counsel at the hearing of this motion, the plaintiff’s claims appear to be
based on two theories of liability. The first is that the defendants knew that
the plaintiff’s husband had been landed in Canada under the
name of Robert Fisher in 1984 and deliberately concealed that knowledge from
the adjudicator who found him to be inadmissible in 1990. Had that information
not been concealed, the plaintiff contends that her husband would not have been
declared inadmissible and that her June 5, 1990 application for landing would
not have been rejected. The result of the concealment, the plaintiff argues,
is that her status in Canada was not resolved for over a decade and she
suffered the claimed damages.
[49]
Alternatively,
the plaintiff alleges that the defendants were under a duty to inform her of
the change in the Immigration Act which took effect February 1, 1993 and
to promptly process her application for permanent residence after that date without
considering her husband’s status as an inadmissible convicted criminal.
[50]
Any
discussion of the time limitations on actions must begin with consideration of
the principle that the applicable prescription periods begin to run when the
material facts underlying a cause of action became reasonably known to the
plaintiff: Peixeiro v. Haberman, [1997] 3 S.C.R. 549, 151 D.L.R. (4th) 429.
[51]
The
defendants submit that the plaintiff knew or should have known the material
facts underlying the alleged cause of action on June 4, 1991 when she received
written notice that her application for permanent residence could not be
processed and that no further action would be taken on her application until
her husband left Canada. The plaintiff did nothing about the matter at
that time and cannot now rely upon her failure to act and wilful blindness of
the facts to establish a later discoverability date: Marshall v. Canada (2005), 137 A.C.W.S.
(3d) 522, 2005 FC 257 at para. 29.
[52]
In
these proceedings, the plaintiff has relied upon the affidavit of Lovett
Winchester, a retired member of the Department of Citizenship and Immigration,
sworn on October 17, 1996 for the purposes of an application for judicial
review then pending before the Federal Court. Mr. Winchester attests, among
other things, that he was aware of Mr. Paszkowski’s status as a landed immigrant
at the time of the 1989 hearing but that he was instructed to pursue the matter
under s.19 and not under s.27 of the former Act.
[53]
One
might conclude from Mr. Winchester’s affidavit that the fact that Mr.
Paszkowski and Mr. Fisher were one and the same was concealed from the
adjudicator in 1989 and, indeed, that was the inference I was invited to draw
by counsel during oral argument in these proceedings. Mr. Winchester states
for example in paragraph 4 that “it appears that the immigration authorities
have likely known all along that “Fisher” and “Paszkowski” were one and the
same person and that he had been convicted of a criminal offence in Germany.”
[54]
The
transcript of the hearing conducted at Edmonton on October 6, 1989, filed as
part of the defendants’ record, makes it clear that Winchester, the case
presenting officer at the hearing, informed the adjudicator of the salient
facts respecting the Fisher alias, Paszkowski’s claimed association with Polish
security, the aircraft hijacking, prosecution in Germany, subsequent visa
application and arrival in Canada in 1984 in his opening statement. The
adjudicator appears to have been provided with sufficient information to
conclude, if he had directed his mind to it, that the s. 20 hearing was not
properly constituted. Paszkowski’s counsel did not take issue with the
adjudicator’s jurisdiction either then or on October 12th, 1989 when
the hearing resumed.
[55]
On
October 12th, Paszkowski was sworn in and advised by the adjudicator
that he had the burden of showing that he had a right to enter Canada or was
otherwise admissible. When asked directly, he denied being a permanent
resident of Canada and denied
being in possession of a visa. The remainder of the hearing focused on whether
Paszkowski was inadmissible to Canada as a danger to the public by reason of his
criminal history. That was the conclusion ultimately reached, subject to the
determination of his refugee claim which, as noted above, was decided against
him in June 1990.
[56]
With
respect to the plaintiff’s first theory of liability, the defendants vigorously
dispute the plaintiff’s claim to have been ignorant of the facts concerning her
husband’s history until March 2003. Indeed it is hard to understand how the
plaintiff could not have been aware of those facts prior to that date given the
extensive coverage they had received in the media and the details disclosed in
his litigation.
[57]
In
argument, the plaintiff has submitted that she could not have had any reason to
believe that an action for her claimed injuries was warranted until November 22,
2002, the date of the Court order resolving her husband’s action against the
Crown. Her action was filed on November 19, 2004 within two years from the
date of that Court order. She alleges further that not until March 2003 when
her husband obtained a copy of her Edmonton immigration file on her
behalf, did she know what the Crown is alleged to have known throughout, namely
that Ryszard Paszkowski, her husband, was also Robert Fisher, and had been
landed in 1984.
[58]
The
defendants submit that even if these assertions are to be taken at face value, which
they contest, the agreed statement of facts upon which the November 22, 2002
order was based was filed on October 1, 2002 and was thereafter publicly
available. The plaintiff did not file this suit until November 19, 2004, over
a month and a half after the expiry of the two year prescription period. The
plaintiff submits that there is no evidence in the record as to when she
learned of that agreed statement of facts and she should not, therefore, be
held to the earlier date.
[59]
The
plaintiff relies upon subsection 4(1) of the Alberta Limitations
Act, S.A. 1996, c.
L-15.1 which provides that the running of time is suspended during any period
in which the defendant fraudulently conceals the fact that “the injury for
which a remedial order is sought has occurred”. The burden of establishing
fraudulent concealment is on the claimant and there is, the defendants submit,
no evidence on the record that any of them concealed “the injury.” Moreover,
the defendants contend, the Alberta statute expressly
excludes judicial review of administrative action from the definition of
“remedial order,” precisely what the plaintiff is seeking to achieve through
this action.
[60]
The leading modern
authority on the meaning of fraudulent concealment is Kitchen
v. Royal Air Forces Association, [1958] 2 All E.R. 241
(C.A.), where
Lord Evershed, M.R. stated, at page 249, that the phrase covers conduct
which, having regard to the special relationship between the two parties
concerned, is an unconscionable thing for the one to do to the other. The
Supreme Court of Canada adopted this formulation in the context of the
fiduciary relationship between the Crown and First Nations in Guerin v. The Queen, [1984]
2 S.C.R. 335, 13
D.L.R. (4th) 321 and parent-child abuse cases in M.(K.) v. M.(H.),
[1992] 3 S.C.R. 6, 96
D.L.R. (4th) 289.
[61]
In
this case, the plaintiff asserts that the duty arises from a “special
relationship” between immigration officers and those applying for permanent
residence in Canada. The
defendants deny that any such special relationship exists and contend that it would
be incompatible with the duties of an immigration officer to act in the public
interest.
[62]
In
my view, the plaintiff’s claim of fraudulent concealment does not rest on a
solid foundation. Where a “special relationship” exists, such as in the case
of the fiduciary relationship between the Crown and First Nations, the
withholding of information may constitute fraudulent concealment: Kruger v.
The Queen, [1986] 1 F.C. 3, 17 D.L.R. (4th) 591 (F.C.A.). But as I
conclude below, there was no fiduciary relationship between the parties in this
case, there was no duty owed to the plaintiff and the defendants could not,
therefore, be in breach for withholding information. Thus, I do not find that
the running of the prescription period is suspended by reason of fraudulent
concealment.
[63]
From
the record before me, the significance of the 1989-1990 proceedings did not
become apparent until the matter was thoroughly reviewed by the counsel who
negotiated the 2002 settlement. They concluded that the immigration officer at
the port of entry had erred in reporting Ryszard Paszkowski for an
admissibility hearing rather than for a determination of whether he had lost
his resident status. That error was compounded by the adjudicator and by
Paszkowski’s false testimony. But the error was one of law. The material
facts were known and were presented to the adjudicator by Lovett Winchester in
1989. The plaintiff cannot now claim that they were discovered only in 2002.
[64]
I
am unable to accept the plaintiff’s assertion that she was not aware of her
husband’s history prior to the release of her immigration file in March 2003. Her
husband had litigated the matter extensively and his story had been published
and broadcast widely. Indeed, a book had been written about it by a Member of
Parliament. Moreover, she had attended and given evidence at the 1989 hearing
at which the facts were disclosed to the immigration adjudicator.
[65]
If
the plaintiff had a cause of action for the defendants’ failure to treat her
1990 application for landing as that of the spouse of a returned permanent resident,
the action should have been brought within two years of the decision to reject
the application, that is by June 4, 1993.
[66]
To
the extent that the plaintiff’s claims are dependent upon the failure of the
defendants to notify her of the change in the law and to then process her prior
application, they are, in my view, also statute-barred. The plaintiff contends
that she did not learn that the law had changed in 1993 until March 2003 when
she gained access to her immigration file. Thus, she submits, the
discoverability date for prescription purposes should be the date of the
release of that information to her.
[67]
There
are two difficulties with this contention. The first is that parties are
presumed to know the state of the law and to govern themselves accordingly: Beauregard v. Canada, [1986] 2 S.C.R. 56, 30
D.L.R. (4th) 481 at para. 86. This view of the law has been held to apply in a
number of contexts including the prosecution of regulatory offences (Ontario
v. Canadian Pacific Ltd., [1995] 2 S.C.R. 1031 at para. 54, [1995] S.C.J.
No. 62 (QL)), criminal law (R. v. Chaulk, [1990] 3 S.C.R. 1303 at para
236, [1990] S.C.J. No. 139 (QL)) and contracts (Nepean (Township) Hydro
Electric Commission v. Ontario Hydro, [1982] 1 S.C.R. 347; Thompson and
Alix Ltd. v. Smith, [1933] S.C.R. 172).
[68]
The
general rule is that a plaintiff is expected to bring a cause of action as soon
as reasonably possible. As stated by the Supreme Court in M. (K.) v. M.
(H.), [1992] 3 S.C.R. 6, at para. 24, 96 D.L.R. (4th) 289 “…plaintiffs are expected to
act diligently and not "sleep on their rights"; statutes of
limitation are an incentive for plaintiffs to bring suit in a timely fashion.”
[69]
The
discoverability principle was articulated by the Supreme Court in Central
Trust Company v. Rafuse, [1986] 2 S.C.R. 147 31
D.L.R. (4th) 481. The Court stated at paragraph 77:
…a cause of action arises for purposes of
a limitation period when the material facts on which it is based have been
discovered or ought to have been discovered by the plaintiff by the exercise of
reasonable diligence.
This statement has been
adopted by this court in a number of decisions: McFarlane v. Canada,
[1997] F.C.J. No. 1559 at para. 5 (F.C.T.D.) (QL); Baron v. Canada (2000), 95 A.C.W.S. (3d) 655 at para. 15, [2000] F.C.J. No. 263 (F.C.T.D.) (QL). Parties can, with
minimal diligence, ascertain what the statute law is at any particular point in
time. In
this case the plaintiff is presumed to have known the state of the law and
therefore should have acted more diligently in bringing forward her cause of
action within the prescribed period.
[70]
The
second difficulty is that the plaintiff’s contention is predicated upon the
existence of duties on the part of the defendants to inform her of the change
in the law in 1993 and to then actively process her 1991 application. As I
will discuss further below, I have concluded that the defendants owed no duty
to the plaintiff to inform her of the amendment or to reprocess her application
after February 1, 1993.
[71]
The
plaintiff’s remedies, following February 1, 1993, were to either bring an
application for judicial review and an order of mandamus to compel the
defendants to deal with her application or, alternatively, as she ultimately
did, to file a fresh landing application. To the extent that her action is
based on this theory of liability, it cannot proceed as the clock has long run
out.
2. Failure to pursue judicial
review remedies
[72]
The
defendants submit that the plaintiff could have sought leave for judicial
review of Mr. Ferguson’s June 4, 1991 decision but she did not. Instead,
almost 14 years later, over 7 years after her second permanent residence
application was provisionally accepted, and over 3.5 years after she was
actually landed, she has sued for damages.
[73]
Even
without the statutory limitation bar, the defendants submit, the plaintiff
cannot proceed by way of action because section 18(3) of the Federal Courts
Act provides exclusively for relief by way of judicial review when
impugning a decision by a federal board, commission or other tribunal: Tremblay
v. Canada, [2004]
4 F.C.R. 165 ,
244 D.L.R. (4th) 422 (F.C.A.) (leave to appeal to the Supreme Court of Canada
denied with costs on December 16, 2004, [2004] S.C.C.A. No. 307).
[74]
The
invalidity of the June 4, 1991 decision is at the heart of the plaintiff’s
claim and the relief she seeks depends on the alleged invalidity of that
decision, the defendants submit. She can only claim damages if the decision is
declared invalid and set aside. The plaintiff cannot circumvent the judicial
review process by way of a disguised action.
[75]
There
is no reasonable explanation for the plaintiff’s delay in requesting her
immigration file or for her failure to seek judicial review and no evidence
supporting her plea that she could not discern the facts supporting her cause
of action because of her psychological state and claimed “vulnerable position”,
the defendants argue.
[76]
Further,
the defendants submit, there is no merit to the plaintiff’s assertion that
limitations do not apply to Charter claims. There is no Charter-based
entitlement to Canadian citizenship and the Charter does not operate
retroactively: Ding et al v. Her Majesty the Queen, 2005 FC 442 at para.
25, 138
A.C.W.S. (3d) 667; Law v. Canada (Minister of Employment and Immigration),
[1999] 1 S.C.R. 497, 170
D.L.R. (4th) 1;
Rodriguez v. British Columbia (Attorney General), [1993] 3
S.C.R 519, 107
D.L.R. (4th) 342; Veleta et al v. Canada (Minister of
Citizenship and Immigration), 2005 FC 572 at para. 72, 254 D.L.R. (4th) 484.
[77]
The
plaintiff submits that she is not required to seek judicial review before
making a claim for damages: Szebenyi v. Canada (1999), 247 N.R. 290, 91
A.C.W.S. (3d) 936 (F.C.A.). She is not seeking to impugn the validity of the
1991 decision. Rather, her claim is based in damages for the mishandling of her
application for landing. She alleges Crown servants wrongly tied her husband’s
situation to her application.
[78]
In
Szebenyi, the plaintiffs pleaded that the officer had been negligent in
handling the application for landing. The Federal Court of Appeal allowed the
case to proceed by way of an action. However, the fact that the plaintiffs
were seeking damages for mishandling of their file was only one of the
considerations. More important, the Court noted, was that no decision had
actually been made that could be the subject of judicial review.
[79]
The
Federal Court of Appeal has recently had occasion to revisit the conclusions it
expressed in Tremblay, above, in Her Majesty the Queen v. Grenier,
2005 FCA 348, [2005] F.C.J. No. 1778 (QL). In Tremblay,
the Court had indicated that, in cases in which the decision giving rise to the
harm is still operative at the time the remedy is sought, the aggrieved party
cannot make use of an action but must proceed by way of judicial review. Conversely,
where the decision which gave rise to the alleged harm is no longer effective
at the time, it is possible for the applicant to bring an action claiming
damages. Under that theory, the plaintiff could bring an action for damages in
this case as the June 5, 1991 decision is no longer operative.
[80]
In
Grenier, above, the Court of Appeal concluded that this distinction was
not what had been contemplated by Parliament in giving exclusive jurisdiction
to the Federal Court to review the decisions of any federal board, commission
or tribunal. Accordingly, a litigant who seeks to impugn a federal agency's
decision is not free to choose between a judicial review proceeding and an
action in damages; he must proceed by judicial review in order to have the
decision invalidated.
[81]
In
my view, this action for damages is in the nature of a collateral attack on the
decision of Mr. Ferguson on June 4, 1991 to deny the plaintiff’s application
for landing. To succeed in her action, she must establish that this decision
was incorrectly made or that the continuing decision not to land her was wrong.
Between
1991 and 2001 the plaintiff never sought to challenge the validity of the
earlier decisions. Having failed to ask a court to invalidate those decisions
by way of applications for judicial review within the time limits fixed by the
statute, it would be inappropriate now to allow her to circumvent those requirements
by bringing an action for damages.
3. Did the defendants owe the
plaintiff a duty of care and did they breach that duty?
[82]
The
defendants submit that the plaintiff’s allegations of public misfeasance and
malfeasance are neither proven nor capable of being proved. The defendant
Robert Ferguson had no statutory alternative but to refuse to process the
plaintiff’s June 5, 1990 application in light of the adjudicator’s
determination that the husband was criminally inadmissible and the indisputable
fact that he was at the material time “present in Canada”. The
statutory precondition to the plaintiff’s admissibility in section 46.04(3) of
the former Immigration Act was not met. At the time of his return to Canada in 1989,
Ryszard Paszkowski remained a convicted criminal who was inadmissible under the
terms of the statute. He did not then advance a claim to be entitled to return
as a landed immigrant known as Robert Fisher.
[83]
Mr.
Paszkowski was at all relevant times the plaintiff’s spouse and Mr. Ferguson
correctly concluded from her application that he was a member of her family in
Canada within the meaning of sections 46.04(3) and 46.04(8) of the Act. He was
similarly satisfied that Mr. Paszkowski was inadmissible for reasons of
criminality.
[84]
The
defendants further submit that the November 22, 2002 Court order is not
relevant to this action because the plaintiff was not a party to that
proceeding. The plaintiff is attempting to use the Order to impose a private law
duty of care upon the defendants where their duties were public and statutory.
[85]
As articulated by the Supreme Court in Cooper
v. Hobart, [2001] 3 S.C.R. 537, 2001 SCC 79, the test
for establishing a duty of care involves two stages. At the first stage, the
question is whether the circumstances disclose reasonably foreseeable harm and
proximity sufficient to establish a prima facie duty of care. The
question at the second stage is whether there exist residual policy
considerations which justify denying liability.
[86]
Even if foreseeability
has been adequately pleaded by the plaintiff, there must be something
additional to establish the requisite proximity of relationship: Anns v.
Merton London Borough Council, [1978] A.C. 728; Kamloops (City) v. Nielson, [1984] 2 S.C.R. 2, 10
D.L.R. (4th) 641. An examination of the policy of the statute under which
officers of the Crown are appointed is to be conducted to determine whether there
is the required proximity of relationship to create a statutory duty of care.
[87]
In
Premakumaran v. Canada (2005), 33 C.C.L.T. (3d) 307, 2005 FC 1131 Justice
Konrad W. von Finckenstein granted summary judgment in favour of the Crown in
part because proximity had not been established in the immigration context. Justice
von Finckenstein said at paragraph 25:
In light of the foregoing
facts and jurisprudence, I find that nothing would be gained by allowing this
issue to proceed to trial. The Defendant owes a duty of care to the public as a
whole and not to the individual Plaintiffs. The Plaintiffs cannot be considered
a "neighbour" for these purposes and no such
relationship should be created between the Defendant and individual members of
the public. The concept of proximity cannot be interpreted as meaning that
everyone who picks up a brochure or reads a poster at the High Commission is a
"neighbour".
[88]
In
this case, the defendants submit, proximity cannot mean that Crown servants are
in a special relationship with Convention refugees applying for landing akin to
the concept of “neighbour” referred to by Justice von Finckenstein. The duty
of an immigration officer under section 46.04(3) of the former Immigration
Act was to grant landing if the officer was satisfied that neither the
applicant nor any of her family in Canada was inadmissible. Based
on the evidence before him, Mr. Ferguson’s public statutory duty was to refuse
the plaintiff’s June 1990 application.
[89]
In Karim Benaissa v. Canada (Attorney General),
2005 FC 1220, [2005]
F.C.J. No. 1487 (QL), Prothonotary Roger R. Lafrenière dealt with the question of a delay in processing an
application for permanent residence in the context of an application to strike
the statement of claim. He concluded that, absent evidence of bad faith, gross
negligence or undue delay, it would not be just, fair and reasonable for the
law to impose a duty of care on those responsible for the administrative
implementation of immigration decisions. Imposing a duty of care would hamper
the effective performance of the system of immigration control.
[90]
This question has recently been thoroughly
canvassed by my colleague Justice Luc Martineau in Farzam v.
Her Majesty the Queen in Right of the Minister of Citizenship and Immigration, 2005 FC
1659, [2005]
F.C.J. No. 2035 (QL) with respect to a claimed duty of care owed by
the Crown to an applicant who applied to sponsor his wife to come to Canada
from Iran. Due to a series of problems, including errors made by immigration
officers abroad, the processing of the application was unduly delayed. The
wife ultimately decided to divorce the plaintiff and married another man. Mr.
Farzam sued for damages arising from the delay and the alienation of his wife’s
affections. Justice
Martineau found no duty of care existed between the plaintiff and defendant
applying the two-step approach articulated by the Supreme Court in Cooper,
above.
[91]
Justice
Martineau began from the assumption that at the first stage of the test, the
starting point is to determine whether there are any analogous categories of
cases in which proximity has previously been recognized: see Cooper, above,
at para. 36. In that matter, as in this, counsel were unable to provide the
Court with any case in which the Crown had been held liable in negligence on
facts comparable to the plaintiff’s claim. In Farzam, the plaintiff’s
claim rested largely on the foreseeability of nervous shock allegedly caused by
the negligence of the Crown’s servants. At para. 93 Justice Martineau said:
…While proximity has been
recognized in cases where the nervous shock was the foreseeable consequence of
an accident caused by the negligence of a defendant, in the present case, it
was not reasonably foreseeable that the Plaintiff would be harmed in the way he
alleges. [t]he damages allegedly suffered by the Plaintiff from the processing
of his wife’s file are simply too remote to give rise to the existence of any
reasonably foreseeable harm…
[92]
Justice
Martineau went on to say that even if foreseeability could be established,
“some further ingredient is invariably needed to establish the requisite
proximity of relationship between the plaintiff and the defendant” (at para.
93). Any relationship between the plaintiff and defendant arose from the
implementation of the Canadian immigration policy recognized by statute. He
concluded that the Immigration Act did not create a strict liability to
perform the functions and duties authorized by the statute. A consideration of
the statutory framework makes it clear that the requisite proximity in the
relationship between the plaintiff and the Crown had not been established so as
to give rise to a private law duty of care.
[93]
Even
if a prima facie duty of care had been established by the plaintiff,
Justice Martineau found that at the second stage of the analysis, compelling
residual policy considerations justify the denial of liability. In Justice
Martineau’s view, it would not be just, fair and reasonable for the law to
impose a duty of care on those responsible for the administrative
implementation of immigration policies, absent evidence of bad faith,
misfeasance or abuse of process (para. 102).
[94]
Moreover,
Justice Martineau determined that if the decision whether to grant a permanent
resident visa to the plaintiff’s wife was improperly delayed, the remedy was to
make an application for judicial review seeking the issuance of a writ of
mandamus with leave of a judge of the Federal Court under section 82.1 of the Immigration
Act : see Dragan v. Canada (Minister of Citizenship and Immigration),
2003 FCT 211, [2003] 4 F.C. 189 (F.C.T.D.); Bhatnager v. Canada (Minister of
Employment and Immigration), [1985] 2 F.C. 315, 35 A.C.W.S. (2d) 253 (F.C.T.D.).
[95]
In
this case, I am satisfied that the plaintiff has not established, prima
facie, that she was owed a duty of care by the immigration officials who
dealt with her application for permanent residence. First, it was not
reasonably foreseeable that the plaintiff would be harmed in the ways she
alleges by the denial of her claim. At the material times, her husband was
subject to an enforceable deportation order. Had he been deported, the
obstacle to the plaintiff’s application would have been removed. The
defendants cannot be presumed to have known in 1991 how long it would take to
resolve his status. In any event, the plaintiff was free to conduct her
affairs as she wished as a Convention refugee under the protection of Canada and was able
to continue her education, seek employment and expand her family. The only
restriction she faced was the freedom to travel abroad with Canadian travel
documents.
[96]
The
necessary proximity required by the Anns test and Cooper was not
established. At its essence, the relationship between the plaintiff and the
defendants arose from the implementation of the immigration policy imposed by
the statute and not as a result of any misfeasance committed by the defendants.
At the time the decision was made to deny her application, the statute
precluded the admissibility of the plaintiff by reason of her husband’s
criminal conviction. Neither the statute nor common law imposed any duty on
the defendants to inform the plaintiff when the law was changed such as to
allow her first application to be processed or to file a fresh application.
[97]
While
the plaintiff has alleged bad faith and misfeasance on the part of the
immigration officers, she has not put forward facts upon which the Court could
reasonably conclude that there is a triable issue to determine those
allegations. It is unquestionable that an error was committed in 1989 when the
plaintiff’s husband was reported for a hearing under the incorrect provision of
the former Act but that error stemmed largely from the choice Ryszard
Paszkowski made to stake his claim as a refugee rather than a returning
permanent resident. The officers who subsequently dealt with the plaintiff’s
application for landing did so, in my view, in good faith based on their
understanding that Ryszard Paszkowski was an inadmissible convicted criminal.
[98]
With
regard to the plaintiff’s allegations of infringement of her rights under the Canadian
Charter of Rights and Freedoms, the plaintiff’s material filed on this
motion and the Statement of Claim do not plead sufficient facts regarding the
alleged Charter infringements. With respect to section 15 of the Charter,
there are no facts pleaded to support a claim of discrimination based on
marital status or gender. All the plaintiff asserts is that she was denied the
right to equal benefit of the law because the defendants would not process her
application separate from and without considering, the circumstances of her
husband. The plaintiff has failed to show how section 15(1) of the Charter
has been infringed by the application of the statutory provision governing
permanent residence applications.
[99]
Similarly,
the plaintiff has not pleaded facts to establish that any of her section 7
rights were infringed in a manner not in accordance with the principles of
fundamental justice. There is insufficient evidence before me from which to
conclude that the Charter rights of the plaintiff have been engaged and
are triable issues. The plaintiff has not established a sufficient factual
foundation to demonstrate that she could recover damages under s.24: Chrispen v. Prince Albert (City)
Police Department (1997), 148 D.L.R. (4th)
720, [1997] 8 W.W.R. 190 (Sask. Q.B.); Alford v. Canada
(Attorney General), (1997) 31 B.C.L.R. (3d)
228, 68 A.C.W.S. (3d) 826 (B.C. Sup. Ct.).
CONCLUSION
[100] I am
satisfied that there is no genuine issue for trial of the plaintiff’s claims
within the meaning of Rule 216(1).
[101] Alternatively,
applying the test set out in Granville Shipping, above, that the
plaintiff’s case is so doubtful that it deserves no further consideration, I
find that on the whole of the evidence submitted the defendants have
established that summary judgment should be granted under Rule 216(3). I am
satisfied that the claimed damages were not reasonably foreseeable and that the
required proximity of relationship necessary for a duty of care was not
established. The defendants were under no obligation to process the
plaintiff’s application for permanent residence more expeditiously or separate
from consideration of her husband’s status. The refusal of the plaintiff’s
application prior to February 1, 1993 was required by operation of law. The
plaintiff’s remedy after that date was to either file a fresh application for
landing or to seek judicial review and mandamus. There are no serious issues of
credibility that require that this matter go to trial.
[102] In light of
the history of this matter and the delays in the processing of the plaintiff’s
application, I will exercise my discretion to make no order as to costs in favour
of the successful parties. Each party shall bear their own costs.
ORDER
THIS COURT ORDERS that:
1. The style of cause is
amended to substitute Her Majesty the Queen for the Attorney General
of Canada and the
Minister of Citizenship and Immigration as defendant.
.
2. The plaintiff’s action is
dismissed.
3. Each party shall bear their
own costs.
“
Richard G. Mosley ”
FEDERAL COURT
SOLICITORS OF RECORD
DOCKET: T-2071-04
STYLE OF CAUSE: ELZBIETA
PASZKOWSKI and
THE ATTORNEY GENERAL OF CANADA,
THE
MINISTER OF CITIZENSHIP AND IMMIGRATION, HUGH LOVEKIN, RANDY GURLOCK, and
ROBERT FERGUSON
PLACE OF
HEARING: Calgary, Alberta
DATE OF
HEARING: November
15, 2005
REASONS FOR ORDER: MOSLEY J.
DATED: February
15, 2006
APPEARANCES:
Graham Price
|
FOR THE PLAINTIFF
|
Brad Hardstaff
|
FOR THE DEFENDANTS
|
SOLICITORS
OF RECORD:
GRAHAM PRICE
Barrister and
Solicitor
Calgary,
Alberta
|
FOR THE PLAINTIFF
|
JOHN H. SIMS,
Q.C.
Deputy
Attorney General of Canada
Edmonton, Alberta
|
FOR THE DEFENDANTS
|