Date: 20060922
Docket: T-812-05
Citation: 2006
FC 1130
Ottawa, Ontario, September 22, 2006
PRESENT: The Honourable Madam Justice Heneghan
BETWEEN:
ADRIANNE
MCNABB
Applicant
and
CANADA
POST CORPORATION
Respondent
REASONS FOR ORDER AND ORDER
I. Introduction
[1]
Ms.
Adrianne McNabb (the “Applicant”) seeks judicial review of the decision made on
March 24, 2004 by the Canadian Human Rights Commission (the “Commission”),
dismissing her complaint, dated November 9, 2003, alleging discrimination
contrary to the Canadian Human Rights Act, R.S.C. 1985, c. H-6, as
amended (the “Act”). She seeks an order in the nature of certiorari
quashing the decision and an order in the nature of mandamus requiring
the Commission to commence an inquiry pursuant to section 49 of the Act;
alternatively, she seeks an order declaring the decision invalid and referring
the matter back for reinvestigation in compliance with the principles of
natural justice and procedural fairness.
II. Background
[2]
The
Applicant is an employee of Canada Post Corporation (the “Respondent”). On
November 9, 2003, she filed a complaint against the Respondent, alleging
discrimination in the matter of employment, specifically failure to accommodate
contrary to section 7 and the imposition of a discriminatory policy contrary to
section 10.
[3]
The
Applicant began working with the Respondent in 1978. She injured her left
shoulder and neck in a work related incident in early 1996 and was subsequently
assessed as having a 28% permanent partial disability (“PPD”), resulting in
limitations on her activities including a 15 pound lifting limitation and no
repetitive neck or shoulder movements. The Applicant says that on February 16,
1998, the Respondent sent her home from work, on the grounds that she could not
perform all functions of the job. In response, the Applicant filed a grievance through
her union, that is the Canadian Union of Postal Workers, alleging failure to
accommodate.
[4]
This
grievance was settled in July 2000 and the Applicant was placed in a retail
clerk position in Toronto. Subsequently, in August
2001, the Applicant submitted transfer requests to the Respondent for relocation
to a number of places across Canada. Upon receiving a letter of
interest from Orillia, she relocated to that town
with her son. The Respondent refused to allow the transfer and the Applicant
commuted from Orillia to Toronto between August
2001 and June 2002 when she returned to the Toronto area, with her son. She says transfer
offers were received for Victoria, Bracebridge, Nanaimo and Courtenay; each of these
letters of offer from the Respondent asked if she was capable of performing the
full duties of the job. She claims that she was turned down by each office on
the basis of her restrictions.
[5]
The
Applicant grieved these rejections through the Canadian Union of Postal Workers
(the “CUPW”). In August 2003, in settlement of her grievance, the Respondent
allowed her to transfer and the Applicant transferred to Courtenay, British Columbia where she
started work on September 15, 2003.
[6]
The
Applicant alleged in her complaint that once she began working in Courtenay,
the Respondent failed to accommodate her when it assigned her duties beyond her
restrictions. In her complaint form, the Applicant said that on September 18,
2003 she had been called by Mr. Ken McInnes, Courtenay Superintendent, into the
office and advised that she had been lifting packages beyond her weight limit.
She said that she was told the front counter was not the place for her. In
response, the Applicant said that she had been self-monitoring her injury for
several years and was well aware of what she could do.
[7]
She alleged
that on September 29, 2003, Mr. McInnes and a C. Day again brought her into the
office. She said that she was given a history of the office and told that some
employees were unhappy with her posting there. She then proceeded to give an
account of her accident, her medical problems and the arbitration that led to
her being offered the Courtenay position. In her complaint, she said that Mr. McInnes
had violated the collective agreement and the Act. Some short while later, Ms. Vera
Lebar, Union Education Officer, was brought into this meeting and informed the
Applicant that she could not do the full duties of the job. The Applicant was
sent home on sick leave.
[8]
The Applicant
said, in her complaint form, that on October 2, 2003, the Respondent informed
her that she was no longer sick and was to report for work, and to follow the
schedule provided. She states that she again informed the Respondent that it was
not following the limitations outlined by the Workplace Safety and Insurance
Board (the “WSIB”) of Ontario and that she had not been
provided with side sortation sheets, an aid to carrying out her employment
functions. These were provided one month after her arrival. The Applicant asked
that her union set up a meeting with the Respondent and the union refused,
saying that she had been accommodated. She asked that the regional union grieve
on her behalf and this request was also refused.
[9]
On October
9, 2003, the Applicant was given a third work schedule with different duties.
She said she was threatened with dismissal if this schedule was not followed.
[10]
The
Applicant further stated that she requested her files through the Privacy
Commission. She said she found in those files a union-management agreement to
the effect that she was to be by-passed for the Courtenay position due to her
limitations. She said this agreement explained why the union did not grieve on
her behalf. She noted that the Respondent has a national policy and that the
union and the Respondent have a collective agreement that
provides that there will be no discrimination due to a disability.
[11]
In her
complaint form, the Applicant alleged that she had been discriminated against
in the course of her employment arising from the Respondent’s failure to
accommodate and further, that the refusal of her transfer requests shows that
the Respondent had a policy to refuse transfers due to a disability.
[12]
According
to the chronology which forms part of the certified tribunal record in this
matter, the Applicant’s complaint was referred to mediation on February 19,
2004. The complaint was returned to the Investigations Unit on May 26, 2004 and
the file was assigned to an investigator on June 11, 2004. The Respondent was
requested to provide its defence on June 8, 2004.
[13]
On July 8,
2004, the Respondent submitted its defence. This document is not included in
the tribunal record but is referenced in the Investigation Report. According to
the Investigation Report, in its defence the Respondent raised the issue of the
time limits of the Applicant’s complaint and argued that, pursuant to paragraph
41(1)(e) of the Act, the Commission should not investigate those acts which
allegedly occurred before November 2002, that is a year before the complaint
was signed. As well, the Respondent argued that the Applicant’s allegations
related to questions of labour relations for which she had elected to pursue
the grievance procedures provided in the collective agreement and for which
resolutions were achieved.
[14]
According
to the chronology, the Applicant was advised on July 22, 2004 that she could
reply to the Respondent’s submissions. Her rebuttal was received on August 1,
2004.
[15]
The
investigation, including interviews, was conducted between November 22 and
December 1, 2004, and the Investigator’s Report was disclosed on December 10,
2004. The parties were given the opportunity to respond to the Investigator’s Report
and the Applicant did so by a letter received on January 6, 2005. In that
letter, the Applicant took issue with the manner in which the Investigator
dealt with the accommodation issue and alleged that employees of the Respondent
had been dishonest in the manner in which they provided information to the Investigator.
[16]
The
Respondent also replied to the Investigator’s Report, in a letter dated January
1l, 2005. In that
response, the Respondent agreed with the Investigator’s recommendation that the
Commission dismiss the Applicant’s complaint because the evidence did not
support the allegations raised by her. The Respondent also repeated its
argument that the complaint was untimely and in any event, the subject of the
complaint had been addressed under the internal grievance process.
[17]
The
Investigation Report was subsequently submitted to the Commission. At
paragraphs 35 and 36, the Investigator set out the following recommendations:
35 It is recommended,
pursuant to subsection 41(1) of the Canadian Human Rights Act, that the
Commission deal with those allegations in the complaint which occurred after
November 2002
i.
because
they are based on acts which occurred less than one year before the complaint
was filed, and
ii.
because it
is not clear that the allegations have been resolved.
36
It is
recommended, pursuant to paragraph 44(3)(b) of the Canadian Human Rights Act,
that the Commission dismiss the complaint
- because, based on the
investigator’s findings, the evidence does not support the allegations.
[18]
In a
decision dated March 24, 2005, the Commission dismissed the Applicant’s
complaint. It dealt with two aspects of the complaint, that is the timeliness
of the allegations and the merits of the allegation of discrimination contrary
to section 7. On the issue of timeliness, the Commission decided to consider
only those allegations that occurred after November 2002 because they were
based on acts that had occurred less than one year before the complaint was
filed and it was unclear that the allegations had been resolved. In this
regard, reference was made to subsection 41(1) of the Act.
[19]
The
Commission went on to dismiss the Applicant’s complaint, pursuant to paragraph
44(3)(b) on the grounds that the allegation is unsupported by the evidence.
[20]
In her
complaint form, the Applicant had referred to sections 7 and 10 as the basis of
her complaint. Section 7 deals with discrimination, in the course of
employment, on a prohibited ground of discrimination. Section 10 addresses a
discriminatory practice based upon a policy that “deprives or tends to deprive
an individual or class of individuals of any employment opportunities on a
prohibited ground of discrimination”. Section 3 defines prohibited grounds of
discrimination for the
purposes of the Act as “race, national or ethnic origin,
colour, religion, age, sex, sexual orientation, marital status, family status,
disability, and conviction for which a pardon has been granted”.
[21]
The
Applicant claimed that she was discriminated against, contrary to section 7, on
the basis of her permanent partial disability, in particular by a failure to
accommodate her. In relation to section 10, she alleged that the Respondent was
pursuing a discriminatory policy by refusing the transfer requests that she had
made in August 2001, for transfers. The Applicant filed her application for
judicial review on May 9, 2005. As part of her application record, she filed
her own affidavit, including twelve exhibits.
[22]
These
exhibits included correspondence between the Applicant and the Commission as
well as, in Exhibit 3, copies of extensive documentation relating to her
complaint, including background materials. Extensive material was submitted as
Exhibit 5. Exhibit 5 contains a statement entitled “Information since the Nov.
2003 Human Rights Complaint” together with a list of some twenty-five proposed
witnesses to be interviewed if the matter could not be resolved by mediation,
pursuant to the Act. Exhibit 5 also contains materials relating to the physical
assessment of the Applicant by the WSIB following her work-related injury in
1996. This exhibit further contains documentation relating to certain
grievances filed by the Applicant between 1999 and 2002.
III. Applicant’s Submissions
[23]
The
Applicant argues that the Investigator failed to investigate her allegations of
discrimination pursuant to section 10 of the Act. In her complaint she
expressed the view that the Respondent has a national policy to refuse transfer
requests if the employee has a disability. This point was raised in her
complaint, including her written narrative, but section 10 is not referenced in
the Investigation Report. The Applicant refers to correspondence that is
included in Exhibit 3 of her affidavit where the Commission referred to section
7 of the Act but not section 10.
[24]
On the
basis of these examples, the Applicant submits that the Investigator failed to
consider her complaint pursuant to section 10 of the Act.
[25]
Next, the
Applicant argues that the information provided by the Respondent to the Investigator
was unreliable. She submits that the Investigator improperly accepted the
Respondent’s information at face value and that none of those statements were
corroborated by documentation.
[26]
The Applicant
further disputes the Investigator’s characterization of her absence from work
as an injury-related leave. She argues that she was able to perform all her job
duties in spite of her injury and that she was off work due to an issue of
accommodation.
[27]
Next, the
Applicant addressed the settlement agreement dated August 8, 2003. She takes
issue with the statement in the Investigation Report that neither the
Respondent nor the CUPW was able to contact her concerning that agreement. She
took the position that an issue as important as accommodation should not be
dismissed merely by saying that she did not make herself available.
[28]
As well,
the Applicant questions the legality of that agreement as she did not learn
about it until after she had filed her complaint pursuant to the Act.
[29]
The
Applicant then argues that the information provided to the Investigator by the
Respondent concerning the July 2000 arbitration is inaccurate. She argues that
none of the people who provided information had any direct knowledge of the
events. The Applicant suggests that these individuals misled the Investigator
in this regard. She says that an example of such misinformation is the
statement that she had asked to be placed in a retail position. The Applicant
says that she never made such a request and that the Investigator allowed such
erroneous information to influence the final recommendation.
[30]
The
Applicant also argues that the Investigator’s suggestion that the she performs
tasks beyond her restrictions is erroneous. While she acknowledges that she
told her supervisor that she had been self-managing her injuries, she denies
that she lifted a 40 lb. box.
[31]
The
Applicant further submits that her job duties in Courtenay do not comply with
the restrictions set by the WSIB. She argues that a third party should have
evaluated her job duties to ensure that they met her restrictions. Such an evaluation
was not done and the Investigator did not contact the witnesses suggested by
the Applicant to confirm her version of the events.
[32]
The third
main argument advanced by the Applicant relates to breaches of natural justice
and procedural fairness. The Applicant says that the Investigator did not talk
to her about her complaint, failed to address her allegations that she was
treated differently from other employees, failed to address her concerns under
subsection 7(b) and section 10 of the Act and that on one occasion documents
that were supposed to be mailed to the Respondent were delivered to her.
IV. The Respondent’s Submissions
[33]
The
Respondent made a preliminary objection concerning the Applicant’s affidavit
filed in support of her application. It argues that, contrary to Rule 81(1) of
the Federal Courts Rules, SOR/98-106 (the “Rules”), the Applicant did
not confine the facts to those within her personal knowledge. The Respondent
submits that affidavits that contain expressions of personal opinion,
speculation or argument are defective and are inadmissible in a proceeding. In
this regard, the Respondent relies on the decision in Bell Canada v. Canada (Human Rights Commission) (1990), 39 F.T.R. 97 (T.D.).
[34]
Accordingly,
the Respondent submits that paragraphs 2, 3, 5, 6, 8, 9, 10, 13,14, 15, 16 and
17 of the Applicant’s affidavit should be struck out on the basis that they
contain statements of personal opinion, speculation and argument.
[35]
Furthermore,
the Respondent argues that many of the exhibits attached to the Applicant’s
affidavit were not in evidence before the Commission. It submits that it is not
open to the Applicant to introduce new evidence upon an application for
judicial review and, in this regard, relies on the
decision in Farhadi v. Canada (Minister of Citizenship and
Immigration) (1998),
144 F.T.R. 76 (T.D.).
[36]
The
Respondent also argues that the jurisdictional exception to this rule does not
apply in this case. The Applicant alleges that the commission lost jurisdiction
as the result of purported failure of the Investigator during the
investigation. The Respondent says that this allegation is but a variation of
the arguments advanced by the Applicant concerning natural justice and
procedural fairness.
[37]
Alternatively,
the Respondent submits that if the Court allows the Applicant to introduce new
evidence, that evidence should be limited to correspondence related to the
investigation and documents that were provided to the Investigator.
[38]
The
Respondent addresses the applicable standard of review. In its initial written
Memorandum of Fact and Law, it took the position that the appropriate standard
of review relative to a decision of the Commission to dismiss a complaint is
reasonableness simpliciter, relying in that regard on the decisions in MacLean v.
Marine Atlantic Inc. (2003), 243 F.T.R. 219 and Gardner v. Canada
(Attorney General) (2004), 250 F.T.R. 115, aff’d. (2005), 339 N.R. 91
(F.C.A.), leave to appeal to S.C.C. refused [2005] S.C.C.A. No. 480.
In relation to questions of procedural fairness, it argues that the issue of
standard of review does not arise and no deference is owed, relying again on Gardner, supra.
V. Further
Submissions
A. The Respondent
[39]
Further to
the hearing of the application for judicial review, a Direction was issued,
requesting the parties to make further brief submissions on the applicable
standard of review in light of the recent decision of the Federal Court of
Appeal in Sketchley v. Canada (Attorney General), [2006] 3 F.C.R. 392
(F.C.A.). The Respondent was invited to make the first submissions, followed by
the Applicant, and with a right of reply to the Respondent.
[40]
The
Respondent conducted a pragmatic and functional analysis and submitted that, on
balance, the appropriate standard of review in this case is patent
unreasonableness.
[41]
Applying
the standard of patent unreasonableness, the Respondent submits that the
decision of the Commission meets the standard with respect to the Applicant’s
allegations under both subsection 7(b) and section 10 of the Act.
[42]
Furthermore,
the Respondent argues that there is no evidence to show that there was any
breach of procedural fairness or natural justice. The Applicant had the
opportunity to present her case and to respond to the position advanced by the
Respondent. The Applicant had the opportunity to comment on the Investigation
Report. Relying on the decision in Hutchinson v. Canada (Minister of the Environment) (2003), 302 N.R. 66 (F.C.A.),
the Respondent submits that the duty of fairness owed by an investigating body
may vary from the requirements of natural justice applicable in other contexts.
The Respondent argues that the Investigator’s findings of fact and decision
with respect to the conduct of the investigation are entitled to deference.
[43]
As for the
Applicant’s argument that the Investigator failed to consider her section 10
complaint, the Respondent argues that this issue was considered and addressed
by the Investigator. The narrative of the Investigation Report referred to the
Applicant’s allegations concerning denial of transfer requests and the
Investigator concluded that this matter had been “resolved”.
[44]
The
Respondent argues that the Investigator properly and adequately dealt with the
Applicant’s complaint pursuant to subsection 7(b) of the Act. The Investigation
Report addressed that issue under the heading “Refusal to Accommodate” in the
Investigation Report. The Respondent submits that the absence of a separate
analysis of every specific allegation made by a complainant does not mean that
those allegations were not considered by the Investigator and in this regard,
relies on the decision in Slattery v. Canada (Canadian Human Rights
Commission) (1994), 73 F.T.R. 161, aff’d. (1996), 205 N.R. 383 (F.C.A.).
B. The Applicant
[45]
In her
further submissions concerning the applicable standard of review and in response
to the Respondent’s further submissions the Applicant took the position that
the decision of the Commission discloses errors of law that are reviewable on
the standard of correctness. She submits that there was an error of law
resulting from the failure of the Investigator to review the issue of
accommodation in light of prima facie discrimination. The Applicant
makes the same argument with respect to the failure of the Investigator to find
the transfer policy to be prima facie discriminatory.
VI. Discussion and Disposition
[46]
This is an
application for judicial review pursuant to the Federal Courts Act,
R.S.C. 1985, c. F-7, as amended. Section 18.1(4) sets out the grounds of review
and provides as follows:
(4) The Federal Court may grant relief
under subsection (3) if it is satisfied that the federal board, commission or
other tribunal
( a) acted without jurisdiction, acted
beyond its jurisdiction or refused to exercise its jurisdiction;
( b) failed to observe a principle of
natural justice, procedural fairness or other procedure that it was required
by law to observe;
( c) erred in law in making a decision
or an order, whether or not the error appears on the face of the record;
( d) based its decision or order on an
erroneous finding of fact that it made in a perverse or capricious manner or
without regard for the material before it;
( e) acted, or failed to act, by reason
of fraud or perjured evidence; or
( f) acted in any other way that was
contrary to law.
|
(4) Les mesures prévues au paragraphe
(3) sont prises si la Cour fédérale est convaincue que l'office fédéral,
selon le cas :
a) a agi sans compétence, outrepassé
celle-ci ou refusé de l’exercer;
b) n’a pas observé un principe de
justice naturelle ou d’équité procédurale ou toute autre procédure qu’il était
légalement tenu de respecter;
c) a rendu une décision ou une
ordonnance entachée d’une erreur de droit, que celle-ci soit manifeste ou non
au vu du dossier;
d) a rendu une décision ou une
ordonnance fondée sur une conclusion de fait erronée, tirée de façon abusive
ou arbitraire ou sans tenir compte des éléments dont il dispose;
e) a agi ou omis d’agir en raison d’une
fraude ou de faux témoignages;
f) a agi de toute autre façon contraire
à la loi.
|
[47]
The relief
available upon an application for judicial review is described in section
18.1(3) as follows:
(3) On an application for judicial
review, the Federal Court may
( a) order a federal board, commission
or other tribunal to do any act or thing it has unlawfully failed or refused
to do or has unreasonably delayed in doing; or
( b) declare invalid or unlawful, or
quash, set aside or set aside and refer back for determination in accordance
with such directions as it considers to be appropriate, prohibit or restrain,
a decision, order, act or proceeding of a federal board, commission or other
tribunal.
|
(3) Sur présentation d'une demande de
contrôle judiciaire, la Cour fédérale peut :
a) ordonner à l’office fédéral en cause
d’accomplir tout acte qu’il a illégalement omis ou refusé d’accomplir ou dont
il a retardé l’exécution de manière déraisonnable;
b) déclarer nul ou illégal, ou annuler,
ou infirmer et renvoyer pour jugement conformément aux instructions qu’elle
estime appropriées, ou prohiber ou encore restreindre toute décision,
ordonnance, procédure ou tout autre acte de l’office fédéral.
|
[48]
The
conduct of an application for judicial review is governed by the Rules, Part 3.
An application for judicial review is a review that is normally conducted on
the basis of the material that was before the decision-maker, in this case, the
Commission. In this regard, I refer to Ontario Association of Architects v. Association
of Architectural Technologists of Ontario (2002), 291 N.R. 61 (F.C.A.). However,
additional evidence may be introduced on issues relating to procedural fairness
and jurisdiction.
[49]
In the
present case, the record that was before the Commission when it made its
decision consisted of the following material:
1. Investigation
Report, dated December 10, 2004;
2. Complaint Form,
dated November 9, 2003;
3. Complainant’s
Response to the Investigation Report, dated January 5, 2005;
4. Respondent’s
Response to the Investigation Report, dated January 11, 2005;
5. Complainant’s
Reply to the Respondent’s Response to the Investigation Report, dated January
31, 2005;
6. Respondent’s
Reply to the Complainant’s Response to the Investigation Report, dated February
9, 2005;
7. Chronology
This material was produced by
the Commission pursuant to Rule 318 of the Rules.
[50]
As noted
above, the Respondent objects to certain paragraphs of the Applicant’s
affidavit, as well as the inclusion of certain materials as exhibits to that
affidavit. The Respondent says that paragraphs 2, 3, 5, 6, 8, 9, 10, 13, 14,
15, 16 and 17 should be struck out because they contain statements of personal
opinion, speculation and argument. With respect to the exhibits referred to in
these paragraphs, it argues that the Applicant is attempting to introduce
evidence in this application for judicial review that was not before the
Commission.
[51]
In Farhadi,
supra, the Court said the following at paragraph 20 concerning the
record that should be before the Court upon an application for judicial review:
20. It is trite law that a reviewing
court is bound by the record filed before the federal board, commission or
other tribunal the decision of which is under appeal. Reviewing court
jurisprudence has followed this rule, noting that if evidence not before the
initial tribunal is introduced on judicial review, the review application would
effectively be transformed into an appeal or a trial de novo. While I am
satisfied that a jurisdictional exception exists to the rule that new evidence
is not admissible on judicial review, I am also satisfied that an issue as to
jurisdictional error of the tribunals does not arise here. …
[Notes omitted]
[52]
I agree
with the submissions of the Respondent concerning the Applicant’s affidavit.
Rule 81(1) clearly sets out the contents of an affidavit, as follows:
81. (1) Affidavits shall be confined to
facts within the personal knowledge of the deponent, except on motions in
which statements as to the deponent's belief, with the grounds therefor, may
be included.
|
81. (1) Les affidavits se limitent aux
faits dont le déclarant a une connaissance personnelle, sauf s’ils sont
présentés à l’appui d’une requête, auquel cas ils peuvent contenir des
déclarations fondées sur ce que le déclarant croit être les faits, avec
motifs à l’appui.
|
The cited paragraphs go beyond the
requirement of personal knowledge and import, as well as speculation and
argument. In Deigan v. Canada (Attorney General) (1996), 206 N.R. 195 (F.C.A.),
the Court struck out portions of an affidavit that were argumentative and
opinionated. In light of Rule 81(1) and the relevant jurisprudence, the
impugned paragraphs and the related exhibits will be struck out.
[53]
The role
of the Court in this proceeding is to determine if the Commission erred in
dismissing the Applicant’s complaint. The first step is to determine the
applicable standard of review, having regard to the pragmatic and functional
analysis as discussed in Pushpanathan v. Canada (Minister of Citizenship and
Immigration),
[1998] 1 S.C.R. 982, Law Society of New Brunswick v. Ryan, [2003] 1
S.C.R. 247, Dr. Q. v. College of Physicians and Surgeons of British Columbia,
[2003] 1 S.C.R. 226 and Sketchley, supra. The pragmatic and
functional analysis requires consideration of four factors: the presence or
absence of a privative clause; the relative expertise of the tribunal; the
purpose of the legislation and the particular statutory provision in issue; and
the nature of the question. The pragmatic and functional analysis is not
engaged when questions of procedural fairness and natural justice are involved;
see Ha v. Canada (Minister of Citizenship and
Immigration),
[2004] 3 F.C.R. 195 (F.C.A.) at 219.
[54]
There is
no privative clause in the Act nor a statutory right of appeal for a decision
of the Commission pursuant to paragraph 44(3)(b). Silence on the availability
of an appeal process is neutral.
[55]
The
Commission is authorized to investigate and sanction discriminatory practices
based on enumerated factors; see sections 2 and 27. It has relative expertise
in assessing acts of discrimination and should be accorded greater deference in
respect of its factual determinations. Where the assessment involves the
application of the law, less deference should be granted. In this case, the
decision to dismiss the complaint was based upon an assessment of the evidence
and attracts a high degree of deference.
[56]
The broad
purpose of the Act is to protect human rights through the prevention of
discriminatory practices. In Sketchley, supra, another case that
considered dismissal of a complaint pursuant to the Act, the Federal Court of
Appeal said the following at paragraph 75:
75. The particular decision at
issue with respect to the TB complaint occurred in the course of the
Commission's screening function under section 44(3) of the Act. For any given
complaint, the decision taken by the Commission pursuant to section 44
constitutes an important threshold in accessing the remedial powers of the
Tribunal under section 54: a decision at this stage by the Commission not to
deal with a complaint is a decision which effectively denies the complainant
the possibility of obtaining relief under the Act. The Commission's activities
with respect to the investigation of individual complaints and their selective
referral to a Tribunal directly engages the individual rights and entitlements
of the parties to a particular complaint. This aspect suggests a less
deferential standard.
[57]
Further,
at paragraph 76, the Federal Court of Appeal observed that the Commission is
better placed to assess whether a particular complaint should proceed further,
having regard to practical and monetary considerations. On balance, I conclude
that this factor favours a standard of reasonableness simpliciter.
[58]
Finally,
there is the nature of the problem. Again, I refer to the decision of the
Federal Court of Appeal in Sketchley where the Court described the
nature of the question to be addressed by the Commission when considering the
report of an investigator. At paragraph 77, the Court said the following:
77. As noted by Sopinka J. in SEPQA,
at page 899, at para. 27, the question to be decided by the Commission at the
conclusion of the screening process is whether there was "a reasonable
basis in the evidence for proceeding to the next stage". The investigator
is essentially engaged in a fact-finding mission but the Commission itself,
when it takes action on the basis of the investigator's report, is nevertheless
applying the facts in the context of the legal requirements of the Canadian
Human Rights Act. The resulting decision will in general be one of mixed
fact and law, calling "for more deference if the question is fact-intensive,
and less deference if it is law-intensive" (Dr. Q., at paragraph 34).
[59]
In the
present case, the nature of the question is factually driven; see Ryan, supra,
at paragraph 41. Is there enough evidence to send the complaint on for further
inquiry? I conclude that this factor, being fact-intensive, invites a higher
degree of deference.
[60]
Upon
balancing the four factors, I conclude that the decision of the Commission in
this case attracts the deferential standard of patent unreasonableness.
[61]
The
decision in question was made by the Commission pursuant to paragraph 44(3)(b)
of the Act which provides as follows:
(3) On receipt of a report referred to
in subsection (1), the Commission
…
b) shall dismiss the complaint to which
the report relates if it is satisfied
(i) that, having regard to all the
circumstances of the complaint, an inquiry into the complaint is not
warranted, or
(ii) that the complaint should be
dismissed on any ground mentioned in paragraphs 41(c) to (e).
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(3) Sur réception du rapport d’enquête
prévu au paragraphe (1), la Commission :
…
b) rejette la plainte, si elle est
convaincue :
(i) soit que, compte tenu des
circonstances relatives à la plainte, l’examen de celle-ci n’est pas
justifié,
(ii) soit que la plainte doit être
rejetée pour l’un des motifs énoncés aux alinéas 41c) à e).
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[62]
The
Applicant argues that the Commission erred by failing to consider her
allegations of discrimination contrary to section 10, that is with respect to
an alleged discriminatory policy of refusing transfer requests from persons
suffering from a disability.
[63]
In my
opinion, this argument is not supported by the record. The Investigation Report
deals with the substance of these allegations although no specific reference is
made to section 10. In paragraphs 3 to 11, the Investigator refers to the
objection initially raised by the Respondent to the timeliness of the
complaint, that is an objection pursuant to subsection 41(1) of the Act.
Subsection 41(1) provides as follows:
41. (1) Subject to section 40, the
Commission shall deal with any complaint filed with it unless in respect of
that complaint it appears to the Commission that
(a) the alleged victim of the
discriminatory practice to which the complaint relates ought to exhaust
grievance or review procedures otherwise reasonably available;
(b) the complaint is one that could
more appropriately be dealt with, initially or completely, according to a
procedure provided for under an Act of Parliament other than this Act;
(c) the complaint is beyond the
jurisdiction of the Commission;
(d) the complaint is trivial,
frivolous, vexatious or made in bad faith; or
(e) the complaint is based on acts or
omissions the last of which occurred more than one year, or such longer
period of time as the Commission considers appropriate in the circumstances,
before receipt of the complaint.
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41. (1) Sous réserve de l’article 40,
la Commission statue sur toute plainte dont elle est saisie à moins qu’elle
estime celle-ci irrecevable pour un des motifs suivants :
a) la victime présumée de l’acte
discriminatoire devrait épuiser d’abord les recours internes ou les
procédures d’appel ou de règlement des griefs qui lui sont normalement
ouverts;
b) la plainte pourrait avantageusement
être instruite, dans un premier temps ou à toutes les étapes, selon des
procédures prévues par une autre loi fédérale;
c) la plainte n’est pas de sa
compétence;
d) la plainte est frivole, vexatoire ou
entachée de mauvaise foi;
e) la plainte a été déposée après
l’expiration d’un délai d’un an après le dernier des faits sur lesquels elle
est fondée, ou de tout délai supérieur que la Commission estime indiqué dans
les circonstances.
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[64]
The
Respondent argued that the Commission should not deal with those elements of
the complaint that preceded the filing of the complaint by more than one year
and further that the
allegations relating to refusal of
transfer requests were labour relations matters that had been resolved through
the grievance procedures provided by the relevant collective agreements.
[65]
The
Investigation Report specifically refers to the pursuit of grievances by the
Applicant relative to transfer requests that were refused. The Report also
specifically mentions two settlement agreements that were reached between the
Applicant and the CUPW in July 2000 and August 2003. Further, in the Analysis
section of the Investigation Report the Investigator refers to these settlement
agreements relative to the issue of the transfer requests.
[66]
The
Investigator made the following recommendation with respect to the issue of
timeliness and prior resolution of part of the complaint:
It is recommended, pursuant to subsection
41(1) of the Canadian Human Rights Act, that the Commission deal with
those allegations in this complaint which occurred after November 2002
i.
because
they are based on acts which occurred less
than one year before the complaint was filed, and
ii.
because it
is not clear that the allegations have been resolved.
[67]
This
recommendation was accepted by the Commission. The Commission may adopt the
recommendations of the Investigator as its reasons; see Lusina v. Bell
Canada (2005), 249 D.L.R. (4th) 429 (F.C.).
[68]
In my
view, the Investigator is here accepting the Respondent’s submissions that the
matter of the transfer requests should not be addressed because they had arisen
more than one year before the complaint had been filed and had been resolved.
Only matters that arose after November 2002, that had not been resolved, would
be considered. The only allegation made by the Applicant that could be
considered by the Investigator according to these criteria is the allegation
regarding section 7 of the Act.
[69]
Having
regard to the Tribunal Record, including the Investigation Report, the decision
of the Commission to dismiss the Applicant’s complaint under section 10 is not
patently unreasonable.
[70]
Next,
there is the matter of the complaint pursuant to section 7, that is a refusal
to accommodate. This issue is squarely addressed in the Investigation Report.
There is evidence referred to in that report that supports the conclusion of
the Investigator and ultimately of the Commission. The Investigation Report, at
paragraph 29, says the following:
Mr. Woods [CUPW Local President upon the
arrival of the Applicant in Courtenay] summarized the complainant’s workplace
situation as follows: ‘She doesn’t have the job she wants, but she has the job
she needs.’
[71]
In my
opinion, the decision of the Commission to dismiss the Applicant’s complaint is
not patently unreasonable, relative to the evidence submitted. It is the role
of the Commission, not of the Court, to assess and weigh the evidence. The
Commission is entitled to rely upon the report prepared and submitted by the
Investigator.
[72]
The
Applicant advanced arguments relating to breaches of procedural fairness and
natural justice. These issues are not subject to the pragmatic and functional
analysis. Briefly put, the Applicant based her submissions with respect to
these issues upon perceived inadequacies of the Investigator and the
investigation.
[73]
The
principal aspect to be acknowledged in discussing the issues of procedural
fairness and natural justice is that the requirements may vary, according to
the circumstances of a particular case. I refer to the decision in Syndicat
des employés de production du Québec et de l’Acadie v. Canada (Canadian Human Rights
Commission),
[1989] 2 S.C.R. 879 at 895 where the Court said the following:
Both the rules of natural justice and the
duty of fairness are variable standards. Their content will depend on the
circumstances of the case, the statutory provision and the nature of the matter
to be decided. …
[74]
Neutrality
and thoroughness are the fundamental requirements for an investigation under
the Act; see Slattery, supra. Further, a complainant is to be
given the opportunity to respond to the information collected by the
investigator, as well as the opportunity to present his or her case; see Hutchinson, supra.
[75]
The record
here shows that the Applicant provided substantial information to the
Investigator concerning the elements of her complaints. The Investigation Report
is six pages long and divided into sections as follows:
a. Summary of Complaint and
Respondent’s Position;
b. Objections under Section 41(1);
c. Refusal to Accommodate;
d. Analysis; and
e. Recommendation
[76]
Although
the Tribunal Record does not contain the documents or notes of interviews that
underlie the Investigation Report, that does not mean that the investigation
lacked neutrality or thoroughness. The Act confers a broad discretion upon an
investigator in the conduct of an investigation. The Applicant was given the
opportunity to respond to submissions made by the Respondent in the course of
the investigation, according to the chronology that forms part of the Tribunal
Record. She availed of those opportunities, according to the same document.
[77]
The
Applicant had no right to a personal interview nor to insist that specific
individuals be interviewed by the Investigator. Upon considering the contents
of the Investigation Report and the chronology, I am satisfied that the
required elements of procedural fairness and natural justice were respected.
There is no basis for intervention on these grounds.
[78]
In the
result, this application for judicial review is dismissed. The Respondent did
not seek costs. In the exercise of my discretion pursuant to the Rules, there
will be no order as to costs.
ORDER
This application for judicial review is
dismissed, no order as to costs.
“E.
Heneghan”