Date: 20061106
Docket: T-2304-05
Citation: 2006 FC 1332
Ottawa,
Ontario, November 6, 2006
PRESENT: The Honourable Mr. Justice Beaudry
BETWEEN:
CANADIAN
PACIFIC RAILWAY COMPANY
Applicant
and
ALLAN
WOOLLARD
Respondent
REASONS FOR JUDGMENT AND
JUDGMENT
[1]
This
application is for judicial review pursuant to section 18 of the Federal
Courts Act, R.S.C. 1985, c F-7 (the Act) of a decision by Appeals Officer,
Douglas Malanka, of the Canada Appeals Office on Occupational Health and
Safety. Dated November 30, 2005, the decision varies the direction issued by
Health and Safety Officer (H.S.O.), Rod Noel, by finding that the Applicant
contravened paragraph 125.1(i) [should be 125(1)(i)] of the Canada
Labour Code, Part II, R.S., 1985, c. L-2 (the Code), and paragraph 9.44(1)(b),
as well as subsections 9.44(2) and (3), and section 10.4 of the Canada
Occupational Health and Safety Regulations, SOR/86-304 (the Regulations).
ISSUES
[2]
The
parties raise several issues. While I have taken each under careful
consideration, I formulate the issues as follows:
1) Did the
Appeals Officer err in law with respect to his statutory interpretation of the
provisions of paragraph 9.44(1)(b) of the Regulations?
2) Were the
Appeals Officer’s findings made in a perverse or capricious manner without
regard to the evidence?
3) Did the
Appeals Officer breach the rules of natural justice or procedural fairness by
failing to give the Applicant an opportunity to make submissions and be heard
on the concerns regarding the hazard investigation as stipulated in section
10.4 of the Regulations?
[3]
For
the following reasons, the present application shall be allowed.
BACKGROUND
[4]
The
Applicant provides freight transportation services throughout Canada and in the
United
States.
As part of its operations, the Applicant employs a number of people, including
machine operators on the surfacing crews who like the Respondent work outdoors,
maintaining its railway tracks. Members of the surfacing crews operate various
diesel-powered machines and are responsible for operating, refuelling and
maintaining the machines.
[5]
In
carrying out these duties, it is not uncommon for such employees to come into
contact with animal carcasses and human waste along the railway tracks. But
even more significantly, the workers’ clothes regularly get wet and
contaminated by hazardous substances, including diesel fuel, lubricating
grease, ethylene glycol antifreeze and hydraulic oils. The material safety
data sheets (MSDS) on these products indicate the following:
1. Diesel Fuel
·
Avoid
prolonged or repeated skin contact … ;
·
Remove
contaminated clothing – launder before reuse;
·
Do
not breathe gas, vapour, spray;
·
Practice
good personal hygiene;
·
Launder
work clothes frequently;
2. Hydraulic Oil
(Hydrex XV)
·
Avoid
inhalation and skin contact;
·
Launder
work clothes frequently
3. Antifreeze
(ethylene glycol)
·
Contact
can cause slight irritation of skin, eyes and respiratory track;
·
Remove
contaminated clothing – launder before reuse
4. Lubricating
Oil (Ardee 32)
·
Similar
to above
5. Lubricating
Grease
·
Similar
to above
[6]
Both
parties acknowledge that the Applicant provides the surface crews with various
types of disposable coveralls to protect their clothing. However, it is alleged
by the Respondent that these protective gear have been less than adequate, in
that they are usually ill fitted, tear easily and until recently, are rarely
oil resistant.
[7]
It
is acknowledged that the Applicant provided its surfacing crews with a separate
room for changing and storing such soiled work clothing. However, when the
surfacing crews work in small numbers in remote regions and are billeted in
hotels and/or motels, the Applicant no longer provides a separate room for
storing their soiled and contaminated work clothing. Yet their work and its
associated hazards remain the same.
[8]
As
a result, such crews are systematically required to leave the work site without
changing out of their work clothes. They have no option but to return to their
hotel rooms where they change, shower, dry and store their wet and contaminated
clothing in the same rooms in which they must sleep, at times with two workers
per room; for periods ranging from one day to a week or more.
[9]
That
is why on November 21, 2002, the Respondent complained to the H.S.O. that the
Applicant was no longer providing a separate room for surfacing crews billeted
in hotels and/or motels. The Respondent believed this to be a health hazard in
that the odours from his wet or contaminated work clothes filled the room and
made him ill at night, especially when the clothing had to be dried on the
heater in the hotel or motel room. Moreover, it is also noted that while the
Applicant provides surfacing crew workers with an allowance for laundry
services, the hotels and/motels do not allow the workers to use their
facilities to launder these working clothes.
[10]
Following
an investigation on April 9 and 16, 2003, the H.S.O. concluded in a direction
dated June 12, 2003, that the Applicant had contravened the following
provisions of the Code and the Regulations:
1)
Canada Labour Code, Part II paragraph 125.1(1)(e)
[should be 125.1(e)] and Canada Occupational Health and Safety
Regulations paragraph 10.28(b) and subsection 10.34(1).
The employer has failed to make material
safety data sheets readily available to employees who operate and maintain
maintenance of way track clearing equipment. Some of the hazardous substances
and/or controlled products that these employees handle or are exposed to are
diesel fuel, ethylene glycol antifreeze, and hydraulic oils.
2)
Canada
Labour Code,
Part II paragraph 125(1)(i) and Canada Occupational Health and Safety
Regulations sub-sections 9.44(1) and (3).
Employees who work on and maintain
maintenance of way track clearing equipment are regularly required to work
outside in inclement weather where clothing becomes wet. During the operation
and maintenance of equipment clothing is frequently contaminated by hazardous
products such as diesel fuel, lubricating grease, antifreeze and hydraulic
oils. The employer provides hotel rooms housing two employees per room for
periods of several days. Employees are required to return to those rooms
directly from the workplace, while wearing the wet or contaminated clothing.
The employer has failed to provide a change room and separate storage area to
ensure protection of employees exposed to wet or contaminated work clothing.
[11]
The
Applicant was therefore directed pursuant to paragraph 145(1)(a) of the
Code, Part II, to terminate the contravention(s) no later than June 27, 2003,
and to take steps before this date, to ensure that the contraventions do not
continue to re-occur, pursuant to paragraph 145(1)(b) of the Code.
[12]
On
July 9, 2003, the Applicant appealed the H.S.O.’s directions pursuant to
subsection 146(1) of the Code requesting that only the second item of the
direction be rescinded. On November 30, 2005, the Appeals Officer declined to
rescind the H.S.O.’s direction and instead varied these directions by adding
another contravention of the Regulations. It is this decision, which lies at
the heart of the present application for judicial review.
DECISION UNDER REVIEW
[13]
The
Appeals Officer conducted a hearing on January 19 and 20, 2005, and examined
the written submissions concerning the Applicant’s appeal.
[14]
The
Appeals Officer found that unlike the findings of the H.S.O., the Regulations
did not call for a separate change room but rather only a change room. Also,
the Appeals Officer found that the H.S.O. was not in a position to
independently establish that the quantities of product present on the
employees’ work clothing were sufficient to render the clothing contaminated or
unfit to wear. While the H.S.O. used the MSDS sheets to confirm that diesel
fuel, lubricating grease, antifreeze and hydraulic oils met the definition of a
hazardous substance, he did not conduct any tests or require the Applicant to
provide him a copy of a proper hazard assessment completed in accordance with
subsection 10.4(1) of the Regulations and the definition of a hazardous
substance in subsection 122(1) of the Code.
[15]
Notwithstanding
these shortcomings in the H.S.O.’s direction, the Appeals Officer was satisfied
that the evidence confirmed the following:
·
employees
were regularly engaged in work that brought their clothing into contact with
hazardous substances, which included diesel fuel, lubricating grease,
antifreeze and hydraulic oils;
·
the
disposable overalls provided to employees by CPR were inappropriate because
they were not sufficiently tear resistant under all aspects of the work and
they were not impermeable to the oils used by employees;
·
CPR failed
to conduct a proper hazard assessment in accordance with subsection 10.4(1) of
the COHSR (Regulations) and the definition of a hazardous
substance given in section 122(1) of the Code; and
·
CPR’s past
practice was to provide a separate room for changing and storing work clothing
that was wet or contaminated by a hazardous substance.
[16]
Consequently,
the Appeals Officer gave the following direction to the Employer under
paragraph 145(1)(b) and subsection 145(5):
The …Appeals Officer is of the opinion that
the following provision is being contravened:
Paragraph 125.1(i) [should be 125(1)(i),
my correction] of the Canada Labour Code, Part II, and section 10.4 of
the Canada Occupational Health and Safety Regulations:
The employer has failed to appoint a qualified
person to carry out the hazard investigation required by section 10.4 of the Canada
Occupational Health and Safety Regulations to determine his obligation in
respect of paragraph 9.44 (1) (b) and subsections 9.44 (2) and (3) of the same Regulations
in respect of the hazardous substances used and handled by track
maintenance machine operators, which include diesel fuel, ethylene glycol
antifreeze, hydraulic oils, and greases, and in respect of feces and animal
carcasses that may be found on the track bed.
RELEVANT LEGISLATION
[17]
The
statutory source of this contested decision is found in paragraph 145(1)(b)
of the Code, which states as follows:
|
145. (1) A health and safety officer who is of the opinion that a
provision of this Part is being contravened or has recently been contravened
may direct the employer or employee concerned, or both, to
.
. .
(b)
take steps, as specified by the officer and within the time that the officer
may specify, to ensure that the contravention does not continue or re-occur.
|
145. (1) S’il est d’avis qu’une contravention à
la présente partie vient d’être commise ou est en train de l’être, l’agent de
santé et de sécurité peut donner à l’employeur ou à l’employé en cause
l’instruction :
. . .
b) de prendre, dans les délais précisés, les mesures qu’il
précise pour empêcher la continuation de la contravention ou sa répétition.
|
[18]
The
H.S.O. found that the Applicant failed to provide a change room and separate
storage area to ensure protection of employees exposed to wet or contaminated
work clothing, in violation of paragraph 125(1)(i) of the Code as well
as paragraph 9.44(1)(b) and subsections 9.44(2) and (3) of the
Regulations. The relevant sections state as follows:
|
Code
Specific duties of employer
125. (1) Without restricting the generality
of section 124, every employer shall, in respect of every work place
controlled by the employer and, in respect of every work activity carried out
by an employee in a work place that is not controlled by the employer, to the
extent that the employer controls the activity,
. . .
(i)
provide prescribed sanitary and personal facilities;
Regulations
Clothing Storage
9.44 (1) A change room shall be
provided by the employer where
. . .
(b)
an employee is regularly engaged in work in which his work clothing becomes
wet or contaminated by a hazardous substance.
(2)
Where wet or contaminated work clothing referred to in paragraph (1)(b)
is changed, it shall be stored in such a manner that it does not come in
contact with clothing that is not wet or contaminated.
(3)
No employee shall leave the work place wearing clothing contaminated by a
hazardous substance.
|
Code
Obligations spécifiques
125. (1) Dans le cadre de l’obligation
générale définie à l’article 124, l’employeur est tenu, en ce qui concerne
tout lieu de travail placé sous son entière autorité ainsi que toute tâche
accomplie par un employé dans un lieu de travail ne relevant pas de son
autorité, dans la mesure où cette tâche, elle, en relève :
. . .
i) de fournir les installations sanitaires
et personnelles réglementaires;
Règlements
Rangement des vêtements
9.44 (1) Un vestiaire doit être
fourni par l’employeur dans les cas suivants :
. . .
b) lorsqu’un employé exécute
habituellement un travail au cours duquel sa tenue de travail devient
mouillée ou contaminée par une substance dangereuse.
(2) Les vêtements de travail mouillés ou contaminés visés
à l’alinéa (1)b) doivent, une fois enlevés, être conservés à l’écart
des autres.
(3) Il est interdit à un employé de quitter les lieux de
travail avec des vêtements contaminés par une substance dangereuse.
|
[19]
Pursuant
to paragraph 145(1)(b) and subsection 145(5), the Appeals Officer found
that the Applicant had contravened paragraph 125.1(i) [should be 125(1)(i)]
cited above, as well as section 10.4 of the Regulations. The Appeals
Officer also made reference to subsection 122(1) of the Code. These
state as follows:
|
Regulations
Hazard
Investigation
10.4 (1) If there is a likelihood that the
health or safety of an employee in a work place is or may be endangered by
exposure to a hazardous substance, the employer shall, without delay,
(a)
appoint a qualified person to carry out an investigation in that regard; and
(b)
for the purposes of providing for the participation of the work place
committee or the health and safety representative in the investigation,
notify either of the proposed investigation and of the name of the qualified
person appointed to carry out that investigation.
. . .
10.5 On completion of an investigation referred to in subsection
10.4(1) and after consultation with the work place committee or the health
and safety representative,
(a)
the qualified person shall set out in a written report signed by the
qualified person
(i)
the qualified person’s observations respecting the criteria considered in
accordance with subsection 10.4(2), and
(ii)
the qualified person’s recommendations respecting the manner of compliance
with sections 10.7 to 10.26, including recommendations respecting sampling
and testing methods; and
(b)
the employer shall develop and maintain a written procedure for the control
of the concentration or level of the hazardous substance in the work place.
Code
Interpretation
122. (1) In this Part,
“hazardous
substance” includes a
controlled product and a chemical, biological or physical agent that, by
reason of a property that the agent possesses, is hazardous to the safety or
health of a person exposed to it;
|
Règlements
Enquête sur les risques
10.4 (1) Lorsque la santé ou la
sécurité d’un employé risque d’être compromise par l’exposition à une
substance dangereuse présente dans le lieu de travail, l’employeur doit sans
délai :
a) nommer une personne qualifiée pour
faire enquête sur la situation;
b) à des fins de participation à
l’enquête, aviser le comité local ou le représentant qu’il y aura enquête et
lui communiquer le nom de la personne qualifiée nommée pour faire enquête.
. . .
10.5 Après l’enquête visée au paragraphe
10.4(1) et après avoir consulté le comité local ou le représentant :
a) la personne qualifiée doit rédiger et
signer un rapport contenant :
(i) ses observations concernant les facteurs pris en
compte conformément au paragraphe 10.4(2),
(ii) ses recommandations concernant les mesures à observer
pour assurer le respect des articles 10.7 à 10.26, y compris ses
recommandations concernant les méthodes d’échantillonnage et d’analyse;
b) l’employeur doit établir par écrit et
appliquer une marche à suivre pour contrôler la concentration ou le niveau de
la substance dangereuse présente dans le lieu de travail.
Code
Définitions et interprétation
122. (1) Les définitions qui suivent
s’appliquent à la présente partie.
« substance dangereuse » Sont assimilés à des
substances dangereuses les agents chimiques, biologiques ou physiques dont
une propriété présente un risque pour la santé ou la sécurité de quiconque y
est exposé, ainsi que les produits contrôlés.
|
[20]
The
duty of the Appeals Officer is set out in section 146.2 of the Code. The
relevant portions state as follows:
|
Powers
146.2 For the purposes of a proceeding under
subsection 146.1(1), an appeals officer may
(h)
determine the procedure to be followed, but the officer shall give an
opportunity to the parties to present evidence and make submissions to the
officer, and shall consider the information relating to the matter;
|
Pouvoirs
146.2 Dans le cadre de la procédure prévue
au paragraphe 146.1(1), l’agent d’appel peut :
h) fixer lui-même sa procédure, sous
réserve de la double obligation de donner à chaque partie la possibilité de
lui présenter des éléments de preuve et des observations, d’une part, et de
tenir compte de l’information contenue dans le dossier, d’autre part;
|
ANALYSIS
Did the Appeals Officer
err in law with respect to his statutory interpretation of the provisions of
paragraph 9.44(1)(b) of the Regulations?
Standard of review
[21]
This
issue deals specifically with the statutory interpretation of the words
“regularly” and “contaminated” as used in paragraph 9.44(1)(b) of the
Regulations. Statutory interpretation is a question of law. It is well
established jurisprudence that the standard of review applicable to questions
of law is correctness (Canada (Attorney General) v.
Fletcher, [2003]
2 F.C. 475 (C.A.)).
Statutory interpretation
[22]
The
word “regularly,” as in “regularly engaged in work,” is not defined in the
statute. Similarly, the statute does not provide a definition for the word
“contaminated.” Where a statute is silent with respect to the meaning of a
word, section 12 of the Interpretation Act, R.S., 1985, c. I-21, s. 12
provides that all statutes are remedial and as such must be given “a fair, large and liberal
construction and interpretation as best ensures the attainments of the Act's
objectives”. The words chosen by Parliament must be consistent with the
apparent objectives of the provision in question.
[23]
It
is therefore necessary to look to the background and purpose of the regulation
in order to determine the meaning of these words. In Rizzo & Rizzo Shoes Ltd.
(Re),
[1998] 1 S.C.R. No. 27, Mr. Justice Iacobucci held at paragraph 21:
Although much has been written about the
interpretation of legislation (see, e.g., Ruth Sullivan, Statutory Interpretation
(1997); Ruth Sullivan, Driedger on the Construction of Statutes (3rd ed.
1994) (hereinafter "Construction of Statutes");
Pierre-André Côté, The Interpretation of Legislation in Canada (2nd ed.
1991)), Elmer Driedger in Construction of Statutes (2nd ed. 1983) best
encapsulates the approach upon which I prefer to rely. He recognizes that
statutory interpretation cannot be founded on the wording of the legislation
alone. At p. 87 he states:
Today there is only one principle or approach,
namely, the words of an Act are to be read in their entire context and in their
grammatical and ordinary sense harmoniously with the scheme of the Act, the
object of the Act, and the intention of Parliament.
[24]
The
word “regularly” appears numerous times in the Regulations and it is not
defined in any of these instances, which can be found as follows:
|
9.23 (1) A
shower room with a door fitted on the inside with a locking device and at
least one shower head for every 10 employees or portion of that number shall
be provided for employees who regularly perform strenuous physical
work in a high temperature or high humidity or whose bodies may be contaminated
by a hazardous substance.
9.44 (1) A
change room shall be provided by the employer where
. . .
(b) an
employee is regularly engaged in work in which his work clothing
becomes wet or contaminated by a hazardous substance.
12.13 Where an
employee is regularly exposed to contact with moving vehicles during
his work, he shall
14.9 (1)
Motorized materials handling equipment that is regularly used outdoors
shall be fitted with a roof or other structure that will protect the operator
from exposure to any weather condition that is likely to be hazardous to the
operator’s health or safety.
14.45 (1) In
any passageway that is regularly traveled by motorized or manual
materials handling equipment, the employer shall ensure that . . .
16.5 (4) The employer
shall inspect every first aid station regularly, at least monthly, and
shall ensure that its contents are maintained in a clean, dry and serviceable
condition.
19.2 The
employer shall
. . .
(c)
review the time frame of the implementation plan regularly and, as
necessary, revise it.
|
9.23
(1) Une salle de douches fermée par une porte munie d’un dispositif de
verrouillage par l’intérieur et équipée d’au moins une pomme de douche par
groupe de 10 employés ou moins doit être fournie aux employés qui exécutent habituellement
un travail physiquement ardu dans des conditions de chaleur ou d’humidité
élevée, ou qui risquent d’être contaminés par une substance dangereuse.
9.44
(1) Un vestiaire doit être fourni par l’employeur dans les cas suivants :
. .
.
b) lorsqu’un employé exécute
habituellement un travail au cours duquel sa tenue de travail devient
mouillée ou contaminée par une substance dangereuse.
12.13
L’employé qui, pendant son travail, est habituellement exposé au
risque de heurt avec des véhicules en mouvement doit être protégé par l’un
des dispositifs suivants, nettement visible dans toutes les conditions
d’utilisation :
14.9
(1) L’appareil de manutention motorisé qui est utilisé régulièrement à
l’extérieur doit être muni d’un toit ou d’une autre structure pour protéger
l’opérateur des intempéries qui présentent un risque pour sa santé ou sa
sécurité.
14.45
(1) L’employeur doit veiller à ce que tout passage habituellement
utilisé par les appareils de manutention motorisés ou manuels ait : . . .
16.5
(4) L’employeur doit procéder à l’inspection de tout poste de secours au
moins une fois par mois et veiller à ce que le contenu de chacun soit tenu
propre, sec et en état d’utilisation.
19.2
L’employeur doit :
. .
.
c) vérifier à intervalles
réguliers l’échéancier prévu au plan de mise en oeuvre et, au besoin, le
modifier.
|
[emphasis
added]
[25]
It
is my view that the decision maker was correct in his interpretation of the
word “regularly” in that he rejected the restrictive interpretation proposed by
the Applicant and adopted a fair, large and liberal interpretation that would
be in keeping with the objectives of the Code. The Appeals Officer
noted that the Applicant relied on the analogy made by H.S.O. Chemiliuk, who
stated as follows (para. 69 of the Appeals Officer’s decision):
As
an example, a person who works in a wash bay area where his job entails the use
of water pressure washing equipment is likely to become wet on a regular
basis. In your example the wet clothing referred to would be as a result of
being caught in a rain or snow storm. As we know weather cannot be predicted
and rain and snow storms are intermittent in nature. The employees you refer
to may not be exposed to the threat of wet clothing for extended periods of time
and not on a regular basis.
[26]
In
my view, the Appeals Officer was correct to reject this interpretation of the
word. For to follow this inapt analogy to its logical conclusion, it would
imply that employees would be required to provide its employees with rain
protection gear, for instance. It is unlikely that Parliament would have intended
such a result. Rather, the statute clearly refers to hazardous substances and
the likelihood of workers regularly getting their clothes wet and contaminated
by these hazardous fluids and not by rain. These hazardous fuels include diesel
fuel, lubricating grease, antifreeze and/or hydraulic oils. Moreover, the
situation of the workers in question is far removed from that of a person
working in a car wash. Therefore, the Appeals Officer was correct to reject
this narrow interpretation of the word “regularly”.
[27]
I
now turn to the second word, the interpretation of which is in dispute. Like
“regularly”, there is no definition in the Regulations of the word
“contaminated.” The word appears in different places in the Regulations, none
of which provides a definition of the word itself. It can be found as
follows:
|
9.23 (1) A
shower room with a door fitted on the inside with a locking device and at
least one shower head for every 10 employees or portion of that number shall
be provided for employees who regularly perform strenuous physical work in a
high temperature or high humidity or whose bodies may be contaminated
by a hazardous substance.
9.38 No person
shall eat, prepare or store food
(a) in
a place where a hazardous substance may contaminate food, dishes or
utensils;
. . .
(c) in
any other place where food is likely to be contaminated.
9.44 (1) A
change room shall be provided by the employer where
. . .
(b) an
employee is regularly engaged in work in which his work clothing becomes wet
or contaminated by a hazardous substance.
(2) Where wet
or contaminated work clothing referred to in paragraph (1)(b)
is changed, it shall be stored in such a manner that it does not come in
contact with clothing that is not wet or contaminated.
(3) No
employee shall leave the work place wearing clothing contaminated by a
hazardous substance.
(4) Every
employer shall supply drying and cleaning facilities for the purpose of
drying or cleaning wet or contaminated clothing referred to in
paragraph (1)(b).
10.22 (1)
Compressed air shall not be used for cleaning clothing contaminated
with:
. . .
18.1 The
definitions in this section apply in this Part.
“contaminated
environment” means
. . .
18.4 (1) Every
employer shall establish written procedures and requirements that are to be
followed and met by employees involved in diving operations and that specify
which of those procedures and requirements
. . .
(b) are
to be implemented or met to counter any known hazards, including those
arising out of contaminated or potentially contaminated
environments, low visibility, hazardous water flow conditions and entrapment;
and
[…]
18.9 (1) Every
employer shall ensure that, for each dive, the dive team develops a dive plan
that identifies the surface and underwater conditions and hazards likely to
be encountered, including those arising from contaminated environments
and underwater pressure differentials, and that specifies
|
9.23
(1) Une salle de douches fermée par une porte munie d’un dispositif de
verrouillage par l’intérieur et équipée d’au moins une pomme de douche par
groupe de 10 employés ou moins doit être fournie aux employés qui exécutent
habituellement un travail physiquement ardu dans des conditions de chaleur ou
d’humidité élevée, ou qui risquent d’être contaminés par une substance
dangereuse.
9.38
Il est interdit de manger, de préparer ou d’entreposer des aliments :
a) dans un endroit où il
existe une substance dangereuse susceptible de contaminer les
aliments, la vaisselle ou les ustensiles;
. .
.
c) dans tout endroit où les
aliments risquent d’être contaminés.
9.44
(1) Un vestiaire doit être fourni par l’employeur dans les cas suivants :
. .
.
b) lorsqu’un employé exécute
habituellement un travail au cours duquel sa tenue de travail devient
mouillée ou contaminée par une substance dangereuse.
(2)
Les vêtements de travail mouillés ou contaminés visés à l’alinéa (1)b)
doivent, une fois enlevés, être conservés à l’écart des autres.
(3)
Il est interdit à un employé de quitter les lieux de travail avec des
vêtements contaminés par une substance dangereuse.
(4)
L’employeur doit fournir des installations pour sécher et laver les vêtements
mouillés ou contaminés visés à l’alinéa (1)b).
10.22
(1) L’air comprimé ne peut être utilisé pour nettoyer les vêtements contaminés
:
….
18.1
Les définitions qui suivent s’appliquent à la présente partie.
«
environnement contaminé » Selon le cas :
18.4
(1) L’employeur établit par écrit les méthodes et les exigences que doivent
observer les employés affectés aux activités de plongée et précise :
. .
.
b) lesquelles doivent être
appliquées ou respectées afin de contrer les dangers connus, y compris ceux
associés aux environnements contaminés ou potentiellement contaminés,
à une faible visibilité, aux courants dangereux et aux situations d’entrave;
[…]
18.9
(1) L’employeur veille à ce que l’équipe de plongée établisse un plan de
plongée pour chaque plongée. Ce plan énonce les conditions et les risques en
surface et sous l’eau susceptibles de survenir, y compris ceux reliés aux
environnements contaminés et aux différences de pression sous l’eau,
et précise :
|
[emphasis
added]
[28]
Relying
on the ordinary dictionary meaning of the word, I find nothing incorrect in the
approach adopted by the Appeals Officer where he relied on the Merriam
Webster’s Collegiate Dictionary to interpret the meaning of the word
contaminated as used in the Regulations. In addition, the Appeals
Officer did not err in law in ascribing a liberal and broad meaning in keeping
with the objectives of Parliament when it adopted this legislation. To do
otherwise as was urged by the Applicant who advocated the adoption of a
technical definition, would be to limit the intentions of Parliament to prevent
accidents and injury to health in the workplace.
[29]
To conclude
on this first issue, the Appeals Officer did not commit any legal error in his
interpretation of either of these words.
Were the Appeals
Officer’s findings made in a perverse or capricious manner without regard to
the evidence?
Standard of Review
[30]
It
is first necessary to determine the applicable standard of review of the Appeal
Officer’s decision. An analysis of the four factors of the pragmatic and
functional test set out in Dr. Q v. College of Physicians and Surgeons of
British Columbia, [2003] 1 S.C.R. 226 will determine the standard of review
to adopt.
i) Presence of a
privative clause or right of appeal
[31]
The
Code contains a strong privative clause, which suggests deference by the
Court. This matter was dealt with by the Federal Court of Appeal in Martin
v. Canada (Attorney General), 2005 FCA 156, [2005]
F.C.J. No. 752 (F.C.A.) (QL), at paragraphs 16 and 17, where Mr. Justice
Rothstein held as follows:
[…] In the case of decisions of appeals officers under the Code,
the privative clauses are worded in strong terms:
146.3 An appeals officer's decision is final and shall not
be questioned or reviewed in any court.
146.4 No order may be made, process entered or proceeding
taken in any court, whether by way of injunction, certiorari,
prohibition, quo warranto or otherwise, to question, review, prohibit or
restrain an appeals officer in any proceeding under this Part.
* * *
146.3 Les décisions de
l'agent d'appel sont définitives et non susceptibles de recours judiciaires.
146.4 Il n'est admis
aucun recours ou décision judiciaire -- notamment par voie d'injonction, de certiorari,
de prohibition ou de quo warranto -- visant à contester, réviser,
empêcher ou limiter l'action de l'agent d'appel exercée dans le cadre de la
présente partie.
[…] Where Parliament has
expressed itself in the strong terms it has in the Canada Labour Code,
I think it would be inconsistent for the courts to arrogate to themselves the
power to establish precedence for a tribunal to follow in respect of the interpretation
of its home statute.
(See also Canadian Assn. of
Industrial, Mechanical and Allied Workers, Local 14 v. Paccar of Canada Ltd., [1989]
2 S.C.R. 983 at para. 19).
ii) Relative expertise
[32]
The
Code recognizes Health and Safety Officers as specialized decision
makers. Appeal Officers likewise now enjoy all the powers of Health and Safety
Officers and as such, this Court should not intervene unless the decision can
be shown to have been made in a patently unreasonable manner. In this regard,
my colleague, Mr. Justice Rouleau said it best in Vancouver Wharves Ltd. v.
Canada (Attorney General), [1998] F.C.J. No. 943 (F.C.T.D.) (QL) at
paragraph 17:
[…] The Regional Safety Officer is a specialized
decision maker and those findings which rest squarely within his expertise are
to be given a great deal of deference and should not be interfered with unless
they are made in a perverse or capricious manner or without regard to the
evidence.
iii) Purpose of
the statute
[33]
The
purpose of the Canada Labour Code is to prevent accidents and injury to
health in the workplace. Thus the Code is preventive in nature. That is
why this Court must give the broadest interpretation to terms that are consistent
with the facts of the case. This is particularly true, where as in this case,
the Code is silent on the definition of terms that are substantive
issues. This factor however, implies less deference.
iv) Nature of the
Question
[34]
Where
the question is based on purely factual considerations, the Court must accord
greater deference with respect to the impugned decision. However, where the
issues are of mixed fact and law, deference will be less pronounced. Finally,
legal questions would invite the Court’s intervention. It is clear that on this
issue, the Appeal Officer based his decision on facts and indeed the lack of
facts with respect to his findings on the investigation carried out by the H.S.O.
[35]
Applying
this pragmatic and functional analysis to the decision under review, the Court
adopts the standard of review of patent unreasonableness. Not only is there a
strong privative clause, suggesting Parliament’s intent to keep judicial
interference at bay, but also the Appeals Officer enjoys statutory sanctioned
expertise in the area of occupational health and safety. In addition, the
purpose of the Code is preventive and remedial in nature, inviting a liberal
judicial approach to a review of the Appeal Officer’s decision. Consequently,
unless the findings of the Appeals Officer were made in a perverse or
capricious manner without regard to the evidence, this Court will not
intervene. In this, I agree with the submissions of counsel for both the
Applicant and the Respondent on the issue of standard of review (Martin v. Canada (Attorney General), [2005] 4 F.C.R. 637 (C.A.) at paragraph 18).
[36]
In
the case at bar, I agree with the Applicant’s submission that the upholding of item
2 of the H.S.O’s direction pursuant to section 9.44 of the Regulations by the
Appeals Officer is patently unreasonable for the following reasons: the H.S.O. had
stated:
[…]
During the operation and maintenance of equipment clothing is frequently
contaminated by hazardous products such as diesel fuel, lubricating grease,
antifreeze and hydraulic oils. […]
Further on, he had concluded
that:
[…]
The employer has failed to provide a change room and separate storage area to
ensure protection of employees exposed to wet or contaminated work clothing
(decision of the Appeals Officer, Appendix A).
Yet, the Appeals Officer
writes at paragraphs 111, 112 and 113 of his decision:
[111] From
my examination of paragraph 9.44 (1)(b), I note that this paragraph only
requires the employer to provide a change room, as opposed to a separate change
room. The term "change room" is defined as follows in Part I, Interpretation,
of the COHSR:
1.2 In these Regulations,
…
"change
room" means a room that is used by employees to change from their street
clothes to their work clothes and from their work clothes to their street
clothes, and includes a locker room; (vestiaire)
[112] Similarly,
subsection 9.44(2) of the COHSR states that wet or contaminated clothing referred
to in paragraph 9.44 (1)(b) must be stored in a manner that prevents it from
coming into contact with clothing that is not wet or contaminated. However,
this subsection does not specify that a separate storage room must be provided
as specified by HSO Noel in his direction.
[113] With
regard to the question of whether or not the work clothing of the machine
operators was contaminated by a hazardous substance such that paragraph 9.44(1)(b)
applies, the facts are that HSO Noel relied on what he observed regarding
stains on employee work clothes and what employees told them regarding the work.
While he used the MSDS sheets for confirming that diesel fuel, lubricating
grease, antifreeze and hydraulic oils met the definition of a hazardous
substance, he did not conduct any tests, or require CPR to provide him with a
copy of the proper hazard assessment completed in accordance with subsection
10.4(1) of the COHSR and the definition of a hazardous substance in section 122(1)
of the Code. Therefore, HSO Noel was not in a position to independently
establish that the quantities of product present on the employees work clothing
were sufficient to render the clothing contaminated or unfit to wear.
[emphasis
added]
Then, he confirms item 2
of the direction issued by H.S.O. Noel (paragraph 121 of the Decision dated
November 30, 2005). This is a flagrant contradiction that warrants the
intervention of this Court.
Did the Appeals Officer
breach the rules of natural justice or procedural fairness by failing to give
the Applicant an opportunity to make submissions and be heard on the concerns
regarding the hazard investigation as stipulated in section 10.4 of the
Regulations?
Standard of Review
[37]
While
the standard of review of patent unreasonableness applies to the Appeal
Officer’s substantive direction, this standard of review does not apply to
breaches of the rules of natural justice and questions of procedural fairness.
In this regard, I agree with the submissions of counsel for the Applicant on
this question when he relies on Mr. Justice Linden’s ruling in Sketchley v. Canada (Attorney
General),
[2005] F.C.J. No 2056 (F.C.A.) (QL), 2005 FCA 404, which bears repeating in
its entirety:
[52] Second, the distinction between judicial review
on the grounds of breach of procedural fairness, and the standard of review in
other cases of substantive judicial review, must be recognized, as the
pragmatic and functional approach properly applies only to the latter. Although
Dr. Q appears to have implied that the pragmatic and functional analysis
must be applied in every case of judicial review, this is not so; the Supreme
Court's comments in Canadian Union of Public Employees v. Ontario (Minister of Labour), [2003] 1 S.C.R. 539,
2003 SCC 29 [CUPE], released shortly after Dr. Q, clarifies the matter.
In CUPE, Justice Binnie explained as follows the interaction between procedural
fairness and the pragmatic and functional standard of review analysis:
100 ... It is for the courts, not the Minister, to provide
the legal answer to procedural fairness questions. It is only the ultimate
exercise of the Minister's discretionary s. 6(5) power of appointment itself
that is subject to the "pragmatic and functional" analysis, intended
to assess the degree of deference intended by the legislature to be paid by the
courts to the statutory decision maker, which is what we call the "standard
of review".
[…]
102 The content of procedural fairness goes to the manner
in which the Minister went about making his decision, whereas the standard of
review is applied to the end product of his deliberations.
103 On occasion, a measure of confusion may arise in
attempting to keep separate these different lines of enquiry. Inevitably some
of the same "factors" that are looked at in determining the
requirements of procedural fairness are also looked at in considering the
"standard of review" of the discretionary decision itself... . The
point is that, while there are some common "factors", the object of
the court's inquiry in each case is different. [emphasis in the original]
(See also Bastarache, J.'s dissenting opinion in CUPE at
para. 5, in which he agreed with the majority that procedural fairness and
standard of review analysis are different inquiries which "proceed
separately and serve different objectives," and that with respect to
procedural fairness, "there is no need to determine a degree of
deference".)
[53] CUPE directs a court, when reviewing a decision
challenged on the grounds of procedural fairness, to isolate any act or
omission relevant to procedural fairness (at para. 100). This procedural
fairness element is reviewed as a question of law. No deference is due. The
decision-maker has either complied with the content of the duty of fairness
appropriate for the particular circumstances, or has breached this duty.
[54] CUPE thus makes clear that a given decision may
be reviewed both in terms of procedural fairness and according to the pragmatic
and functional standard of review, with respect to different aspects of the
decision (the procedural decision-making versus the substantive final
decision). Procedural fairness concerns the manner in which the decision is
made. The duty applicable in a given context will be determined according to
the factors set out in Baker v. Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R. 817
at paras. 21-28 [Baker] and Suresh v. Canada (Minister of Citizenship
and Immigration), [2002] 1 S.C.R. 3, 2002 SCC 1 at para. 115 [Suresh],
amongst other cases. If the duty of fairness is breached in the process of
decision-making, the decision in question must be set aside. By contrast, the
normal standard of review analysis concerns only the final substantive
decision, and this standard of review is determined according to the pragmatic
and functional analysis.
[55] This approach of separating procedural fairness
from the standard of review inquiry accords with several of this Court's
judgments in the context of the Commission's decisions under section 44(3).
These decisions have emphasized precisely this distinction between procedural
fairness and standard of review. For example, in Tahmourpour, supra,
Evans J.A. explained the standard of review as follows:
[…]
7 A reviewing court owes no deference in determining the
fairness of an administrative agency's process ... Nonetheless, the court will
not second guess procedural choices made in the exercise of the agency's
discretion which comply with the duty of fairness.
[38]
Applying
the Sketchley analysis to the case at bar, the Court may set
aside the Appeals Officer’s decision if the decision violated the rules of
procedural fairness. The Applicant argues that the Appeals Officer’s decision
should be set aside because the Appeals Officer failed to give the Applicant an
opportunity to make submissions or to be heard on his concerns regarding the
possible contravention of section 10.4 of the Regulations.
[39]
Counsel
for the Respondent counters that the Appeals Officer was under no duty to
provide a party with an opportunity to make submissions with respect to a draft
or provisional remedial order or direction prior to issuing the final order or
direction.
[40]
It
is clear that the Appeals Officer breached paragraph 146.2(h) of the Code
in that he failed to give the parties an opportunity to present evidence and
make submissions and to consider the information relating to section 10.4 of
the Regulations.
[41]
The
Applicant submits that it did take steps to investigate and adopt measures in
light of the Respondent’s allegations. The Applicant was not afforded an
opportunity to respond to the section 10.4 concerns raised by the Appeals
Officer prior to the release of his decision. This prevented the Applicant from
possibly expanding on its submissions regarding the assessment the employer
undertook upon receiving the complaint from the Respondent.
[42]
The
Applicant states as follows at paragraphs 18 to 21 of the Applicant’s
Memorandum of Fact and Law:
18.
In response to the allegation that the Applicant had contravened the Code
and relevant COHSR provisions by failing to provide surfacing crews with
a separate room, the Applicant formed a joint sub-committee of the Health and
Safety Committee (the “H&S Sub-Committee”) to specifically address the
matter. The H&S Sub-Committee conducted a hazard assessment to determine
whether the Applicant was required by the Code and COSHR to
provide a separate change room for surfacing crews.
19.
The H&S Sub-Committee issued a hazard assessment report (the “H&S
Hazard Assessment”), signed by Mr. Chris Kane, Safety Advisor and Industrial
Hygienist with the Applicant. The H&S Hazard Assessment concluded that a
surfacing crew employee is not regularly engaged in work in which his clothing
becomes wet or contaminated by a hazardous substance and therefore, the
Applicant is not required to provide a change room for its surfacing crew
employees pursuant to section 9.44.
20.
The H&S Hazard Assessment included a recommendation that smaller surfacing
crew employees be given another option, separate from their hotel room to store
their work clothes. These other options included storing work clothes in a CPR
vehicle, section house, at the worksite, or in another hotel room.
21.
On or about March 19, 2002, the Applicant implemented the following measures in
response to the H&S Hazard Assessment:
a)
surfacing crew
employees were instructed to report to a nearby station facility at any time
during or after their shift to change into clean clothing in the event their
clothing became contaminated;
b)
surfacing crew
employees were provided with disposable coveralls for heavy repairs; and
c)
diesel refuelling
equipment was equipped with a nozzle designed to prevent spills such as those
found at gas stations.
[43]
Notwithstanding,
a review of the Appeals Officer’s decision reveals that there is some dispute
in this matter. The Appeals Officer did consider the H&S Hazard Assessment
and more specifically at paragraphs 19 to 34. Based on the testimony of Mr.
Rubert, Manager, Engineering Services for CPR, to whom the report of Mr. Kane
was submitted, it was recommended that surfacing crews be given a place
separate from their hotel room to store their work clothes. This recommendation
was not implemented (Appeals Officer’s decision at para. 26).
[44]
For
guidance on an appropriate remedy, I must turn to the Supreme Court of Canada
in its seminal decision on the content of procedural fairness as set out in Baker
v. Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R. 817. Writing
for the majority, Madam L’Heureux-Dubé established a non exhaustive list of
factors to consider when determining whether the procedures followed respected
the duty of fairness. The Court held as follows:
¶
23 Several factors have been recognized in the jurisprudence as relevant
to determining what is required by the common law duty of procedural fairness
in a given set of circumstances. One important consideration is the nature of
the decision being made and the process followed in making it. In Knight,
supra, at p. 683, it was held that "the closeness of the administrative
process to the judicial process should indicate how much of those governing
principles should be imported into the realm of administrative decision
making". The more the process provided for, the function of the tribunal,
the nature of the decision-making body, and the determinations that must be
made to reach a decision resemble judicial decision making, the more likely it
is that procedural protections closer to the trial model will be required by
the duty of fairness. See also Old St. Boniface, supra, at p. 1191; Russell
v. Duke of Norfolk, [1949] 1 All E.R. 109 (C.A.), at p. 118; Syndicat
des employés de production du Québec et de l'Acadie v. Canada (Canadian Human Rights Commission), [1989] 2 S.C.R. 879, at p. 896, per
Sopinka J.
¶
24 A second factor is the nature of the statutory scheme and the
"terms of the statute pursuant to which the body operates": Old
St. Boniface, supra, at p. 1191. The role of the particular decision within
the statutory scheme and other surrounding indications in the statute help
determine the content of the duty of fairness owed when a particular
administrative decision is made. Greater procedural protections, for example,
will be required when no appeal procedure is provided within the statute, or
when the decision is determinative of the issue and further requests cannot be
submitted: see D. J. M. Brown and J. M. Evans, Judicial Review of Administrative
Action in Canada (loose-leaf), at pp. 7-66 to 7-67.
¶
25 A third factor in determining the nature and extent of the duty of
fairness owed is the importance of the decision to the individual or
individuals affected. The more important the decision is to the lives of those
affected and the greater its impact on that person or those persons, the more
stringent the procedural protections that will be mandated. This was expressed,
for example, by Dickson J. (as he then was) in Kane v. Board of Governors of
the University of British Columbia, [1980] 1 S.C.R. 1105, at p. 1113:
A
high standard of justice is required when the right to continue in one's
profession or employment is at stake ... . A disciplinary suspension can have
grave and permanent consequences upon a professional career.
As
Sedley J. (now Sedley L.J.) stated in R. v. Higher Education Funding
Council, ex parte Institute of Dental Surgery, [1994] 1 All E.R. 651
(Q.B.), at p. 667:
In
the modern state the decisions of administrative bodies can have a more
immediate and profound impact on people's lives than the decisions of courts,
and public law has since Ridge v. Baldwin [1963] 2 All E.R. 66, [1964]
A.C. 40 been alive to that fact. While the judicial character of a function may
elevate the practical requirements of fairness above what they would otherwise
be, for example by requiring contentious evidence to be given and tested
orally, what makes it "judicial" in this sense is principally the
nature of the issue it has to determine, not the formal status of the deciding
body.
The
importance of a decision to the individuals affected, therefore, constitutes a
significant factor affecting the content of the duty of procedural fairness.
¶
26 Fourth, the legitimate expectations of the person challenging the
decision may also determine what procedures the duty of fairness requires in
given circumstances. Our Court has held that, in Canada, this doctrine is part
of the doctrine of fairness or natural justice, and that it does not create
substantive rights: Old St. Boniface, supra, at p. 1204; Reference re
Canada Assistance Plan (B.C.), [1991] 2 S.C.R. 525, at p. 557. As applied
in Canada, if a legitimate expectation is found to
exist, this will affect the content of the duty of fairness owed to the
individual or individuals affected by the decision. If the claimant has a
legitimate expectation that a certain procedure will be followed, this procedure
will be required by the duty of fairness: Qi v. Canada (Minister of Citizenship and
Immigration) (1995), 33
Imm. L.R. (2d) 57 (F.C.T.D.); Mercier-Néron v. Canada (Minister of National Health and
Welfare) (1995), 98
F.T.R. 36; Bendahmane v. Canada (Minister of Employment and Immigration),
[1989] 3 F.C. 16 (C.A.). Similarly, if a claimant has a
legitimate expectation that a certain result will be reached in his or her
case, fairness may require more extensive procedural rights than would
otherwise be accorded: D. J. Mullan, Administrative Law (3rd ed. 1996), at pp.
214-15; D. Shapiro, "Legitimate Expectation and its Application to
Canadian Immigration Law" (1992), 8 J.L. & Social Pol'y 282, at p.
297; Canada (Attorney General) v. Human Rights Tribunal Panel (Canada)
(1994), 76 F.T.R. 1. Nevertheless, the doctrine of legitimate expectations cannot
lead to substantive rights outside the procedural domain. This doctrine, as
applied in Canada, is based on the principle that the
"circumstances" affecting procedural fairness take into account the
promises or regular practices of administrative decision-makers, and that it
will generally be unfair for them to act in contravention of representations as
to procedure, or to backtrack on substantive promises without according
significant procedural rights.
¶
27 Fifth, the analysis of what procedures the duty of fairness requires
should also take into account and respect the choices of procedure made by the
agency itself, particularly when the statute leaves to the decision-maker the
ability to choose its own procedures, or when the agency has an expertise in
determining what procedures are appropriate in the circumstances: Brown and
Evans, supra, at pp. 7-66 to 7-70. While this, of course, is not
determinative, important weight must be given to the choice of procedures made
by the agency itself and its institutional constraints: IWA v.
Consolidated-Bathurst Packaging Ltd., [1990] 1 S.C.R. 282, per Gonthier J.
[45]
In
applying the five factors to the case at bar, I come to the following
conclusions. First, with respect to the nature of the decision, procedural
protections close to the trial model would not be required by the duty of
fairness in this instance. As set out clearly in section 146.2, the powers of
the Appeals Officer is discretionary and are remedial at their root. This is
quite unlike the quasi judicial decision making process of the Canadian Human
Rights Commission, as set out in Radulesco v. Canada (Canadian Human Rights
Commission), [1984] 2 S.C.R. 407 to which the Applicant has referred me.
[46]
Second,
the statutory scheme and the "terms of the statute pursuant to which the
body operates" reveal that there is a strong privative clause and no right
of appeal. As such, great procedural protection would be required to protect
the rights and interests of the Applicant. Third, it can be said that the
outcome of the decision is of great importance to the Applicant. As a corporate
citizen that prides itself in taking care of its customers, as well as its
employees, to have not been given an opportunity to defend itself against the
concerns and misgivings of the Appeals Officer with respect to the hazard
assessment investigation is a breach of the duty of fairness.
[47]
The
fourth point in the Baker list of factors, legitimate expectation can be
said to exist. In light of the clear indications in the Code and the
prior assessment undertaken by the Applicant, who would harbor the legitimate
expectation that it would be given an opportunity to plead evidence and make
submissions on the new contraventions found by the Appeals Officer.
[48]
Finally,
the duty of fairness is limited by the fact that the Code grants full
power to the Appeals Officer to choose the procedure to guide his
deliberations. However, this discretion is not absolute for as stated in paragraph
146.2(h) (see paragraph [20] above), once the procedure to be followed
has been established, the officer is compelled to give an opportunity to the
parties to present evidence and make submissions to the officer.
[49]
In
light of these five factors, I find that once the Appeals Officer had exercised
his discretion regarding the procedures to follow, he had a duty of procedural
fairness to solicit the submissions of the parties. He did not.
[50]
Therefore,
I agree with the Applicant’s submission that there has been a breach of
procedural fairness. This matter should be sent back to another Appeals Officer
for rehearing.
JUDGMENT
THIS COURT ADJUDGES that:
1. The application for
judicial review is allowed.
2. The directions of the
Appeals Officer are set aside.
3. The matter is remitted
back to another Appeals Officer for redetermination.
4. The applicant is
entitled to its costs as per Tariff B, mid Column III.
“Michel Beaudry”