Date: 20100414
Docket: IMM-240-09
Citation: 2010 FC 403
BETWEEN:
JOSE
VALLE LOPES
Applicant
and
THE MINISTER OF CITIZENSHIP
AND IMMIGRATION
Respondent
REASONS FOR JUDGMENT
O’KEEFE J.
[1]
This
is an application pursuant to subsection 72(1) of the Immigration and
Refugee Protection Act, S.C. 2001, c. 27 (the Act) for judicial review of a
negative admissibility decision and a deportation order issued by the
Immigration Division of the Immigration and Refugee Board, (the Board), dated
December 30, 2008. The Board found the applicant to be described in paragraph
35(1)(a) of the Act and thus inadmissible to Canada.
[2]
The
applicant requests that the matter of his admissibility be stayed, or in the
alternative, remitted to the Immigration Division for redetermination.
Overview of Case Before
the Board
[3]
This
case focuses on events which occurred primarily in Honduras in the early
1980s. The precise nature of the events that occurred and the applicant’s level
of involvement or complicity in them were the subjects of dispute before the Board.
[4]
What
is known is that the applicant is a citizen of Honduras. He joined
the army in 1973 at the age of 15 and remained with the military until 1984. He
left Honduras in 1985, entered Canada on a Minister’s permit and has resided in Canada since then.
[5]
The
matter was referred to the Immigration Division by the Minister’s Delegate on
February 24, 2003 in order to determine whether the applicant was inadmissible
to Canada on the grounds that he is described in paragraph 35(1)(a) of the Act.
The referral was based on an officer’s report (the section 44 report) which
alleged that there are reasonable grounds to believe that the applicant
committed offences under sections 4 to 7 of the Canadian Crimes Against
Humanity and War Crimes Act, S.C. 2000, c. 24.
[6]
The
section 44 report stated that the applicant publicly admitted to having
voluntarily joined the Directorate of Special National Investigations for Honduras (DIN, also
referred to as Battalion 3-16) from 1980 to 1984 and that during this period,
he participated in acts of kidnapping and torture against a civilian
population. A principal piece of evidence was the English transcript of a CBC television
show, “Man Alive”, which aired on January 19, 1988 titled, “Story of a Torturer”
featuring the applicant.
Background
[7]
In
the early 1980s, several changes occurred within the Honduran army. This was
due in part to the assistance and support the Honduran government received from
the United
States
to wage war against communist and leftist threats in the region. According to
U.S. Congress Country studies, by the early 1980s, Honduras’s Public
Security Force (FUSEP), a branch of the armed forces, had a complex
organizational structure and had its own investigative unit, DIN or Battalion
3-16. The unit, according to a former member, was led by Major Alexander
Hernandez in 1982 and was comprised of four sections: personnel, intelligence
and counter-intelligence, operations and analysis and supplies. The operations
section contained a kidnapping group and an interrogation section.
[8]
The
applicant admits joining the army’s G-2 military intelligence unit in the late
1970s and being involved in information gathering and confirmation. At the
admissibility hearing, he testified that he was never part of Battalion 3-16
and that at all times he was unaware of any of the things that units other than
his own were doing. He claims that while at G-2, his job was restricted to
information gathering.
[9]
The
respondent Minister alleges that the applicant joined Battalion 3-16 or its
predecessor voluntarily. Battalion 3-16 was essentially a military death squad
that tortured and murdered civilians. According to the testimony of former
members of Battalion 3-16, several members were sent to the U.S. for training
in interrogation techniques by the C.I.A. They testified that although the
C.I.A. rejected torture, General Alvarez, who oversaw DIN or Battalion 3-16 and
was later the Armed Forces Chief of Staff, disagreed and promoted its use.
[10]
Battalion
3-16 operated as follows. Major Hernandez would give orders to investigate,
watch and follow people. After the investigation was completed, the results
would be communicated to Hernandez by telephone. If the subject was working for
a left-wing group or trafficking in arms, Hernandez would authorize the
kidnapping section to move in. After abduction, the victim would be turned over
to the interrogation group whose techniques included electric shock, a rubber
hood, cold water, near drowning and food deprivation. Members trained by the
C.I.A. in psychological methods of interrogation were under orders by General
Alvarez to only use those methods and let others conduct the torture. Hernandez
rarely let anyone go after interrogation, but sometimes discussed a case with
his superiors such as General Alvarez. The victim would usually be turned over
to the execution team which was made up of prisoners from the Central
Penitentiary who were serving long sentences and forced to work with Battalion
3-16.
[11]
General
Alvarez was ousted from his position in 1984 and fled the country. A former
member of Battalion 3-16 testified that Major Hernandez left at the same time
and that after their departure, kidnapping activity decreased significantly.
Before then, there were two or three operations per day. Various reports
indicate that the unit was involved in the disappearance of 100 to 150
individuals between 1981 and 1984. There was also evidence that Battalion 3-16,
often ignored or mocked civilian judges attempting to carry out writs of habeas
corpus on the missing persons.
The Section 44 Report
[12]
The
report included evidence that the applicant first worked in surveillance and
then moved into the kidnapping unit of Battalion 3-16. In “Story of a Torturer”,
the applicant is interpreted as saying:
We were given courses on surveillance… We
went to the city to do actual practices, real interrogation, real torture… I
repeatedly asked for a transfer. It was denied. We were told that once in the
task force, there was no way out. We knew too much.
[13]
The
transcript also includes the applicant discussing his misgivings about the work
the unit did, but that their training prepared them psychologically and
brainwashed them, turning them into machines with no feelings, no sorrow, no
pity. They would sometimes laugh at the sight of someone being tortured. He is
interpreted as saying: “Those persons captured by the [unit] never-never got
out of there alive” and discussing how even children became victims of the
unit. He also discussed his departure, saying that he feared his own squad
would kill him and he fled to Mexico with the help of a human rights
organization. Looking back, he is interpreted as saying:
I have always admitted that I was a
member of the army, that I was a torturer. This is what I was. I could have
come to this country lying, saying that I was a communist. It would have been
easier.
He also indicated that had he known from
the start what he would be involved in, he never would have joined the army.
[14]
The
other important pieces of evidence implicating the applicant were a Baltimore Sun article
from June 13, 1995 and a Toronto Life article from March 1989. The Baltimore Sun article
implicated the applicant specifically, discussing his favourite torture
techniques and discussing his working relationship with Hernandez. The Toronto
Life article entitled “The Torturer’s Tale” by Keith Atkinson, confirmed his
work with Battalion 3-16 and discussed orders received from General Alvarez to
torture or kill children in front of their parents. The article also discussed
his inability to leave the unit without being killed. The article also includes
his evidence regarding how he helped someone escape and then became a target of
Battalion 3-16 himself and how he subsequently escaped.
The Res Judicata/Issue
Estoppel Application
[15]
The
admissibility hearing was adjourned on January 26, 2005 for the Board to
consider counsel’s motion that the hearing be quashed or in the alternative,
that it be adjourned pending a decision by the Canadian government to release
relevant material. The applicant argued that the matter of his paragraph
35(1)(a) inadmissibility should be declared res judicata, given that
Canadian authorities were fully aware of all of the facts relating to the
commission of crimes against humanity, but admitted him in 1985 as a Convention
refugee nevertheless. To further establish this, the applicant sought to have the
Canadian government release the relevant documents it had pertaining to his
entry in 1985.
[16]
The
applicant gave the following testimony under oath on January 26, 2005 when
questioned by his counsel. He was interviewed for three days at the Canadian
Embassy in Mexico, in April of
1985. When asked if he recalled the “Man Alive” show, he
respondent by saying: “Yes, I remember because all what was said there was my
declaration at the Embassy in Mexico.” When asked if anything was said during
the “Man Alive” interview that was not said to Canadian
government officials at the Embassy in 1985, he replied: “All what I said at
the Embassy in Mexico was repeated to in the program, Man Alive.”
[17]
The
Board dismissed the applicant’s motion, saying that the Minister’s permit in
1985 did not qualify as a final decision by a court of competent jurisdiction.
The Board would not rule on whether the information used by the Minister was
the same information it had in 1985.
Application under Section
38 of the Canada Evidence Act
[18]
Despite
the Board’s rejection of the res judicata motion, the applicant
continued to seek the Canadian government’s acknowledgement that it had full
knowledge of all relevant matters at the time it granted the applicant a
Minister’s permit.
[19]
The
applicant notified the Attorney General, with a letter dated May 26, 2005,
pursuant to subsection 38.01(1) of the Canada Evidence Act, R.S.C. 1985,
c. C-5, that he intended to present sensitive information at the admissibility
hearing described in that section of the Act. The letter cited 13 areas of
testimony including: how the applicant was trained to commit crimes against
humanity, the involvement of U.S. agencies, training materials (including the
C.I.A. torture manual), how he arranged to come to Canada, evidence that the
Canadian government was aware that he had committed crimes against humanity and
his debriefing at the Canadian Embassy.
[20]
On
October 13, 2005, Gerard Norman, the general counsel for the National Security
Group of Justice Canada, responded with a letter authorizing the disclosure of
all the information referred to in the applicant’s notice, but limited the
authorization to those listed items, since “…the Attorney General of Canada
cannot make a decision with respect to the disclosure of information for which
he is unaware.”
[21]
The
applicant replied that the documents were in the government’s custody, not the
applicant’s. The applicant was of the position that disclosure of the documents
was a breach of national security and sought a declaration from the Federal
Court that the government was under a statutory duty under paragraph
38.04(2)(a) of the Canada Evidence Act to bring an action.
[22]
In
Lopes v. Canada (Attorney General), 2006 FC
347, [2006] F.C.J. No. 436, Chief Justice Lutfy struck the application. The
primary reason was because the Attorney General had consented to the disclosure
of all the information set out in the section 38.01 notice. The Chief Justice
indicated that the application was clearly not the intended use of paragraph
38.04(2)(a) and opened his reasons by stating that the application was “… so
clearly improper as to be bereft of any possibility of success.” The Federal
Court of Appeal affirmed this ruling in Lopez v. Canada (Attorney
General),
2007 FCA 109, [2007] F.C.J. No. 401.
Admissibility Hearing
Resumes in 2008
[23]
Contrary
to what the applicant stated to the Attorney General when he began testifying
at the resumed hearing in 2008, he denied any involvement with Battalion 3-16
and any personal knowledge of its atrocities or crimes against humanity beyond
what was generally known to the public.
[24]
The
hearing in 2008 was conducted on five days between March 31 and May 21. On the
first day, the applicant testified extensively about the events in question. He
confirmed that he joined the Honduran army in 1973, but stated that he was
trained in the United States and Panama to work in an anti-narcotics
unit that was part of the war on drugs. He stated that he was part of the G-2
military intelligence unit and mentioned that he asked for transfers but was
denied. Senior officers told him the only way to leave was by death. He was
finally transferred on December 20, 1984 shortly before he was detained by the
police or military on December 24. He attributed his arrest to his requests to
leave the narcotics unit that were interpreted as presenting a risk of
betrayal. He was taken to a sugar cane farm and made to ingest an insecticide.
Later he was taken to uniformed police who were told he was found drunk. When
the police went to investigate a nearby shooting, he was able to escape. He
travelled to Tegucigalpa, four hours
away, and was treated by a doctor. A friend then took him to a safe house where,
with the help of the Honduran Human Rights Commission, he was able to get
asylum in the Mexican Embassy and a safe conduct pass to travel to Mexico.
[25]
At
the second day of the hearing, he said he had been tricked into taking the
military intelligence course, having been told that the course was about
agrarian reform. He also testified that his section head with G-2 was Captain
Alexander Hernandez and that he worked at G-2 headquarters in Tegucigalpa until his
transfer in 1984.
[26]
At
the third day of the hearing, he testified about specific assignments he
carried out. He testified that all the assignments in question involved
information gathering, sometimes regarding individuals with communist ideology,
but that he did not participate in any arrests, as this work was always done by
the operative group.
[27]
At
the fourth day of the hearing, he testified that while on assignment at SANA, the
national water authority, in February of 1984 he befriended a union president.
When the union president was later kidnapped, he told his family where he was
being held, by whom, and that they should go to court to ask for habeas
corpus. The union president was released but later taken again. In November
of 1984, he asked his group chief for a transfer out of G-2. To protect himself,
he took some documents and stashed them with a local farmer. His group chief suspected
that some documents had disappeared and had the applicant’s house ransacked. In
the last week of November 1984, he was given his transfer. After his arrival in
Canada, Canadian
officials were able to retrieve the documents he had stashed.
[28]
He
stated that he wanted to leave G-2 because he did not agree with what was
happening. Although he was only involved in information gathering, he was
surprised to notice that some people he interviewed were then detained. He did
not know what the other sections were doing. They kept information from him,
while using him as a conduit for information leading to arrests.
[29]
He
recounted his attempted arrest as follows. He was at his mother’s house shortly
after receiving his transfer when a police officer came to the door. When he
declined to go with the officer, seven more officers showed up and took him to
a sugar cane field and forced him to drink pesticide to make his death look
like a suicide. After escaping from the police station, as described above, he
said that he took a cab to the local hospital, paying for the ride with his
watch. The doctor told him that four uniformed officers were looking for him,
so he left. He then went to a relative’s house and borrowed some money to take
a bus to Tegucigalpa.
The Board’s Decision
[30]
In
its 34 page decision, the Board recounted the background events and evidence
described above in much greater detail.
[31]
The
Board concluded that the applicant had not been truthful at all times. This was
due to the applicant’s testimony under oath on January 26, 2005 that everything
that was said on “Man Alive” was told to Canadian officials. Those statements
were an admission of having participated in kidnappings, enforced
disappearances, imprisonment without judicial oversight, torture, inhumane acts
and murder. This version of events was used in support of a res judicata
application and the application to this Court under section 38 of the Canada
Evidence Act. In the 2008 hearing, the applicant then denied having
admitted to any wrongdoing during any of the media interviews. He attributed
the incriminating statements in the press and on the television show to poor
translation. The Board did not find this explanation credible, given his free
and voluntary affirmation of the statements to the Attorney General, Federal
Court and Federal Court of Appeal. His later recantation is likely due to a
tactical retreat when he failed to have the admissibility hearing ended.
[32]
The
Board also did not find it plausible that independent interviews given to three
different media outlets in three different years saying substantially the same
thing are all wrong in pith and substance because of faulty interpretation. If
the applicant was concerned about the substance of the media reports, he failed
to complain in a timely fashion. He then tried to use base legal applications
to stop the admissibility hearing on the grounds that the media articles
conveyed an accurate presentation of events. The Board concluded that more
weight should be given to the applicant’s previous admissions than to his
subsequent recantations.
[33]
The
Board noted other inconsistencies in the applicant’s 2008 testimony. The Board
noted that at one point, he stated that he worked for an anti-narcotics unit
within G-2, yet at another point he indicated that he worked in the area of
confirmation of information within G-2. While he denied having worked for Battalion
3-16, he admitted that he worked for DIN, after being transferred to G-2.
According to evidence of former members, Battalion 3-16 had been referred to by
different names at different times. The Board concluded at page 29:
The description of the [applicant’s]
chain of command and his duties, coupled with the admission that he worked for
G-2 military intelligence in the special investigations directorate led by
Hernandez is consistent with the documentary evidence filed that indicates that
this unit became known as Battalion 3-16 sometime between 1982 and 1984. The
[applicant] was likely a member of the G-2 special investigations directorate
from 1977 until 1984.
[34]
The
Board also found as fact that the unit received instructions on interrogation
techniques from the U.S., but that the individuals who employed
psychological methods were separate from the individuals who employed torture. A
separate unit carried out the executions and between 100 and 150 people were
killed.
[35]
The
Board then quoted from the Velasquez Rodriguez case, judgment of July
29, 1988, Inter-Am.Ct.H.R. (Ser. C) No. 4 (1988), where the judge of the
Inter-American Court of Human Rights wrote:
The testimony and documentary evidence,
corroborated by press clippings, presented by the Commission, tend to show: a.
That there existed in Honduras from 1981 to 1984 a
systematic and selective practice of disappearances carried out with the
assistance or tolerance of the government; … c. That in the period in which
those acts occurred, the legal remedies available in Honduras were not appropriate or effective to
guarantee his rights to life, liberty and personal integrity.
…
Disappearances followed a similar
pattern, beginning with the kidnapping of the victims by force, often in broad
daylight and in public places, by armed men in civilian clothes and disguises,
who acted with apparent impunity and who used vehicles without any official
identification, with tinted windows and with false license plates or no plates.
[36]
The
Board also quoted from a Human Rights Watch report entitled “Honduras: The Facts
Speak for Themselves”, and an article from the Center for International Policy
which elaborated on the systematic disappearances and Battalion 3-16’s
involvement.
[37]
The
Board found that the documentary evidence establishes that the G-2 unit the
applicant worked with specialized in locating, interrogating and eliminating
people and that the applicant’s membership alone was sufficient to ground the
Minister’s claim.
Operations were carried out in an
organized and systematic manner that had a limited and brutal purpose that
would likely have been known to all members. The [applicant’s] testimony that
he investigated subjects without knowing what the other sections were doing is
not credible…. I am satisfied that his admitted work as an investigator is
sufficient for him to be considered as a member of a limited brutal-purpose
organization that committed crimes against humanity, even if he was never
personally involved with kidnapping and torture.
[38]
The
Board concluded that the applicant was a member of Battalion 3-16 and its
predecessor G-2 special investigation units.
[39]
The
Board went on to hold that even if Battalion 3-16 were not a limited brutal
purpose organization, the applicant was nonetheless complicit in crimes against
humanity. The Board cited the applicant’s length of service and rank in the
organization and his failure to leave as factors indicating his complicity in
the unit’s crimes. Thus, even if his testimony to the media was untrue, his
work confirming information for G-2 is sufficient to establish culpable
complicity. In addition, the Board concluded that the applicant, more likely
than not, personally committed crimes against humanity.
[40]
With
regards to the defence of duress, the Board acknowledged that the applicant
would have been killed if he had left without permission. However, the harm of
the evil threatened was not on balance greater than the evil inflicted on
victims. When the applicant did find himself in actual danger, he was able to
escape to the Mexican Embassy. The Board also noted that the circumstances
surrounding his defection were unclear, due to his conflicting accounts of the
events. In any event, the possibility of the applicant’s own death did not
justify a defence of duress given the greater harm inflicted on a number of
people.
Issues
[41]
The issues are as
follows:
1. Should
the paragraph 35(1)(a) allegations have been quashed because they were res
judicata or by application of the doctrine of issue estoppel?
2. Was
the paragraph 35(1)(a) proceeding an abuse of process?
3. Did
the Board err by applying paragraph 35(1)(a) retrospectively?
4. Did
the Board err in finding that the applicant was complicit in crimes against
humanity and in rejecting his defence of duress?
5. Should
this Court rule that the proceedings were procedurally unfair due to the
conduct of the applicant’s counsel?
Applicant’s Written Submissions
[42]
In
regards to issue estoppel, the Board was to consider whether the same issue had
been decided, whether the decision had been final and whether the parties were
the same (see Al Yamani v. Canada (Minister of
Citizenship and Immigration), 2003 FCA 482, [2003] F.C.J. No. 1931).
Instead, the Board simply found that the Minister’s permit was not a final
decision.
[43]
Section
34 of the former Immigration Act, R.S.C. 1985, c. I-2, read in part “No
decision given under this Act prevents the holding of a further inquiry by
reason of the making of another report…”. Al Yamani above, decided that
that sentence overrode the common law doctrine of res judicata. The Board
was required to consider whether the Act, with no similar provision, contains
the same meaning. Here, the member who adjudicated the res judicata
issue did not adequately apply Al Yamani above, to the applicant’s case.
Proper application would suggest that the issue of the applicant’s involvement
in human rights crimes was estopped.
[44]
The
applicant submits that the Minister’s permit in 1985 was given by a competent
government authority and the permit was renewed in 1986. Then he was
subsequently granted permanent resident status. Under these circumstances, the
decision should have been considered a “final decision”. It was final in the
sense that the parties agreed to the remedy.
[45]
The
cases where this Court has not found res judicata are cases where there
had been a flaw in the first proceeding, such as where the first proceeding did
not conclude or where the second proceeding was based on a different set of
facts. That was not the case here. Furthermore, the policy rationales noted by
the respondent on this issue fail to note another important consideration,
namely, the fairness issue of preventing “the hardship to the individual of
being twice vexed for the same cause”, especially regarding questions the
parties had an opportunity of raising.
[46]
Even
if the applicant does not succeed in his res judicata application, the
applicant submits that this inquiry was unfair and should be considered an
abuse of process. Judges should use their discretion to stay proceedings where
there is oppressive and unfair state decision making (see Connelly v. D.P.P.,
[1964] A.C. 1254, at page 1354).
[47]
The
applicant submits that in addressing the issue of abuse of process, the
question to be asked is whether the proceeding would violate those principles
which underlie the community’s sense of fair play (see R. v. Jewitt,
[1985] 2 S.C.R. 128, at paragraph 25). The doctrine of abuse of process engages
the inherent power of the court to prevent the misuse of its procedure in a way
that would be manifestly unfair to a party or bring the administration of
justice into disrepute (see Toronto (City) v. Canadian Union of Public
Employees (C.U.P.E.), Local 79, 2003 SCC 63, [2003] 3 S.C.R. 77, [2003]
S.C.J. No. 64 (QL) at paragraph 37). The CUPE Court also stated
that Canadian courts have applied the doctrine of abuse of process where the
strict requirements of issue estoppel are not met.
[48]
The
applicant submits that abuse of process may be established where: (i) the
proceedings are vexatious, and (ii) violate the principles of society’s sense
of fair play (see Blencoe v. British Columbia (Human
Rights Commission), 2000 SCC 44, [2000] 2 S.C.R. 307, 23 Admin. L.R. (3d)
175). The
two criteria are to be read cumulatively (see Charkaoui (Re), [2006] 3
F.C.R. 325, [2005] F.C.J. No. 2038 (QL) at paragraph 75). Here, the applicant
was determined to be a refugee by the UNHCR and granted the Minister’s permit.
Not only was his story known, but he was used by Canadian authorities for a
number of years as an informant. A letter from the Canadian Ambassador to Honduras confirms the
high regard for his evidence. At no time was he considered a threat. The
proceedings were then brought against him 18 years later, 16 years after the
CBC show and 15 years after the enactment of Bill C-71 which created the first
version of the currently applicable removal provision. This delay is
exacerbated by the fact that the applicant has been unable to get the interview
notes from his conversations with Canadian officials.
[49]
Abuse
of process is a more complex inquiry than the respondent suggests. The common
law doctrine of abuse of process has been subsumed into the principles of the
Charter (see Al Yamani above, at paragraph 24). Courts must therefore
assess the person’s psychological integrity, but even if the circumstances do
not amount to a Charter breach, the administrative remedy for abuse of process
must still be considered (see Blencoe above, at paragraph 55).
[50]
The
applicant submits that when considering whether a delay is so egregious that it
amounts to an abuse of process or is oppressive, one factor is whether the
person concerned had carried on thinking that his problems were behind him (see
Ratzlaff v. British Columbia (Medical Services Commission), [1996]
B.C.J. No. 36, 17 B.C.L.R. (3d) 336). The Al Yamani Court also noted
that the Minister’s litigation choice, length of time transpired and gravity of
the allegations were to be considered (paragraphs 26 to 39). The applicant
submits that he was prejudiced by the flaws in the CBC show and his inability
to get documents from the government. The applicant is prejudiced by the fact
that there was a complete absence of diligence in pursuing this matter in a
timely manner. His file seems to have fallen through the cracks for a number of
years. While section 33 of the Act allows inadmissibility inquiries to consider
events that have occurred in the past, there is nothing stating that this
inquiry can be done regardless of how long officials have known about it. Even
if the passage of 16 years does not alone render the admissibility decision
invalid, it is still a relevant consideration which the Board did not consider.
[51]
The
applicant also submits that there is a presumption against the retrospective
application of laws and points out that paragraph 35(1)(a) did not exist when
he came to Canada. There is
now a more purposive and contextual approach to the proscription against
retrospectivity (see Brosseau v. Alberta (Securities
Commission), [1989] 1 S.C.R. 301, [1989] S.C.J. No. 15 (QL) paragraphs
47 to 48). When an act or section is repealed, it does not affect a right,
privilege, obligation or liability acquired, accrued, accruing, or incurred
under the enactment so repealed (Interpretation Act, R.S.C. 1985, C.
I-21, section 43). The applicant clearly had an accrued right to remain in Canada as a
permanent resident. The current wording of section 35 cannot be used as the
basis for the applicant’s removal from Canada on past
conduct which existed prior to the amendments, says the applicant. Section 35
refers to the present tense of “committing” an offence. There is no specific
provision allowing the retroactivity of the section.
[52]
Contrary
to the respondent’s submissions, the applicant submits that the fact that section
33 of the Act includes events that have occurred, simply confirms the
presumption against retrospectivity. Moreover, section 190 does not make it
clear that sections 34 to 37 should have retrospective application. Finally,
the Minister cannot argue that the provisions require retrospective application
for the purposes of furthering public safety when the applicant has never been
considered a danger and in fact, was considered a help to Canadian officials.
[53]
The
applicant testified that his involvement was limited to surveillance. The Board
held that even if that were true, “he was likely aware of the nature, purpose
and operations of the unit” and that “his work as an investigator alone makes
him complicit…”.
[54]
The
applicant submits that while membership can give rise to a finding of
complicity, mens rea remains an essential element of the crime. Equally
important is the finding of a shared common purpose as between principal and
accomplice (see Moreno v. Canada (Minister of
Employment and Immigration), [1994] 1 F.C. 298, [1993] F.C.J. No. 912
(C.A.) (QL) at paragraph 51). That an individual has the mens rea to be
complicit merely because of membership is just a factual starting point which
is rebuttable (see Carillo v. Canada (Minister of
Citizenship and Immigration), 2008 FCA 94, [2008] 4 F.C.R. 636).
[55]
The
Board erred in failing to analyze complicity in regards to the mental element
of knowledge and intentional participation says the applicant. The Board held
that he “held rank” despite evidence that the applicant was low ranking and was
not privy to the decision making. The Board similarly held that “he likely knew
what was going on in the unit” despite insufficient evidence. The applicant
says that in reality, he worked with an arm’s length subunit (G-2) and can only
be assessed with regards to that particular subunit.
[56]
The
applicant submits that the Board also erred in its analysis of duress. The
Board erred by finding that the applicant’s possible death was not equal to the
harm inflicted by those in the Honduran army. The Board ignored the evidence of
how the applicant feared leaving when it held that the risk to his life was not
imminent, given that it was conditional on future conduct that also gave him
the opportunity to leave.
[57]
Finally,
the applicant submits that he was prejudiced by the incompetence of his
previous counsel whose strategy resulted in procedural unfairness. This
compromised the result of the hearing. Counsel’s actions were outside the range
of reasonable professional assistance. Despite this case being novel and
complex, counsel failed to provide written submissions at the end of the
hearing. As a result, the applicant’s case was seriously compromised. Counsel
also failed to provide oral submissions while the Minister did. The applicant
subsequently filed a complaint with the Law Society.
Respondent’s Written Submissions
[58]
The
respondent submits that the matter before the Board was not res judicata
or issue estopped, nor was it an abuse of process. The paragraph 35(1)(a)
ground of inadmissibility did not exist in 1985 so it was not possible to have
had those grounds assessed then. Further, res judicata only applies to
judicial decisions. The previous decision to grant the applicant entry does not
attract the application of the doctrine. Nor does the policy behind res
judicata apply, since there is no need to preserve judicial resources. The
Immigration Division hearing was the first and only hearing on the matter.
[59]
The
respondent submits that the passage of time does not prevent the applicant from
being subject to an inadmissibility proceeding. As a permanent resident, the
applicant’s admissibility to Canada is a continuing question. There is no
limitation period. Section 33 of the Act allows inadmissibility allegations to
be based on past activities regardless of when they occurred or how long
Canadian officials have known about them. The Al Yamani decision above,
does not assist the applicant. It does not alter the fact that the Act itself
makes inadmissibility a continuing question and does not place limitation on
when such allegations can be pursued.
[60]
The
respondent submits that to establish abuse of process, the circumstances must
render it so impossible for the applicant to receive a fair inadmissibility
hearing that the only remedy would be to not have the allegations assessed on
their merits. Here, the applicant has not established that his right to a fair
hearing has been prejudiced. Secondly, he has not shown that the only cure is
to not hold the hearing at all. Thirdly, the public interest would not warrant
the granting of the relief spelled out in Blencoe above. The applicant
has not shown that there would be damage to the public interest if the
allegation is assessed on its merits. Fourthly, the inadmissibility decision
does not stop the applicant from seeking relief. He still has the opportunity
to make a PRRA application and if unsuccessful, could still request that the
Minister not proceed with removal under subsection115(2) of the Act.
[61]
The
applicant cannot claim he was not given a fair hearing due to not receiving
documents. Procedural fairness requires that he get everything used to
establish the paragraph 35(1)(a) claim. He got that. He cannot claim a
heightened level of disclosure.
[62]
Even
if this Court finds that the Board erred in its assessment of the abuse of
process issue, the proper action is to send the matter back for
redetermination. Judicial review is not an appeal.
[63]
The
respondent also submits that the presumption against retrospectivity does not
apply to paragraph 35(1)(a) because it does not have any retrospective
application, and if it does, then that was clearly Parliament’s intent. Section
35 does not reach back and alter the rights and privileges the applicant
enjoyed as a permanent resident. The section 35 allegations allege that the
applicant is removable today because of his involvement in violations of human
rights. The principle that a permanent resident can be removed if he or she
becomes inadmissible has been affirmed by the Supreme Court (see Canada (Minister of
Employment and Immigration) v. Chiarelli, [1992] 1 S.C.R. 711 at
733 and 734). The applicant cannot assert that he had an accrued right not to
be the subject of an inadmissibility allegation.
[64]
When
enacting section 35 of the Act, Parliament chose to treat past involvement in
human rights violations as a continuing fact that poses a danger to Canada’s national
interest. People involved in such activities are considered a threat to
national interest, regardless of when they were actually involved. In Brosseau
above, the Supreme Court held that the presumption has no application to
statutes that impose a disqualification for having a certain status, when the
objective is not to punish the person but to protect the public (paragraph 55).
[65]
In
any event, parliamentary intent trumps the presumption says the respondent.
Section 33 of the Act clearly shows that Parliament intended paragraph 35(1)(a)
to apply to conduct that occurred before its enactment. Section 33 speaks of
events that “…have occurred, are occurring or may occur.” This drafting was a
legitimate and non-arbitrary choice by Parliament to not allow certain persons
to remain in the country.
[66]
The
respondent submits that even if mens rea is still a requirement of
complicity, the Board’s determination that the applicant was a knowing and
willing participant, provides a proper basis for a mens rea finding.
While the applicant disagrees with the Board member’s weighing of the harms in
the defence of duress, his ultimate finding was one that was open to him.
Analysis and Decision
[67]
Standard
of Review
Issues 1, 2, 3 and 5 are
matters of pure law or procedural fairness upon which the Court must come to
its own conclusion. Issue 4 reviews a question of mixed fact and law within the
Board’s jurisdiction and expertise to answer. Accordingly, it is to be afforded
deference and will only be interfered with if it is found to be unreasonable.
[68]
Issue
1
Should the
paragraph 35(1)(a) allegations have been quashed because they were res
judicata or by application of the doctrine of issue estoppel?
The applicant
claims that he spoke extensively with Canadian officials at the Mexican Embassy
in 1985 and that the Minister was fully aware at the time he was allowed to
enter Canada in April
1985, of the allegations underlying the present admissibility hearing. Despite
being aware of those allegations, the applicant was granted a Minister’s permit
by a competent government authority and was later granted permanent resident
status. Thus, says the applicant, the issue has already been decided.
[69]
The
Board relied on an interlocutory decision of another officer, DeCarlo, who, in
a transcript dated April 13, 2005, gave reasons dismissing the issues of res
judicata and issue estoppel.
[70]
In
general, parties are not permitted to relitigate issues which have already been
determined. This has become known as the doctrine of res judicata of
which there are two branches. This was discussed by Mr. Justice Rothstein, then
of the Federal Court of Appeal, in Al Yamani v. Canada (Minister of
Citizenship and Immigration), 2003 FCA 482, [2003] F.C.J. No. 1931:
10 There are two branches of the
doctrine of res judicata. Cause of action estoppel "precludes a person
from bringing an action against another when that same cause of action has been
determined in earlier proceedings by a court of competent jurisdiction" (Angle
v. M.N.R., [1975] 2 S.C.R. 248 at 254. Issue estoppel applies "where,
the cause of action being different, some point or issue of fact has already
been decided" (Angle at 254, quoting Higgins J. in Hoystead v.
Federal Commissioner of Taxation (1921), 29 C.L.R. 537 at 561 (H.C.A.)).
[71]
There
is clearly no cause of action estoppel here. Neither the current cause of
action, paragraph 35(1)(a) of the Act, nor its predecessor, paragraphs 27(1)(g)
and (h) of the former Immigration Act, were in existence at the time the
applicant was granted landing.
[72]
Turning
to issue estoppel, there are three requirements that must be met:
1. The same question
has been decided;
2. The judicial
decision which is said to create the estoppel was final; and
3. The parties to the
judicial decision or their privies are the same.
(See Al Yamani above, at paragraph
15, and Angle above, at 254, quoting Lord Guest in Carl Zeiss
Stiftung v. Rayner & Keeler Ltd. (No. 2), [1967] 1 A.C. 853 at 935
(H.L.)).
[73]
The
applicant’s primary argument is a technical one. The applicant seemingly does
not dispute the member DeCarlo’s ultimate conclusion on the matter, but says
the analysis was inadequate. The applicant argues that member DeCarlo did not
properly separate the two branches and did not adequately analyze each
requirement of the test for issue estoppel.
[74]
The
issue of res judicata is a purely legal matter that had little to do
with the underlying paragraph 35(1)(a) allegations or the credibility of the
applicant. It is not a matter that immigration officers are expected to have
expertise dealing with, yet it is something the applicant had the right to have
determined correctly. In my view, the only question on the judicial review of a
res judicata motion is whether the correct result was achieved. In other
words, a member’s reasons may be somewhat helpful to a court upon review, but a
correct result will not be overturned due to a mere flaw or omission in the
administrative officer’s written analysis.
[75]
The
transcript indicates that the res judicata application failed both the
first and second requirements of the test outlined in Al Yamani above.
While the officer’s legal analysis is unimportant, I agree with her conclusion
and would similarly reject the applicant’s arguments.
[76]
First,
the Minister’s permit in 1985 and the current inadmissibility allegations under
paragraph 35(1)(a) were not determinations of the same question. The
legislation at the time did not have a provision excluding individuals involved
in war crimes or crimes against humanity. Second, neither the Minister’s
permit, nor the granting of permanent resident status constituted a judicial
decision that was final. Clearly they were not decisions made by a court or
even a body resembling a court and thus, they were not judicial decisions. Nor
were they final. One positive admissibility decision does not excuse subsequent
inadmissibility. The Act gives permanent residents only a conditional and
qualified right to remain in Canada so long as they are not inadmissible (see Chiarelli
above, at 733 and 734).
[77]
Issue
2
Was the paragraph 35(1)(a)
proceeding an abuse of process?
In the applicant’s submission,
the following factors taken as a whole, would suggest that the inquiry was an
abuse of process.
1. The applicant was
determined to be a refugee by the UNHCR in Mexico in 1985 and
granted a Minister’s permit.
2. Not only was his
story known by Canadian officials, but he was used by Canadian authorities for
a number of years as an informant. The applicant alleges that a letter from the
Canadian Ambassador to Honduras confirms the high
regard for his evidence.
3. He says that at no
time was he considered a threat.
4. These proceedings
were then brought against him 18 years later, 16 years after the CBC show aired
and 15 years after the enactment of Bill C-71 which created the predecessor to
paragraph 35(1)(a).
5. The applicant has
been further prejudiced because he is unable to get the interview notes from
his conversations with Canadian officials.
[78]
It
is not necessary for me to determine whether or not the Board had jurisdiction
to hear a motion for abuse of process. The Board did not make any determination
on the matter. Perhaps one can infer that the Board member did not consider it an
abuse of process by the simple fact that he allowed the process to continue. In
any event, like res judicata, the issue of abuse of process is a matter
for which the Court can make its own determination. I now will analyze the
applicant’s arguments on whether the proceeding itself was an abuse of process
at law.
[79]
The
common law doctrine of abuse of process may be made out under varying
requirements depending on the nature of the remedy sought. Typically, it is
invoked in a motion to have proceedings stayed. In the context of a breach of
subsection 11(b) of the Charter, a stay has been found to constitute the only
possible remedy (see R. v. Askov, [1990] 2 S.C.R. 1199), but in the
administrative context, other remedies are sometimes available. Thus, when a
stay of proceedings is the remedy sought, the applicant will bear a heavy
burden (see Blencoe v. British Columbia (Human
Rights Commission), 2000 SCC 44, [2000] 2 S.C.R. 307, 23 Admin.
L.R. (3d) 175, [2000] S.C.J. No. 43 (QL) at paragraphs 116 to 117).
[80]
The
Blencoe Court explained
why, in the context of an administrative delay, courts have stringent
requirements before allowing an abuse of process motion:
116 The respondent's case is that
there has been an unacceptable delay in the administrative process which has
caused him to be prejudiced by the stigma attached to the two Complaints to an
extent that justifies the process being terminated now. Abuse of process is a
common law principle invoked principally to stay proceedings where to allow
them to continue would be oppressive. As stated by Brown and Evans, [Judicial
Review of Administrative Action in Canada. Toronto: Canvasback, 1998 (loose-leaf)], at pp.
9-71 and 9-72:
The stringency of the requirements for
showing that delay constitutes a breach of fairness would seem to be due, at
least in part, to the drastic nature of the only appropriate remedy. Unlike
other instances of procedural unfairness where it is open to a court to remit
the matter for redetermination in a procedurally fair manner, the remedy for
undue delay will usually be to prevent the tribunal from exercising its
legislative authority, either by prohibiting it from proceeding with the
hearing, or by quashing the resulting decision.
[Emphasis
added]
[81]
In
assessing claims of abuse of process, courts typically address four areas of
concern: length of the delay and who caused it, whether the fairness of the
hearing is compromised as a result, other prejudice suffered by the applicant
and public interest considerations.
[82]
I
do not accept the applicant’s argument that the fairness of the hearing was
compromised due to the delay in this case. The evidence on which the
inadmissibility allegation is based comes from the applicant’s own admission.
The passage of time has not eroded the quality of that evidence or his ability
to challenge it and his right to rebut the allegations remains fully intact.
Likewise, his failure to obtain documents from his interviews at the Embassy
did not render the process unfair. Procedurally, the applicant was only
entitled to receive documentation the respondent relies on in bringing the
paragraph 35(1)(a) allegations. In any event, by the applicant’s own admission,
the interviews in 1985 would only confirm his comments on the “Man Alive” show.
[83]
The
respondent asserts that in order for an abuse of process claim to be made out,
the circumstances must render it impossible for the applicant to receive a fair
inadmissibility hearing and that those circumstances can only be remedied by
not having the allegations assessed on its merits. I disagree. The Blencoe above
Court, at paragraph 115, considered the possibility that an unacceptable delay
“…may amount to an abuse of process in certain circumstances even where the
fairness of the hearing has not been compromised.” However, the Court continued
at paragraph 115 by stating:
Where inordinate delay has directly
caused significant psychological harm to a person, or attached a stigma to a
person's reputation, such that the human rights system would be brought into
disrepute, such prejudice may be sufficient to constitute an abuse of process.
The doctrine of abuse of process is not limited to acts giving rise to an
unfair hearing; there may be cases of abuse of process for other than
evidentiary reasons brought about by delay. It must however be emphasized that
few lengthy delays will meet this threshold. I caution that in cases where
there is no prejudice to hearing fairness, the delay must be clearly
unacceptable and have directly caused a significant prejudice to amount to an
abuse of process. It must be a delay that would, in the circumstances of
the case, bring the human rights system into disrepute. …
[Emphasis
added]
[84]
Thus,
when the fairness of the hearing has not been compromised, the applicant claiming
abuse of process and seeking a stay will have an even heavier burden and must
firmly establish the other elements with strong evidence. In this case, the
applicant has not met the high burden.
[85]
While
it is regrettable that such a long delay occurred, the applicant has not
brought any evidence of intentional delay or bad faith. The respondent explains
that the paragraph 35(1)(a) allegations were only available to the Minister
after the current Act came into force in 2002, because paragraphs 27(1)(g) and (h)
of the former Immigration Act that addressed the same issue could not be
applied to crimes committed prior to the enactment.
[86]
More
significantly, the applicant has brought forward little evidence of any
prejudice suffered by him personally. In Blencoe above, a former
provincial Minister accused of sexual assault in front of a human rights
commission was the subject of intense media attention during the delay,
considered himself “unemployable”, suffered from severe depression for which he
sought counselling and was prescribed medication and even moved his family to Ontario to escape
media attention. Yet the Supreme Court of Canada was unwilling to find an abuse
of process.
[87]
Finally,
when granting relief for abuse of process, one must balance competing public
interests. While it is not necessary to canvass all arguments under this
heading, it will suffice to say that there is significant public interest
behind the enactment of paragraph 35(1)(a) and the general condemnation of
crimes against humanity committed abroad. Those interests militate in favour of
getting at the truth and holding those accused of committing such crimes
accountable, even though much time has passed. As stated in Al Yamani
above, at paragraph 38:
While the respondent does not challenge
the applicant’s assertions that he provided assistance to Canadian authorities,
by providing information, it is unlikely that the Canadian public would agree
that such assistance should be sufficient to grant an individual a full pardon
from such crimes.
[88]
Issue
3
Did the Board
err by applying paragraph 35(1)(a) retrospectively?
As stated above, paragraph 35(1)(a) did not exist
at the time the applicant entered Canada. Nor did paragraphs
27(1)(g) and (h) of the former Immigration Act. The applicant argues
that the presumption against the retrospective application of laws prevents the
application of paragraph 35(1)(a) in his case.
[89]
There
is now a more purposive and contextual approach to the proscription against
retrospectivity (see Brosseau v. Alberta (Securities
Commission), [1989] 1 S.C.R. 301, [1989] S.C.J. No. 15 (QL) paragraphs
47 and 48). Despite the arguments of both parties on this issue, in my view,
nothing turns on the presumption.
[90]
In
my view, the application of paragraph 35(1)(a) is not retrospective and thus
does not attract the presumption in the first place. The section reads as
follows:
35. (1) A permanent resident or a foreign
national is inadmissible on grounds of violating human or international rights
for
(a) committing an act outside Canada that constitutes an offence
referred to in sections 4 to 7 of the Crimes Against Humanity and War Crimes
Act;
…
[91]
When
enacting paragraph 35(1)(a), Parliament chose to treat past and present
participation in a crime against humanity as a continuing fact. In this sense, paragraph
35(1)(a) has a prospective application as it merely changes the consequences
for a continuing fact.
[92]
In
Al Yamani above, the applicant argued that there had been a
retrospective application of clause 19(1)(f)(iii)(B) of the former Act. The
applicant in that case came to Canada in 1985 and had severed ties with the
terrorist organization in question by 1992. Clause 19(1)(f)(iii)(B) was later
enacted in 1993. The former section read:
19.(1) No person shall be granted
admission who is a member of any of the following classes:
...
(f) persons who there are reasonable
grounds to believe
...
(iii) are or were members of an organization
that there are reasonable grounds to believe is or was engaged in
...
(B) terrorism,
except persons who have satisfied the
Minister that their admission would not be detrimental to the national
interest;
[93]
Mr.
Justice Rothstein stated:
8 In any event, I do not think
applying clause 19(1)(f)(iii)(B) to a person who retired from a terrorist
organization in 1992 or, indeed, at any time before February 1, 1993,
constitutes a retrospective application of the provision. Having been a
member of a terrorist group is a continuing status. Put another way,
finding that an individual is ineligible to remain in Canada on the basis that he was formerly a
member of a terrorist organization is the imposition of a present consequence
based on past behaviour in order to protect public safety. That is not
retrospective application of legislation (Brosseau v. Alberta Securities
Commission, [1989] 1 S.C.R. 301 at 319-20).
[My
emphasis]
[94]
Similar
to the case in Al Yamani above, in my opinion, paragraph 35(1)(a) is
drafted in such a way that having committed a crime against humanity is a
continuing status. It does not have a retrospective application.
[95]
Furthering
the notion that paragraph 35(1)(a) does not have a retrospective application is
the fact that its application does not change one’s past legal status. It does
not interfere with a vested right, since permanent residents cannot be said to
have a “vested” right to remain in Canada (Chiarelli
above, at 733 and 734). The application of paragraph 35(1)(a) does not change
the fact that the applicant has lived in Canada as a
permanent resident since 1986. It does not reach into the past and alter the
rights and privileges that he enjoyed as a permanent resident. The allegation
is only that the applicant is removable today because of his participation in
crimes against humanity. Paragraph 35(1)(a) is applied to the applicant’s
present situation to determine if he can continue to be a permanent resident in
the future.
[96]
In
Rudolph v. Canada (Minister of Employment
and Immigration), [1992] 2 F.C. 653 at 657, [1992] F.C.J. No. 400 (C.A.)
(QL), the Federal Court of Appeal held that:
…it is not retrospective legislation to
adopt today a rule which henceforward excludes persons from Canada on the basis of their conduct
in the past.
This principle was reaffirmed in McAllister
v. Canada (Minister of
Citizenship and Immigration), [1996] 2 F.C. 190, [1996] F.C.J. No. 177
(QL) at paragraph 52.
[97]
Even
if it could be established that paragraph 35(1)(a) does have retrospective
application and it was found that the presumption applied, I would find that it
is rebutted by a clear Parliamentary intention to have section 35 apply to past
events. The words of section 33 could not make Parliament’s intention more
clear:
33. The facts that constitute
inadmissibility under sections 34 to 37 include facts arising from omissions
and, unless otherwise provided, include facts for which there are reasonable
grounds to believe that they have occurred, are occurring or may occur.
[My
emphasis]
[98]
Parliament’s
intent to have paragraph 35(1)(a) apply to persons such as the applicant is
clear from this unambiguous language. In other words, it was intended that
these sections would properly apply to the relevant crimes or conduct whenever
that crime or conduct occurred.
[99]
Issue
4
Did the Board err in finding
that the applicant was complicit in crimes against humanity and in rejecting
his defence of duress?
The applicant challenges the
Board’s finding that he is inadmissible under paragraph 35(1)(a) due to a
finding of culpable complicity in crimes against humanity. Complicity, was in
fact only the second of three distinct findings of fact, any one of which
render the applicant inadmissible under paragraph 35(1)(a).
[100] The Board’s
first determination was that the applicant was a member of the unit referred to
as Battalion 3-16 and that Battalion 3-16 was a limited brutal purpose
organization (see Ramirez v. Canada (Minister of Employment and
Immigration), [1992] 2 F.C. 306, 89 D.L.R. (4th) 173, [1992] F.C.J. No. 109
(C.A.)).
That being his finding, he concluded that mere membership in Battalion 3-16 by
necessity involved personal and knowing participation in its abductions and
interrogations in which torture was used.
[101] Then after a
separate finding of complicity, the Board determined that the applicant more
likely than not personally committed crimes against humanity. Evidence such as
the applicant’s admission on the CBC show, “… I was a torturer” likely helped
the Board obtain reasonable grounds for this finding.
[102] Because the
conclusion of inadmissibility was based on three independently sufficient
findings, challenging the Board’s conclusion on the finding of complicity alone
does not assist the applicant, even if such a challenge were to be successful.
In any event, I have found no reviewable error in the Board’s factual finding
on complicity. The Board set out the six factors to consider in determining
whether an individual is complicit in crimes against humanity from Bahamin
v. Canada (Minister of Employment and Immigration), [1994] F.C.J. No. 961,
171 N.R. 79 (C.A.) (QL): the nature of the organization, the method of
recruitment, position/rank in the organization, knowledge of the organization’s
atrocities, length of time in the organization and the opportunity to leave the
organization. The Board then reviewed the evidence thoroughly and applied those
factors in a reasonable fashion.
[103] The applicant
makes the argument that he did not have the required mens rea which
remains an essential element to a finding of complicity (see Moreno v. Canada (Minister of
Employment and Immigration), [1994] 1 F.C. 298, [1993] F.C.J. No. 912
(C.A.) (QL) at paragraph 51). In this context, mens rea can be presumed
but that presumption can be rebutted (see Carillo v. Canada (Minister of
Citizenship and Immigration), 2008 FCA 94, [2008] 4 F.C.R. 636), which the
applicant argues he did in his testimony at the hearing. Yet it was clear that
the Board did not find the applicant’s testimony on that point to be credible
and instead gave more weight to the applicant’s prior admissions. The applicant
does not challenge the Board’s credibility findings.
[104] The applicant
finally challenges the Board’s conclusion that the defence of duress was not
made out. That defence is embodied in the consideration “opportunity to leave
the organization” in a complicity analysis (see Bahamin above). The
Board acknowledged that if the applicant had attempted to leave he would likely
have been killed, but subsequently concluded that “the possibility of the
applicant’s own death does not justify a defence of duress given the greater
harm that was inflicted on a number of people.” The applicant argues that it
was improper for the Board to implicitly find that a singular death was unequal
to multiple deaths.
[105] In Canada
(Minister of Citizenship and Immigration) v. Asghedom, [2001] F.C.J. No.
1350, 210 F.T.R. 294, the respondent, pleading duress argued that the harm
inflicted by the Ethiopian army in engaging in international crimes was not in
excess of what he would suffer for deserting, namely, death by execution. The
Board accepted his defence. Mr. Justice Blais at paragraph 35 upheld the
Board’s decision on the application of the reasonableness standard of review:
In my view, the Board's conclusion was
reasonable in light of the evidence before it. The Board was entitled to weigh
the evidence as it did and I cannot conclude that it ignored the evidence, as
alleged by the applicant. In fact, the Board based its decision on the
documentary evidence provided by the applicant and even referred, in its
decision, to the pages that the applicant alleges was ignored (p. 260 and 304
of the tribunal record).
[106] As displayed
by the ruling in Asghedom above, a tribunal’s final determination on the
defence of duress is to be accorded significant deference. This is due to the
highly contextual nature of the defence and the emphasis on the weighing of
facts. Courts are to afford administrative fact finding based decisions a high
degree of deference and should refrain from second guessing a tribunal’s
judgment (see Canada (Citizenship and Immigration) v. Khosa, 2009
SCC 12, [2009] S.C.J. No. 12 (QL)).
[107]
The
applicant appears to argue that the possibility of death for desertion is a carte
blanche excuse for participation in the commission of atrocities. I know of
no authority in support of this principle. The Board is free to weigh the
evidence before it and come to its own conclusion on whether an individual
ought to have attempted to leave.
[108]
While the
applicant may disagree with the result, in my view, it was reasonable for the
Board to make the determination it did. The Board surmised that while leaving
the organization may have put the applicant in grave danger when weighed
against the atrocities they were committing, it was the only acceptable course
of action. The Board accepted that Battalion 3-16 would likely attempt to hunt
down and kill deserters, but it felt that the applicant was not in imminent
harm when he was participating in crimes against humanity. He was not under
constant watch and a carefully planned desertion could have been executed much
earlier. The Board also considered that when the applicant found himself in
danger of imminent harm, he was able to escape. It was not unreasonable for the
Board to consider these factors. The weight it placed on each factor is not
something the Court is entitled to interfere with. Thus, the Board’s conclusion
stands.
[109] Issue 5
Should this Court
rule that the proceedings were procedurally unfair due to the conduct of the
applicant’s counsel?
At the end of the
inadmissibility hearing, the applicant’s counsel failed to file a written
submission. The applicant argues that this incompetence resulted in a
miscarriage of justice. The applicant suggests that the correct remedy is for
the matter to be sent back for re-hearing. I cannot accept the applicant’s
request. In order to request such relief in the context of a claim of
incompetent counsel, the applicant is required to demonstrate some basis upon
which the Board’s decision might have been different had the applicant had more
competent counsel (see Yang v. Canada (Minister of Citizenship and
Immigration), 2008 FC 269, [2008] F.C.J. No. 344). The applicant has not
established any such basis other than suggesting that given the complexity of
the case, final written submissions were necessary. In my view, this is not enough.
An applicant must point to some argument, aspect of law, or piece of evidence
that could have made a material difference in the outcome.
[110] As a result
of my findings, the application for judicial review must be dismissed.
[111] The
respondent submitted the following proposed serious questions of general
importance for my consideration for certification:
1. If an inadmissibility
allegation was not available against an individual when he or she was admitted
to or granted permanent residence in Canada, is it an abuse of process to
pursue the inadmissibility allegation when the law changes and makes the
allegation open as against them, even though some time may have passed since
the person entered Canada?
2. Is the failure of counsel at
the Immigration Division to file final written submissions a breach of
procedural fairness? If so, does the breach warrant returning to [sic]
matter to the Immigration Division for re-assessment, even though the same
decision would be made again?
3. Where an abuse of process issue
is not raised before the Immigration Division, but is advanced for the first
time before the Federal Court on judicial review, is it appropriate for the
Federal Court to assess the abuse of process issue at first instance?
[112] I am not
prepared to certify any of these questions as the outcome in this case was fact
specific.
[113] The
applicant, in his letter to the Court dated November 2, 2009, made the
following request:
Two issues which may warrant a certified
question relate to the retrospective application of s. 35, and the issue of
duress. However, both also require analysis of the unique characteristics of
this case, and as such may not transcend the particularities of this case and
rise to a question of general importance.
Nonetheless, should either of these
issues prove determinative in the final decision, the Applicants [sic]
request the opportunity to provide further submissions regarding a related
certified question.
[114] Should the
applicant wish to make further submissions with respect to these or another
proposed question for certification, he may do so within five days of the date
of these reasons. The respondent will have five days to make any response.
“John
A. O’Keefe”
ANNEX
Relevant Statutory Provisions
Immigration and Refugee
Protection Act,
S.C. 2001, c. 27
35.(1) A permanent resident or a foreign
national is inadmissible on grounds of violating human or international
rights for
(a) committing
an act outside Canada that constitutes an offence referred
to in sections 4 to 7 of the Crimes Against Humanity and War Crimes Act;
(b) being a
prescribed senior official in the service of a government that, in the
opinion of the Minister, engages or has engaged in terrorism, systematic or
gross human rights violations, or genocide, a war crime or a crime against
humanity within the meaning of subsections 6(3) to (5) of the Crimes Against
Humanity and War Crimes Act; or
(c) being a
person, other than a permanent resident, whose entry into or stay in Canada
is restricted pursuant to a decision, resolution or measure of an
international organization of states or association of states, of which
Canada is a member, that imposes sanctions on a country against which Canada
has imposed or has agreed to impose sanctions in concert with that organization
or association.
(2) Paragraphs
(1)(b) and (c) do not apply in the case of a permanent resident or a foreign
national who satisfies the Minister that their presence in Canada would not be detrimental to the national interest.
|
35.(1)
Emportent interdiction de territoire pour atteinte aux droits humains ou
internationaux les faits suivants:
a) commettre,
hors du Canada, une des infractions visées aux articles 4 à 7 de la Loi sur
les crimes contre l’humanité et les crimes de guerre;
b) occuper un
poste de rang supérieur — au sens du règlement — au sein d’un gouvernement
qui, de l’avis du ministre, se livre ou s’est livré au terrorisme, à des
violations graves ou répétées des droits de la personne ou commet ou a commis
un génocide, un crime contre l’humanité ou un crime de guerre au sens des
paragraphes 6(3) à (5) de la Loi sur les crimes contre l’humanité et les
crimes de guerre;
c) être, sauf
s’agissant du résident permanent, une personne dont l’entrée ou le séjour au
Canada est limité au titre d’une décision, d’une résolution ou d’une mesure
d’une organisation internationale d’États ou une association d’États dont le
Canada est membre et qui impose des sanctions à l’égard d’un pays contre
lequel le Canada a imposé — ou s’est engagé à imposer — des sanctions de
concert avec cette organisation ou association.
(2)
Les faits visés aux alinéas (1)b) et c) n’emportent pas interdiction de
territoire pour le résident permanent ou l’étranger qui convainc le ministre
que sa présence au Canada ne serait nullement préjudiciable à l’intérêt
national.
|