Date: 20101013
Docket: T-239-09
Citation: 2010 FC 1008
BETWEEN:
CANADIAN
TRANSPORTATION AGENCY
Applicant
and
EDDY MORTEN, AIR CANADA and
CANADIAN
HUMAN RIGHTS COMMISSION
Respondents
Docket: T-281-09
AND
BETWEEN:
AIR CANADA
Applicant
and
EDDY MORTEN and
CANADIAN HUMAN RIGHTS COMMISSION
Respondents
REASONS FOR JUDGMENT
[1]
There
are two applications for judicial review against the decision made by the
Canadian Human Rights Tribunal (the Tribunal) dated January 26, 2009, in the
matter of a complaint filed by Eddy Morten against Air Canada. Both were
heard together. The application on Court file T-281-09 was filed by Air Canada challenging
the jurisdiction of the Tribunal and the merits of the decision. Mr. Morten and
the Canadian Human Rights Commission (the Commission) are the respondents in
that application. The second application in Court file T-239-09, was filed by
the Canadian Transportation Agency (the Agency) and challenges only the
jurisdiction of the tribunal. The respondents in that application are Mr.
Morten, Air Canada and the
Commission.
[2]
Air
Canada requests the
Tribunal decision be quashed and remanded to the same or a differently
constituted Tribunal for a determination consistent with the reasons of this
Court.
[3]
The
Agency requests that this Court order that the decision of the Tribunal is
invalid or alternatively, that the decision be set aside and referred back to
the Tribunal for redetermination by a differently constituted panel in
accordance with such directions as it considers to be appropriate.
Background
[4]
The
respondent, Eddy Morten, suffers from Ushers Syndrome. He is profoundly deaf
and blind in his left eye. He has very limited vision in his right eye.
[5]
On
August 19, 2004, Mr. Morten’s travel agent was informed by an agent of the
respondent, Air Canada, that he could not fly alone and would need an
attendant. This decision had been confirmed by Air Canada’s meda desk.
No individualized assessment was conducted for Mr. Morten.
[6]
In
Canada, an authorized
air carrier’s displayed tariffs include its schedules of rates, charges and
terms and conditions of carriage. Under Air Canada’s applicable tariff dealing
with the terms of carriage for disabled persons, “self-reliant” means a person
who is self-sufficient and capable of taking care of his/her needs during a
flight or during an emergency evacuation or decompression and has no special or
unusual needs beyond assistance in boarding or deplaning. Mr. Morten was
considered to be non self-reliant and required an attendant.
[7]
On
February 1, 2005, Mr. Morten filed a complaint with the Agency under Part V of
the Canada Transportation Act, S.C. 1996, c. 10 (the CTA), alleging that
Air Canada’s requirement that he travel with an attendant was an undue obstacle
to his mobility.
[8]
After
being provided with evidence, the Agency issued Decision 435-AT-A-2005 (the
Agency decision) concluding that while Mr. Morten encountered an obstacle to
his mobility, it was not an undue obstacle as it was predicated on safety risks.
Accordingly, the Agency took no action on the complaint.
[9]
On
September 19, 2005, Mr. Morten filed a complaint with the Commission with
respect to the same facts, alleging that Air Canada had contravened section 5
of the Canadian Human Rights Act, R.S.C. 1985, c. H-6 (the CHRA). On
February 23, 2007, the Commission referred the complaint to the Tribunal.
[10]
On
August 7, 2007, Air Canada filed a motion with the Tribunal asking it to
permanently stay the hearing of Mr. Morten’s complaint on the basis of issue
estoppel or alternatively, on the basis that it was an abuse of process or a
collateral attack in light of the previous Agency decision.
[11]
The
Tribunal dismissed the motion in a preliminary decision dated October 25, 2007
(2007 CHRT 48, [2007] C.H.R.D. No. 49). The Tribunal recognized that the test
used by the Agency for finding an “undue obstacle” to mobility under the CTA is
the same as the test for determining “undue hardship” to be applied by the Tribunal.
However, the Tribunal found that issue estoppel did not apply because one of
the pre-conditions for issue estoppel (that the parties or the privies are the
same in both proceedings) was not met. The Commission, which was a party before
the Tribunal, was not a party before the Agency. Section 51 of the CHRA makes
it clear that when appearing at a hearing, the Commission represents the public
interest and not the complainant.
[12]
The
Tribunal also took the view that there was no abuse of process in holding its
hearing. The lack of the Commission’s presence and input at the Agency hearing
was one factor militating against finding an abuse of process. A second factor was
that the Agency, in the Tribunal’s view, had not properly dealt with Mr. Morten’s
human rights claim. The Tribunal stated at paragraphs 27 and 28 of its decision:
27 Secondly, it is apparent from its
decision that the Agency's analysis in dealing with Mr. Morten's claim falls
far short of what would be required under the Via Rail test. Mr.
Morten's services complaint under s. 5 of the CHRA is ongoing in nature and
impugns a policy that Air Canada continues to pursue.
28 It would be an injustice to
deprive both Mr. Morten and the CHRC of the opportunity to put Air Canada to
the strict proof of its contention that accommodating his needs or others with
similar needs, would cause it undue hardship within the meaning of these terms.
[13]
The
Tribunal also denied that it was a collateral attack on the Agency decision.
[14]
The
Tribunal proceeding was heard in Vancouver on three days during
March and April of 2008.
The Tribunal’s Decision
[15]
On
January 26, 2009, the Tribunal rendered its decision (Morten v. Air Canada,
2009 CHRT 3, [2009] C.H.R.D. No. 3 (the decision)), concluding that Air Canada
had discriminated against Mr. Morten on the basis of his disability. Air Canada indeed had
conceded that the proper procedure was not followed in Mr. Morten’s case. It
was the Tribunal’s remedy which the Agency and Air Canada say took the
Tribunal outside its jurisdiction.
[16]
The
Tribunal first analyzed the medical condition of Mr. Morten and his active
lifestyle before analyzing the events giving rise to the complaint.
[17]
Mr.
Morten made his reservation on August 12, 2004. On August 17, 2004, his travel
agent advised the reservations agent that Mr. Morten was deaf and blind and
wanted to travel alone. On August 19, 2007, a reservation agent advised that
this was not possible but that Mr. Morten would need an attendant to fly at a
discounted fare. This decision had been confirmed by the Air Canada meda desk,
a division of the reservations department, handling passengers’ special needs
as it may affect their ability to fly.
[18]
The
persons who work on the meda desk are not medically trained. It is Air Canada’s
occupational health services department (OHS), staffed by health professionals,
which assesses medical information from passengers or their medical provider
and determines whether they can fly on Air Canada with or
without conditions. Air Canada’s OHS will attempt to reconcile any
differences between its assessment and that of the passenger’s medical
provider, but the final decision resides with OHS.
[19]
In
Mr. Morten’s case, the meda desk simply advised that Air Canada’s policy, set
out in a document entitled “CIC 57/8”, required deaf/blind passengers to fly
with an attendant. This was an error as CIC 57/8 does not make such a blanket
statement and contains no criteria for deciding when a deaf/blind person
requires an attendant. Air Canada conceded that an error was made. The
reservation should have been referred to the OHS for an individual assessment.
[20]
The
Tribunal concluded and Air Canada conceded that Mr. Morten had established a
prima facie case (decision at paragraph 56). Air Canada imposed on
Mr. Morten, as a condition of providing service, the blanket requirement that
deaf/blind passengers must travel with an attendant. This requirement was not
imposed on other passengers, able-bodied or otherwise disabled. This standard
affected his freedom to travel and increased his costs.
[21]
Once
a prima facie case had been established, it was up to Air Canada to
demonstrate that accommodating Mr. Morten’s request to travel alone would have
imposed undue hardship, considering health, safety and cost (a bona fide
justification). A blanket requirement creates an arbitrary category of
deaf/blind without allowing for the possibility of differing degrees of visual
and auditory impairment. Since Air Canada acknowledged that
individual assessments are the proper procedure for many disabled passengers,
the Tribunal concluded that there was no bona fide justification for the
standard applied to Mr. Morten (decision paragraphs 61 to 65).
[22]
By
way of remedy and after canvassing several sources of evidence on safety issues
related to deaf/blind persons, the Tribunal ordered that Air Canada’s attendant
policy be formalized with respect to persons with visual and hearing
impairments so that there were no more misunderstandings as occurred with Mr.
Morten. It should be formalized in a legal document by revising the applicable
tariff (paragraph 180).
[23]
The
Tribunal rejected Air Canada’s argument that its tariffs or amendments
to its tariffs were something for the Agency to deal with and concluded that
the CTA does not appear to require the Agency’s prior approval of tariffs (paragraph
183).
[24]
Air
Canada protested
that permitting Mr. Morten to fly unattended would violate regulations and
standards under the Aeronautics Act, R.S. 1985, c. A-2 (Aeronautics Act)
which require the provision of safety related briefings for passengers at
various phases of flight, including emergency situations. The Tribunal dismissed
this argument on the basis that it was not making any such order. It was only
making orders for the fair assessment of passengers (paragraph 188).
[25]
The
Tribunal then responded to Air Canada’s argument that the Agency has primary
jurisdiction to decide questions of human rights in the context of the
transportation of passengers by air as follows:
197 The Tribunal does not accept Air Canada's "primacy"
argument. First of all, in Via Rail, the Supreme Court of Canada was not
dealing with the question of whether the jurisdiction of the CHRT was ousted or
in any way diminished by the mandate of the CTA under s. 5 or s. 172 of the Canada
Transportation Act. This is how Air Canada has framed the issue, not the Supreme
Court of Canada.
198 Secondly there is a long line of
Supreme Court decisions that the CHRA is quasi- constitutional and takes
precedence over any other federal legislation unless an exception is expressly
created […]. Surely, it can not be seriously argued that the Supreme Court in
dealing with the standard of review meant to overturn this long standing
principle of statutory interpretation.
199 Finally, the reasoning of the
Court in paragraphs 136-139 (particularly in para. 138 relied on by Air Canada)
is the Court's explaining that the words "as far as is practicable"
found in s. 5 of the Canada Transportation Act is the statutory
acknowledgement of the undue hardship standard in the transportation context.
[26]
The
Tribunal indicated that because of the amendment to section 5 of the CTA, it
could be argued that the removal of the words “as far as is practicable” means
that the obligations of the duty to accommodate to the point of undue hardship
is no longer the human rights standard in the transportation context. In the Tribunal’s
view, less protection would be offered to persons with disabilities than under
human rights legislation (paragraphs 201 to 204).
[27]
In
the order section of the decision, the Tribunal emphasized its reliance on the
U.S. Department of Transportation (DOT) attendant policy which, according to
the tribunal, was formulated or derived from DOT’s 1987 Southwest Airlines
decision. That policy only required that a passenger possess some means of
communicating with carrier personnel adequate to permit transmission of the
pre-takeoff safety briefing. Importantly, it did not require a passenger to be
able to receive mid-flight or emergency communications.
[28]
In
the Tribunal’s view, the DOT rule and the Southwest Airlines above decision
suggest that greater accommodation is still possible (paragraph 208).
[29]
Ultimately,
the Tribunal ordered Air Canada to work with the Commission and Mr. Morten
to develop a new policy that takes into account communication strategies used
by people like Mr. Morten (paragraph 212). Within four months, the policy had
to be formalized in a legal document. If the parties were unable to reach an
agreement, the Tribunal retained jurisdiction to determine an appropriate
attendant policy (paragraph 215).
[30]
The
Tribunal also ordered Air Canada to pay $10,000 damages for pain and
suffering to Mr. Morten. The damages award has since been satisfied. Air Canada brings this
application for judicial review of the decision, but does not seek to disturb
the ordered payment of monetary damages to Mr. Morten.
Issues
[31]
The
issues are as follows:
1. What is the standard
of review?
2. Did the Tribunal act without
jurisdiction when it heard Mr. Morten’s case?
a. If not,
was the Tribunal’s jurisdiction confined to ordering a monetary remedy?
3. In crafting its
remedy, did the Tribunal err in its account of the evidence, and, in
particular, the aeronautical laws of Canada and the United
States?
The Agency’s Written Submissions
[32]
The
Agency’s primary submission is that it has exclusive jurisdiction to hear and
decide questions of accessibility within the federal transportation system. The
Agency is an independent and highly specialized regulatory authority with the
exclusive mandate to apply the CTA. Orders or regulations made under the CTA
prevail over any other orders or regulations in respect of a mode of
transportation. Determinations by the Agency on matters within its jurisdiction
are binding and conclusive with an option to appeal to the Federal Court of
Appeal only on a question of law or jurisdiction with leave.
[33]
The
National Transportation Policy is contained in Section 5 of the CTA, an
objective of which is to ensure the removal of undue obstacles for persons with
disabilities. Regulations under the CTA require air carrier tariffs to contain
the terms and conditions for the carriage of persons with disabilities. Part II
of the CTA also sets out a complaint process through which the Agency may order
a variety of remedial actions for the failure of a carrier to comply with its
tariffs. Part V of the CTA deals specifically with the transportation of
persons with disabilities. It was enacted with the intention that
transportation legislation rather that human rights legislation would handle
issues of accessibility. This specific Parliamentary intent was confirmed by
the Supreme Court of Canada in Council of Canadians with Disabilities v. VIA
Rail Canada Inc., 2007 SCC 15, [2007] 1 S.C.R. 650. Under Part V, the
Agency has the broad power to investigate and make regulations for the purpose
of removing undue obstacles to the mobility of persons with disabilities. The CHRA,
on the other hand, provides that the Commission ought not deal with a complaint
if it could be more appropriately dealt with under another Act of Parliament.
[34]
Via
Rail above,
confirmed that section 5 and subsection 172(1) of the CTA constitute a
legislative direction to the Agency to determine the existence of any undue
obstacles and confirmed the Agency’s mandate to apply the CTA in a manner
consistent with human rights legislation.
[35]
While
the Tribunal’s human rights mandate is of a general nature, the Agency has the
unique specialized expertise to balance the human rights of those with
disabilities against the practical realities of the federal transportation
system. The human rights components of the CTA were also enacted more recently
than the relevant CHRA provisions. It was not the legislator’s intention to
have the Tribunal decide questions regarding accessibility in transportation or
to have those questions decided by two different tribunals. The Tribunal acted
without jurisdiction when it heard Mr. Morten’s case as the matter was within
the exclusive jurisdiction of Part V of the CTA.
[36]
In
the alternative, even if the Agency and the Tribunal had concurrent
jurisdiction, the Agency is the preferred Tribunal to resolve questions of
accessibility in the transportation system. In any event, concurrent jurisdiction
would not allow the Tribunal to sit in appeal of the Agency’s decision. The
Agency’s decision could have been appealed to the Federal Court of Appeal.
Air Canada’s Written Submissions
[37]
Air Canada submits that the
standard of review is correctness. Both in matters of jurisdiction and in
matters where the Tribunal has neither experience nor expertise, such as
aeronautical laws, no deference is to be afforded.
[38]
Air Canada submits that the principal
issue raised in Mr. Morten’s complaint falls within the exclusive jurisdiction
of the Agency: the determination of what terms a carrier may fairly and reasonably
impose. This was recently made clear by the Supreme Court of Canada in VIA
Rail above. The Agency has undoubted jurisdiction to examine and determine
human rights complaints under Part V of the CTA. If it should err, there is a
statutory appeal route. If a complaint under Part V requires examination of a
carrier’s tariff, the Agency has a clear statutory mandate to undertake that
examination. Any orders or regulations it makes as a consequence take priority
over any order of the Tribunal.
[39]
Mr.
Morten filed his initial complaint with the Agency which issued a decision. Mr.
Morten then raised the same issue before the Commission. When the Tribunal elected
to hear and determine this issue, it effectively decided to sit in appeal of
the Agency’s decision. It acted without jurisdiction.
[40]
The Tribunal
and the Agency have concurrent jurisdiction to hear a human rights claim
insofar as this claim may arise out of the same set of facts in the
transportation context. However, in the context of a complaint regarding what
terms a carrier may fairly and reasonably impose, the Agency has exclusive
jurisdiction over remedies.
[41]
This
position is supported by the case law which has developed in the labour
arbitration context. When a labour arbitrator has made a ruling with respect to
a non-discrimination claim, a human rights Tribunal is generally not entitled
to subsequently exercise its jurisdiction and to arrive at a different
conclusion. This principle is applicable here since both the CTA and CHRA are
comprehensive, equivalent statutory schemes for dealing with human rights and
because of the preference for disputes to be solved in a single proceeding.
[42]
Air
Canada further submits that the Tribunal made fundamental errors in its
evaluation of the aeronautical laws of Canada and the United States. It failed to take into account the
regulatory requirements for an air carrier and effectively required Air Canada to change its operating
procedures in violation of the Canadian Aviation Regulations, SOR/96-433
(CARS). Compliance with Standard 3.4B.3 of a published standard which outlines
minimal requirements for compliance with CARS, requires that flight attendants
on carriers like Air Canada “relay safety related
messages to passengers (e.g. whenever flight conditions change, abnormal or
emergency situations).” The Tribunal ignored this and ignored the evidence
which supported the proposition that without an attendant for a passenger with
severe visual and auditory impairments, the carrier cannot communicate safety
information in an emergency situation.
[43]
Air Canada acknowledges the Tribunal’s
ability to suspend the application of other legislation in granting a remedy
but submits that the Tribunal failed to respect limits in the exercise of that
ability.
[44]
Air
Canada further submits that the Tribunal made conclusions about the state of
the law in the United
States
which it felt supported its decision. The Tribunal fundamentally misunderstood
the uncontradicted expert evidence. The expert, in fact, testified that the U.S. law in question (DOT
Part 382), allows carriers to require an attendant when a passenger is unable
to receive safety information due to severe auditory and visual impairments at
any time during a flight. The Tribunal clearly ignored his testimony when it
held that under U.S. law a carrier can only
require an attendant for a deaf/blind passenger when that passenger cannot
establish some means of communications with carrier personnel adequate to
permit the transmission of the pre-flight information only.
Written Submissions of
the Respondent, Commission
[45]
The Commission agrees
that the standard of review on the issue of jurisdiction is correctness,
however, on the issues of the interpretation of the CHRA and the appreciation
of the facts and evidence, the proper standard of review is reasonableness.
[46]
With
regard to the issue of jurisdiction, the Commission simply submits that the
paramountcy of human rights law makes it possible for two tribunals to have
concurrent jurisdiction to adjudicate human rights matters. However, the final
decision will reside in the decision maker to which the complaint is referred
by the Commission under the CHRA. Even the CTA expressly directs that the
Commission and the Agency coordinate their activities in order to foster complimentary
policies and to avoid jurisdictional conflicts. However, the Commission has a
broad public interest mandate and once the complaint was referred to the Tribunal,
the Tribunal has full jurisdiction to hear and adjudicate the matter under the CHRA.
[47]
Generally,
all administrative tribunals are empowered to resolve human rights issues. A
tribunal’s enabling legislation is paramount but there is only a limited extent
to which Parliament could oust the application of human rights law due to its
quasi-constitutional status. Human rights law is to be interpreted broadly and
offered accessible application. As the “final refuge of the disadvantaged and
the disenfranchised”, human rights law can be rendered meaningless if barriers
are placed in front of it. Thus, if the Agency is to have exclusive
jurisdiction over human rights in the context of transportation, the
legislative direction must be explicit. There is no such direction in the CTA
and thus, the Commission and the Tribunal retain jurisdiction. Just because the
Agency is required to consider human rights law does not mean that it has
exclusive jurisdiction to do so.
[48]
Regarding
the issue of the evidence, the Commission points out that Air Canada does not
suggest that the Tribunal’s decision was unreasonable. Air Canada only takes issue with Tribunal
not accepting some of its evidence. Air Canada simply restates the evidence and submits that
it should have been preferred without explaining why. This does not demonstrate
unreasonableness. There is no reason to believe that the evidence of Ms. Lepage
was not considered. It was repeated in the decision itself. Her evidence was
not relevant since she was a flight attendant and it would have been a
professional from OHS which would have made a determination regarding Mr. Morten
had he been afforded an individual assessment.
[49]
The
allegation by Air Canada that the Tribunal has
ordered it to ignore its flight attendant standard is unfounded. The Tribunal clearly
stated at paragraph 188 of its decision that the remedy was simply that Mr.
Morten be assessed once Air Canada had revised its policy. This did not amount to an order
that Air Canada violate the Aeronautics Act or other legislation. The Tribunal
allowed for sufficient flexibility.
Analysis and Decision
[50]
Issue
1
What
is the standard of review?
The challenge that the Tribunal should
not have to engage in an inquiry or craft a remedy regarding Air Canada’s policy tariffs is a true question of an administrative
tribunal’s jurisdiction. True questions of jurisdiction must be reviewed on the
standard of correctness (see Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190, at
paragraph 59). The Supreme Court in Dunsmuir above, emphasized this
with respect to areas of competing jurisdiction when it stated at paragraph 61:
Questions
regarding the jurisdictional lines between two or more competing specialized
tribunals have also been subject to review on a correctness basis.
[51]
The
applicants’ second challenge is that the Tribunal erred in its account for the
evidence, in particular, the aeronautical laws of Canada and the United
States.
“Account” in that context is a broad term. The applicants seek to have this Court
review the Tribunal’s acceptance, understanding and weighing of that evidence
on the correctness standard. The applicants say that since the Tribunal has
neither experience nor expertise in aeronautical laws, it must have correctly
accounted for that evidence. I cannot agree.
[52]
The
Supreme Court of Canada has indicated a presumption that administrative decisions
within the decision maker’s jurisdiction are to be afforded deference and
reviewed against the standard of reasonableness unless a correctness review is
required (see
Dunsmuir
above,
Canada (Citizenship and Immigration) v. Khosa, 2009 SCC 12, [2009] 1 S.C.R.
339). This concept was stated by Mr. Justice Binnie in Khosa above, at
paragraph 25:
…Dunsmuir recognized that with or
without a privative clause, a measure of deference has come to be accepted as
appropriate where a particular decision had been allocated to an administrative
decision maker rather than to the courts….
[53]
The
CHRA creates a statutory regime of broad application. The Tribunal’s expertise
is in human rights which arise in a wide variety of contexts. It is acceptable
for the Commission and Tribunal to analyze medical reports presented to them to
arrive at factual conclusions. The Tribunal was not applying medical expertise
it did not have (see Irvine v. Canada (Canadian
Armed Forces), 2005 FC 122, 268 F.T.R. 201 at paragraphs 35 and 36, aff’d
2005 FCA 432).
[54]
It
would not make sense, on the one hand, to accept that the Tribunal’s ultimate
decisions are subject to deference, but simultaneously afford the Tribunal no
deference whatsoever anytime it has regard for laws or regulations in any field
of activity in which the human rights issue arises. Parliament cannot have
intended that the Tribunal only be allocated decision making with regard to
human rights arising within contexts and subject areas which the Tribunal has
background expertise. Therefore, I cannot accept that simply because the Tribunal
heard and accepted evidence of aeronautical regulations, the standard of review
becomes correctness.
[55]
The
Court in Dunsmuir above, stated at paragraph 51 that:
…questions of fact, discretion and policy
as well as questions where the legal issues cannot be easily separated from the
factual issues generally attract a standard of reasonableness…
The evidence regarding Canadian and
American aeronautical laws arose in the “Remedy” section of the Tribunal’s
decision and provided a part of the factual and regulatory background against
which the Tribunal intended to affix its remedy. The Tribunal’s account of that
evidence is entitled to deference and should be reviewed on the reasonableness
standard if jurisdiction is found.
[56]
Issue
2
Did the Tribunal act without
jurisdiction when it heard Mr. Morten’s case?
Both Air Canada and the
Canadian Transportation Agency allege that the Tribunal acted without
jurisdiction when it heard Mr. Morten’s case because, on the facts of this
case, the Agency had exclusive jurisdiction to hear and determine the matter.
[57]
It should be noted that the award of $10,000 to
Mr. Morten is not the subject of review on this judicial review. Air Canada has already paid this amount to Mr.
Morten and does not contest the award.
[58]
Part V of the CTA
titled “TRANSPORTATION OF PERSONS WITH DISABILITIES” contains three sections.
Section 170 empowers the Agency to “make regulations for the purpose of
eliminating undue obstacles in the transportation network”, including
regulations respecting the “conditions of carriage applicable in respect of the
transportation of persons with disabilities”. Section 171 makes reference to
the Commission and states that the Commission and the Agency must coordinate
their activities in relation to the transportation of persons with disabilities
in order to foster complementary policies and practices and to avoid
jurisdictional conflicts.
[59]
Under
section 172(1), the Agency “may, on application, inquire into a matter in
relation to which a regulation could be made under subsection 170(1),
regardless of whether such a regulation has been made, in order to determine
whether there is an undue obstacle to the mobility of persons with
disabilities.” Where the Agency determines that an undue obstacle to the
mobility of persons with disabilities exists, the Agency may, pursuant to
subsection 172(3), require the taking of appropriate corrective measures.
Decisions of the Agency ordering remedial measures may be appealed with leave
to the Federal Court of Appeal pursuant to subsection 41(1).
[60]
The
above sections give teeth to the statement in the National Transportation
Policy that Canada’s
transportation services will be accessible to persons with disabilities (CTA subsection
5(d)).
[61]
The
Supreme Court of Canada looked extensively at the mandate and jurisdiction of
the Agency to handle human rights issues and order remedial action in VIA
Rail above. That case concerned VIA Rail’s purchase of 139 rail cars which,
despite some modifications, were not accessible to people in wheelchairs. The
Council of Canadians with Disabilities (CCD) applied to the Agency under section
172 of the CTA. Once seized of the issue, the Agency made inquiries and
inspected the rail cars and the methods by which VIA Rail proposed to
accommodate persons using wheelchairs. The Agency also allowed and heard oral
arguments from the parties. The Agency considered that there were undue
obstacles to the mobility of persons with disabilities and communicated to VIA Rail
its expectations for getting it’s intended fleet into a reasonably
accommodating state. VIA Rail argued that the various options would be too
expensive and too onerous to undertake. Ultimately, the Agency was not
convinced and ordered VIA Rail to implement six remedial measures, five of
which involved making physical changes to the cars with cost implications.
[62]
The
majority decision authored by Justice Abella determined that Parliament, with
its enactment of the CTA, intended the Agency, and not the Commission, to
assess barriers in the unique transportation context. Importantly, the majority
also held upon examination of the precise wording of the CTA, that the test set
out therein to assess “undue obstacles” was exactly the same as the test for
“reasonable accommodation” or “undue hardship” from British Columbia
(Superintendent of Motor Vehicles) v. British Columbia (Council of Human
Rights), [1999] 3 S.C.R. 868, [1999] S.C.J. No. 73 (QL) (Grismer),
used by the Tribunal in many other contexts.
[63]
The
crux of the VIA Rail above decision lies in the following passage:
133 It bears repeating that
"[i]t is important to remember that the duty to accommodate is limited by
the words 'reasonable' and 'short of undue hardship'. Those words do not
constitute independent criteria. Rather, they are alternate methods of
expressing the same concept": Chambly,
at para. 33 (…). The factors set out in s. 5 of the Canada Transportation
Act flow out of the very balancing inherent in a "reasonable
accommodation" analysis. Reconciling accessibility for persons with
disabilities with cost, economic viability, safety, and the quality of service
to all passengers (some of the factors set out in s. 5 of the Act) reflects the
reality that the balancing is taking place in a transportation context which,
it need hardly be said, is unique.
134 Setting out the factors is
Parliament's way of acknowledging that the considerations for weighing the
reasonableness of a proposed accommodation vary with the context. It is an
endorsement of, not a rebuke to the primacy of human rights principles,
principles which anticipate, as this Court said in Chambly and Meiorin, that flexibility and
common sense will not be disregarded.
135 Each of the factors delineated in
s. 5 of the Act is compatible with those that apply under human rights
principles. …
136 Section 5 of the Canada
Transportation Act, together with s. 172(1), constitute a legislative
direction to the Agency to determine if there is an "undue obstacle"
to the mobility of persons with disabilities. Section 5(g)(ii) of the Act
states that it is essential that "each carrier or mode of transportation, as
far as is practicable, carries traffic to or from any point in Canada under
fares, rates and conditions that do not constitute an undue obstacle to
the mobility of persons, including persons with disabilities". The
Agency's authority to identify and remedy "undue obstacles" to the
mobility of persons with disabilities requires that it implement the principle
that persons with disabilities are entitled to the elimination of
"undue" or "unreasonable" barriers, namely those barriers
that cannot be justified under human rights principles.
137 The qualifier, "as far as is
practicable", is the statutory acknowledgment of the "undue
hardship" standard in the transportation context. The fact that the
language is different does not make it a higher or lower threshold than what
was stipulated in Meiorin: (…). The same evaluative balancing is
required in assessing how the duty to accommodate will be implemented.
138 That is precisely why
Parliament charged the Agency with the public responsibility for assessing
barriers, not the Canadian Human Rights Commission. The Agency uniquely has the
specialized expertise to balance the requirements of those with disabilities
with the practical realities - financial, structural and logistic - of a
federal transportation system.
(Underlining
my emphasis)
[64]
The
applicants argue that the applicable provisions of the CTA combined with the decision
in VIA Rail above, give the Agency exclusive jurisdiction to hear the
matter.
[65]
In Canada (House of Commons) v. Vaid, 2005 SCC 30, [2005] 1 S.C.R.
667, the Supreme Court dealt with the competing jurisdiction of two
administrative regimes in the employment-human rights context. The Court
concluded that the Parliamentary Employment and Staff Relations Act,
R.S.C. 1985, c. 33 (2nd Supp.) (PESRA) and not the competing Commission, had
exclusive jurisdiction over a Parliamentary employee’s complaint that he was
discriminated against and constructively dismissed on the basis of his race.
Exclusive jurisdiction could be found where Parliament’s intention to have an
adjudicative body resolve a dispute obliges an individual to seek relief there.
[66]
The
Vaid above Court posed the question as follows:
90 I have concluded, as stated, that
the Canadian Human Rights Act anti-discrimination norms are applicable
to parliamentary employees. The remaining question is whether the
investigatory and adjudicatory Canadian Human Rights Act procedures also
apply as the respondents contend, or whether the respondent Vaid is obliged to
seek relief under PESRA.
91 The Court has in a number of cases
been required to examine competing legislative schemes to determine which of
the potential adjudicative bodies is intended by the legislature to resolve a
dispute. Mr. Vaid's claim of workplace discrimination and harassment could
potentially fall under both PESRA and the Canadian Human Rights Act. The
allegation of jurisdiction in such circumstances is a familiar administrative
law problem, even in the context of human rights tribunals …
93 The fact
that the respondent Vaid claims violations of his human rights does not
automatically steer the case to the Canadian Human Rights Commission because
"one must look not to the legal characterization of the wrong, but to the
facts giving rise to the dispute" (Weber v. Ontario Hydro, [1995] 2
S.C.R. 929, at para. 49; St. Anne Nackawic Pulp & Paper Co. v. Canadian
Paper Workers Union, Local 219, [1986] 1 S.C.R. 704, at p. 721).
(Emphasis
added)
[67]
The Court concluded that
although Mr. Vaid’s specific allegations included allegations of racial
discrimination, there was nothing to lift the complaints out of their specific
employment context (at paragraph 94). Ultimately, it was an employment dispute
with a human rights component, but not the other way around as stated at
paragraph 98:
98 In
this case, we are not dealing with an allegation of systemic discrimination. We
are dealing with a single employee who says he was wrongfully dismissed against
a background of alleged discrimination and harassment. A different dispute may
involve different considerations that may lead to a complaint properly falling
under the jurisdiction of the Canadian Human Rights Commission. But that is not
this case.
[68]
In my view,
the intention of Parliament is quite clear. While one could conceive of cases
where the Commission and Tribunal might have jurisdiction, that is not the
situation on the facts of this case.
[69]
I am of the opinion
that Parliament’s intention was that the Agency and not the Commission or Tribunal
would handle such complaints when they relate to a carrier’s policies, tariffs
or transportation regulations. It would not make sense if two distinctively
separate administrative bodies competed for oversight and management of
carriers’ policies and tariffs.
[70]
Paragraph 41(1)(b) of the CHRA allows the Commission to refer
complaints more appropriately dealt with according to a procedure provided for
under another Act of Parliament. Paragraph 44(2)(b) provides another opportunity
for referral to the Agency after the Commission has conducted an investigation
and prepared a report.
[71]
In the present case, the
Commission referred Mr. Morten’s case to the Tribunal despite the fact that the
Agency had previously rendered its own decision on the matter in 2005. The Tribunal
made the preliminary determination that the Agency decision, which pre-dated
the Supreme Court’s decision in VIA Rail above, fell “far short of what
would be required under the VIA Rail test.”
[72]
VIA Rail above, marked a fundamental
change in the method under which the Agency was required to handle human rights
complaints. As noted above, it confirmed that the Agency was to apply the same
test when assessing an “undue obstacle” under section 5 of the CTA, as human
rights tribunals across the country applied when assessing “undue hardship” (VIA
Rail above, at paragraphs 134 to 137). This is commonly referred to as the Meiorin
test after the Supreme Court decision in British Columbia (Public
Service Employee Relations Commission) v. British Columbia Government and Service
Employees' Union,
[1999] 3 S.C.R. 3, [1999] S.C.J. No. 46 (QL) (Meiorin). There is
evidence that before VIA Rail above, the Agency did not consistently
apply a similar test. Indeed, in the Agency decision regarding Mr. Morten’s
claim, there is no discussion of the Meorin test or the duty to
accommodate. In the Agency’s 2003 Decision No. 175-AT-R-2003 which precipitated
the VIA Rail above court proceedings, the Agency clearly indicates this
difference at page 17:
… The Agency also has
a human rights mandate found in Part V of the legislation and the national
transportation policy reflects the importance of having a federal transportation
network that is accessible to persons with disabilities. However, in its
elucidation of that mandate, Parliament specifically inserted the notion of
practicability in the policy and had directed the Agency to consider whether
the needs of persons with disabilities have been accommodated as far as
practicable.
The Agency
notes that the notion of practicability has been specifically rejected by the
courts in their assessment of the appropriate standard to be adopted by human
rights bodies and courts in favour of the use of a standard closer to
impossibility. In this way, and in that context, human rights bodies and courts
have been directed to require something much more than evidence of the
impracticability of accommodating measures before they will find that the
failure to accommodate is justified. The Agency is of the opinion, however,
that it cannot adopt this higher standard…
[73]
While the
Supreme Court upheld the Agency’s ultimate decision in Via Rail above,
the court clearly overturned any notion of a different standard. The Agency now
agrees that it applies the Meorin test to human rights complaints.
[74]
The Supreme Court of
Canada has made it very clear that the Agency can deal with a human rights
complaint as part of a complaint that arises in the context of the federal
transportation system.
[75]
It should also be
noted that the Agency has already made a decision with respect to Mr. Morten’s
complaint. It does not seem proper for the Tribunal to be sitting in appeal of
that decision. There are other routes available to attempt to appeal the
Agency’s decision.
[76]
In conclusion, it is
my view that the Tribunal, based on the facts of this case, acted beyond its
jurisdiction. The matter falls to be heard by the Agency including the human
rights aspect of the case since the test to be applied when assessing an undue
obstacle under section 5 of the CTA is the same test as human rights tribunals
across the country applied when assessing undue hardship (see Via Rail
above, at paragraphs 134 to 137).
[77]
Because of my
decision with respect to jurisdiction, I need not deal with the remaining
issues.
[78]
The applications for
judicial review must be allowed and the decision of the Tribunal must be set
aside except for the $10,000 award for pain and suffering which was not
appealed and has been paid.
[79]
I retain jurisdiction
to deal with any issues that may arise from this judgment and reasons.
“John
A. O’Keefe”
ANNEX
Relevant
Statutory Provisions
Canadian
Human Rights Act,
R.S.C. 1985, c. H-6
5. It is a discriminatory practice in the
provision of goods, services, facilities or accommodation customarily
available to the general public
(a) to deny,
or to deny access to, any such good, service, facility or accommodation to
any individual, or
(b) to differentiate
adversely in relation to any individual,
on a
prohibited ground of discrimination.
. . .
15.(1) It is
not a discriminatory practice if
. . .
(g) in the
circumstances described in section 5 or 6, an individual is denied any goods,
services, facilities or accommodation or access thereto or occupancy of any
commercial premises or residential accommodation or is a victim of any
adverse differentiation and there is bona fide justification for that denial
or differentiation.
(2) For any
practice mentioned in paragraph (1)(a) to be considered to be based on a bona
fide occupational requirement and for any practice mentioned in paragraph
(1)(g) to be considered to have a bona fide justification, it must be
established that accommodation of the needs of an individual or a class of
individuals affected would impose undue hardship on the person who would have
to accommodate those needs, considering health, safety and cost.
. . .
41.(1) Subject to section 40, the
Commission shall deal with any complaint filed with it unless in respect of
that complaint it appears to the Commission that
(a) the
alleged victim of the discriminatory practice to which the complaint relates
ought to exhaust grievance or review procedures otherwise reasonably
available;
(b) the
complaint is one that could more appropriately be dealt with, initially or
completely, according to a procedure provided for under an Act of Parliament
other than this Act;
(c) the
complaint is beyond the jurisdiction of the Commission;
(d) the
complaint is trivial, frivolous, vexatious or made in bad faith; or
(e) the
complaint is based on acts or omissions the last of which occurred more than
one year, or such longer period of time as the Commission considers
appropriate in the circumstances, before receipt of the complaint.
. . .
44.(1) An
investigator shall, as soon as possible after the conclusion of an
investigation, submit to the Commission a report of the findings of the
investigation.
(2) If, on
receipt of a report referred to in subsection (1), the Commission is
satisfied
(a) that the
complainant ought to exhaust grievance or review procedures otherwise
reasonably available, or
(b) that the
complaint could more appropriately be dealt with, initially or completely, by
means of a procedure provided for under an Act of Parliament other than this
Act,
it shall refer
the complainant to the appropriate authority.
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5. Constitue
un acte discriminatoire, s’il est fondé sur un motif de distinction illicite,
le fait, pour le fournisseur de biens, de services, d’installations ou de
moyens d’hébergement destinés au public :
a) d’en priver
un individu;
b) de le
défavoriser à l’occasion de leur fourniture.
. . .
15.(1)
Ne constituent pas des actes discriminatoires :
. . .
g) le fait
qu’un fournisseur de biens, de services, d’installations ou de moyens
d’hébergement destinés au public, ou de locaux commerciaux ou de logements en
prive un individu ou le défavorise lors de leur fourniture pour un motif de
distinction illicite, s’il a un motif justifiable de le faire.
(2)
Les faits prévus à l’alinéa (1)a) sont des exigences professionnelles
justifiées ou un motif justifiable, au sens de l’alinéa (1)g), s’il est
démontré que les mesures destinées à répondre aux besoins d’une personne ou
d’une catégorie de personnes visées constituent, pour la personne qui doit
les prendre, une contrainte excessive en matière de coûts, de santé et de
sécurité.
. . .
41.(1)
Sous réserve de l’article 40, la Commission statue sur toute plainte dont
elle est saisie à moins qu’elle estime celle-ci irrecevable pour un des
motifs suivants :
a)
la victime présumée de l’acte discriminatoire devrait épuiser d’abord les
recours internes ou les procédures d’appel ou de règlement des griefs qui lui
sont normalement ouverts;
b)
la plainte pourrait avantageusement être instruite, dans un premier temps ou
à toutes les étapes, selon des procédures prévues par une autre loi fédérale;
c)
la plainte n’est pas de sa compétence;
d) la plainte
est frivole, vexatoire ou entachée de mauvaise foi;
e)
la plainte a été déposée après l’expiration d’un délai d’un an après le
dernier des faits sur lesquels elle est fondée, ou de tout délai supérieur
que la Commission estime indiqué dans les circonstances.
. .
.
44.(1)
L’enquêteur présente son rapport à la Commission le plus tôt possible après
la fin de l’enquête.
(2)
La Commission renvoie le plaignant à l’autorité compétente dans les cas où,
sur réception du rapport, elle est convaincue, selon le cas :
a) que le
plaignant devrait épuiser les recours internes ou les procédures d’appel ou
de règlement des griefs qui lui sont normalement ouverts;
b)
que la plainte pourrait avantageusement être instruite, dans un premier temps
ou à toutes les étapes, selon des procédures prévues par une autre loi
fédérale.
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Canada Transportation Act, S.C. 1996, c. 10
5. It is
declared that a competitive, economic and efficient national transportation
system that meets the highest practicable safety and security standards and
contributes to a sustainable environment and makes the best use of all modes
of transportation at the lowest total cost is essential to serve the needs of
its users, advance the well-being of Canadians and enable competitiveness and
economic growth in both urban and rural areas throughout Canada. Those
objectives are most likely to be achieved when
(a)
competition and market forces, both within and among the various modes of
transportation, are the prime agents in providing viable and effective
transportation services;
(b) regulation
and strategic public intervention are used to achieve economic, safety,
security, environmental or social outcomes that cannot be achieved
satisfactorily by competition and market forces and do not unduly favour, or
reduce the inherent advantages of, any particular mode of transportation;
(c) rates and
conditions do not constitute an undue obstacle to the movement of traffic
within Canada or to the export of goods from Canada;
(d) the
transportation system is accessible without undue obstacle to the mobility of
persons, including persons with disabilities; and
(e)
governments and the private sector work together for an integrated
transportation system.
. . .
170.(1) The
Agency may make regulations for the purpose of eliminating undue obstacles in
the transportation network under the legislative authority of Parliament to
the mobility of persons with disabilities, including regulations respecting
(a) the
design, construction or modification of, and the posting of signs on, in or
around, means of transportation and related facilities and premises,
including equipment used in them;
(b) the
training of personnel employed at or in those facilities or premises or by
carriers;
(c) tariffs,
rates, fares, charges and terms and conditions of carriage applicable in
respect of the transportation of persons with disabilities or incidental
services; and
(d) the
communication of information to persons with disabilities.
(2)
Regulations made under subsection (1) incorporating standards or enactments
by reference may incorporate them as amended from time to time.
(3) The Agency
may, with the approval of the Governor in Council, make orders exempting
specified persons, means of transportation, services or related facilities
and premises from the application of regulations made under subsection (1).
171. The
Agency and the Canadian Human Rights Commission shall coordinate their
activities in relation to the transportation of persons with disabilities in
order to foster complementary policies and practices and to avoid
jurisdictional conflicts.
172.(1) The
Agency may, on application, inquire into a matter in relation to which a
regulation could be made under subsection 170(1), regardless of whether such
a regulation has been made, in order to determine whether there is an undue
obstacle to the mobility of persons with disabilities.
(2) Where the
Agency is satisfied that regulations made under subsection 170(1) that are
applicable in relation to a matter have been complied with or have not been
contravened, the Agency shall determine that there is no undue obstacle to
the mobility of persons with disabilities.
(3) On
determining that there is an undue obstacle to the mobility of persons with
disabilities, the Agency may require the taking of appropriate corrective
measures or direct that compensation be paid for any expense incurred by a
person with a disability arising out of the undue obstacle, or both.
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5. Il
est déclaré qu’un système de transport national compétitif et rentable qui
respecte les plus hautes normes possibles de sûreté et de sécurité, qui
favorise un environnement durable et qui utilise tous les modes de transport
au mieux et au coût le plus bas possible est essentiel à la satisfaction des
besoins de ses usagers et au bien-être des Canadiens et favorise la
compétitivité et la croissance économique dans les régions rurales et
urbaines partout au Canada. Ces
objectifs sont plus susceptibles d’être atteints si :
a) la
concurrence et les forces du marché, au sein des divers modes de transport et
entre eux, sont les principaux facteurs en jeu dans la prestation de services
de transport viables et efficaces;
b)
la réglementation et les mesures publiques stratégiques sont utilisées pour
l’obtention de résultats de nature économique, environnementale ou sociale ou
de résultats dans le domaine de la sûreté et de la sécurité que la
concurrence et les forces du marché ne permettent pas d’atteindre de manière
satisfaisante, sans pour autant favoriser indûment un mode de transport donné
ou en réduire les avantages inhérents;
c)
les prix et modalités ne constituent pas un obstacle abusif au trafic à
l’intérieur du Canada ou à l’exportation des marchandises du Canada;
d) le système
de transport est accessible sans obstacle abusif à la circulation des
personnes, y compris les personnes ayant une déficience;
e)
les secteurs public et privé travaillent ensemble pour le maintien d’un
système de transport intégré.
. . .
170.(1)
L’Office peut prendre des règlements afin d’éliminer tous obstacles abusifs,
dans le réseau de transport assujetti à la compétence législative du
Parlement, aux possibilités de déplacement des personnes ayant une déficience
et peut notamment, à cette occasion, régir :
a) la
conception et la construction des moyens de transport ainsi que des
installations et locaux connexes — y compris les commodités et l’équipement
qui s’y trouvent — , leur modification ou la signalisation dans ceux-ci ou
leurs environs;
b) la
formation du personnel des transporteurs ou de celui employé dans ces
installations et locaux;
c) toute
mesure concernant les tarifs, taux, prix, frais et autres conditions de
transport applicables au transport et aux services connexes offerts aux
personnes ayant une déficience;
d) la
communication d’information à ces personnes.
(2)
Il peut être précisé, dans le règlement qui incorpore par renvoi des normes
ou des dispositions, qu’elles sont incorporées avec leurs modifications
successives.
(3)
L’Office peut, par arrêté pris avec l’agrément du gouverneur en conseil,
soustraire à l’application de certaines dispositions des règlements les
personnes, les moyens de transport, les installations ou locaux connexes ou
les services qui y sont désignés.
171. L’Office et la Commission
canadienne des droits de la personne sont tenus de veiller à la coordination
de leur action en matière de transport des personnes ayant une déficience
pour favoriser l’adoption de lignes de conduite complémentaires et éviter les
conflits de compétence.
172.(1)
Même en l’absence de disposition réglementaire applicable, l’Office peut, sur
demande, enquêter sur toute question relative à l’un des domaines visés au
paragraphe 170(1) pour déterminer s’il existe un obstacle abusif aux
possibilités de déplacement des personnes ayant une déficience.
(2)
L’Office rend une décision négative à l’issue de son enquête s’il est
convaincu de la conformité du service du transporteur aux dispositions
réglementaires applicables en l’occurrence.
(3)
En cas de décision positive, l’Office peut exiger la prise de mesures
correctives indiquées ou le versement d’une indemnité destinée à couvrir les
frais supportés par une personne ayant une déficience en raison de l’obstacle
en cause, ou les deux.
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