Date: 20120531
Docket: DES-7-08
Citation:
2012 FC 669
Ottawa, Ontario,
May 31, 2012
PRESENT: The
Honourable Mr. Justice Blanchard
BETWEEN:
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IN THE MATTER OF A CERTIFICATE
SIGNED PURSUANT TO SUBSECTION 77(1) OF THE IMMIGRATION AND REFUGEE PROTECTION
ACT (IRPA);
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IN THE MATTER OF THE REFERRAL
OF A CERTIFICATE TO THE FEDERAL COURT OF CANADA PURSUANT TO SUBSECTION 77(1)
OF THE IRPA;
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AND IN THE MATTER OF MOHAMED
ZEKI MAHJOUB
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REASONS FOR
ORDER AND ORDER
[1]
By
notice of motion dated September 16, 2011, Mr. Mahjoub seeks:
“(i) A
permanent stay of proceedings in conformity with sections 7, 8 and 24(1) of the
Canadian Charter of Rights and Freedoms, [Part I of the Constitution
Act, 1982, being Schedule B to the Canada Act 1982 (UK), 1982, c.
11] (hereinafter the Charter) and section 50 of the Federal Courts Act
[R.S.C. 1985, c. F-7];
(ii) An
order for the release without conditions of the Applicant;
(iii) An
order reserving the right of the parties to present further submissions for the
retrieval, sealing or destruction of the co-mingled material;
(iv) in the
alternative, such further and other remedy as this Honourable Court considers
appropriate and just in the circumstances including the removal of [Department
of Justice] DOJ counsel and legal staff on record and CBSA [Canadian Border
Services Agency]/ CSIS [Canadian Security Intelligence Service] staff;”
[2]
Mr.
Mahjoub states the following grounds in support of his motion:
“1. The
Department of Justice (DOJ) breached Mr. Mahjoub’s right to retain and instruct
legal counsel in private, his rights to solicitor-client privilege and to
litigation privilege by:
(i) The
seizure and the possession, on or about July 20 and 21, 2011, of the entirety
of confidential material from Mr. Mahjoub’s file, which was left in the
confidential break out room at the Federal Court in Toronto by Public Counsel;
(ii) The
manipulation of the confidential material from Mr. Mahjoub’s file by DOJ
staff members and/or legal counsel between July 20-21 and September 1, 2011;
(iii) The
co-mingling of confidential material from Mr. Mahjoub’s file by DOJ staff
members and/or legal counsel with material from the DOJ’s file;
(iv) The
review of confidential material from Mr. Mahjoub’s file by DOJ staff and
one or more litigation counsel;
II. The
separation and retrieval of the co-mingled documents would necessarily imply reading
a part of the documents by both parties in order to assess what belongs to
whom and it is therefore impossible to do without a risk of breach of
solicitor-client privilege and/or litigation privilege and a risk of favouring
the Ministers.
III. This
breach of Mr. Mahjoub’s right to solicitor-client privilege and litigation
privilege is aggravated by the fact that the Applicant’s right to retain and
communicate in private with his lawyers has already been systematically
violated by CSIS, since 1996, during the investigation by the application of
OPS-211 and during the Court proceedings;”
[3]
In
essence, Mr. Mahjoub argues that there has been a violation of his section 7
and section 8 Charter rights as a result of the Ministers taking
possession of his documents and that the only appropriate remedy is a permanent
stay of proceedings.
[4]
In
response, the Ministers argue that Mr. Mahjoub has not established that the
materials at issue are privileged, or that the materials have not lost their
privileged status by virtue of the privileged information now being in the
public domain. They contend that, should the Court find that privilege
is established, they have rebutted the legal presumption. They argue
that there is no risk that the information will be used to prejudice Mr.
Mahjoub should the proceedings continue because no one from the
Ministers’ team read Mr. Mahjoub’s documents. Finally, the Ministers argue that,
were the Court to find that they have not rebutted the legal presumption of
risk, a stay of proceedings is not the appropriate remedy in the circumstances.
FACTS
[5]
The
following events give rise to this motion.
[6]
On
July 14, 2011, the public portion of the reasonableness hearing in Toronto was
adjourned. At this time, there remained four witnesses to be called. Although
no dates for their testimony had been set, the reasonableness hearing was to
resume in late August or early September 2011.
[7]
On
July 15, 2011, the Designated Registry Officer advised the parties to remove
their materials from the Courtroom with the following email:
Just
to let you all know that while Courtroom 6-D needs to be cleaned out by the end
of next week you can continue to store any material in your respective breakout
rooms until we reconvene in late August early September here in Toronto.
[8]
On
the same day, the Ministers advised the Designated Registry Officer by email
that two legal assistants would arrive at the Court at approximately 2.00 p.m.
to assess the situation and to possibly take some or all of the materials back
to the DOJ. The Designated Registry Officer replied advising that the
Commissionaires on the 6th floor would be expecting them.
[9]
The
Ministers’ legal assistants Ms. Kamal Dean and Ms. Irena Krakowksa attended the
Court on that afternoon. A Commissionaire unlocked Courtroom 6-D as well as the
adjacent breakout rooms 6013 (the Ministers’ breakout room) and 6011 (Mr.
Mahjoub’s breakout room).
[10]
In
her affidavit, Ms. Dean claims that the Commissionaire asked them to move the
documents from breakout room 6013 to breakout room 6011, as the former was
going to be used before the resumption of Mr. Mahjoub’s case. A report by the
Registry requested by the Court and provided to the parties revealed that the
Commissionaire denies having given such instructions. Ultimately, the parties
have not disputed the findings of the report nor have they pursued this issue.
[11]
The
evidence establishes that the Ministers’ legal assistants moved documents
belonging to the Ministers from the courtroom and the Ministers’ breakout room
into Mr. Mahjoub’s breakout room. Loose papers on the Ministers’ counsel table
in the courtroom and on the tables in the breakout rooms were packed in several
boxes.
[12]
Upon
their return to the DOJ on the same day, July 15, 2011, Ms. Dean sent an
email to the Ministers’ litigation team working on the Mahjoub file (Mahjoub
team) advising that she and Ms. Krakowska had “emptied courtroom 6D & prep
room 6013 [and] moved everything to prep room 6011 for now.” The record does
not establish who was on the Mahjoub team but the team includes legal counsel,
legal assistants and a paralegal. The record also indicates that no one from
the Mahjoub team responded to the email.
[13]
On
July 19, 2011, the Mahjoub team met and discussed the retrieval and
organization of the materials still at the courthouse. It was decided that Ms.
Dean would arrange for the return of the materials and Ms. Jill Schneider, a
paralegal at the DOJ, would organize the materials once they arrived.
[14]
On
July 20, 2011, Ms. Dean returned to the Court with legal assistants for the
Ministers Larissa Goodyear, Janet Lewicki and Genevieve Rondeau. They collected
some of the boxes that were now in Mr. Mahjoub’s breakout room and brought them
to office 916 at the DOJ in Toronto. Ms. Dean and Ms. Goodyear collected
the remainder of the boxes on July 21, 2011. Ms. Dean attests that all of the
documents were packed in boxes, which remained closed during transportation.
Also on July 21, 2011, Ms. Dean emailed the Mahjoub team advising that all of
the boxes from the Court were now in office 916 at the DOJ.
[15]
During
the mornings of July
25 to 27, 2011, Ms. Dean assisted Ms. Schneider in sorting documents in boxes stored
in office 916. Ms. Dean helped Ms. Schneider verify that the boxes contained a
complete copy of each exhibit, as established by an exhibit list. Ms. Dean only
looked at the title page and back page of the documents and did not notice any
handwritten annotations. Ms. Dean had no further involvement with the materials
at issue after July 27, 2011. Ms. Schneider worked alone in office 916 for one
to two hours in each of the afternoons of July 25-27, 2011.
[16]
On
August 8, 2011, Ms. Schneider met with Mr. Daniel Engel, counsel employed by
DOJ and a member of the Mahjoub team, for approximately 10 minutes in office
916 for further instructions as to which materials needed to return to the
Court for the eventual resumption of the hearing. Together, they opened two or
three boxes and “flipped through the material.” “It became immediately clear
that the contents of the boxes needed to be organized into categories” before
further review could take place. Upon giving these instructions to Ms.
Schneider, Mr. Engel left office 916 and had no further contact with the
materials at issue. He does not recall having seen any materials belonging to
Mr. Mahjoub.
[17]
During
the week of August 8, 2011, Ms. Schneider proceeded with the sorting and organization
of the materials into categories on her own. Motion records filed by Mr. Mahjoub
were filed in boxes labeled “Mahjoub Documents”; motion records filed by the
Ministers were filed in boxes labeled “Ministers’ Documents”; exhibits filed in
the open court were filed in boxes labeled “Exhibits” according to the exhibit
list kept by the Court. Other boxes were labeled “Court orders and directions”,
“SIRS”, and “Transcripts and summaries”.
[18]
In
organizing the materials, Ms. Schneider looked at the title and the back page
of documents to identify them. She did not read or look at the content of the
documents and does not recall seeing handwritten notations on the documents
that she looked at. She had received instruction from Ministers’ counsel to
ensure that there be three copies of the exhibits – one to return to the Court,
one to remain in the DOJ’s offices and a third copy to be kept by the assistant
to the lead counsel on the file. To that end, Ms. Schneider photocopied certain
exhibits. In her estimation, she photocopied less than 100 pages. She also sent
a small number of lengthy documents to be photocopied by Legal Print & Copy
Inc., a bonded photocopying service used by the DOJ. The receipt the Ministers
believe to be related to the documents sent to Legal Print & Copy Inc. by Ms.
Schneider indicates that 1,151 letter sized pages and 2 legal sized pages were
photocopied.
[19]
Ms.
Schneider removed duplicates of documents and placed them on the floor in
office 916. She also set aside eight boxes that contained “miscellaneous
documents” (correspondence, handwritten notes and case law) for which she required
further instructions as to their organization.
[20]
On
August 12, 2011, Ms. Schneider sent an email to the Mahjoub team explaining how
she had organized the materials and asking whether a counsel could “go into
office 916 during [her] vacation the following week to review the eight boxes
of miscellaneous documents and advise how these documents were to be
organized.”
[21]
Upon
Ms. Schneider’s return to work on August 22, 2011, she noticed that the eight
boxes of miscellaneous documents had not been touched during her absence. She
sent another email to the Ministers’ team requesting assistance from counsel. Ms.
Sharon Stewart Guthrie, counsel of record and member of the Mahjoub team,
responded and met Ms. Schneider in office 916 for approximately 10-15 minutes to
provide further instructions on organizing the eight boxes containing
miscellaneous documents that had been set aside. Ms. Stewart Guthrie opened
three of the boxes. In the first box, she saw file folders with French
handwritten labels, which she did not open. She then closed the box. In the
second box, she saw the first pages of publicly available reports before
closing the box. In the third box, she saw printed copies of jurisprudence
referred to by both parties during the proceedings, a printed copy of an email
between two members of the Ministers’ litigation team, and a single handwritten
page in handwriting she did not recognize with the name “Tyndale” on the left
of the page. As she believed that no one from the Ministers’ litigation team
would refer to lead counsel Mr. David Tyndale as “Tyndale”, she believed that
some of the materials in those boxes did not belong to the Mahjoub team. Ms.
Stewart Guthrie attests she did not read anything else on the page other than
the name “Tyndale”. She closed the third box.
[22]
After
leaving office 916, Ms. Stewart Guthrie spoke with Ms. Nimanthika Kaneira,
counsel employed by DOJ and member of the Mahjoub team, as well as with Ms.
Dean. Ms. Stewart Guthrie then advised Mr. Tyndale, Senior Counsel of record for
DOJ on the Mahjoub team, of the situation. Mr. Tyndale directed Ms. Stewart Guthrie
to label and set aside those eight boxes “To be reviewed by Public counsel”,
and draft an email to Public Counsel advising them of the situation and
proposing that the parties meet to separate the materials.
[23]
Ms.
Schneider continued to work in office 916 and to organize the material
contained in the boxes that had not been set aside for most of each day for the
remainder of the week of August 22, 2011.
[24]
On
August 23, 2011, Mr. Tyndale sent the following email to Public Counsel:
In
our review of the material that was returned to our office from the courtroom
and our breakout room after we last adjourned, it came to our attention
yesterday that some boxes may contain some documents that belong to you. We
immediately put those boxes aside and have not read or reviewed these
documents. In order to ensure that your materials are returned to you, I
suggest we meet at our offices to review (separately, but in the same room) the
contents of these boxes. Please let me know if this suggestion is acceptable to
you and if so, when one (or more) of you might be available to review the
materials.
[25]
On
August 30, 2011, Ms. Teresa Martins, an administration officer with the DOJ in Toronto, accompanied two movers to office 916 with boxes belonging to Ms. Amy Lambiris, a
DOJ employee who had been on maternity leave and was to use that office upon
her return. To make room for the boxes, the movers moved some stacks of
documents from the floor to the desk. Ms. Martins did not read any of the
documents in office 916 and did not see the movers read any of the documents.
[26]
On
September 1, 2011, Public Counsel Ms. Johanne Doyon and Ms. Salma El-Khodari, an
assistant in the law office of Public Counsel Mr. Yavar Hameed, attended office
916 at the DOJ in Toronto. Ms. Jocelyn Espejo-Clarke, counsel and member of the
Mahjoub team, and Ms. Kaneira accompanied them to office 916.
[27]
At
the time, Ms. El-Khodary estimated that office 916 contained approximately:
a. 24 boxes of
documents that were marked as the Ministers’ boxes against one wall;
b. a dozen
additional boxes along the other wall;
c. 5 boxes on a
table in front of the window;
d. 8 boxes of
material in a corner that were marked “to be reviewed by counsel”;
e. piles of unboxed
and loose documents on a table in the middle of the room.
[28]
It
has now been established that once the loose documents were placed in boxes,
office 916 contained 60 boxes of materials, in addition to the 15 boxes brought
by the movers belonging to Ms. Lambiris who had been on maternity leave.
[29]
Ms.
El-Khodari and Ms. Doyon noticed that some of the loose documents on the table
in office 916 appeared to belong to Public Counsel. Ms. Espejo-Clarke also
noticed that some of those documents appeared to belong to the Ministers.
[30]
Upon
realizing that some of the documents on the table were co-mingled and that the
co-mingling went beyond the 8 boxes that had been set aside, counsel agreed to
seal the office. Ms. Espejo-Clarke provided an undertaking that no one
would enter the office.
[31]
All
keys for office 916, except for those of the DOJ security office and of the
landlord, were collected and put in the safe of the Regional Director General
of the Ontario Regional Office of the DOJ. The security office and the landlord
were instructed that no one could enter the room until further notice. The
Ministers claim that no one has entered office 916 after September 1, 2011,
until the boxes were eventually ordered returned to the courthouse by
Prothonotary Aalto.
[32]
Ms.
Rhonda Marquis, Deputy Regional Director and Senior Counsel in the Immigration
Law Division of the DOJ in Toronto, states in her affidavit:
Following the securing of office
916, I communicated with every member of the Mahjoub team including the two
legal assistants who had originally boxed the materials for their return to our
office and to the paralegal who had the most access to the materials. All
members of the litigation team, both legal assistants and the paralegal have
advised me that they did not review opposing counsel’s materials.
[33]
Ms.
Marquis also attests:
I
have been advised by CSIS counsel, and do verily believe, that they have not
entered office 916 at any time since July 15, 2011. I have also been advised
and verily believe that no CBSA personnel assigned to the Mahjoub mater [sic]
have entered office 916 at any time since July 15, 2011.
[34]
On
September 2, 2011, Mr. Tyndale emailed Public Counsel to advise them that the
amount of Public Counsel’s material from the breakout rooms delivered to DOJ’s
office was more than originally thought.
[35]
On
September 8, 2011, Mr. Tyndale emailed Public Counsel explaining how the events
leading to the co-mingling of the documents unfolded. On the same day, Mr.
Tyndale sent a similar letter to the Court.
[36]
All
members of the Mahjoub team who entered office 916 prior to it being sealed
have been removed or temporarily removed from the Ministers’ litigation team
pending a final determination of this motion. Ethical walls were put in place
to ensure that the members of the litigation team who were removed received no
further information on the litigation, as well as to ensure that the removed
members would not discuss what they saw, if anything, of Mr. Mahjoub’s
documents, except for purposes of providing affidavits or clarification to
counsel representing the Ministers on this motion. The record does not indicate
the number of individuals belonging to the Mahjoub team nor does it identify its
members. The record also does not indicate when members of the team were
removed or when the ethical walls were put in place. It appears from the record
this would have occurred after September 1, 2011.
[37]
Mr.
Mahjoub served and filed his motion record for a permanent stay on September
20, 2011. The Ministers’ responding record was served and filed on September
23, 2011, accompanied with a motion to strike portions of certain affidavits.
Mr. Mahjoub filed his reply on September 27, 2011. The parties were heard on
the motions on October 3, 2011, in Toronto, and the Court reserved its
judgment.
[38]
On
October 4, 2011, the Court ordered that to determine the proper remedy, if any,
that may be appropriate in the circumstances, it was necessary to have the
documents separated and returned to the respective parties for the purpose of
affording them an opportunity to make submissions on the nature and extent of
the alleged prejudice. The order is annexed to these reasons as Schedule A.
[39]
Mr.
Mahjoub’s appeal to the Federal Court of Appeal of the October 4, 2011 Order of
the Federal Court was dismissed on October 24, 2011 (2011 FCA 294). His
subsequent motion to the Federal Court of Appeal for a stay of the October 4,
2011 Order pending application for leave to appeal to the Supreme Court of
Canada was dismissed by Madam Justice Gauthier on November 21, 2011 (2011 FCA
322).
[40]
Pursuant
to the October 4, 2011 Order, Prothonotary Aalto oversaw the development and
execution of the separation process, which began with an initial case management
conference on October 5, 2011. A full description of the process can be found
in the Prothonotary’s report filed with the Court on February 10, 2012, which
is annexed to these reasons as Schedule B (Aalto Report). For convenience, I
summarize the process and the main findings of Prothonotary Aalto’s report
below.
Summary of Prothonotary Aalto’s report
[41]
With
input from the parties, Prothonotary Aalto developed a separation protocol that
ensured the integrity of the process, and included preserving the chain of
continuity of the documents. Delegates designated by the parties who signed
undertakings not to divulge any solicitor-client information to which they
might be exposed during the process undertook the actual separation of the
documents.
[42]
The
documents were separated into five categories: Neutral documents, Mahjoub
documents, Ministers’ documents, Contentious documents, Solicitor-client
intercept motion documents. Neutral documents are public documents such as
motion records and affidavits that have no indicia of ownership, such as
original initials or handwriting. Contentious documents are documents that have
highlighting, tabs, stickies, underlining or markings but whose ownership could
not be determined. As a result of the separation process, there were 32 boxes
of Neutral documents; 12 boxes of Ministers’ documents; 12 boxes of Mahjoub
documents; and 3 boxes containing 66 contentious documents. While Mr. Mahjoub concedes
that these contentious documents will not affect his fair trial rights, he contends,
nonetheless, that a lesser prejudice results from an incomplete separation
process.
[43]
The
documents were moved from the DOJ to the courthouse on November 10, 2011, and
the separation process commenced shortly thereafter. Following a November 24, 2011
case management conference, the Court ordered that the arguments relating to
the alleged prejudice be heard on January 9 and 10, 2012. At case management
conferences on January 3, January 19, and February 13, 2012, the parties
informed the Court that the process was taking longer than anticipated and
scheduled hearings dates were progressively pushed back. On January 18, 2012, Mr. Mahjoub
started the review of his documents with the view of preparing descriptions as
contemplated by the October 4, 2011 Order:
The
parties may make further argument on the nature and extent of any alleged
prejudice before the designated judge. To that end, Mr. Mahjoub may
prepare a description of any of the returned documents relied upon to
demonstrate that prejudice, which description shall not disclose any
substantive information that would be subject to solicitor-client or litigation
privilege.
[44]
At
the February 20, 2012 case management conference, Public Counsel informed the
Court that they estimated needing an additional four to five weeks to review the
documents, and prepare descriptions and arguments.
[45]
Consequently,
the Court adjourned the hearing until April 10-12, 2012, affording the parties
an additional 6 weeks to prepare. These dates were ultimately changed to April
23 and 24, 2012, given a scheduling conflict on the part of Ministers’ counsel.
[46]
In
preparation for the hearing, Mr. Mahjoub prepared charts containing the
descriptions for Prothonotary Aalto’s approval of the documents he would rely
upon to show prejudice. The descriptions were then redacted to ensure that the
designated judge would not have access to any privileged information.
[47]
In
addition to the descriptions, Mr. Mahjoub developed the following categories to
describe the nature of the alleged prejudice in the chart:
“1. Strategy
relating to (a) theory of the case (b) implementation of the theory (such as
challenging evidence, presentation of new evidence or argument);
2. Tactics;
3. Questions
(a) whether applicable to witness; (b) content of questions to be asked; (c)
content of questions challenging evidence;
4. Assessment of the
Evidence (a) value (b) knowledge (c) credibility;
5. Confidential
information, which may not otherwise fit into 1 to 4 and 6;
6. Overview in terms of
approach, knowledge and/or thought process of public counsel revealed, a)
revealing approach and knowledge of public counsel by virtue of certain
elements b) reveals though process in general terms.”
[48]
Mr.
Mahjoub also developed the following scale to codify the extent of the alleged
prejudice for documents described in the Chart:
Code 1 – low privileged
documents, difficult to articulate prejudice;
Code 2 – moderate privileged
documents, generally public documents with highlighting, side bar, underlining
or writing where the impact is functionally no different than a side bar or
highlight;
Code 3 – high: privileged
documents, created by Mr. Mahjoub or not disclosed in public, that could give
or give an advantage to other side for cross-examination or submissions;
Code 4 – extreme: privileged
documents created by Mr. Mahjoub or not disclosed in public, highly
advantageous to other side;
Code 5 – highest prejudice:
solicitor-client or litigation privileged communications that undermines Mr.
Mahjoub’s case or that could affect the outcome of the case. [Examples cited by
Mr. Mahjoub are omitted.]
[49]
As
a result of the above exercise, Prothonotary Aalto was presented with charts
containing descriptions of the documents or parts of documents, which were individually
categorized in one or more of the above noted categories and assigned a code of
prejudice, 1 of 5, as described above. Prothonotary Aalto was then presented
with a version of the charts where the privileged information contained in the
descriptions had been redacted. These redacted charts were filed with the
Court. See Schedule C as an example.
[50]
Prothonotary
Aalto approved the descriptions found in the charts and found that the codes
and the descriptions were “reasonable.” He wrote at page 8 of the addendum to
his report that:
[t]he coding is a subjective
exercise by public counsel based on their approaches and strategy in conducting
the case. Public counsel articulated to the Court why a particular code was
selected for a particular document and such was based on counsel’s assessment
of how the document would be used in the proceedings. The Court’s acceptance of
a particular code is not final and binding on the designated judge. They are
also not a finding of actual or any prejudice. Such findings are for the
designated judge…It may be that the designated judge will require access to
these [unredacted] charts in order to finally determine the nature and extent
of any prejudice.
[51]
Prothonotary
Aalto also wrote at page 29 of his report that “[t]he types of documents that
were found to belong to Mr. Mahjoub included … solicitor work product,
solicitor-client privileged material, and litigation privileged material.”
[52]
Mr.
Mahjoub alleges that all of his documents were covered by solicitor-client
and/or litigation privilege. He contends that approximately one third of the
documents from the Mahjoub boxes have been included in the charts. He contends
that all of the documents listed in the charts are prejudicial, regardless of
their coding. He lists over fifty discrete pieces of information categorized as
Code 5, which is the most prejudicial category.
[53]
The
Court heard the parties’ submissions on April 23 and 24, 2012, on the nature
and extent of the alleged prejudice and appropriate remedy, if any, in the
circumstances.
Preliminary Issue: Admissibility of
affidavit of Martha Lori Hendriks
[54]
By
Order dated January 31, 2012, the Court allowed Mr. Mahjoub to file any
additional affidavit evidence prior to the hearing of the final submissions on
the nature and extent of the alleged prejudice. It also allowed the Ministers
to file responding affidavits. The Ministers filed three affidavits including
the affidavit of Martha Lori Hendriks. Mr. Mahjoub objects to the admissibility
of paragraph 8 of the Hendriks affidavit on the basis that it does not flow
from the opening and review of the boxes. The contested paragraph reads as
follows:
In
addition, on my instructions, on September 7, 2011, Ms. Marquis sent an email
to all ILD [Immigration Law Division] staff (counsel and support staff), inquiring
whether anyone had entered office 916 since July 21, 2011, July 21, 2011, is
the date on which the documents were transported from the Court and placed in
office 916 which was vacant at the time. I have been advised by Ms. Marquis,
and verily believe, that there were no additional persons who responded as
having entered office 916.
[55]
Mr.
Mahjoub argues that it is implicit in the Court’s January 31, 2012 Order that
any additional evidence filed by Mr. Mahjoub must relate to the nature and
extent of the alleged prejudice, as provided by the October 4, 2011 Order.
Consequently, Mr. Mahjoub argues that the Ministers’ corresponding
responding affidavits must in turn respond to Mr. Mahjoub’s additional
affidavits. It is argued that paragraph 8 of the Hendriks’ affidavit does not.
[56]
Mr.
Mahjoub further contends that allowing the affidavit into evidence would allow
the Ministers to split their case. He submits that it would be the equivalent
of allowing the Ministers to reopen its case after having pointed out the gaps
in their position and would be contrary to section 7 of the Charter
pursuant to R. v. P. (M.B.), [1994] 1 S.C.R. 555, 113 D.L.R. (4th) 461.
[57]
The
Ministers acknowledge that paragraph 8 of the Hendriks’ affidavit goes some way
towards addressing an evidentiary gap relating to who had access to Mr.
Mahjoub’s documents at the DOJ in Toronto. The Ministers acknowledged the
presence of the gap at the October 3, 2011 hearing. However, they argue that
that gap was not gleaned from Mr. Mahjoub’s argument, but was rather observed
and admitted to by the Ministers. Consequently, they contend they are not
attempting to reopen the litigation as alleged by Mr. Mahjoub. The Ministers
also acknowledge that the information contained in paragraph 8 of the Hendriks
affidavit could have been adduced before the October 3, 2011 hearing.
Nevertheless, the Ministers argue that the affidavit, including paragraph 8, merely
attempts to provide a complete record for the benefit of the Court. They contend
that the contested paragraph speaks to the presence and efficacy of their
ethical walls, and should be received by the Court.
[58]
The
October 4, 2011 and January 31, 2011 Orders only allowed the filing of
additional affidavit evidence in relation to the separation process and the alleged
prejudice, if any. The information in paragraph 8 of the Hendriks affidavit
does not result from the process of separating the documents. Rather it seeks
to address a gap in the Ministers’ evidence that could and should have been
dealt with earlier. In my view, it would be inappropriate to allow paragraph 8
into evidence. In the result, paragraph 8 of the Hendriks affidavit will be
disregarded.
ISSUE
[59]
Has
there been a breach of Mr. Mahjoub’s Charter rights that warrants a
permanent stay of proceedings?
APPLICABLE LAW
[60]
Mr.
Mahjoub claims a breach of his section 7 and section 8 rights and seeks a
remedy under section 24(1) of the Charter. These sections and subsection
are reproduced below:
7.
Everyone
has the right to life, liberty and security of the person and the right not
to be deprived thereof except in accordance with the principles of
fundamental justice.
8.
Everyone
has the right to be secure against unreasonable search or seizure.
24.
(1)
Anyone whose rights or freedoms, as guaranteed by this Charter, have been
infringed or denied may apply to a court of competent jurisdiction to obtain
such remedy as the court considers appropriate and just in the circumstances.
|
7.
Chacun
a droit à la vie, à la liberté et à la sécurité de sa personne; il ne peut
être porté atteinte à ce droit qu'en conformité avec les principes de justice
fondamentale.
8.
Chacun
a droit à la protection contre les fouilles, les perquisitions ou les saisies
abusives.
24.
(1)
Toute personne, victime de violation ou de négation des droits ou libertés
qui lui sont garantis par la présente charte, peut s'adresser à un tribunal
compétent pour obtenir la réparation que le tribunal estime convenable et
juste eu égard aux circonstances.
|
Section 8
[61]
For
a search and seizure to fall under the protection of the Charter, there
must be a reasonable expectation of privacy in the place searched, the thing
seized, or both (R. v. Evans, [1996] 1 S.C.R. 8, 131 D.L.R. (4th) 654).
If such an expectation exists, the search or seizure will be considered
reasonable if it is authorized by law, if the law that authorizes the search or
seizure is itself reasonable, and if the manner in which the search or seizure
is conducted is reasonable (R. v. Collins, [1987] 1 S.C.R. 265, 38 D.L.R.
(4th) 508).
Section 7
[62]
There
is no dispute that Mr. Mahjoub’s section 7 rights are engaged. Mr. Mahjoub
claims a breach of his section 7 rights under two separate categories: (i) a
violation of his solicitor-client privilege and (ii) an abuse of process.
(i) Violation of solicitor-client
privilege
[63]
The Supreme Court, in Solosky v. The Queen,
[1980] 1 S.C.R. 821 at p. 837, 105 D.L.R. (3d) 745, outlines the required
criteria to establish solicitor-client privilege:
(i) a
communication between solicitor and client;
(ii) which entails the seeking or giving of legal advice; and
(iii) which is intended to be confidential by the parties.
[64]
Solicitor-client
privilege has attained the status of a general principle of substantive law in
Canada:
Solicitor-client privilege is a
rule of evidence, an important civil and legal right and a principle of
fundamental justice in Canadian law. While the public has an interest in
effective criminal investigation, it has no less an interest in maintaining the
integrity of the solicitor-client relationship. Confidential communications to
a lawyer represent an important exercise of the right to privacy, and they
are central to the administration of justice in an adversarial system.
Unjustified, or even accidental infringements of the privilege erode the
public’s confidence in the fairness of the criminal justice system. This
is why all efforts must be made to protect such confidences. (Lavallee, Rackel & Heintz v. Canada (Attorney General),
2002 SCC 61 at para. 49, [2002] 3 S.C.R .209 [Lavallee]; see also Maranda
v. Richer, 2003 SCC 67 at para. 12, [2003] 3 S.C.R. 193).
[My emphasis]
[65]
The
Supreme Court has recognized that solicitor-client privilege is “fundamental to
the justice system,” (R. v. McClure, 2001 SCC 14 at para. 2, [2001] 1 S.C.R.
445), and that the courts are compelled to “adopt stringent norms to ensure its
protection” (Lavallee, above at para. 36). A violation of the
privilege also infringes a named person’s section 7 rights in the context of a
security certificate proceeding (Jaballah (Re), 2010 FC 1084 at para. 48 [Jaballah]).
[66]
Solicitor-client
privilege should be distinguished from litigation privilege, which serves to
ensure that the adversarial process is respected. Litigation privilege attaches
to documents created for the dominant purpose of litigation (Blank v. Canada (Minister of Justice), 2006 SCC 39, [2006] S.C.R. 319).
(ii) Abuse of process
[67]
The
abuse of process doctrine has largely been subsumed into section 7 and amounts
to “conducting a prosecution in a manner that contravenes the community’s basic
sense of decency and fair play and thereby calls into question the integrity of
the system [which] is also an affront of constitutional magnitude to the rights
of the individual accused” (R. v. O’Connor, [1995] 4 S.C.R. 411 at para.
63, 130 D.L.R. (4th) 235 [O’Connor]).
[68]
In
this instance, the allegation of an abuse of process is separate from the
alleged breach of section 7 resulting from the violation of solicitor-client
privilege in that it focuses on the right to a fair trial affected by the
Crown’s conduct, rather than the allegation that privilege has been violated.
The propriety of the conduct and intention “are not necessarily relevant to
whether or not the accused’s right to a fair trial is infringed” (O’Connor,
above at para. 74). There is also a small residual category of conduct within
the abuse of process analysis caught by section 7 of the Charter in
which the individual’s rights to a fair trial are not implicated. This residual
category “addresses the panoply of diverse and sometimes unforeseeable
circumstances in which a prosecution is conducted in such a manner as to
connote unfairness or vexatiousness of such a degree that it contravenes
fundamental notions of justice and thus undermines the integrity of the
judicial process” (O’Connor, above at para. 73; R. v. Regan, 2002
SCC 12 at para. 55, [2002] 1 S.C.R. 297 [Regan]; Canada (Minister of
Citizenship and Immigration) v. Tobiass, [1997] 3 S.C.R. 391 at para. 89,
151 D.L.R. (4th) 119 [Tobiass]).
Do the alleged Charter breaches require
the existence of privilege?
[69]
Aside
from the residual category of an abuse of process, Mr. Mahjoub’s alleged Charter
breaches require that privilege in the documents exists. To establish a
reasonable expectation of privacy to show that his section 8 rights have been
violated, he must demonstrate that his documents were protected by
solicitor-client privilege and/or litigation privilege. Similarly,
solicitor-client privilege and/or litigation privilege must also be established
in order to maintain a section 7 violation.
[70]
Once
the existence of privilege is established, there is a legal presumption that
the privileged information will be used to the prejudice of the opposing party.
I will now turn to the law on this issue.
Rebutting the risk of prejudice
[71]
In
MacDonald Estate v. Martin, [1990] 3 S.C.R. 1235, 77 D.L.R. (4th) 249 [MacDonald
Estate cited to S.C.R.], Justice Sopinka, writing for the majority of the
Supreme Court, established the test to apply to disqualify counsel in cases
where counsel allegedly has confidential information belonging to the other
party:
(1) Did
the lawyer receive confidential information attributable to a solicitor and
client relationship relevant to the matter at hand?
(2) Is
there a risk that it will be used to the prejudice of the client?
[72]
This
two-step test was reaffirmed by a unanimous Supreme Court decision in Celanese
Canada Inc. v. Murray Demolition Corp., 2006 SCC 36, [2006] 2 S.C.R. 189 [Celanese].
The Court applied the test in the context of an Anton Pillar order
during which the searching party had come into the possession and reviewed
privileged emails. Justice Binnie, on behalf of the unanimous Court, held that
once possession of privileged information was established, the receiving party
bore the onus of showing there is no real risk such confidences will be used to
the prejudice of the moving party. The Court also held that for the presumption
to apply, the initial onus was on the moving party to establish that the
receiving party was in possession of privileged information.
[73]
The
presumption of prejudice can be rebutted, “on the basis of clear and convincing
evidence” by showing that “the public represented by the reasonably informed
person would be satisfied that no use of confidential information would occur”
to prejudice the moving party (MacDonald Estate, above at 1260 and 1262;
see also Celanese, above at para. 42).
[74]
Even
though MacDonald Estate and Celanese, above, specifically address
motions to remove solicitors of record, Justice Binnie in Celanese, held
that:
The relevant elements of the MacDonald
Estate analysis do not depend on a pre-existing solicitor-client
relationship. The gravamen of the problem here is the possession by
opposing solicitors of relevant and confidential information attributable to a
solicitor-client relationship to which they have no claim of right whatsoever.
(para. 46)
[75]
This
Court in Jaballah, above, held that the principles in Celanese
were not restricted to the context of removing counsel for having in their
possession privileged information belonging to the opposing party (paras.
58-68). Here, both parties accept that the principles in Celanese are
applicable in the circumstances. Accordingly, if a breach of solicitor-client
or litigation privilege is established and the risk of prejudice is not
rebutted, it is open for the Court to grant an appropriate remedy, which may
include a permanent stay of proceedings (R. v. Bruce Power Inc., 2009
ONCA 573, 98 O.R. (3d) 272).
Determining the appropriate remedy
[76]
A
permanent stay of proceedings is a drastic remedy to be awarded only in the
“clearest of cases” (O’Connor, above at para. 68). As explained by
Justice Lebel writing for the majority in Regan, above at paragraphs
54-56, it will only be appropriate when two criteria are met:
(1) the
prejudice caused by the abuse in question will be manifested, perpetuated or
aggravated through the conduct of the trial, or by its outcome; and
(2) no
other remedy is reasonably capable of removing that prejudice.
[77]
Where
uncertainty remains about whether the abuse of process is sufficient to warrant
a stay of proceedings, a third criterion is considered: the interests that would be served by the granting of a stay of
proceedings are balanced against the interest that society has in having a
final decision on the merits (Tobiass, above at para. 92; Regan, above at para. 225).
[78]
The
courts have also engaged in the balancing exercise in cases falling within the
residual category where the fairness of the trial is not in question, but
rather where the act of going forward would put the administration of justice
into disrepute. For example, the Ontario Court of Appeal in R. v. Zarinchang,
2010 ONCA 286 at paragraphs 58-61, 99 O.R. (3d) 721, wrote:
Where the residual category is
engaged, a court will generally find it necessary to perform the balancing
exercise referred to in the third criterion. When a stay is sought for a case on the basis of the
residual category, there will not be a concern about continuing prejudice to
the applicant by proceeding with the prosecution. Rather, the concern is for
the integrity of the justice system.
When the problem giving rise to
the stay application is systemic in nature, the reason a stay is ordered is to
address the prejudice to the justice system from allowing the prosecution to
proceed at the same time as the systemic problem, to which the accused was
subjected, continues. In effect, a stay of the charge against an accused in the
residual category of cases is the price the system pays to protect its
integrity.
However, the "residual
category" is not an opened-ended means for courts to address ongoing
systemic problems. In some sense, an accused who is granted a stay under the
residual category realizes a windfall. Thus, it is important to consider if
the price of the stay of a charge against a particular accused is worth the
gain. Does the advantage of staying the charges against this accused outweigh
the interest in having the case decided on the merits? In answering that
question, a court will almost inevitably have to engage in the type of
balancing exercise that is referred to in the third criterion. It seems to us
that a court will be required to look at the particulars of the case, the
circumstances of the accused, the nature of the charges he or she faces, the
interest of the victim and the broader interest of the community in having the
particular charges disposed of on the merits.
Thus, in our view, a strong case
can be made that courts should engage in the balancing exercise set out in the
third criterion in most cases coming within the residual category. [My
emphasis]
[79]
Where
the abuse of process falls within the residual category, in “exceptional” and
“relatively rare cases” a stay of proceeding will be granted where past conduct
is so egregious that going forward would be offensive to society’s sense of
justice. At paragraph 55 of Regan, above, the Supreme Court of Canada
wrote:
As
discussed above, most cases of abuse of process will cause prejudice by
rendering the trial unfair. Under s. 7 of the Charter, however,
a small residual category of abusive action exists which does not affect trial
fairness, but still undermines the fundamental justice of the system (O’Connor,
at para. 73). Yet even in these cases, the important prospective nature
of the stay as a remedy must still be satisfied: “[t]he mere fact that
the state has treated an individual shabbily in the past is not enough to
warrant a stay of proceedings” (Tobiass, at para. 91). When
dealing with an abuse which falls into the residual category, generally
speaking, a stay of proceedings is only appropriate when the abuse is likely to
continue or be carried forward. Only in “exceptional”, “relatively
very rare” cases will the past misconduct be “so egregious that the mere fact
of going forward in the light of it will be offensive.” (Tobiass at
para. 91) [My emphasis]
[80]
A
permanent stay should be assessed against a complete factual record concerning
the prejudice. In R. v. La, [1997] 2 S.C.R. 680 at paragraph 27, 148 D.L.R.
(4th) 608, the Supreme Court wrote that:
[t]his is often best assessed in
the context of the trial as it unfolds. Accordingly, the trial judge has a
discretion as to whether to rule on the application for a stay immediately or
after hearing some or all of the evidence. Unless it is clear that no other
course of action will cure the prejudice that is occasioned by the conduct
giving rise to the abuse, it will usually be preferable to reserve on the
application. This will enable the judge to assess the degree of prejudice and
as well to determine whether measures to minimize the prejudice have borne
fruit.
[81]
Where
a permanent stay of proceedings is not an appropriate remedy, the Supreme Court
in Celanese, above at paragraph 59, suggested the following six
non-exhaustive factors to be considered in determining whether solicitors
should be removed:
(1) how
the documents came into the possession of the plaintiff or its counsel;
(2) what
the plaintiff and its counsel did upon recognition that the documents were
potentially subject to solicitor-client privilege;
(3) the
extent of review made of the privileged material;
(4) the
contents of the solicitor-client communications and the degree to which they
are prejudicial;
(5) the
stage of the litigation;
(6) the
potential effectiveness of a firewall or other precautionary steps to avoid
mischief.
[82]
If
the risk of prejudice has not been rebutted and a remedy short of removing the
solicitors will address the violation of privilege, it should be considered (Celanese,
above at para. 56).
ANALYSIS
[83]
I
propose to address the issue raised in this motion by answering the following
questions:
(1) Has
Mr. Mahjoub established that confidential information attributable to a
solicitor-client relationship or to litigation privilege was in the possession
of the Ministers?
(2) If
so, have the Ministers rebutted the presumption that there is a risk that
privileged material belonging to Mr. Mahjoub and held by the Ministers will be
used to the prejudice of Mr. Mahjoub should the proceedings continue?
(3) If
the presumption is not rebutted, does the gravity of the breach of Mr.
Mahjoub’s Charter rights warrant a stay of proceedings or a lesser
remedy?
(4) Does
the conduct of the Ministers connote unfairness or vexatiousness of such a
degree that it contravenes fundamental notions of justice and thus undermines
the integrity of the judicial process? If so, what is the appropriate remedy?
(1) Has Mr. Mahjoub established that
confidential information attributable to a solicitor-client relationship or to
litigation privilege is in the possession of the Ministers?
[84]
In
Celanese, above, the Supreme Court adopted its prior
jurisprudence in MacDonald Estate, where it held that in circumstances
where the opposing firm of solicitors is shown to have received
…‘confidential information attributable to a solicitor
and client relationship relevant to the matter at hand’ (p. 1260), the court
will infer ‘that lawyers who work together share confidences’ (p. 1262) and
that this will result in a risk that such confidences will be used to
the prejudice of the client, unless the receiving solicitors can show ‘that the
public represented by the reasonably informed person would be satisfied that no
use of confidential information would occur’ (p. 1260). (at para. 42)
[85]
The
affidavit evidence filed on behalf of Mr. Mahjoub attests that the materials at
issue consist of the following:
•
Pleadings/procedures
annotated by Public Counsel and by Mr. Mahjoub;
•
Handwritten
and/or computerized notes on legal strategy and other privileged information by
Public Counsel and by Mr. Mahjoub;
•
Public
Counsel’s preparation of cross-examinations of past and future witnesses;
•
All
exhibits with handwritten annotations, underlining and marginal notes.
[86]
The
affidavits filed in support of Mr. Mahjoub’s motion also attest more
specifically that:
•
“one
folder had [the handwriting of an assistant working for Mr. Mahjoub’s counsel]
on it” and another document “contained Me Hameed’s [counsel for Mr. Mahjoub]
initials and a piece of paper stuck to the document with Hameed’s handwritten
notes/comments containing visible confidential information.”
•
“Many
of public counsel’s documents in the break-out room contained, on their cover
page, post-it notes written by [counsel for Mr. Mahjoub] and by Mr. Mahjoub
that could easily be read by any person who looks at the document.”
•
Documents
in Public Counsel’s break-out room “contained strategic information sensitive
to the preparation of Mr. Mahjoub’s case.”
•
“[M]ost
of the documents on the table on their face belonged to public counsel
including, among others: public counsel’s notes, public counsel’s marginal
notes, underlining, annotations and other information added to most if not all
exhibits, transcripts and other materials belonging to public counsel, Mr.
Mahjoub’s notes on exhibits, public counsel’s cross-examination preparation
documents, etc.”
[87]
Mr.
Mahjoub contends that the above evidence establishes that some of the material
in the possession of the Ministers is privileged.
[88]
The
Ministers “do not dispute that some of the documents in [their] possession may
contain privileged information” but contend that Mr. Mahjoub’s evidence “lacks
the sufficient detail or the identification of specific documents as required
at law to discharge their evidentiary burden.” The Ministers argue that
affidavits supporting the existence of privilege must establish a sufficient
factual basis and be construed strictly. They also submitted at the October 3,
2011 hearing that it may be appropriate for the Court to review the materials
to determine whether privilege attaches to any of the documents. Finally, the
Ministers contend that it is necessary for Mr. Mahjoub to establish privilege
over every document.
[89]
The
jurisprudence teaches that there is
no onus on the
moving party to adduce any further evidence as to the nature of the
confidential information beyond that which was needed to establish that the
receiving lawyer had obtained confidential information attributable to a
solicitor and client relationship which was relevant to the matter at hand. (Celanese, above at para. 42)
[90]
There
is no dispute that the Ministers took documents from Mr. Mahjoub’s breakout
room, situated in immediate proximity to the courtroom, after an adjournment
late in the proceedings. The Ministers acknowledge that some of the materials
at issue “may” be privileged.
[91]
There
is also no dispute that the materials at issue belonged to Mr. Mahjoub, were
stored in a breakout room assigned to Mr. Mahjoub’s litigation team and were documents
used by Mr. Mahjoub in the conduct of the litigation. Mr. Hameed’s
affidavit confirms that some of the documents contained handwritten and/or
computerized notes on legal strategy and other privileged information written
by Public Counsel and by Mr. Mahjoub.
[92]
I
accept Mr. Mahjoub’s submission made at the October 3, 2011 hearing that it
would have been difficult to adduce more information on the nature or content
of his documents since the documents were not in his possession at the time he
filed his record.
[93]
Further,
the report subsequently filed by Prothonotary Aalto following the separation
process mandated by the Court’s October 4, 2012 Order, confirms that materials seized
included “solicitor work product, solicitor-client privileged material, and
litigation privileged material” belonging to Mr. Mahjoub (Aalto Report at p.
29).
[94]
The
Prothonotary is well-suited to make such determinations. As a motions judge, he
is routinely tasked with determining whether solicitor-client privilege
attaches to contested documents during the disclosure stage of a proceeding.
Such decisions determine the content of the record that is before the hearing
judge.
[95]
I am therefore satisfied that Mr. Mahjoub has met his onus
and has established that the Ministers’ counsel had possession of confidential
information attributable to a solicitor-client relationship which was relevant
to the matter at hand. It follows from the above-cited jurisprudence that the
Ministers now bear
the onus of rebutting the legal presumption that there is a risk that such
confidences will be used to the prejudice of Mr. Mahjoub.
(2) Have the Ministers rebutted the
presumption that there is a risk that privileged material belonging to Mr.
Mahjoub and held by the Ministers will be used to the prejudice of Mr. Mahjoub
should the proceedings continue?
[96]
The
Ministers have the onus of demonstrating on a balance of probabilities (F.H.
v. McDougall, 2008 SCC 53, [2008] 3 S.C.R. 41), with “clear and convincing
evidence” (McDonald Estate, above at 1262; Celanese, above at
para. 42) “that the public represented by the reasonably informed person would
be satisfied that no use of confidential information would occur” (McDonald
Estate, above at 1260).
[97]
Mr.
Mahjoub argues that the seizure of the materials at issue by the Ministers was
egregious and negligent. He maintains that no explanation is offered as to why
certain members of the Ministers’ litigation team did not file affidavit
evidence. Mr. Mahjoub further points to the fact that the Ministers admit that
at least one counsel for the Ministers viewed contents of several boxes. As a
result, he argues the Ministers are aware of the substance of some of his
privileged information. Mr. Mahjoub argues that the Ministers’ evidence
fails to provide sufficient basis to rebut the legal presumption of risk of
prejudice. He also contends the seizure is but one of several violations of
solicitor-client privilege since 1996 and that the Court should consider these
past violations as context when considering the alleged violation at issue.
[98]
Regarding
the latter argument advanced by Mr. Mahjoub, the Court is well
aware of the record in the underlying proceedings relating to the alleged
violations of Mr. Mahjoub’s solicitor-client privilege. However, those
allegations are disputed and have yet to be decided. Both parties agree that
those issues are not to be decided on this motion. Consequently, such disputed
allegations cannot be relied upon to decide the within motion.
[99]
The
Ministers contend that they have rebutted the presumption of risk of prejudice
“because the documents in question were either not reviewed or reviewed only in
a cursory fashion before the access to the documents was completely sealed.”
[100] The taking
and co-mingling of Mr. Mahjoub’s documents with the Ministers’ documents were
the direct result of a serious lack of diligence by members of the Ministers’
team in the conduct of the litigation. In particular, senior members of the
team failed to give proper and clear direction to junior members and legal
assistants. The seriousness of the possible consequences that flow from such
negligent conduct on behalf of the Ministers cannot be overstated. At a
minimum, the negligent actions of the Ministers’ litigation team resulted in a
further significant delay in proceedings already plagued by numerous procedural
delays. The Ministers alone bear responsibility for this delay. However, notwithstanding
the seriousness of the failures of the Ministers’ litigation team, I am
satisfied that the mistakes made were not intentional or pre-mediated. On the
evidence, I find no mala fides on the part of the Ministers or their
litigation team.
[101] The Ministers
first recognized that they were in possession of materials that belonged to
Mr. Mahjoub when Ms. Stewart Guthrie attended office 916 on August 22,
2011, in response to the email sent on the same day by Ms. Schneider to review
the contents of the miscellaneous boxes. Upon seeing a single handwritten page
in one of the boxes, she saw the name “Tyndale” written on the left of the page
in handwriting she did not recognize. It is at this point that Ms. Stewart
Guthrie believed that some of the notes may not belong to the Ministers. She
closed the box and spoke with Ms. Schneider, a paralegal, and Ms. Kaneira, DOJ
counsel, both on the Mahjoub team, telling them she believed they had brought
back materials from the Court that were not theirs.
[102] Mr. Tyndale, Senior
Counsel on the Mahjoub team, upon being informed of the situation by Ms.
Stewart Guthrie, instructed her to label the boxes containing Mr. Mahjoub’s
materials “To be reviewed by Public counsel” and to draft an email to Public Counsel
advising them of the situation and proposing that the parties review the
materials to separate them. This was done on the same day.
[103] While I accept
that the eight miscellaneous boxes containing “correspondence, handwritten
notes and case law” were set aside for review by Public Counsel and so labeled,
Ms. Schneider continued to work in the office for the remainder of the week
sorting documents in other boxes. No action was taken to seal and control
access to the room until Public Counsel visited the office on September 1,
2011. Given that certain materials found in the eight miscellaneous boxes may
have contained privileged information, the Ministers should have moved to seal the
eight boxes at that time.
[104] I also note that
no actions were taken by anyone on the Mahjoub team on July 15, 2011, when Ms.
Dean, upon her return from Court, had sent an email to the team advising its
members that she and Ms. Krakowska, a legal assistant on the Mahjoub team, had
“emptied courtroom 6D and prep room 6013 [Ministers’ breakout room] and had
moved all of the materials into prep room 6011 [Mr. Mahjoub’s breakout room].”
At this juncture, before any materials were moved to the DOJ, the Ministers’
team should have known that there was a problem with members of the team
accessing both breakout rooms and moving “all” of the materials in
Mr. Mahjoub’s breakout room. Immediate action at that time may have served
to mitigate potential harm that, arguably, would flow from the taking and
co-mingling of documents.
[105] Following Public
Counsel’s visit to office 916 on September 1, 2011, where the extent of the
problem involving the co-mingling of the documents was made clear, the office
was locked and a yellow caution tape was affixed to the entrance to the office.
Keys of the office were secured at that point and the office has remained
sealed until the materials were ordered back to the courthouse pursuant to the
order of Prothonotary Aalto.
[106] All members of
the Ministers’ litigation team, including the paralegal with the most exposure
to the documents, who had entered office 916 prior to it being sealed, have
been temporarily removed from the team pending final determination of the
motion.
[107] Further, certain
ethical walls were set up to ensure that the removed members of the team would
not discuss what they saw, if anything, of the documents in office 916 nor have
access to the files relating to the case. The evidence of the Regional Director
with the DOJ in Toronto, Martha Hendriks, indicates that the ethical walls put
in place were rigidly applied and have been respected since their
implementation.
[108] I find that the
measures put in place by the Ministers after September 1, 2011, to secure office
916 and the materials were appropriate and effective in the circumstances.
[109] To rebut the legal
presumption that there is a real risk that Mr. Mahjoub’s privileged materials
will be used to the prejudice of Mr. Mahjoub, the Ministers filed a number of
affidavits in evidence. The Deputy Regional Director and Senior Counsel in the
Immigration Law Division of the Ontario Regional Office of the DOJ, Ms. Rhonda
Marquis, attests that she communicated with every member of the Mahjoub team,
including the two legal assistants who had originally boxed the materials for
their return to office 916, Ms. Dean and Ms. Krakowska, and the
paralegal who had the most access to those materials, Ms. Schneider, and
confirmed that the members of the Mahjoub team with whom she communicated had
advised her that they did not review opposing counsel’s materials. There is no
evidence that Ms. Marquis entered office 916 or otherwise had access to the Mr.
Mahjoub’s documents. Ms. Marquis further attests that CSIS counsel advised her
that they had not entered office 916 at any time since July 15, 2011. She was
also advised that no CBSA personnel assigned to the Mahjoub matter have entered
office 916 at any time since July 15, 2011.
[110] In addition to
the affidavit of Ms. Marquis, the Ministers filed the affidavits of Kamal Dean,
Jillian Schneider, Daniel Engel, Sharon Stewart Guthrie, Jocelyn Espejo-Clarke,
Nimanthika Kaneira, Maria Teresa Martins and Martha Lori Hendriks. For the
reasons set earlier at paragraph 57 of these Reasons for Order, paragraph 8 of
the Affidavit of Martha Lori Hendriks has been disregarded and is not part of
the record.
[111] With the
exception of Ms. Marquis and Ms. Hendriks, all of the other affiants who filed
affidavits on behalf of the Ministers on this motion had access to Mr.
Mahjoub’s documents. They either accessed the breakout rooms and/or office 916
at the DOJ. I will now review the evidence of each of these affiants.
[112] Ms. Kamal Dean,
a legal assistant with the Mahjoub team, was asked by another legal assistant,
Ms. Irena Krakowska, on July 15, 2011, to accompany her to the Court to
retrieve the Ministers’ materials. Ms. Dean attests that she “did not read any
of the documents that were in the courtroom or in the breakout rooms and was
unaware that any of the documents belonged to counsel representing Mr. Mahjoub.”
Ms. Dean also attests that she had been advised by Ms. Krakowska and
verily believes that “Irena did not read any of the documents in the courtroom
or in the breakout rooms and that she was unaware that any of the documents
belonged to counsel representing Mr. Mahjoub.” Ms. Dean further attests that Ms.
Krakowska advised her “she did not know that one of the breakout rooms was
being used by counsel for Mr. Mahjoub.” Ms. Dean helped Ms. Schneider organize
the documents in office 916 on the mornings of July 25-27, 2011. Ms. Dean
attests that she only looked at the title page and the back page of
documents and did not notice any handwritten annotations.
[113] Ms. Jillian
Schneider, a paralegal on the Mahjoub team, attests that she was asked to
organize the materials once they arrived in office 916. She proceeded to do so
on July 25-27, 2011. She attests that on August 8, 2011, she sought the
assistance of Mr. Engel to determine which documents needed to go back to Court
for the resumption of the hearing. On the same day, in office 916, they “opened
two or three boxes of the documents and flipped through the material.” She
states that it became clear that the contents of the boxes needed to be
organized into categories before it could be decided what needed to be returned
to Court. She states that she then proceeded on her own to organize the
materials in categories of documents. When organizing the documents, she looked
at the title of the document and occasionally at the back page. She attests
that she “did not read or look at the content of the documents” and did not
recall “having seen any handwritten notations on any of the documents.” It is
also noted that Ms. Schneider attests that in continuing to organize the
documents in office 916, she never looked into the eight boxes after Ms.
Stewart Guthrie labeled them for Public Counsel’s review.
[114] Mr. Daniel
Engel, counsel on the Ministers’ litigation team, attests that he attended
office 916 at the DOJ on August 8, 2011, to review the contents of the boxes of
documents to determine what material needed to return to Court upon resumption
of the hearing. He states that with Ms. Schneider, he opened two or three
boxes and “flipped” through the material. He attests that he was in the office
for approximately 10 minutes and has not returned to the office since. He
attests that “[he] do[es] not recall having seen any of Public Counsel’s
materials while [he] flipped through the contents of the 2-3 boxes on August 8,
2011.”
[115] Ms. Sharon
Stewart Guthrie, DOJ counsel on the Mahjoub team, attended office 916 on August
22, 2011, in order to assist Ms. Schneider in identifying certain documents.
Her affidavit evidence relating to her contact with the materials in office 916
can be summarized as follows:
1. She reviewed the
labels on boxes that were put aside to go back to Court. She did not open these
boxes.
2. She reviewed the
labels on two or three boxes of exhibits in file folders. She opened the boxes
and “quickly flipped through the file folders.” She then closed the boxes and
left them on the desk.
3. She opened three
of the eight boxes containing miscellaneous documents that were stacked against
the window. Inside the first, she noticed a file folder with French handwritten
labels. She did not open the folder and closed the box and set it aside.
4. Upon opening the
second box by the window, she noticed the first pages of publicly available reports,
which she did not flip through. She closed the box and put it aside.
5. Upon opening the
third box, she saw printed copies of jurisprudence that had been referred to in
the proceeding by both parties. She did not flip through these. Deeper in this
box she saw a copy of an email between two of the Ministers’ litigation team
members. She then saw a single page of handwriting she did not recognize with
the name “Tyndale” written on the left of the page. She attests that “she did
not read anything else on the page other then the name ‘Tyndale’.” She states
that it is at this point she believed that the notes did not belong to her
team. She closed the box and put it aside.
6. She was in
office 916 for approximately 10 to 15 minutes.
[116]
Ms.
Nimanthika Kaneira, DOJ counsel on the Mahjoub team, attests that she was
called to office 916 on September 1, 2011, by Ms. Espejo-Clarke who was in the
office with Ms. Doyon and an assistant on Public Counsel’s litigation team. She
was asked if she knew how documents on the desk in office 916 appearing to
belong to Public Counsel may have ended up there. Ms. Kaneira speculated that
this could be a repeat of what had occurred earlier in February when certain
boxes belonging to the Ministers were moved to Mr. Mahjoub’s breakout
room. Ms. Kaneira saw stacks of documents on the desk most of which were blue
covered and bound, such as motion records. She attests that she “did not review
any of the documents and apart from remembering blue covers on some of the documents;
[she] did not know anything about them.”
[117]
On
August 30, 2011, Ms. Maria Teresa Martins, an administrative officer with the DOJ
in Toronto, accompanied two movers to office 916 with boxes belonging to Ms.
Amy Lambiris who was on maternity leave. She attests that the movers entered
office 916 with Ms. Lambiris’ boxes while she supervised from the doorway. They
were in the office for a matter of minutes, just enough time to move the boxes
into the office. She further attests that she “did not read any of the
documents that were in office 916.” She also attests that “she did not see the
movers read any of the documents that were in office 916.”
[118]
Ms.
Espejo-Clarke, DOJ counsel on the Mahjoub team, attests that she, along with
Ms. Doyon, “briefly reviewed some of [the] materials and [she] noticed
that there were also documents appearing to belong to the Ministers. After a
brief review of some of the documents, [in the presence of Ms. Doyon, she]
realized that [they] could not sort them and should not look at any other
documents.”
[119]
Mr.
Mahjoub argues that
the Ministers have not rebutted the presumption that there is a real risk that
his privileged materials in the possession of the Ministers will be used to his
prejudice should the proceeding continue.
[120]
Mr. Mahjoub
points to certain gaps in the evidence adduced by the Ministers. He argues that
no evidence was led to establish that the door to office 916 was locked from July
20 to September 1, 2011. Consequently, it is not known who would have had
access to the materials stored in the office during this period of time. It is
submitted this is further complicated by the fact the evidence fails to
identify all of the members of the Ministers’ litigation team.
[121]
Mr. Mahjoub
further argues that certain persons who were obviously members of the Ministers’
litigation team did not provide affidavit evidence, namely Ms. Krakowska, Mr.
Larouche and Mr. Tyndale. No explanation is offered as to why the evidence
of these members of the Mahjoub team was not adduced. It is submitted that
while the affidavits filed describe only a “cursory review” of some of the
privileged documents, this is insufficient to rebut the legal presumption.
Further, Mr. Mahjoub maintains that the assertions by Ms. Marquis that no
member of the Mahjoub team reviewed opposing counsel’s materials and that CSIS
and CBSA did not have access to office 916 are hearsay, and consequently, an
adverse inference should be drawn. Mr. Mahjoub maintains that if no
adverse inference is drawn, the evidence should not be considered or be given
little weight.
[122]
In sum, Mr.
Mahjoub argues that we do not know if some of the documents at issue were taken
out of office 916; we do not know who had access to the office, including CSIS
or CBSA; we do not know who the other members of the Ministers’ litigation team
are and what they saw in relation to the documents. Mr. Mahjoub contends that these
questions remain unanswered on the record. In the result, it is submitted that
there is a real risk his privileged materials in the possession of the
Ministers will be used to his prejudice should the proceeding continue.
[123]
For the
reasons that follow, I am satisfied that the evidence adduced by the Ministers
establishes that the members of the Mahjoub team who accessed Mr. Mahjoub’s
documents performed only a cursory and superficial review of the said documents.
I find that no member of the Mahjoub team reviewed the documents belonging to
Mr. Mahjoub. I also find that the gaps in the Ministers’ evidence raised by Mr.
Mahjoub are insufficient to warrant an adverse finding.
[124]
In Canada (Information Commissioner) v. Canada (Minister of Environment) (1999), 179 F.T.R.
25 the Federal Court dealt with the issue of adverse inferences in similar
circumstances at paragraph 47 of its reasons:
I am not prepared to draw such an inference in these
circumstances. Rule 81(1) of the Federal Court Rules, 1998 expressly
permits statements of information and belief as evidence on motion. Although
Ms. MacCormick did not prepare the documents in questions, as a senior
official of the Privy Council Office, she is well placed to give evidence that
the Privy Council Office never intended to disclose the Schedule. Moreover,
there is additional evidence which strengthens the respondent's contention that
the Schedule was inadvertently produced. [My emphasis]
[125]
The Federal
Court of Appeal in reversing in part the trial court’s decision did not disturb
its above-noted finding (Canada (Information Commissioner) v. Canada (Minister of Environment) (1999), 187 D.L.R. (4th) 127 (FCA)).
[126]
In the
instant case, Ms. Marquis, as Deputy Regional Director and Senior Counsel in
the Toronto office of the DOJ and former counsel on the Ministers’ litigation
team in these proceedings, is well placed to give evidence on matters relating
to the within proceedings. Given her position in the Department of Justice, she
is well aware of the make up of the Ministers’ litigation team in the
underlying proceedings and familiar with counsel and personnel representing the
client departments, CSIS and CBSA.
[127]
Moreover, there is direct evidence from other
members of the Mahjoub team corroborating Ms. Marquis’ evidence. All of the
members of the Ministers’ litigation team who did provide affidavit evidence
had access to Mr. Mahjoub’s documents either in the breakout rooms or in office
916 at the DOJ. Each of these affiants confirms that they did not review Mr. Mahjoub’s
documents. In the circumstances, I draw no adverse inference in respect to Ms. Marquis’
evidence. I find her evidence persuasive and give it significant weight.
[128]
Four members
of the team who also had access to the documents did not provide affidavits,
namely, Ms. Krakowska, Ms. Lewicki, Ms. Rondeau and Ms. Goodyear. It would have
been preferable had affidavits been adduced for each of these individuals.
However, I find their failure to do so is not fatal in the circumstances. Ms.
Lewicki, Ms. Rondeau and Ms. Goodyear, legal assistants, were involved in
transporting the boxes from Mr. Mahjoub’s breakout room on July 20 and 21, 2011,
to office 916. Two other legal assistants, Ms. Dean and Ms. Krakowska, boxed
the materials. The evidence shows that the boxes remained closed during
transportation. Consequently, I am satisfied that these three legal assistants
did not review the materials and that no prejudice to Mr. Mahjoub would result
from their involvement.
[129]
Ms. Krakowska
attended the courtroom and breakout rooms with Ms. Dean on July 15, 2011, for
the purpose of packing and retrieving the boxes from the courthouse. Ms. Dean’s
evidence is that Ms. Krakowska informed her she did not read any of the
materials in the courtroom or the breakout rooms. Further, Ms. Marquis’
evidence states that Ms. Krakowska, as one of the legal assistants who
originally boxed the materials, did not review any of Mr. Mahjoub’s documents.
[130]
While it
would have been preferable for Mr. Tyndale, Mr. Larouche and Ms. Krakowska to file
affidavit evidence on this motion, I find that their failure to do so is not
fatal to the Ministers on this motion since I accept the evidence of Ms.
Marquis that no member of the “Mahjoub team” reviewed opposing Counsel’s
materials. In my view, since no member of the team reviewed Mr. Mahjoub’s
documents, it matters not that the identity of each member of the Ministers’
litigation team is not revealed on the record.
[131]
Mr. Mahjoub
argues that since the Ministers did not establish who had access to his documents,
they have failed to rebut the presumption. He maintains that evidence should
have been led by all persons “with an interest in the proceeding” who had
access to the unlocked office. Counsel for Mr. Mahjoub acknowledged that this
would not mean that every DOJ lawyer in Canada would have to file evidence.
[132]
I essentially
agree with Public Counsel’s suggestion of the proposed pool of interested
individuals. In the circumstances, I find that the relevant pool of “persons
with an interest in the proceeding” who would have had access to the unlocked
office 916 prior to it being sealed on September 1, 2011, consists of those
individuals who were members of the Mahjoub team and representatives of the
departmental clients, namely counsel for CSIS and CBSA personnel. It is my view
that the Ministers adduced the required evidence from those individuals.
[133]
The
Ministers’ evidence concerning access to Mr. Mahjoub’s materials by members of
the Mahjoub team has been reviewed above. On the basis of that evidence, I have
determined that no member of the Mahjoub team reviewed Mr. Mahjoub’s materials.
I also find, on the evidence, that counsel for CSIS and CBSA personnel did not
enter office 916 at the DOJ in Toronto. It follows that they did not have
access to Mr. Mahjoub’s privileged materials. In the result, I find that no
prejudice to Mr. Mahjoub’s fair trial rights results from office 916 remaining
unlocked prior to September 1, 2011.
[134]
Mr. Mahjoub
raises concerns relating to the photocopying of certain documents both within
and outside the DOJ, as well as concerns relating to the separation process.
These concerns relate to the risk of tampering with the documents and having
more people accessing Mr. Mahjoub’s privileged documents. Although it would
have been preferable had no internal or outside copying of documents occurred,
the evidence shows that the outside service used to copy a limited number of
the larger documents was a bonded service that had been used by the DOJ on
prior occasions. The evidence also establishes that the legal assistant responsible
for internal copying of documents, Ms. Schneider, was tasked to ensure
that sufficient copies of certain exhibits were made for the court proceeding
as directed by counsel. Ms. Schneider is identified as a member of the
Ministers’ litigation team and her evidence is that she did not conduct a
review of the documents. In the circumstances, I find that no prejudice to Mr.
Mahjoub flows from the copying of his documents.
[135]
Further, I
find that the proceeding mandated by the October 4, 2011 Court Order, led by
Prothonotary Aalto, was meticulously carried out and did not, in any way,
further contribute to any prejudice the taking of the documents may have
caused. To be clear, on the evidence, I find that no prejudice to Mr. Mahjoub
results from the separation process conducted by Prothonotary Aalto pursuant to
the October 4, 2011 Court Order.
[136]
On the basis
of the evidence adduced, I find that the Ministers have rebutted the
presumption of prejudice. A reasonably informed person would be satisfied, in
the circumstances, that there is no real risk that Mr. Mahjoub’s privileged
materials which were in the possession of the Ministers will be used to his
prejudice should the proceeding continue. The fairness of the trial is not in
question.
(4) Does the conduct of the Ministers
connote unfairness or vexatiousness of such a degree that it contravenes
fundamental notions of justice and thus undermines the integrity of the
judicial process? If so, what is the appropriate remedy?
[137]
Having
determined that the Ministers have rebutted the presumption of risk to Mr. Mahjoub’s
fair trial rights if the proceedings continue, I now turn to Mr. Mahjoub’s
abuse of process argument. He argues that since solicitor-client privilege is
central to the administration of justice, and that the Ministers had possession
of his privileged information, continuing the proceeding would bring the
administration of justice into disrepute. Consequently, Mr. Mahjoub contends
that the Court should grant a permanent stay of proceedings on the basis of an
abuse of process that falls within the residual category.
[138]
Mr.
Mahjoub argues that since the underlying purpose for the residual category of
abuse of process, the long term, forward-looking societal interest in maintaining
confidence in the justice system, is the same as that addressed by subsection
24(2) of the Charter, the Court should adopt the test used in subsection
24(2) cases. In R. v. Grant, 2009 SCC 32, [2009] 2 S.C.R. 353, the
Supreme Court set out the applicable test in such cases at paragraph 71 of its
decision:
A review of the authorities
suggests that whether the admission of evidence obtained in breach of the Charter
would bring the administration of justice into disrepute engages three avenues
of inquiry, each rooted in the public interests engaged by s. 24(2), viewed in
a long-term, forward-looking and societal perspective. When faced with an
application for exclusion under s. 24(2), a court must assess and balance the
effect of admitting the evidence on society's confidence in the justice system
having regard to: (1) the seriousness of the Charter-infringing state
conduct (admission may send the message the justice system condones serious
state misconduct), (2) the impact of the breach on the Charter-protected
interests of the accused (admission may send the message that individual rights
count for little), and (3) society's interest in the adjudication of the case
on its merits. The court's role on a s. 24(2) application is to balance the
assessments under each of these lines of inquiry to determine whether,
considering all the circumstances, admission of the evidence would bring the
administration of justice into disrepute. These concerns, while not precisely
tracking the categories of considerations set out in Collins, capture the
factors relevant to the s. 24(2) determination as enunciated in Collins and
subsequent jurisprudence.
[139]
In
my view, adopting the test as laid out in Grant, above, is unnecessary
in this instance. In R. v. Nixon, 2011 SCC 34, [2011] 2 S.C.R. 566, the
Supreme Court has recently provided guidance on how the courts are to deal with
cases that fall within the residual category of an abuse of process. At
paragraphs 41-42 of its decision the Court wrote:
Under
the residual category of cases, prejudice to the accused’s interests, although
relevant, is not determinative. Of course, in most cases, the accused will need
to demonstrate that he or she was prejudiced by the prosecutorial conduct in
some significant way to successfully make out an abuse of process claim. But
prejudice under the residual category of cases is better conceptualized as an
act tending to undermine society's expectations of fairness in the
administration of justice. This essential balancing character of abuse of
process under the residual category of cases was well captured by the words of
L’Heureux-Dubé J. in R. v. Conway, [1989] 1 S.C.R. 1659. She stated the
following:
Under
the doctrine of abuse of process, the unfair or oppressive treatment of an
appellant disentitles the Crown to carry on with the prosecution of the charge.
The prosecution is set aside, not on the merits (see Jewitt, supra, at
p. 148), but because it is tainted to such a degree that to allow it to
proceed would tarnish the integrity of the court. The doctrine is one of
the safeguards designed to ensure “that the repression of crime through the
conviction of the guilty is done in a way which reflects our fundamental values
as a society” (Rothman v. The Queen, [1981] 1 S.C.R. 640, at p. 689, per
Lamer J.).It acknowledges that courts must have the respect and support of the
community in order that the administration of criminal justice may properly fulfill
its function. Consequently, where the affront to fair play and decency is
disproportionate to the societal interest in the effective prosecution of
criminal cases, then the administration of justice is best served by staying
the proceedings. [Emphasis in original; p.1667.]
The test for granting a stay of
proceedings for abuse of process, regardless of whether the abuse causes
prejudice to the accused’s fair trial interests or to the integrity of the
justice system, is that set out in Canada (Minister of Citizenship &
Immigration) v. Tobiass, [1997] 3 S.C.R. 391, and R. v. Regan, 2002
SCC 12, [2002] 1 S.C.R. 297. A stay of proceedings will only be appropriate
when: “(1) the prejudice caused by the abuse in question will be manifested,
perpetuated or aggravated through the conduct of the trial, or by its outcome;
and (2) no other remedy is reasonably capable of removing that prejudice” (Regan,
at para. 54, citing O'Connor, at para. 75).
[141] At issue is
whether the circumstances of the taking and co-mingling of the documents has
undermined society’s expectations of fairness in the administration of justice
to the point that “the carrying forward of the prosecution will offend
society’s sense of justice” (Tobiass, above at para. 91).
[142] Mr. Mahjoub
essentially argues that the Ministers’ conduct in this instance is unfair and
affects the integrity of the administration of justice so as to undermine the
integrity of the judicial process. He points to the following events in support
of his argument:
a. the Ministers seized
his privileged materials;
b. the Ministers
co-mingled his documents with theirs;
c. the Ministers
failed to act on the July 15, 2011 email sent to their team indicating that all
documents were in a single breakout room;
d. the Ministers
did not seal the 8 boxes of miscellaneous documents once it was believed that
some of the documents may belong to him;
e. the Ministers
did not initially inform him about the photocopying of some of his documents;
f. the Ministers
did not initially inform him about movers entering office 916 with boxes
belonging to Amy Lambiris.
[143] The
circumstances that led to the taking and co-mingling of Mr. Mahjoub’s documents
have been canvassed earlier in these reasons. Based on the evidentiary record,
I have found that the conduct of the Ministers, although negligent, was
unintentional and does not affect the fairness of the underlying proceeding.
[144] As the Supreme
Court stated in Nixon, above, prejudice as it is understood under the
residual category of cases concerns conduct that undermines society’s
expectations of fairness in the administration of justice. The privileges in
play on this motion, in particular confidences shared between solicitor and
client, are central to the administration of justice in an adversarial system.
The public has an interest in maintaining the integrity of the solicitor-client
relationship. The physical possession of privileged documents by the opposing
party is a serious matter that in some circumstances could have a devastating
long-term impact on societal confidence in the administration of justice. Notwithstanding
my determination that the Ministers’ conduct did not impact on the fairness of
the proceeding or prejudice Mr. Mahjoub, the appearance of fairness in the
judicial process is of utmost importance. In my view, the circumstances here
lead me to conclude the appearance of fairness has been compromised.
Consequently, I find there to be an abuse of process in the residual category.
[145] I am of the view
that a remedy is warranted to ensure that the Ministers’ conduct does not
undermine society’s expectation in the administration of justice. In the circumstances,
this is not the clearest of cases that would warrant a permanent stay of
proceedings. Rather, a lesser remedy, to be discussed below, is available to ensure
that any affront to the appearance of fairness will not be manifested,
perpetuated or aggravated through the conduct of the proceedings or by their
outcome.
[146] As found by the
Supreme Court in Nixon, above, an essential balancing exercise is required
where an abuse of process is found in the residual category of cases. This
balancing exercise involves weighing the interests that would be served in
granting a stay of proceedings against society’s interest in having a final
decision on the merits. In balancing these interests, I have considered the
following factors, namely: the particulars of the case and the nature of the
proceedings, Mr. Mahjoub’s circumstances, the seriousness of the Ministers’
conduct and its impact on the integrity of the administration of justice, and
society’s interest in the adjudication of the case on its merits. For the most
part, these factors have been canvassed earlier in these reasons. There
is an important societal interest in having such cases decided on the merits,
both for the named individual who seeks to have his or her name cleared and for
the Ministers who are obligated to protect Canada’s national security (O’Connor, above at
para. 81, Al Yamani v. Canada, 2003 FCA 482, 246 F.T.R. 320; Harkat
(Re), 2010 FC 1243, 95 Imm.L.R. (3d) 1, rev’d on other grounds 2012 FCA
122).
[147] Upon considering
the record in this instance, I find that the affront to fair play and decency
caused by the Ministers’ taking and co-mingling of Mr. Mahjoub’s privileged
documents is not disproportionate to the societal interest of having the
underlying proceeding continue and be ultimately decided on the merits.
[148] In the
circumstances, in order to dispel any lingering perception that counsel for the
Ministers may have reviewed privileged materials belonging to Mr. Mahjoub and
ensure that public confidence in the system of justice is maintained, I will consider
permanently removing from the file certain members of the Mahjoub team. In
doing so, I am guided by the six non-exhaustive factors to be considered in
determining whether solicitors should be removed suggested by the Supreme Court
in Celanese, above, and set out at paragraph 81 above. I will briefly
review each of these factors.
[149] As to the first
factor, I have reviewed in significant detail the Ministers’ taking and
co-mingling of Mr. Mahjoub’s documents earlier in these reasons. Suffice it to
say that the documents came into the Ministers’ possession as a result of an
unintentional and negligent mistake by members of the Mahjoub team.
[150] As to the second
factor, upon recognizing that they were in possession of some of Mr. Mahjoub’s
documents, the Ministers set aside eight boxes of miscellaneous documents
believed to contain some of Mr. Mahjoub’s materials. The Ministers labeled these
boxes “To be reviewed by Public counsel.” However, office 916 was not sealed at
this point. As the Ministers subsequently discovered on September 1, 2011,
documents belonging to Mr. Mahjoub, other than those in the eight boxes, were also
found in office 916.
[151] As to the third
factor, my findings on the extent of the review of the privileged material are
canvassed earlier in these reasons. While I have determined that the members of
the Mahjoub team did not conduct a review of the materials, certain members of
the team nevertheless had access to and handled the materials. Ms. Schneider,
tasked with organizing the materials, spent over a week sorting documents.
Other members of the Mahjoub team, including Ms. Stewart Guthrie, Mr. Engel,
Ms. Dean and Ms. Espejo-Clarke, also handled, looked at and/or flipped through
materials that belonged to Mr. Mahjoub, which likely included privileged
documents.
[152] With respect to
the fourth factor, I am satisfied, based on the report of Prothonotary Aalto,
that prejudicial privileged materials belonging to Mr. Mahjoub were in the
possession of the Ministers.
[153] As to the fifth
factor, there remained only four witnesses to be called by Mr. Mahjoub when the
taking of the documents occurred. Since lead counsel would remain on the file,
there is less concern should certain counsel on the Mahjoub team be removed
permanently at this late stage of the proceedings.
[154] As to the sixth
factor, I have already determined that the ethical walls put in place and
precautionary measures taken by the Ministers were appropriate and effective
from the time they were implemented. No such measures were in place from July
20, 2011, until September 1, 2011.
[155] Upon considering
the above factors, in the interest of ensuring public confidence in the
administration of justice, I will order that the following members of the
Mahjoub team who accessed Mr. Mahjoub’s documents be removed permanently from
the file and be barred from having access to any of the materials or
information relating to the file. Further, they will be ordered not to discuss
any information relating to the file with anyone or communicate such information
to anyone:
1.
Ms. Stewart
Guthrie;
2.
Ms.
Krakowska;
3.
Ms. Rondeau;
4.
Ms. Goodyear;
5.
Ms. Lewicki;
6.
Ms.
Schneider;
7.
Ms. Kaneira;
8.
Ms. Martins;
9.
Mr. Engel;
10.
Ms. Dean; and
11.
Ms.
Espejo-Clarke.
[156] In my view, permanently
removing these members of the Mahjoub team constitutes a lesser remedy that is
reasonably capable of removing the prejudice found to arise by reason of the
abuse of process in the residual category. A person reasonably informed of the
totality of the circumstances would be satisfied that the proceedings could
continue without a loss of confidence in the integrity of the administration of
justice.
SECTION 8 CHARTER VIOLATION
[157] In the
circumstances, I am satisfied that the taking by the Ministers of Mr. Mahjoub’s
documents constitutes a “seizure” under section 8 of the Charter.
[158] The impact of
the seizure of Mr. Mahjoub’s documents by the Ministers has been canvassed in
the above reasons. In the result, I have determined that the permanent stay of
proceedings sought by Mr. Mahjoub is not appropriate in the circumstances. As
discussed above a lesser remedy was available and will be provided.
Nonetheless, I am of the view that it will be appropriate for the Court to
consider the violation of Mr. Mahjoub’s section 8 Charter rights and the
significant delay caused thereby as factors in Mr. Mahjoub’s underlying motion
for abuse of process.
ORDER
THIS
COURT ORDERS that:
1. Mr. Mahjoub’s
motion is granted in part.
2. The
following
members of the Ministers’ litigation team are permanently removed from the
file, barred from working on the proceedings or having access to any of the
materials or information relating to the file, and ordered not to discuss any
information relating to the file with anyone or communicate such information to
anyone:
1.
Ms. Stewart
Guthrie;
2.
Ms.
Krakowska;
3.
Ms. Rondeau;
4.
Ms. Goodyear;
5.
Ms. Lewicki;
6.
Ms.
Schneider;
7.
Ms. Kaneira;
8.
Ms. Martins;
9.
Mr. Engel;
10.
Ms. Dean; and
11.
Ms.
Espejo-Clarke.
3. All other relief sought on
the motion is denied.
“Edmond P. Blanchard”
Schedule A
Date: 20111004
Docket: DES-7-08
Toronto, Ontario,
October 4, 2011
PRESENT: The Honourable Mr. Justice
Blanchard
BETWEEN:
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IN THE MATTER OF A CERTIFICATE SIGNED PURSUANT TO
SUBSECTION 77(1) OF THE IMMIGRATION AND REFUGEE PROTECTION ACT (IRPA);
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AND IN THE MATTER OF THE REFERRAL OF A CERTIFICATE TO
THE FEDERAL COURT OF CANADA PURSUANT TO SUBSECTION 77(1) OF THE IRPA;
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AND IN THE MATTER OF MOHAMED ZEKI MAHJOUB.
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ORDER
UPON
a motion filed on behalf of Mr. Mahjoub on September 16, 2011, seeking
the following relief:
a. a permanent stay of
proceedings pursuant to sections 7, 8 and 24(1) of the Canadian Charter of
Rights and Freedoms and section 50 of the Federal Courts Act;
b.an order for his release without conditions;
c. an order reserving
the right of the parties to present further submissions for the retrieval,
sealing or destruction of the co-mingled material;
d.
in the alternative, such further and other remedy as this Honourable
Court considers appropriate and just in the circumstances including the removal
of Department of Justice (DOJ) counsel and legal staff on record and Canadian
Border Services Agency (CBSA)/Canadian Security Intelligence Service (CSIS)
staff;
UPON reading
the motion records of the parties and hearing the parties’ oral submissions
in Toronto on October 3, 2011;
UPON the
Court taking the matter under reserve at the conclusion of the hearing;
UPON the
Court hearing the parties on the process for the separation of the documents at
issue;
UPON being
satisfied that in order to determine the proper remedy, if any, that may
be
appropriate in the circumstances,
it is first necessary to have the documents separated and returned to the
respective parties for the purpose of affording them an opportunity to make
submissions on the nature and extent of the alleged prejudice;
UPON noting
that the parties take the position that it is preferable that any examination
of the documents not be conducted
by the hearing judge for fear that this may taint him;
AND UPON being
satisfied that the separation of the documents should be conducted by
a Prothonotary of the Court who
will establish, in consultation with the parties, a process for the separation
of the co-mingled documents in a manner that will limit prejudice to the
parties.
THIS
COURT ORDERS that
1.
The parties are to attend before Prothonotary Aalto at 9:30 am, on
Wednesday October 5, 2011, at the Federal Court in Toronto, Ontario, for the
purpose of developing a protocol for the separation of the co-mingled
documents. The protocol shall be established by Prothonotary Aalto, in
consultation with the parties. It shall permit the separation of the documents in
a manner that will limit prejudice to the parties.
2.
Each party is to designate a person or persons, not a Solicitor of record,
who is able to identify the documents belonging to that party for the purpose
of dividing the co-mingled documents in the presence and under the supervision
of the Prothonotary pursuant to the protocol to be established for that
purpose.
3.
The person or persons so designated by each party shall thereafter be
excluded from the respective litigation teams and shall be prohibited from
communicating with anyone about the nature or content of the materials reviewed
for the above stated purpose and shall sign an undertaking to that effect with
the Court.
4.
The separated documents are to be returned to the respective parties.
5.
The parties may make further argument on the nature and extent of any
alleged prejudice before the designated judge. To that end Mr. Mahjoub may
prepare a description of any of the returned documents relied upon to
demonstrate that prejudice, which description shall not disclose any
substantive information that would be subject to solicitor-client or litigation
privilege.
6.
Prothonotary Aalto shall review and approve any description prepared by
Mr. Mahjoub against the document prior to the description being filed with the
Court.
7.
Upon the separation of documents, Prothonotary Aalto shall file a report
on the protocol followed to separate the documents. He may, in the exercise of
his discretion, also report on any other matter relating to the within order.
8.
In the event of a dispute arising with respect to the interpretation of
the within order, the parties are free to return to the Court for direction.
“Edmond P. Blanchard”
Schedule B
Docket: DES-7-08
IN THE MATTER OF a certificate
signed pursuant to section 77(1) of the Immigration and Refugee Protection
Act (IRPA);
AND IN THE MATTER OF the referral
of a certificate to the Federal Court pursuant to section 77(1) of the IRPA;
AND IN THE MATTER OF Mohamed Zeki
MAHJOUB
REPORT TO JUSTICE BLANCHARD
REGARDING
THE SEPARATION OF DOCUMENTS
I.
INTRODUCTION
1.
Background
During
the summer of 2011, documents stored in the breakout rooms at the Federal Court
used by public counsel for Mr. Mahjoub and by the Ministers were moved by
Department of Justice (DOJ) personnel to an office located at the offices of
the DOJ at 130 King Street W., Toronto. The documents were then placed in an
unused office on the 9th floor of the DOJ offices, being Room 916.
After
one of the counsel from DOJ observed that it appeared that documents from both
DOJ counsel and Mr. Mahjoub’s public counsel were in Room 916, the room was
sealed. Public counsel for Mr. Mahjoub were invited to review the documents
and concluded that, in fact, documents belonging to Mr. Mahjoub and his public
counsel were in Room 916.
Public
counsel for Mr. Mahjoub then brought a motion for a permanent stay of these
proceedings based on various grounds including, inter alia, “the
co-mingling of confidential material from Mr. Mahjoub’s file by DOJ staff
members and/or legal counsel with material from the DOJ’s file”. The motion
was opposed by counsel for the Ministers. After hearing submissions on the
stay motion on October 3, 2011, the Designated Judge, the Honourable Mr.
Justice Edmond Blanchard, made an order dated October 4, 2011 (October 4
Order).
2.
October 4
Order
The
preamble to the October 4 Order notes as follows:
UPON being satisfied that in order to
determine the proper remedy, if any, that may be appropriate in the
circumstances, it is first necessary to have the documents separated and
returned to the respective parties for the purpose of affording them an
opportunity to make submissions on the nature and extent of the alleged
prejudice;
…
The
October 4 Order then sets out a mechanism for the separation of the documents.
In essence, both Minister’s counsel and Mr. Mahjoub’s public counsel were to
appoint designates who were not part of the
respective litigation teams working on this matter to assist in the separation
of the documents
under the supervision and direction of a Prothonotary of the Federal Court.
The October 4 Order also provided that a protocol for the separation of the
Documents was to be developed with the input of counsel and the Delegates.
3.
Report
In
accordance with paragraph 7 of the October 4 Order, the purpose of this Report
is to provide a summary of the process engaged in by the Delegates under the
direction of the Court to separate the Documents. All of the details of the
process and Protocol developed for the separation of the Documents are not
described in this Report other than in a general way.
Throughout the entirety of the proceeding there were many issues which arose,
almost on a daily basis: logistical, procedural, and, substantive.
This Report does not deal with all of those issues unless the issue had a
significant impact on the separation process. For complete details of the
process and Protocol resort should be had to the Appendix to this Report.
II.
INITIAL
PROCEEDINGS
1.
Case
Conferences
A
number of case conferences were held with counsel to obtain input on a process
by which the Documents could be separated and to develop an initial plan
including the naming of the Delegates. When appointed the Delegates
also participated in these conferences. As a result of these conferences, a
general approach to the separation of the Documents was developed which formed the
basis of the ultimate protocol established for the separation of the
Documents. Of particular importance at the outset was the appointment of
Delegates and the decision to move all of the Documents from Room 916 at the
offices of the DOJ to a boardroom at the Court House.
2.
Delegates
The
Delegates appointed by the parties are as follows:
a. Ministers:
Rhonda Marquis (Senior Counsel)
Teresa Ramnarine (Associate
Counsel)
Laura Wilson (Law Clerk)
b. Mr. Mahjoub:
Nadia Liva (Senior Counsel)
Jared Will (Associate Counsel)
Amber Ingram Branton (Law Clerk)
3.
Undertakings
In
order to underline the importance of the distinction between counsel of record
and Delegates and the fact that Delegates were not actively involved in this
matter nor would become involved in the matter as counsel a form of undertaking
was drafted which was required to be signed by all Delegates prior to
commencing the separation process. All of the undertakings were marked as
exhibits in this proceeding. Additional undertakings were prepared
for both counsel to the Ministers and for Mr. Mahjoub’s public counsel when
they were given access to the separated documents.
4.
Initial
Inspection and Identification of Documents
The
first step in the process of separating the Documents was to move all of the
documents from Room 916 at the offices of the DOJ to the Federal Court. Of
paramount importance in moving the Documents was ensuring the continuity of the
move so that no party could allege that there was any opportunity for documents
to go missing or to allow for any tampering with the Documents. To that end
the Delegates worked with the Court to formulate a procedure for the move of
the Documents.
The
procedure followed is detailed in the transcript of proceedings taken Monday,
November 7, 2011. Essentially, the Court and the
Delegates met at the offices of the DOJ.
A preliminary meeting was held at which time the undertakings of the Delegates
were identified and marked as Exhibits and a brief discussion was had regarding
the goals of the overall process and the steps to be taken to ensure the
continuity of the move.
The
Delegates and the Court then assembled in the hallway outside Room 916 and the
Court unsealed the room. A videographer was retained to take both still
photos and videos of the opening of Room 916 and the contents of Room 916.
After an initial assessment of the contents and the layout of the room, the
four walls of the room were colour-coded and the boxes on each wall were colour-coded the same colour. Each step of the process was
videographed and at various times still photos were taken of the boxes and the
loose documents located on the desk or windowsill. All loose documents were placed
in numbered sealable property bags. The property bags were then placed
in boxes. Once all loose documents were tagged, bagged, sealed and boxed and
all other boxes were numbered and colour-coded, all boxes were sealed and the
Delegates initialed each seal.
During
the course of the identification, colour-coding and numbering of the boxes a
schematic diagram was drawn by the Delegates. This schematic diagram ensured
that a roadmap existed to permit an accurate recreation of the location of all
of the Documents in Room 916 in relation to each other.
5.
Lambiris
Documents
During
the initial inspection and review of the boxes in Room 916 it was determined
that there were 15 additional boxes which appeared to belong to Amy Lambiris.
These boxes were sealed. Ms. Lambiris is a lawyer with the DOJ who was not
involved in the Mahjoub file and who was on maternity leave. Upon her return
from maternity leave, Ms. Lambiris was to become the occupant of Room 916. The
Court determined that these boxes need not be moved but would remain in Room
916. In addition, Room 916 would remain sealed pursuant to Court Order until a
protocol for dealing with those boxes was finalized.
Subsequently, the Court and the
Delegates attended at Room 916 to review, in the presence of Ms. Lambiris, the
contents of those boxes. Ms. Lambiris confirmed that she and her assistant had
packed the boxes for storage. They were moved at some point to Room 916. The
inspection of those boxes determined that the contents of the boxes belonged to
Ms. Lambiris and were entirely unrelated to this matter.
6.
Move of
the Documents to the Federal Court
A
moving company was retained to move the boxes from the DOJ offices to the
Federal Court. The Delegates and the Court accompanied the Documents from Room
916 to the service elevator, from the service elevator to the parking area
where the boxes were placed in the moving van. All of these steps were also
videographed. A seal was placed on the back door of the van and initialed by
the Delegates. A representative of the Court accompanied the truck from the parking
lot at the DOJ offices to the Federal Court to ensure absolute continuity of
control of the Documents.
Upon
arriving at the Federal Court the seal on the back door of the van was broken
by the Delegates. The Documents were then taken, in the presence of the Court
and the Delegates, to Room 5043. With the aid of the schematic diagram the Documents were placed in
Room 5043 in the same relative positions in which they were found in Room 916.
That is, each of the four walls of Room 5043 were colour-coded the same colours
as the colours used in Room 916. Further, the configuration of the desk in
Room 916 was re-created in Room 5043. All of the Documents were placed in the
same relative positions in Room 5043 as they were in Room 916. There is no doubt
that because of the steps taken by the Delegates and the Court there was
absolute continuity of control of the Documents in the move from the offices of
the DOJ to the Federal Court. In all, there were 60 boxes of Documents moved
to the Federal Court.
7.
Security
a. Sealing of Room
5043
Room
5043 was sealed pursuant to Court Order and a sign to that effect was posted on
the door. No one had access to Room 5043 except with the authorization of the
Court. Further, no cleaning staff or unauthorized persons were allowed entry
to the room. The lock to the room was also changed. Three keys were made for
the lock: one was held in a sealed envelope by the Head of Security for the
Federal Court in Toronto; the second was held by the Court; the third key was kept
by the Registrar of the Court.
b. Log book
To
maintain a record of those persons who entered Room 5043 an Entry Control
Register was kept. All persons entering or leaving Room 5043 were required to
sign in and sign out.
c. Presence of
Delegates
At
the outset of the separation process it was directed that any Delegate could be
present in Room 5043 so long as the Prothonotary of the Court was present. In
the absence of the Prothonotary, a Delegate could only be in the room if there
was at least one Delegate from the other party present. This rule changed only
at the end of the Secondary Review when both Mr. Mahjoub’s public counsel and
Ministers’ counsel were allowed access to the room to review certain of the
Documents. In those circumstances, only the Delegate(s) for that party were
present with counsel.
III.
SEPARATION
OF DOCUMENTS
1.
General
Approaches
There
were a number of general principles which informed the process for the
separation of the Documents. While they are detailed in the Protocol as it
evolved and the many discussions on the record regarding issues as they arose,
in general terms they are as follows:
a.
Mr. Mahjoub’s
public counsel took the position throughout that although they objected to the
entirety of the process, they were participating only on the basis that the
entire process was without prejudice to Mr. Mahjoub’s rights. At various times
throughout the process the Court confirmed on the record that the process was
without prejudice to Mr. Mahjoub’s rights;
b.
The process
was developed to ensure absolute integrity with respect to the continuity of
the Documents;
c.
An underlying
premise of the separation of the Documents was to insulate the Designated Judge
from any exposure to the content of solicitor-client privileged material or
solicitor work product or litigation privileged documents. Similarly, counsel
acting for the parties were to be insulated from reviewing solicitor-client
privileged material or solicitor work product or litigation privileged material
of the other party;
d.
The
separation was to be completed by the Delegates without the involvement of
either Ministers’ counsel or public counsel for Mr. Mahjoub until an
appropriate time was reached when access to separated Documents could be made
available to counsel;
e.
The Court
approached the process of separating the Documents with a view to ensuring that
the rights of any party involved in the proceeding not be prejudiced. The
Delegates represented the interests of the their respective parties in keeping
with the mandate of the October 4 Order;
f.
The
development of the Protocol for the separation of the Documents (as described
in detail below) was created with input and consultation with counsel for the
respective parties. It was understood that the process be flexible and would
evolve as issues arose regarding categorization and identification of
documents;
g.
The Delegates
were authorized to share certain information with their respective parties and
to seek input from time to time on aspects of the Protocol to be followed;
h.
When the
seals on the boxes were broken and the boxes were opened the contents were
reviewed, without reading, by Mr. Mahjoub’s Delegates or the Court to provide
an indication as to whether the box contained any documents belonging to Mr.
Mahjoub. If it was the view of Mr. Mahjoub’s Delegates or the Court that a box
contained such documents, those boxes were eventually reviewed during the
course of the process by the Court and Mr. Mahjoub’s Delegates;
i.
Documents
which were identified as belonging to either the Ministers or Mr. Mahjoub,
after being catalogued on the Charts, were moved to a new box identified as one
of the five categories described below;
j.
Blue boxes 1
– 8 were initially reviewed only by Mr. Mahjoub’s Delegates and the Court; and,
k.
In carrying
out their mandate, the Delegates followed the Protocol to ensure it would not
result in revealing information to counsel on either side the content of
documents that might be considered to be solicitor-client privileged, solicitor
work product or otherwise litigation privileged materials.
2.
Primary
Review
During
the initial case conferences in which both Delegates and ministers’ counsel and
Mr. Mahjoub’s public counsel were involved, there was a general consensus on an
approach to separation of the Documents. However, as those discussions took
place essentially in a vacuum as the scope of what was contained in the boxes
of Documents was unknown, the actual implementation of the Protocol could only
take place as the process of separation was underway.
a. Chart
i.
General
Description of Chart
A number of decisions
were made respecting the tracking of documents. It was determined that a chart
was required. The Chart contains seven
columns: Box or Bag Number; the Document Number; a column for verification and
confirmation of each document by the Delegates or the Court; a column for Document
Description/Category; a column for Issue/Identification; a column for
Resolution (FN#); and a column identifying the New Location.
ii.
Document
Description/Category
This column provides
generic information regarding each document. It was intended that once the
separation of the Documents was complete the Charts would be released to
Ministers’ counsel and to public counsel for Mr. Mahjoub to assist them in
determining what documents they wished to refer to in making further
submissions on the stay motion. Thus, in order to ensure that no information
was recorded which would provide solicitor/client information or solicitor work
product, generic descriptions of documents were used. Such descriptors include
“transcripts”, “surveillance reports”, “cases”, “cerlox bound document” and
“binder” etc.
iii.
Issue/Identification
This column also
provides generic information regarding each document. The intent of this
column was to provide information regarding the identification issue i.e.
whether a document had any notations such as
handwriting/underlining/highlighting/language etc.
iv.
Resolution
(FN#) and New Location
These columns record
the basis on which a document was moved from its original box to a new box.
Throughout the process as documents were identified as belonging to one of the
categories of documents discussed below a notation was made in the Resolution
(FN#) column as to who identified the
document or why it was identified as belonging to a particular category. The new location of the document was noted in the last column.
b. Toolkit
As
part of the process it became necessary to use various aids to assist in
identifying ownership of documents. As a result a “toolkit” was created.
Included in the Toolkit were samples of handwriting from
many of the lawyers, students and support staff who had worked on the Mahjoub
matter; notes from counsel regarding their practices in marking documents; and,
notes from counsel regarding the types of office supplies that would ordinarily
be used etc.
c. Categories of
Documents
At
the outset of the primary review five main categories of documents
came to be established. As each box was opened and the documents reviewed the
Delegates made an initial determination as to which of the five categories a document belonged. Once the determination was made the document was then placed in a
new box and the new location noted on the Chart. The five categories of the Documents are:
i.
Neutral
Documents
ii.
Mahjoub
Documents
iii.
Ministers’
documents
iv.
Contentious
Documents
a. Documents not
identifed
b. In camera materials
c. Blue boxes 4 - 8
v. Solicitor/client
intercept motion documents
IV.
THE
PROTOCOL RULES
In order
to separate the Documents certain rules evolved during the course of examining
the individual documents in the boxes. These rules dealt with how documents
would be separated based on the contents of the documents. The rules evolved during the many
days of separating the Documents, were based on the experience of the Delegates
and the Court in reviewing the Documents, and, were developed with input from
counsel. They are as follows:
Rule No. 1:
A Document which is an
original or contains copied initials; is otherwise unmarked; and, is a public
document is a neutral document and will be placed in a Neutral
box.
Rule No. 2:
Public documents that
are an original or a photocopy, with highlighting, tabs, stickies, underlining
and markings remain in the Contentious boxes unless they can otherwise be
identified.
Rule No. 3:
Annotated exhibits are
all placed in the Contentious boxes, subject to the Secondary Review.
Rule No. 4:
Correspondence between
counsel, that is, the Ministers' counsel and Mr. Mahjoub's public counsel, are
neutral documents provided that such correspondence is not a draft and the
correspondence is signed, either in the original, or by way of a typewritten
signature.
Rule No. 5:
Documents from the
public domain that are unidentifiable remain in the Contentious boxes for Mr.
Mahjoub's counsel to review, first. Such public-domain documents include items
such as factual materials and reference materials, meaning copies of articles,
copies of newspaper reports and the like.
Rule No. 6:
Unmarked case law is
placed in the neutral boxes.
There
was an agreement by counsel for the Ministers that cases found in what was
otherwise a Mahjoub box should remain in the Mahjoub box. Such material was
not required to be moved to the Neutral boxes.
Rule No. 7:
Transcripts of
proceedings in relation to Mr. Mahjoub are to be placed in the neutral boxes,
unless they are otherwise marked in some fashion and the markings are
unidentified. If they are marked up and are
unidentifiable, they are to be placed in the Contentious boxes.
Rule No. 8:
Transcripts from other
proceedings, that is, other than proceedings involving Mr. Mahjoub that cannot
be identified remain in the Contentious boxes for Mr. Mahjoub's public counsel
to review first.
Rule No. 9:
If there is
handwriting that shows up repeatedly on documents that the Delegates cannot
identify based on samples received from participants in the proceedings, copies
of sanitized versions
will be
provided to counsel for identification. Until identification is confirmed the
documents remain in the Contentious boxes.
Rule No. 10:
As the boxes are
reviewed and materials are moved to the Contentious boxes, the Delegates will
keep track of how many Contentious boxes are one quarter, half, or full,
following the Secondary Review.
Rule No. 11:
With respect to titles
on public documents which are highlighted, Mr. Mahjoub’s public counsel
conceded that such documents have no privilege attached to them and they were
catalogued as neutral and placed in the Neutral boxes.
V.
RESULTS
OF PRIMARY REVIEW
The Primary
Review required a review of each document in the 60 boxes. In total, over the
course of the proceeding, approximately 1450 documents were individually
identified and catalogued on the Charts. During the Primary Review a
significant number of documents were separated on the basis of the Protocol
Rules as they were at the time. The separated Documents comprised the
following:
•
Neutral
Documents - 25 boxes
•
Ministers’
Documents – 4 boxes
•
Mahjoub
Documents – 6 boxes
•
Contentious
Documents - over 40 boxes
VII.
SECONDARY
REVIEW
Following the Primary Review of
the Documents the Delegates and the Court engaged in a Secondary Review of all
of the documents remaining in the Contentious category. As well, Mr. Mahjoub’s
Delegates together with the Court reviewed a number of boxes identified as
belonging to Mr. Mahjoub. During this review the Delegates and the Court used
the Toolkit and the Protocol Rules to assist in identifying ownership of documents.
In addition, as it became apparent that there was handwriting on the Documents
other than the samples already obtained the parties were requested to provide
samples of handwriting from additional members of each team and to provide more
information about how files were organized and maintained. All of this
additional information was added to the Toolkit.
The
Secondary Review resulted in the Contentious Documents being significantly
winnowed down. By approximately January 10, 2012 the Secondary Review was
substantially complete and only 294 Documents from the total of approximately
1450 Documents remained unidentified and remained as Contentious Documents.
VIII. FINAL REVIEW
The Final Review of the Documents
centered primarily on the disposition of the remaining Contentious Documents.
It was also during this review that Mr. Mahjoub’s public counsel and Ministers’
counsel were given access to Room 5043 to review the Contentious Documents and
assist in the identification of the remaining Contentious Documents. Mr. Mahjoub’s public counsel
were invited to review the remaining Contentious Documents first. As a result
of their review the number of Contentious Documents was reduced. Ministers’
counsel were then afforded an opportunity to review the Contentious Documents.
As well, for a number of Contentious Documents, sanitized copies were forwarded
to counsel for the parties to assist in the identification of Documents. Following completion of the
review by counsel and the responses to the sanitized documents the final
separation resulted in the following:
•
Neutral
Documents – 32 boxes
•
Ministers’
Documents - 12 boxes
•
Mahjoub
Documents – 14 boxes
•
Contentious
Documents – 3 boxes
The October 4 Order requires that
any descriptions of Documents put before the Court on the continuation of the
stay motion by Mr. Mahjoub’s public counsel first be approved by the Court to
ensure no solicitor-client information is inadvertently referred to.
Paragraphs 5 and 6 of the October 4 Order provide as follows:
5.
The parties
may make further argument on the nature and extent of any alleged prejudice
before the designated judge. To that end Mr. Mahjoub may prepare a description
of any of the returned documents relied upon to demonstrate that prejudice,
which description shall not disclose any substantive information that would be
subject to solicitor-client or litigation privilege.
6.
Prothonotary
Aalto shall review and approve any description prepared by Mr. Mahjoub against
the document prior to the description being filed with the Court.
Thus,
in order to maintain the continuity of the Documents it was determined by the
Court, after input from counsel and the Delegates, that all of the Documents
remain in Room 5043 and not be released to any party.
While
consideration was given to photocopying all of the Documents at the Court and
returning the original Documents to their respective owners as separated, this
was determined to be unworkable for several reasons. First, photocopying would
require an enormous amount of time and resources. Second, photocopying might
result in copies of sensitive documents remaining on the imaging components of
photocopiers. Third, many documents would have had to be taken apart to be
photocopied. Fourth, colour photocopying would be necessary for some documents
to show highlighting and such. Fifth, the mere photocopying of the documents
expanded the group of people that would be exposed to solicitor-client
privileged information and documents.
Further,
consideration was also given to taking the Documents to a third party printing
company but that had the potential of interfering in the continuity of the
Documents and created logistical issues as to how the Documents would be
transported, who could accompany them and who would stay to ensure the
continuity. Thus, this idea was abandoned.
In
the end, it was determined that no Documents would leave Room 5043 and Mr.
Mahjoub’s public counsel worked at a work station set up for them to review,
initially the Contentious Documents, and, subsequently Mr. Mahjoub’s documents
and the Neutral Documents. No one else was present for this latter review
other than Mr. Mahjoub’s Delegates who assisted in locating documents and
providing factual information regarding the Charts and locations of documents.
Court staff were not present for this review but were available as needed and
were also available to unlock and lock Room 5043.
IX.
REMAINING
DOCUMENTS
After all reasonable avenues of
identification were pursued by the Delegates to identify all of the remaining
Contentious Documents there remained only 66 documents in three boxes which
were not identified by either party as belonging to them. These documents remain
unidentified and the Court cannot determine on the basis of either the
information in the Toolkit or from counsel to the parties as to their
provenance. The documents include, for example, items such as orange and green
file folders containing publications, will-says and excerpts of transcripts;
many volumes of documents including summaries of surveillance reports, expert
reports, affidavits, transcripts and exhibits; a binder of Ministers’
documentary exhibits; and, various loose documents. Because they are either
highlighted, have some handwriting on them or have stickies placed on various
pages, by virtue of the Protocol Rules and for absolute consistency they must
remain in the Contentious category.
They
will remain in the Contentious Boxes until further submissions are received
from counsel concerning their disposition.
X.
CONCLUSIONS
There
are a number of general conclusions that can be summarized from the process
related to the separation of the Documents. It is not the purpose of this
Report, however, to offer conclusions on the implications, legal results or
remedies that result from any documents having been commingled.
These
general conclusions are as follows:
1.
The process
was labour intensive and took longer than perhaps what was expected at the
outset of the process. This, in part, was because of the need to ensure the
integrity and the continuity of control of the Documents and the overriding
concern that counsel for the parties and the Designated Judge be insulated from
any solicitor-client material, solicitor work product or litigation privileged materials.
2.
No one knew
or anticipated the many issues that would arise during the course of the
separation of the Documents. At the outset neither the Court nor the Delegates
knew the number of documents, how they were organized or the scope of the
commingling. Only during the actual separation process did it become apparent
that the job of separating the Documents would not be a simple process. As
noted, the Protocol Rules evolved over time to respond to particular issues as
they arose.
3.
While to some
it may seem that the separation of documents between two parties should be a
simple exercise – that one looks at a document and makes a decision as to which
party it should go – such is not the case. For example, neither the Delegates
nor the Court are handwriting experts and even though handwriting samples were
obtained and formed a large part of the Toolkit, identifying specific
handwriting turned out to be more difficult than anticipated. There were many
individuals who worked on the Mahjoub file both at the DOJ and at the offices
of Mr. Mahjhoub’s public counsel. Although it can be said that toward the end
of the process, both the Court and the Delegates came to recognize certain of
the handwriting.
4.
It is for the
parties to argue the significance and the extent of the commingling of the
Documents. However, it should be said that there were boxes which contained
more than one category of Documents including boxes that contained both
Ministers’ Documents and Mahjoub Documents.
5.
No party
waived solicitor-client privilege. In light of this, both the Court and the
Delegates were vigilant in ensuring the confidentiality of any information that
could be perceived to be solicitor-client privileged, solicitor work product or
litigation privileged material.
6.
The types of
documents that were found to belong to Mr. Mahjoub included, in addition to
motion records, case law, published articles, handwritten notations on motion
records and other documents, documents such as summaries of transcripts;
handwritten and typed notes of counsel for Mr. Mahjoub; cross-examination notes
of witnesses prepared by Mr. Mahjoub’s public counsel; notes of Mr. Mahjoub;
correspondence between counsel for Mr. Mahjoub; solicitor work product;
solicitor-client privileged material; and litigation privileged material. This
is a non-exhaustive list.
7.
Similarly,
the types of documents that were found to belong to the Ministers included
motion records; case law; published articles; notes of counsel; correspondence;
handwritten notes including both typed and handwritten notes of examinations of
witnesses; summaries and documents that are solicitor-client privileged,
solicitor work product and litigation privileged materials. This is also a
non-exhaustive list.
8.
All efforts
were made to ensure that the Ministers’ Delegates did not review any documents
of Mr. Mahjoub that could be categorized as solicitor work product,
solicitor-client privileged material or litigation privileged material.
9.
The role of
the Delegates in the process was to ensure the separation of the Documents was
carried out in such a way as to maintain the integrity of the process and
insulate the parties from exposure to solicitor-client information of solicitor
work product of the other side.
10.
During the
Final Review of the Documents, the Delegates assisted the parties in
understanding the facts of the logistics of the process, i.e. the
colour-coding; information on the charts; locations of boxes; locations of
documents etc. On the specific Order of the Court, the Delegates were directed
not to provide information to the parties as to why a particular document was
placed in a particular category. It is for the parties, not the Delegates nor
is it the purpose of this Report, to draw conclusions regarding the relevance of
any of the Documents.
11.
The Delegates
each signed undertakings, over and above their professional obligations, not to
divulge solicitor-client information which they might be exposed to in the
course of this process. As noted, this concern to ensure no party or the
Designated Judge was tainted by being exposed to such information, was one
which drove much of the process.
12.
At the end of
the process there was only one document identified as belonging to the In
Camera Sub-Document category. It was identified by the Court and was not
reviewed by the Delegates. The document will be removed from Room 5043 and
given by the Court to a representative of the Ministers who has the relevant
security clearance. An Order to this effect has been issued by the Court.
13.
Continuity of
control was an important part of the process to ensure all documents in Room
916 were moved to the Court and once at the Court that no documents were
removed from Room 5043 or were in any way tampered with. The Court and the
Delegates took every reasonable step to ensure the continuity and the integrity
of the Documents. Further, at the end of each review, all boxes were sealed.
There is absolute continuity and integrity of the Documents as found in Room
916 and as they were moved to Room 5043. As of the date of this Report none of
the Documents have been removed from Room 5043.
14.
As part of
the process, both videos and still photographs were taken of Room 916 at the
DOJ offices and the move of the documents to the Federal Court. The video
contains confidential footage of parts of the offices of the DOJ. Therefore,
as part of this process the Court has ordered that the entire video is not part
of the public record although parts will be made available to counsel. At the
end of the process, the same videographer who photographed the move from Room
916 to the Federal Court took photographs of the outside of the all of the
empty boxes.
15.
During the
course of the separation no Documents were allowed to be removed from Room 5043
until the entire process was complete including the review by public counsel
for Mr. Mahjoub. As of the date of this Report, public counsel for Mr. Mahjoub
are reviewing all of the Documents in the Mahjoub Boxes and Neutral Boxes in
Room 5043. Descriptions of documents to be used on the continuation of the
stay motion will be prepared by public counsel for Mr. Mahjoub. As the
integrity of the Documents has been maintained in Room 5043, the Court can
review the descriptions with the benefit of the originals.
16.
Ministers’
counsel, as of the date of this Report, have not yet reviewed documents other
than the Contentious Documents and the In Camera Documents in the context of
assisting the Delegates in determining ownership of various Contentious
Documents.
17.
Three boxes
containing 66 Contentious Documents remain unidentified as to ownership. These
Documents include items such as bound volumes of transcripts, affidavits,
expert reports, documentary evidence, file folders and the like. Further
submissions will be received from counsel as to the disposition of these
documents.
18.
Although the
Delegates have taken the actual separation process as far as they can, the
Delegates must continue to be available to assist counsel for the respective
parties in locating documents or providing factual information regarding the
Charts.
19.
Similarly,
the Case Management Judge will remain seized of further matters relating to the
Documents that may be raised by the parties in preparation for the continuation
of the stay motion apart from the requirement in the October 4 Order for the
Court to review the descriptions of documents referred to on the stay motion.
20.
It is
anticipated that once the stay motion is completed, that Documents will be
returned to the parties. Further submissions from counsel are also required
regarding the disposition of not only the remaining Contentious Documents but
all of the Neutral Boxes.
21.
At the end of
the process certain materials were released to counsel to assist them in their
review of the Documents. Counsel were only given access to their respective
client’s boxes, the Neutral boxes and the Contentious boxes. The materials released to
counsel were as follows:
a.
Charts
(colour copies);
b.
Exhibit 8
(the coloured schematic diagram);
c.
Index to the
Charts;
d.
Property Bag
Document List;
e.
List of
Contentious Documents in the 3 remaining boxes;
f.
List of
e-mails seeking identification of documents from counsel;
g.
Copies of the
still photographs of Room 916 and of the boxes in Room 5043 at the end of the
process, and,
h.
Redacted copy
of the Entry Log Register.
On
a final note, there are two groups of individuals who deserve recognition for
their contributions to this process. First, it must be said that the Delegates
appointed by each party are deserving of enormous credit for the manner in
which they conducted the separation of the Documents. While representing the
interests of their respective party, they were each professional, hard-working
and civil throughout. Indeed, they brought many concrete ideas forward to achieve
the separation of the Documents. The Court is greatly indebted to them for
their courtesy, inventiveness and thoroughness throughout the entirety of this
process. Second, the dedicated Court staff who worked well beyond regular
hours and on weekends and worked with the Delegates and counsel for the parties
to ensure this matter could be finished in as timely a manner as possible.
ALL OF WHICH IS RESPECTFULLY
SUBMITTED
________________________________________
Case
Management Judge
Kevin R. Aalto
IN THE MATTER OF A CERTIFICATE
SIGNED PURSUANT TO SECTION 77(1) OF THE IMMIGRATION AND REFUGEE PROTECTION
ACT (IRPA);
AND IN THE MATTER OF THE REFERRAL
OF A CERTIFICATE TO THE FEDERAL COURT PURSUANT TO SECTION 77(1) OF THE IRPA;
AND IN THE MATTER OF MOHAMED ZEKI
MAHJOUB
APPENDIX VOLUMES I - IV
|
VOLUME
I
|
1.
Order of
Justice Blanchard, dated October 4, 2010
|
2.
Orders of
Case Management Judge Aalto dated November 3, 9, 2011 and January 27, 2012.
|
3.
Diagram of
DOJ office (Exhibit 8)
|
4.
Photographs
showing sealed Room 916 and general layout of the boxes
a.
Sealed Door
to Room 916
b.
Door opened
c.
a) Room
916 before color coding
b) Room
916 after colour coding
c) Room
916 after colour coding
d.
a) Documents
on Desk
b) Documents
on Desk
c) Documents
on Desk after colour coding
e.
a) Documents
on East Wall before colour coding
b) Documents
on East Wall before colour coding
f.
a) Boxes
on North Wall
b) Boxes
on North Wall
c) Boxes
on North Wall after colour coding
g.
a) Boxes
on West Wall before colour coding
b) Boxes
on West Wall before colour coding
h.
a) Boxes
on South Wall before colour coding
b) Boxes
on South Wall before colour coding
c) Boxes
on South Wall after colour coding
i.
Any
Lambiris Box
j.
Sealed Box
as Moved to Federal Court
k.
a) Empty
Box at end of process
b) Empty
Box at end of process
c) Empty
Box at end of process
|
5.
Exhibit
List
|
6.
Summary of
Information to be provided to Solicitors of record
dated December 7, 2011
|
7.
List of 66
Unidentified Contentious Documents
|
VOLUME
II
|
8.
Index of
Charts
|
9.
Charts of
Contents of Boxes
|
VOLUME
III
|
10.
Transcripts
November 1, 2011 to December 6, 2011
(A).
Transcript
November 1, 2011
(B).
Transcript
November 10, 2011
(C).
Transcript
November 15, 2011
(D).
Transcript
November 22, 2011
(E).
Transcript
November 29, 2011
(F).
Transcript
November 30, 2011
(G).
Transcript
December 1, 2011
(H).
Transcript
December 2, 2011
(I).
Transcript
December 5, 2011
(J).
Transcript
December 6, 2011
|
VOLUME
IV
|
11.
Transcripts
December 12, 2011 to January 17, 2012
(A).
Transcript
December 12, 2011
(B).
Transcript
December 13, 2011
(C).
Transcript
December 15, 2011
(D).
Transcript
December 16, 2011
(E).
Transcript
December 20, 2011
(F).
Two
Transcripts December 21, 2011
(G).
Transcript
December 22, 2011
(H).
Transcript
January 3, 2012
(I).
Transcript
January 10, 2012
(J).
Transcript
January 11, 2012
(K).
Transcript
January 13, 2012
(L).
Transcript
January 17, 2012
|
Schedule C: