Date: 20090126
Docket: T-1291-07
Citation: 2009 FC 77
Ottawa, Ontario, January 26,
2009
PRESENT: The Honourable Mr. Justice Zinn
BETWEEN:
KEITH
N. MURCHISON
Applicant
and
EXPORT
DEVELOPMENT CANADA
Respondent
REASONS FOR ORDER AND ORDER
[1]
The
applicant is seeking a review of the claims for an exemption asserted by the
respondent on nearly 900 pages of information listed in response to a request
made under the Privacy Act, R.S.C. c. P-21. For the reasons that
follow, the applicant’s application is allowed with respect to many of the
documents withheld from him.
Background
[2]
Mr.
Murchison was an employee of Export Development Corporation (EDC) for almost
three years from August 1979 to May 1982. He resigned to pursue opportunities
in the private sector. Over the course of the next seven years, he worked for
Northern Telecom and BCI Inc., and later for a brokerage associated with
Lloyd’s of London, which was active in the Canadian trade insurance market at
the time.
[3]
Mr.
Murchison sought reemployment with EDC in 1989, believing that his private
sector experience would make him an attractive candidate for a managerial
position. By his count, he has since made at least 26 formal applications for
employment with EDC; none have been successful.
[4]
In
light of the repeated rejections of his applications over the course of some 15
years, Mr. Murchison began to question whether his human resources file
contained unfavorable information that was standing in the way of his rehire. Accordingly,
in September of 2004, he contacted the Human Resources Department of EDC
seeking access to his personnel file, and followed-up with a written request to
that effect on September 28, 2004. In response, EDC retrieved Mr. Murchison’s
personnel file from National Archives, and delivered a copy of its 157 pages to
him on October 29, 2004.
[5]
Mr.
Murchison discovered that his file did indeed contain negative information, in
the form of a handwritten note prepared by Mr. Wayne Hughes, formerly an EDC Human
Resources Manager, who had been tasked with inquiring into Mr. Murchison’s suitability
when he first expressed interest in being rehired in 1989. The note purports
to record the negative comments and recollections of five individuals from EDC who
were questioned as to their view of Mr. Murchison’s suitability for
reemployment. Mr. Murchison firmly believes that the information set out in
the note was a fabrication designed to sabotage his prospects with EDC, and he considers
that it should never have been appended to his archived personnel file. Regardless
of motivation, Mr. Murchison considers the negative comments that are recorded
to be false. In October of 2006, he commenced an action in the Ontario
Superior Court against EDC and others claiming damages for the alleged impact of
this information on him. That litigation is ongoing.
[6]
On November
4, 2004, several days after receiving his personnel file, he wrote to the Human
Resources Department of EDC to communicate his concerns over its contents, and
to suggest that the offending materials be expunged and efforts undertaken to
clear his name. He also expressed the view that “it will be necessary for some
proper restitution to be made, in consideration of the financial effects of
this reckless, unconscionable effort to poison my career potential.” EDC
responded by letter dated November 30, 2004, informing Mr. Murchison that it
was unlikely that his file had been consulted in connection with any job
application and that “as a gesture of good faith,” EDC was prepared to destroy
the entire contents of his career file. There followed a meeting and a series
of written and oral exchanges between Mr. Murchison and EDC with a view to a
resolution, but by early January 2005 none had been reached. Mr. Murchison
changed tack and decided to approach the Acting President of EDC, Mr. Gilles
Ross, directly. He also filed a request under the Privacy Act, R.S.C.
1985, c. P-21, with National Archives Canada, seeking to examine the original
of his file. The file had to be retrieved from EDC, and it was not until the
third week of April 2005 - well beyond the 30-day statutory deadline - that it
was actually produced by National Archives for inspection, whereupon Mr.
Murchison discovered that the original file included three pages which had not
been included in the copy supplied to him by EDC. Around this time, he also
met with Mr. Ross and another EDC executive in its legal department, Mr. John
Peters, but despite the “upbeat” tenor of the meeting, from that point on EDC
declined to deal directly with Mr. Murchison, referring him instead to Cavanagh
Williams, counsel of record in this proceeding and the firm which had been
retained by EDC in connection with Mr. Murchison’s allegations. This
notwithstanding, Mr. Murchison continued to petition EDC directly up until
October 2, 2006, shortly before he filed his action for damages in the Ontario
Superior Court.
[7]
It
was in this context, prior to the commencement of litigation but after the
involvement of outside counsel on behalf of EDC, that Mr. Murchison filed a request
with EDC under subsection 12(1) of the Privacy Act, for disclosure of his
personal information. It is that request, dated October 17, 2005, and the
response to it that form the basis of the matter now before this Court. In the
request, Mr. Murchison indicated that he was seeking disclosure of the
following:
All documents and records pertaining to
me other than those in the possession of National Archives as of Oct 17, 2005,
including, but not limited to all briefing notes, meeting minutes,
correspondances (sic) and reviews involving W. Hughes, W. Musgrove, J.
Graves, P. Foran, J. Olts, A.I. Gillespie, L. Landry, R. Richardson, C.
Caldwell, J. Christie, D. Blair, M. Cammaert, R. Wright, G. Ross, S. Picard, J.
Peters, A. Lawford and external consultants, legal counsel, Int’l Trade Canada
officials, etc.
*Note: A formal request was made under
the Privacy Act in Sept (sic) of 2004. The current request is made to
obtain documents not furnished under that earlier request including those wrongfully
withheld and those arising in the subsequent interval.
[8]
The
request was amended by Mr. Murchison on or about November 7, 2005, to include
information “from Staffing Files, maintained in EDC’s Human Resources group –
including those in respect of a Financial Services Manager’s position for which
I applied in June of 2004 (ref 000127) and a Customer Services Director
position which I applied for in May of this year.”
[9]
Mr.
Murchison’s request was handled by Mr. Serge Picard, Assistant Secretary, Legal
Counsel and Privacy Coordinator of EDC. Mr. Murchison’s request under the Privacy
Act was the first such request received by EDC in over two decades and this
may go some way to explain the process followed by EDC in responding to it. On
October 27, 2005, Mr. Picard sent out an e-mail to 18 individuals, whom he
believed might have relevant records in their control, reproducing Mr.
Murchison’s request as set out in his correspondence dated October 17, 2005, and
directing as follows:
(a) Contact me if the request is unclear
or confusing.
(b) Inform me if you believe another
individual/department has relevant records.
(c) In the event that you designate an
individual or coordinate the response of your department/division, provide me
with the name of the individual.
(d) Forward to me the records that are
within the scope of the request by October 31, 2005.
(e) Contact me immediately if you cannot
meet the deadline.
I will review with legal counsel the
documents, indicate any exemptions that may apply and return the documents to
you for your review and approval.
Note: relevant records include e-mail
messages, documents stored on individual or network drives and documents in
databases.
[10]
In response,
Mr. Picard received approximately 4000 pages of documents which he states that
he personally reviewed, “line by line and page by page.” In his review, Mr.
Picard first determined that a large number of the documents, or portions
thereof, did not contain Mr. Murchison’s “personal information” within the meaning
of section 3 of the Privacy Act. He then determined that of the balance
of the documents, a number could be exempted from disclosure in accordance with
the solicitor-client exemption set out at section 27 of the Act.
[11]
Mr.
Gilles Ross, who had received a written delegation of authority from EDC
President Rob Wright, authorized the exemptions and redactions advised by Mr.
Picard, and proceeded to release a document package of approximately 3,756
pages to Mr. Murchison under cover of letter dated December 13, 2005. Approximately
836 pages of the 3756 pages disclosed were fully or partially redacted because
EDC asserted solicitor-client privilege over their contents, while some 126
pages were fully or partially redacted on the grounds that they contained what
EDC termed “non-personal” information.
[12]
On
December 14, 2005, the day after he received the package of documents, Mr.
Murchison addressed a letter of complaint to the Office of the Privacy
Commissioner (OPC), challenging EDC’s assertions of solicitor-client privilege
over select information and requesting that the OPC intervene to have all
documents that had been withheld or redacted released in full. The week before
he had filed a complaint with respect to EDC’s failure to respond to his
disclosure request within the applicable 30-day time limit.
[13]
The
OPC launched an investigation and concluded that a number of the fully or
partially redacted documents which EDC had indicated contained “non-personal
information” did in fact contain Mr. Murchison’s personal information. This
conclusion and the specific pages concerned were noted in a letter dated
January 26, 2006, which the OPC sent to the attention of Mr. Picard. Mr.
Murchison was not provided a copy, and only obtained one sometime later through
a separate and subsequent Privacy Act request.
[14]
Following
discussions with the OPC in relation to Mr. Murchison’s complaint, EDC made two
further releases of documents, on February 3, 2006 and again on December 19,
2006. Both releases came under cover of letter signed by Mr. Picard. The
first release included documents EDC had, by its own admission, mistakenly
withheld. At this time, Mr. Picard also affirmed that a number of the pages
referenced in the December 13, 2005 disclosure, did not in fact exist (namely,
pages 2204-2303, 2511, 2512, 3887-3890, 3956 and 3957). The second release
included some 30 documents which had previously been fully or partially
redacted, either on the basis of solicitor-client privilege or as
“non-personal” information.
[15]
On
March 30, 2007, allegedly as the result of further discussions with the OPC,
EDC Vice President, Legal Services, Mr. Jim McArdle, wrote to Mr. Murchison to
inform him that EDC was now asserting solicitor-client privilege over a number
of documents or portions thereof which up until then had been withheld on the
basis asserted in Gilles Ross’ letter of December 13, 2005, namely that they
did not contain Mr. Murchison’s personal information. Mr. Murchison correctly notes
that the documents listed by Mr. McArdle in this respect closely match those
which the OPC had referenced in its January 26, 2006 letter to EDC as being
documents that did in fact contain personal information of Mr. Murchison. In
short, Mr. Murchison submits that when the OPC reviewed and disagreed with
EDC’s exemption of certain documents on the basis that they did not contain his
personal information, EDC simply switched the basis for the exemptions to
solicitor-client privilege.
[16]
On
May 16, 2007, the OPC wrote to Mr. Murchison informing him that it considered
his complaint to have been resolved. The letter included the following
passages, which bear reproduction in full:
We noted in the course of examining the
information withheld by EDC, some information was excluded pursuant to section
12(1) of the Privacy Act. Section 12(1) of the Act entitles an
individual to request access to one’s own personal information. Occasionally,
there are files or documents under the control of a government institution that
contain references to other individuals, not connected to the subject matter of
the access request. This occurred in your case: some documents in your file
contained information about other individuals and information of a non-personal
information. (sic) Thus, you do not have a right of access to it.
That being said, we noted some pages did
contain your personal information and as a result of our intervention EDC
released additional information to you on December 19, 2006. It also informed
you that information previously removed under section 12(1) was now exempted
under section 27. On March 30, 2007 EDC further advised you that some of the
information that was not released to you in response to your request of October
17, 2005 because EDC determined the information was not your personal
information, is now being withheld from disclosure in accordance with section
27 of the Act.
Section 27 of the Privacy Act permits
a federal institution to withhold from disclosure any personal information
which is subject to solicitor-client privilege. This privilege extends to
information prepared by or for a solicitor for the purpose of providing advice,
or for litigation purposes. As a result of our representations made on your
behalf, EDC agreed to revoke this section on a number of pages and disclosed
that information to you on December 19, 2006. I am satisfied that the remaining
information withheld under this provision is properly exempted.
When you reviewed the documentation, you
noticed some inconsistencies in the records and concluded that EDC had
purposefully withheld information. We noted that administrative processing
errors occurred in the page numbering and photocopying which resulted in some
inconsistencies in the records. You were informed of some of these processing
errors in EDC’s letter of February 2, 2006.
I am of the view that you did not
initially receive all of the information to which you were entitled and I have
therefore concluded that this complaint is well-founded. However, now that
additional information has been provided to you, I consider the matter
resolved.
[17]
Not
being satisfied with the response from EDC, even after the intervention of the
OPC, Mr. Murchison commenced an application for review by this Court pursuant
to section 41 of the Act. That provision reads as follows:
41. Any individual who has been refused access to
personal information requested under subsection 12(1) may, if a complaint has
been made to the Privacy Commissioner in respect of the refusal, apply to the
Court for a review of the matter within forty-five days after the time the
results of an investigation of the complaint by the Privacy Commissioner are
reported to the complainant under subsection 35(2) or within such further
time as the Court may, either before or after the expiration of those
forty-five days, fix or allow.
|
41.
L’individu qui s’est vu refuser communication de renseignements personnels
demandés en vertu du paragraphe 12(1) et qui a déposé ou fait déposer une
plainte à ce sujet devant le Commissaire à la protection de la vie privée
peut, dans un délai de quarante-cinq jours suivant le compte rendu du
Commissaire prévu au paragraphe 35(2), exercer un recours en révision de la
décision de refus devant la Cour. La Cour peut, avant ou après l’expiration
du délai, le proroger ou en autoriser la prorogation.
|
The Standard of Review
Under Section 41
[18]
Mr.
Murchison was refused access to the all or part of the documents subject to
this application either on the basis that they were not his personal information
or on the basis that they contained information subject to solicitor-client
privilege. The first is a claim for a section 12(1) exemption on the ground
that the information is not personal information within the meaning of section
3 of the Act. Those sections read as follows:
12. (1) Subject to this Act, every individual who
is a Canadian citizen or a permanent resident within the meaning of
subsection 2(1) of the Immigration and Refugee Protection Act has a right to
and shall, on request, be given access to
(a)
any personal information about the individual contained in a personal
information bank; and
(b)
any other personal information about the individual under the control of a
government institution with respect to which the individual is able to
provide sufficiently specific information on the location of the information
as to render it reasonably retrievable by the government institution.
3. "personal information" means
information about an identifiable individual that is recorded in any form
including, without restricting the generality of the foregoing,
(a)
information relating to the race, national or ethnic origin, colour,
religion, age or marital status of the individual,
(b)
information relating to the education or the medical, criminal or employment
history of the individual or information relating to financial transactions
in which the individual has been involved,
(c)
any identifying number, symbol or other particular assigned to the
individual,
(d)
the address, fingerprints or blood type of the individual,
(e)
the personal opinions or views of the individual except where they are about
another individual or about a proposal for a grant, an award or a prize to be
made to another individual by a government institution or a part of a
government institution specified in the regulations,
(f)
correspondence sent to a government institution by the individual that is
implicitly or explicitly of a private or confidential nature, and replies to
such correspondence that would reveal the contents of the original
correspondence,
(g)
the views or opinions of another individual about the individual,
(h)
the views or opinions of another individual about a proposal for a grant, an
award or a prize to be made to the individual by an institution or a part of
an institution referred to in paragraph (e), but excluding the name of the
other individual where it appears with the views or opinions of the other
individual, and
(i)
the name of the individual where it appears with other personal information
relating to the individual or where the disclosure of the name itself would
reveal information about the individual,
but, for the purposes of sections 7, 8 and 26 and section
19 of the Access to Information Act, does not include
(j)
information about an individual who is or was an officer or employee of a
government institution that relates to the position or functions of the
individual including,
(i) the fact that the individual is or was an officer
or employee of the government institution,
(ii) the title, business address and telephone number
of the individual,
(iii) the classification, salary range and
responsibilities of the position held by the individual,
(iv) the name of the individual on a document prepared
by the individual in the course of employment, and
(v) the personal opinions or views of the individual
given in the course of employment,
(k)
information about an individual who is or was performing services under
contract for a government institution that relates to the services performed,
including the terms of the contract, the name of the individual and the
opinions or views of the individual given in the course of the performance of
those services,
(l)
information relating to any discretionary benefit of a financial nature,
including the granting of a licence or permit, conferred on an individual,
including the name of the individual and the exact nature of the benefit, and
(m)
information about an individual who has been dead for more than twenty years;
|
12. (1)
Sous réserve des autres dispositions de la présente loi, tout citoyen
canadien et tout résident permanent au sens du paragraphe 2(1) de la Loi
sur l’immigration et la protection des réfugiés ont le droit de se faire
communiquer sur demande :
a) les renseignements personnels le concernant et versés dans un
fichier de renseignements personnels;
b) les autres renseignements personnels le concernant et relevant
d’une institution fédérale, dans la mesure où il peut fournir sur leur
localisation des indications suffisamment précises pour que l’institution
fédérale puisse les retrouver sans problèmes sérieux.
3. «renseignements personnels » Les renseignements, quels que
soient leur forme et leur support, concernant un individu identifiable,
notamment :
a) les
renseignements relatifs à sa race, à son origine nationale ou ethnique, à sa
couleur, à sa religion, à son âge ou à sa situation de famille;
b) les
renseignements relatifs à son éducation, à son dossier médical, à son casier
judiciaire, à ses antécédents professionnels ou à des opérations financières
auxquelles il a participé;
c) tout
numéro ou symbole, ou toute autre indication identificatrice, qui lui est
propre;
d) son
adresse, ses empreintes digitales ou son groupe sanguin;
e) ses
opinions ou ses idées personnelles, à l’exclusion de celles qui portent sur
un autre individu ou sur une proposition de subvention, de récompense ou de
prix à octroyer à un autre individu par une institution fédérale, ou subdivision
de celle-ci visée par règlement;
f) toute
correspondance de nature, implicitement ou explicitement, privée ou
confidentielle envoyée par lui à une institution fédérale, ainsi que les
réponses de l’institution dans la mesure où elles révèlent le contenu de la
correspondance de l’expéditeur;
g) les
idées ou opinions d’autrui sur lui;
h) les
idées ou opinions d’un autre individu qui portent sur une proposition de
subvention, de récompense ou de prix à lui octroyer par une institution, ou
subdivision de celle-ci, visée à l’alinéa e), à l’exclusion du nom de
cet autre individu si ce nom est mentionné avec les idées ou opinions;
i) son nom
lorsque celui-ci est mentionné avec d’autres renseignements personnels le
concernant ou lorsque la seule divulgation du nom révélerait des
renseignements à son sujet;
toutefois, il demeure entendu que, pour l’application des articles 7, 8
et 26, et de l’article 19 de la Loi sur l’accès à l’information, les
renseignements personnels ne comprennent pas les renseignements concernant :
j) un
cadre ou employé, actuel ou ancien, d’une institution fédérale et portant sur
son poste ou ses fonctions, notamment :
(i) le fait même qu’il est ou a été employé par
l’institution,
(ii) son titre et les adresse et numéro de téléphone de
son lieu de travail,
(iii) la classification, l’éventail des salaires et les
attributions de son poste,
(iv) son nom lorsque celui-ci figure sur un document
qu’il a établi au cours de son emploi,
(v) les idées et
opinions personnelles qu’il a exprimées au cours de son emploi;
k) un
individu qui, au titre d’un contrat, assure ou a assuré la prestation de
services à une institution fédérale et portant sur la nature de la
prestation, notamment les conditions du contrat, le nom de l’individu ainsi
que les idées et opinions personnelles qu’il a exprimées au cours de la
prestation;
l) des
avantages financiers facultatifs, notamment la délivrance d’un permis ou
d’une licence accordés à un individu, y compris le nom de celui-ci et la
nature précise de ces avantages;
m) un
individu décédé depuis plus de vingt ans.
|
The second is a claim for an exemption
pursuant to section 27 of the Act on the ground that the information may be withheld
on the basis that it is subject to solicitor-client privilege. Section 27
reads as follows:
27. The head of a government
institution may refuse to disclose any personal information requested under
subsection 12(1) that is subject to solicitor-client privilege.
|
27. Le responsable d’une institution
fédérale peut refuser la communication des renseignements personnels demandés
en vertu du paragraphe 12(1) qui sont protégés par le secret professionnel
qui lie un avocat à son client.
|
[19]
It
has been held that a review of a claim for an exemption pursuant to section 12 of
the Act is to be determined on the standard of correctness: See Canada (Information
Commissioner) v. Canada (Commissioner of the
Royal Canadian Mounted Police), [2003] 1 S.C.R. 66, 2003 SCC 8
and Elomari v. Canadian Space Agency,
[2006] F.C.J. 1100, 2006 FC 863. The same standard has been applied with
respect to a review of a claim for an exemption pursuant to section 27 of the
Act: See Gauthier v. Canada (Minister of Justice), [2004]
F.C.J. No. 794, 2004 FC 655. I concur with the analysis and the conclusions
reached by Justice Tremblay-Lamer and Justice Mosley in the above-referenced
decisions of this Court. Accordingly, the claims for exemption advanced by EDC
will be examined on the standard of correctness.
[20]
In
addition to the claim that the exemptions asserted by EDC were incorrect, Mr.
Murchison made a number of submissions that require the Court’s attention prior
to reviewing the documents at issue and the exemptions claimed for each.
Issues Raised By The
Applicant
Whether EDC Waived Or
Lost The Ability To Claim Any Exemption Because It Responded Late?
[21]
Mr.
Murchison submits that EDC has lost or waived the right to claim any exemption
from disclosure as it failed to respond within the 30-day period provided in
sections 14 and 16 of the Act.
[22]
Section
14 of the Act provides that the head of the institution that receives a request
for access to personal information shall respond within 30 days. It reads as
follows:
14. Where access to
personal information is requested under subsection 12(1), the head of the
government institution to which the request is made shall, subject to section
15, within thirty days after the request is received,
(a)
give written notice to the individual who made the request as to
whether or not access to the information or a part thereof will be given; and
(b) if access is to be given,
give the individual who made the request access to the information or the
part thereof.
|
14. Le
responsable de l’institution fédérale à qui est faite une demande de
communication de renseignements personnels en vertu du paragraphe 12(1) est
tenu, dans les trente jours suivant sa réception, sous réserve de l’article
15 :
a) d’aviser par écrit la personne qui a fait la demande de ce qu’il
sera donné ou non communication totale ou partielle des renseignements
personnels;
b) le cas échéant, de procéder à la communication.
|
[23]
Section
16 of the Act provides that where access to the personal information is
refused, the head of the institution shall state the reasons why access has
been refused. Section 16 specifically provides that this notice is to be
incorporated into the response under subsection 14(a) of the Act. Section 16
reads as follows:
16. (1) Where the head of a government institution
refuses to give access to any personal information requested under subsection
12(1), the head of the institution shall state in the notice given under
paragraph 14(a)
(a) that the personal
information does not exist, or
(b) the specific provision of
this Act on which the refusal was based or the provision on which a refusal
could reasonably be expected to be based if the information existed,
and shall state in the notice that the
individual who made the request has a right to make a complaint to the
Privacy Commissioner about the refusal.
(2) The head of a government institution
may but is not required to indicate under subsection (1) whether personal
information exists.
(3) Where the head of a government
institution fails to give access to any personal information requested under
subsection 12(1) within the time limits set out in this Act, the head of the
institution shall, for the purposes of this Act, be deemed to have refused to
give access.
|
16. (1)
En cas de refus de communication de renseignements personnels demandés en
vertu du paragraphe 12(1), l’avis prévu à l’alinéa 14a)
doit mentionner, d’une part, le droit de la personne qui a fait la demande de
déposer une plainte auprès du Commissaire à la protection de la vie privée
et, d’autre part :
a) soit le fait que le dossier n’existe pas;
b) soit la disposition précise de la présente loi sur laquelle se
fonde le refus ou sur laquelle il pourrait vraisemblablement se fonder si les
renseignements existaient.
(2) Le paragraphe (1) n’oblige pas le
responsable de l’institution fédérale à faire état de l’existence des
renseignements personnels demandés.
(3) Le défaut de communication de
renseignements personnels demandés en vertu du paragraphe 12(1) dans les
délais prévus par la présente loi vaut décision de refus de communication.
|
[24]
Mr.
Murchison submits that read together, sections 14 and 16 require that the head
of the institution to which an access request is made must respond within 30
days. In this case, EDC failed to respond within the 30-day period. Mr.
Murchison submits that if the head has failed to respond within that time
frame, the right to refuse disclosure has been lost and cannot later be asserted.
As a result, he submits, all personal information must be disclosed. He submitted
that “it is time for this Court to rule boldly on this issue” and hold that if
there is no response within the 30-day period stipulated by the Act, any right
to refuse to provide access to personal information is forfeited.
[25]
EDC
submits that subsection 16(3) is a full response to Mr. Murchison’s
submission. Subsection 16(3) provides that when an institution has failed to
provide access to the requested personal information within the 30-day period, the
institution is deemed to have refused access. Pursuant to subsection 29(1) of
the Act, the requesting person then has a right to file a complaint with the
OPC, which in this case is exactly what Mr. Murchison did. EDC submits that the
filing of a complaint is the requester’s sole remedy. It further submits that
there is no time limitation provided in the Act restricting an institution’s
right to claim an exemption. Accordingly, it argues, it was open to EDC to
raise a claim of an exemption from disclosure at any time.
[26]
It
is my view that Mr. Murchison’s submission that EDC has lost the right to
exempt any document from access cannot be maintained. Exemptions under the Act
are set out in sections 18 to 28. These include information banks exempted by
order of the Governor in Council (section 18), information subject to what may
be described as governmental privilege (sections 19 to 25), personal
information of another (section 26), information that is subject to
solicitor-client privilege (section 27), and medical records where disclosure
is not in the best interests of the person making the request (section 28).
None of the exemptions in these sections stipulates when the exemption must be
claimed. More importantly, there is no requirement in those sections or
elsewhere in the Act that the institution must make the claim for an exemption
within the 30-day response period or forever lose the right to claim it.
[27]
Justice
Dubé in Longaphy v. Canada (Solicitor General), [1995]
F.C.J. No. 1429, characterized the purpose of the Privacy Act in this
way:
… I must bear in mind that
the purpose of the Act is to protect the privacy of individuals. The right of
access given to any person to his personal information must be exercised in
light of several considerations: the right of others to the privacy of their
own data, due respect for confidentiality, and the lawful execution of
investigations pertaining to the prevention of crime and the enforcement of
laws in Canada.
The purpose mentioned by Justice Dubé would
be greatly compromised if the applicant’s submissions were accepted, because
the considerations Justice Dubé references would be entirely cast aside. The
Act provides a balance between a person’s right to access his or her own
personal information and the considerations mentioned above. If those
considerations fall by the wayside simply because a request for personal
information gets no response within the fixed period, then the balance in the
Act would be lost – the scale tips irrevocable in favour of the requesting
party.
[28]
In
my view, it would require clear and express language in the Act to find that personal
information of others, government secrets and confidences, and documents
subject to solicitor-client privilege, had to be disclosed merely because the
institution failed to assert an exemption within the 30-day period. The considerations
in play are simply too important to be forfeited through what might be
inadvertence or delay on the part of an institution. While I appreciate the
applicant’s frustration with the delays that occurred in responding to his
request, delay alone does not prevent the respondent from asserting the
exemptions available to it under the Act.
[29]
The
Federal Court of Appeal, albeit with reference to the Access to Information
Act, R.S.C. 1985, c. A-1, has also rejected the assertion that a failure to
reply and thus a deemed refusal prevents the party from subsequently asserting
a claim for an exemption available under legislation. In Canada (Information Commissioner of Canada) v. Canada (Minister
of National Defence), [1999] F.C.J. No. 522, the Court writes:
[The Commissioner] submits that the
effect of the deemed refusal is to prevent the institution from subsequently
invoking the exceptions set out in the Act and consequently that the
Commissioner's initial investigation allowed him to decide on the merits of the
complaint. This argument cannot succeed.
[30]
Bearing
in mind Justice Laforest’s comment in Dagg v. Canada (Minister of
Finance), [1997]
2 S.C.R. 403, at para. 43, to the effect that the Access to
Information Act and the Privacy Act should be approached as a
“seamless code”, I am of the view that the Federal Court of Appeal’s comments
in the passage quoted above govern here. Accordingly, that EDC claimed
the exemption after the time for an initial response is not fatal if the
factual basis for an exemption is shown.
Whether
Solicitor-Client Privilege Has Been Properly Claimed?
[31]
Mr. Murchison submits that EDC has improperly claimed
solicitor-client privilege over many, if not all, of the documents. He submits
that the claim is improper on a number of grounds: (i) that the claim was
advanced prior to there being any pending litigation from him; (ii) that some
of the solicitors providing the advice are not members of the Law Society of
Upper Canada and thus cannot claim the privilege because the advice was given
to the respondent in the Province of Ontario; and (iii) that some of those
providing the advice were engaged in roles other than that of a solicitor.
[32]
The
judgment of the Supreme Court of Canada in Pritchard v.
Ontario (Human
Rights Commission), [2004] 1 S.C.R. 809, provides a valuable
summary of the law of solicitor-client privilege. The solicitor providing the
advice need not be in private practice. Advice provided by an in-house
government lawyer to his or her client, a governmental agency, attracts
solicitor-client privilege: R. v. Campbell, [1999] 1 S.C.R. 565.
However, the Supreme Court has cautioned that when dealing with communications
from lawyers who are in-house, one must be mindful that they often occupy other
roles. Therefore, when in-house lawyers give advice outside the realm of their
legal responsibilities, such advice is not protected by the privilege. As the
Court observed:
Owing to the nature of the
work of in-house counsel, often having both legal and non-legal
responsibilities, each situation must be assessed on a case-by-case basis to
determine if the circumstances were such that the privilege arose. Whether or
not the privilege will attach depends on the nature of the relationship, the
subject matter of the advice, and the circumstances in which it is sought and
rendered.
[33]
In
this case, there are six individuals who, during the relevant period, had legal
responsibilities within the respondent’s operations. Two of those occupied only
a legal role:
·
Anthony Abraham was Senior Legal Counsel prior to his appointment
in 2001 as Assistant General Counsel. His only role within EDC is as a
lawyer. He is a member of the Law Society of Upper Canada.
·
John Peters was Legal Counsel prior to his appointment in 1999 as
Senior Legal Counsel. He too is a member of the Law Society of Upper Canada.
Four others had legal and
additional administrative responsibilities:
·
James (Jim ) McArdle was Senior Legal Counsel prior to his
appointment in 2001 as General Counsel and Senior Assistant Secretary. In 2006
he was appointed Senior VP Legal Services and Secretary to EDC. He is a member
of the Law Society of Upper Canada.
·
John Pallascio was Senior Legal Counsel prior to his appointment
in 2001 as Assistant General Counsel. In 2006 he was appointed General Counsel
and Assistant Secretary of EDC. He is a member of the Barreau du Québec.
·
Serge
Picard is Assistant Secretary, Legal Counsel and Privacy Coordinator.
Accordingly, solicitor-client privilege can only attach to advice given as a
part of his responsibilities as Legal Counsel to EDC. He
is a member of the Barreau du Québec.
·
Gilles
Ross retired in February 2006 from EDC and his position as Senior VP Legal
Services and Secretary. Accordingly, solicitor-client privilege can only
attach to advice given as a part of his responsibilities as Senior VP Legal
Services to EDC. He is a member of the Barreau du
Québec.
In my view, because Anthony Abraham and
John Peters occupy only one role, a legal one, correspondence to and from them
need only be examined to ascertain if it otherwise meets the definition of
solicitor-client privilege as discussed below. On the other hand,
correspondence to or from the other four lawyers cannot be so approached, as it
may have been sent to or by them in their non-legal role. These situations
require an examination of the subject matter of the advice, the circumstances
in which it was sought and rendered, and the role in which the individual was providing
it.
[34]
Mr.
Murchison’s submission that in this case, privilege can only attach to
communications to or from lawyers who are members of the Law Society of Upper
Canada, cannot be maintained. A claim of solicitor-client privilege will not
fail simply because the solicitor in the relationship is licensed in another
Province than that in which the issue has arisen. On this point I am in
agreement with the Manitoba Court of Queen’s Bench in Gower v. Tolko
Manitoba Inc., (1999), 181 D.L.R. (4th)
353, aff’d (2001), 196 D.L.R. (4th) 716, where it noted that “to hold
otherwise would be to ignore the realities of modern
practice of law.”
[35]
In
considering whether a document is exempt from inspection on the basis of
solicitor-client privilege under section 27 of the Act, one must consider, but must
also look beyond, what is known as litigation privilege. The distinctive
scope, purpose and rationale of the litigation privilege were detailed by
Justice Fish in Blank v. Canada (Minister of Justice), 2006 SCC 39.
The Court recites with approval the following description of the distinction
between solicitor-client and litigation privilege provided by Justice Sharpe before his
appointment to the bench: "Claiming Privilege in the Discovery Process",
in Law in Transition: Evidence, [1984] Special Lectures, L.S.U.C.
163, at pp. 164-65:
It is crucially important to distinguish litigation privilege from
solicitor-client privilege. There are, I suggest, at least three important
differences between the two. First, solicitor-client privilege applies only to
confidential communications between the client and his solicitor. Litigation privilege, on the other
hand, applies to communications of a non-confidential nature between the
solicitor and third parties and even includes material of a non-communicative
nature. Secondly, solicitor-client privilege exists any time a client seeks
legal advice from his solicitor whether or not litigation is involved. Litigation privilege, on the other
hand, applies only in the context of litigation itself. Thirdly, and most
important, the rationale for solicitor-client privilege is very different from
that which underlies litigation
privilege. This difference merits close attention. The interest which underlies
the protection accorded communications between a client and a solicitor from
disclosure is the interest of all citizens to have full and ready access to
legal advice. If an individual cannot confide in a solicitor knowing that what
is said will not be revealed, it will be difficult, if not impossible, for that
individual to obtain proper candid legal advice.
Litigation privilege, on the other hand, is geared directly to
the process of litigation. Its purpose is not explained adequately by the
protection afforded lawyer-client communications deemed necessary to allow
clients to obtain legal advice, the interest protected by solicitor-client
privilege. Its purpose is more particularly related to the needs of the
adversarial trial process. Litigation
privilege is based upon the need for a protected area to facilitate
investigation and preparation of a case for trial by the adversarial advocate.
In other words, litigation
privilege aims to facilitate a process (namely, the adversary process), while
solicitor-client privilege aims to protect a relationship (namely, the
confidential relationship between a lawyer and a client)
[36]
This
explanation was also cited with approval by Justice Carthy of the Ontario Court
of Appeal in General
Accident Assurance Co. v. Chrusz (2000), 45 O.R. (3d) 321. That case dealt, in
part, with the issue of documentary discovery in the litigation process and
claims of litigation privilege. Justice Carthy observed that “there is nothing
sacrosanct about this form of privilege” and that the modern trend is in the
direction of complete discovery. He held that “there is no apparent reason to
inhibit that trend so long as counsel is left with sufficient flexibility to
adequately serve the litigation client.”
[37]
I
am of the view that these observations of Justice Carthy are equally apt when
examining claims under the Privacy Act. The Privacy Act is
quasi-constitutional legislation; it serves as a reminder of the extent to
which protection of privacy is necessary to the preservation of a free and
democratic society: See Dagg v. Canada (Minister of
Finance), [1997]
2 S.C.R. 403, at p. 434. It is consistent with this fundamental principle that
disclosure to a Canadian citizen of his personal information being held by the
Government or a government organization be the rule, provided the disclosure
does not impact the solicitor’s obligation to adequately serve his client in
the litigation process. Accordingly, in my view, the mere fact that there was
contemplated litigation between Mr. Murchison and EDC does not carry the result
that every communication that included a solicitor of EDC is subject to
litigation privilege.
[38]
Both
parties devoted considerable time in their submissions as to when litigation
privilege was triggered in this case. In my view, the focus on litigation
privilege was largely misplaced, even accepting that in light of Blank, above,
section 27 of the Privacy Act should be taken to refer broadly to both
litigation privilege and solicitor-client privilege. I say misplaced, because
in this case, it is my view that the exemptions claimed under section 27 mainly
relate to solicitor-client privilege in the narrower sense, i.e.,
communications relating to legal advice. As is described later, the majority
of the documents which were claimed to be exempt from disclosure on the basis
of privilege were sent or copied to the in-house solicitors for EDC with no
connection to the giving or receiving of legal advice. Further, in my opinion,
the disclosure of these documents, with rare exceptions, would not in any way
impair EDC’s solicitors ability to adequately serve EDC in the litigation now
underway between it and Mr. Murchison.
[39]
Litigation
privilege, where it properly exempts a document from disclosure, applies only
after the date on which litigation was commenced or was reasonably anticipated.
On November 4, 2004, the applicant wrote to the respondent registering his
complaint with respect to what he described as an inaccurate portrayal of his
work with EDC. After outlining his expectation that the offending information
be extracted from his personnel file, that persons who have relied on it be
advised that it is not the view of EDC, and that he be provided with proper
restitution, he concludes by writing:
I would expect you to address
these needs because it is the right thing to do and I have full confidence that
you, and other members of the EDC’s management team, will do so – acting in
good faith and signalling the integrity of the Corporation’s current HR
practise. However, we are each aware that there are equally compelling
technical and legal reasons to do so, on a priority basis. My strong
preference is to remain on the path of a good will solution and I look forward
to discussing this important situation with you, in the very near term.
On December 7, 2004, the applicant provided
the respondent with a detailed chronology of events, which he subsequently
updated on January 7, 2005. In that document, he writes:
In the event that the parties
are not in a position to arrive at the intended goodwill-based solution I also
reserve the right to withdraw this document (which is provided here without
prejudice) and issue an unabridged Chronology which more fully examines the
legal significances of these circumstances, and identifies where, on advice from
counsel, I may have specific legal rights of action.
[40]
Serge
Picard, Assistant Secretary, Legal Counsel and Privacy Coordinator for the
respondent, in an affidavit sworn August 29, 2007, attests, after referencing
the November 4, 2004 letter from the applicant that “[a]s of November 4, 2004,
EDC considered that litigation was reasonably contemplated and was, in fact,
probable.” EDC retained external counsel in January 2005, after receipt of the
chronology referenced above.
[41]
Mr.
Murchison submits that it remained his hope and expectation that this matter
would be settled without resort to litigation. He submits that the action he
commenced against the respondent in the Ontario Superior Court was launched
only to preserve his right of action given an impending limitation period.
This notwithstanding, I find that litigation was contemplated by the applicant
as early as November 4, 2004. That the applicant may have hoped that
litigation could be avoided does not change the fact that if a resolution could
not be otherwise achieved, the evidence is that he was contemplating litigation
to achieve one. Further, in my view, a reasonable person reading the
applicant’s correspondence reproduced above would have concluded that
litigation was contemplated. Thus where litigation privilege may be properly
asserted it must be with respect to personal information on and after November
4, 2004.
[42]
As
previously noted, the best discussion of solicitor-client privilege is that of
the Supreme Court of Canada in Pritchard, above. It is worth repeating here
in its entirety.
14 Solicitor-client privilege describes
the privilege that exists between a client and his or her lawyer. Clients must
feel free and protected to be frank and candid with their lawyers with respect
to their affairs so that the legal system, as we have recognized it, may
properly function: see Smith v. Jones, [1999] 1 S.C.R. 455, at para. 46.
15 Dickson
J. outlined the required criteria to establish solicitor-client privilege in Solosky
v. The Queen, [1980] 1 S.C.R. 821, at p. 837, as: "(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".
Though at one time restricted to communications exchanged in the course of
litigation, the privilege has been extended to cover any consultation for legal
advice, whether litigious or not: see Solosky, at p. 834. [Emphasis
added.]
16 Generally,
solicitor-client privilege will apply as long as the communication falls within
the usual and ordinary scope of the professional relationship. The privilege,
once established, is considerably broad and all-encompassing. In Descôteaux
v. Mierzwinski, [1982] 1 S.C.R. 860, the scope of the privilege was
described, at p. 893, as attaching "to all communications made within the
framework of the solicitor-client relationship, which arises as soon as the
potential client takes the first steps, and consequently even before the formal
retainer is established". The scope of the privilege does not extend to
communications: (1) where legal advice is not sought or offered; (2) where
it is not intended to be confidential; or (3) that have the purpose of
furthering unlawful conduct: see Solosky, supra, at p. 835. [Emphasis added.]
17 As
stated in R. v. McClure, [2001] 1 S.C.R. 445, 2001 SCC 14, at para. 2:
Solicitor-client
privilege describes the privilege that exists between a client and his or her
lawyer. This privilege is fundamental to the justice system in Canada. The law is a complex web of interests, relationships and
rules. The integrity of the administration of justice depends upon the unique
role of the solicitor who provides legal advice to clients within this complex
system. At the heart of this privilege lies the concept that people must be
able to speak candidly with their lawyers and so enable their interests to be
fully represented.
The privilege is jealously guarded and
should only be set aside in the most unusual circumstances, such as a genuine
risk of wrongful conviction.
18 In
Lavallee, Rackel & Heintz v. Canada
(Attorney General),
[2002] 3 S.C.R. 209, 2002 SCC 61, this Court confirmed that the privilege must
be nearly absolute and that exceptions to it will be rare. Speaking for the
Court on this point, Arbour J. reiterated what was stated in McClure:
... solicitor-client
privilege must be as close to absolute as possible to ensure public confidence
and retain relevance. As such, it will only yield in certain clearly defined
circumstances, and does not involve a balancing of interests on a case-by-case
basis. [Emphasis in original.]
(Arbour J. in Lavallee,
supra, at para. 36, citing Major J. in McClure, at para. 35.)
[43]
Because
the privilege extends beyond situations of anticipated or actual litigation,
the privilege may be claimed whenever there is a communication between the
client, EDC, and its solicitors. Unlike litigation privilege which expires
with the litigation that underlies it, solicitor-client privilege continues:
See Blank, above. EDC, like many large organizations, has a number of
in-house lawyers to whom it turns for legal advice. Only a few of the
questioned documents were authored by or sent to EDC’s external counsel. The
vast majority of the questioned documents on which EDC claims solicitor-client
privilege are documents sent to and from in-house lawyers. All such
communications are subject to the privilege provided that, as set out in Solosky,
above, legal
advice was sought or offered, it was intended to be confidential, and it does
not have the purpose of furthering unlawful conduct.
[44]
Applying
the principles in Solosky, above, a communication
is not subject to solicitor-client privilege merely because it has been copied
or sent to a solicitor for informational purposes. Were it otherwise, one
could defeat the purposes of the Privacy Act by routing all
correspondence to in-house counsel, in addition to the other recipients. In
this case many of the documents at issue are copies of email messages that were
sent to many persons within EDC, including one or more of its solicitors. In
my view, unless the email message seeks, provides, or recites legal advice, it
should be disclosed if it contains Mr. Murchison’s personal information.
[45]
In a
similar vein, it is my view that a document that would otherwise be subject to disclosure
should not be withheld merely because it has been attached to or enclosed with
a properly exempted document. This conforms to the notion that “no automatic
privilege attaches to documents which are not otherwise privileged simply
because they come into the hands of a party’s lawyer”, as it was put by Justice
Heneghan of this Court in Belgravia Investments Ltd. v. Canada, 2002 FCT
649, at para. 46. For example, policies of EDC that are publicly accessible do
not become exempt on grounds of solicitor-client privilege merely because they have
been enclosed with a letter from the client to the solicitor, even if they may
later be considered by the lawyer when providing legal advice to the client.
Likewise, privilege does not attach to a document that would otherwise be
without exemption, such as a case authority, merely because it is enclosed with
a lawyer’s opinion letter to his or her client, even if it is a case that the
lawyer references in the legal opinion. These attachments and enclosure are
discrete documents that, save for an exceptional circumstance where they would
truly allow one to infer the content and substance of the privileged advice,
must be considered on their own and apart from the correspondence to which they
are attached or in which they are enclosed. To paraphrase the Ontario Court of
Appeal’s discussion of the discoverability of public documents appended to a
lawyer’s brief in General Accident Assurance Co. v. Chrusz (2000), 45
O.R. (3d) 321, at para. 39, in this case the disclosure of public documents
appended to privileged communications does little to impinge upon counsel’s freedom
to prepare in privacy and weighs heavily in the scales supporting fairness.
[46]
Accordingly,
I have ordered the disclosure of attachments and enclosures to properly
exempted documents because one cannot infer the advice from the attachment or
enclosure and the claim of solicitor-client privilege does not extend from the
exempted document to the attachment or enclosure. It might well be said that
the attachment and enclosure, in most cases, is not personal information of Mr.
Murchison; however, that exemption is not available to the respondent as EDC
made no claim that the document was exempted on the basis of subsection 12(1)
of the Act as non-personal information.
Whether EDC Failed
To Comply With Treasury Board Guidelines
[47]
The
applicant submits that the document prepared by Treasury Board of Canada
Secretariat entitled ‘Privacy and Data Protection – Policies and Publications’ ought to
have been followed and observed by EDC in responding to the applicant’s
request. He submits that this policy was breached in several respects, one of
the more significant being that EDC failed to record the administrative actions,
deliberations and decisions taken and its reasoning when processing the access
request. He submits that as a result of these breaches, he has been denied
fairness in the procedure followed as it is impossible to ascertain with
certainty the veracity and legitimacy of the claims now being advanced by EDC.
[48]
The
respondent submits that the Treasury Board policy and procedure is not binding
on it. It further submits that even if it were, nothing flows from its failure
to follow the Guidelines. The respondent cites as support the statement of
Justice Rothstein of the Federal Court - Trial Division (as he then was) in Canada
Post Corp. v. Canada (Minister of Public Works), [1993] 3 F.C. 320, wherein
at paragraph 43 he writes with respect to the Access to Information and
Privacy Policies and Guidelines: “I accept that the guidelines may be an
aid to the interpretation of the Access to Information Act. I also recognize
that the guidelines represent only the opinion of the Treasury Board or its
officials and that they are nor binding on government institutions, applicants
for access or the court.” That statement was cited with approval by the
Federal Court of Appeal in Canada (Information Commissioner) v. Canada (Minister of
Citizenship and Immigration), [2002] F.C.J. No. 950, 2002 FCA 270 at
paragraph 37.
[49]
In
my view, these comments by themselves do not go very far in assisting the
respondent, in that Justice Rothstein and Justice Décary were speaking only to
the portions of the Guidelines setting out Treasury Board’s interpretation of sections
and phrases of the Act. It is well-established that secondary sources such as
government publications are only aids to statutory interpretation and are not
binding. Unlike the situation in the Canada Post case, here the
applicant argues that EDC, as a governmental institution, was obliged to follow
the administrative procedures set out in the Guidelines when responding to
access requests.
[50]
In
my view, the Guidelines, for the purposes relevant to this application, is
intended to be just that – a guideline. Many provisions in the Guidelines
contain mandatory wording, for example section 5 of Chapter 1-1 provides that
“Government institutions, in addition to the requirements of the Privacy Act,
must ensure …” (emphasis added). However, the provisions of Chapter 2-6
dealing with the right of access to personal information, do not use mandatory
language. The Introduction to Chapter 2 states that “[t]he purpose of this
section of the Privacy volume is to provide guidelines for the interpretation
and application of the Act and the relevant regulations and policies.”
Accordingly, there is no legal requirement that a governmental institution such
as EDC which, at the relevant time was covered by the Guidelines, meticulously observe
these Guidelines. They are intended only as an aid to the administration of
the Act and policies. Thus, failure to comply has no legal consequence for the
institution. This conclusion accords with the broader and “fundamental”
principle that administrative guidelines, which are not regulations and do not
have force of law, do not create rights in third parties: See Maple Lodge
Farms Ltd. v. Canada, [1981] 1 F.C. 500, at para. 29, aff’d on this point,
[1982] S.C.J. No. 57. At the same time, it might equally be said, as
the applicant did, that had EDC followed the Guidelines and maintained a record
of its actions and decisions in responding to his request, there would not have
been some of the gaps in information that are now evident – such as initially
claiming that some 100 pages were exempted as being non-personal information,
only to later claim that those pages never existed.
Whether Exhibit ‘E’
Is Invalid As It Is Not The Work Product Of The Affiant
[51]
Serge
Picard, the Assistant Secretary, Legal Counsel and Privacy Coordinator of EDC
swore an affidavit that includes Exhibit E, described as a chart “which lists
each document which, in relation to the applicant’s October 17, 2005 request,
as amended on November 7, 2005, for personal information under the Privacy Act,
EDC either withheld or redacted prior to release and with respect to which EDC
understands the applicant is seeking an order … which would compel EDC … to
release the document in its entirety.” The chart has four columns. The first
identifies the document by page number; the next describes the reasons for
refusing release; the next sets out the respondent’s position on the document
as referred to in its letters dated February 3, 2006, December 19, 2006 and
March 20, 2007; and the last provides a brief description of the document and
the basis for the withholding.
[52]
The
applicant objects to the admission of this document on the basis that it was
not prepared by Mr. Picard but was prepared for him. It is submitted that Mr.
Picard has no personal and direct knowledge of the statements contained
therein. Mr. Picard acknowledges in his affidavit that the chart was prepared
by the solicitors for EDC in this application “for the court’s ease of
reference”; however, he also states that he has reviewed the chart and is
satisfied as to its accuracy.
[53]
In
my view, the applicant’s objection is misguided. It is common for counsel to
summarize information by way of charts and the like, for the benefit of the Court.
Such aids are appreciated. Usually they are prepared and provided to the Court
during oral submissions; they rarely are included as a part of an affidavit.
Including them in an affidavit does not, in the circumstances described above,
transform an aid into dispositive evidence. In any event, in reviewing the
respondent’s position on the documents at issue I will be guided by the
position of the respondent as set out in its various items of correspondence,
not by this documentary aid.
Whether Those Who Responded On Behalf Of EDC after December 15, 2005, Had
Authority
To Do So
[54]
The
applicant submits that only the Head of the Institution and those to whom he or
she has delegated authority may validly claim an exemption from access under
the Act. He submits that only the letter dated December 13, 2005, signed by
Gilles Ross, Senior Vice-President, Legal Services and Secretary, was signed by
a person having delegated authority. That delegation was made by the President
in a memorandum signed on December 12, 2005.
[55]
The
respondent provided documentary evidence of another delegation of authority,
namely from the President to J. McArdle, Senior Vice-President, Legal Services
and Secretariat dated March 9, 2007. Mr. McArdle responded to the applicant in
correspondence dated March 30, 2007.
[56]
In
addition to the responses from Mr. Ross and Mr. McArdle, the applicant was
provided with responses dated February 3, 2006 and December 19, 2006 from Serge
Picard. The respondent submits that while no delegation was provided to Mr.
Picard, as it was for the others, only his letter dated December 19, 2006
actually claimed any exemption. His February 3, 2006 letter amends the
exemption claims made by Mr. Ross in his letter dated December 13, 2005, in
that it releases information that was previously claimed as exempted. The
respondent therefore submits that the only exemptions claimed by someone without
delegated authority were those set out in Mr. Picard’s letter dated December
19, 2006.
[57]
The
December 19, 2006 letter releases all or part of many of the documents
previously claimed as exempt. Only a few pages are claimed as exempt from
access and in each case the page had been previously claimed as exempt but Mr.
Picard amended the basis for the exemption claim. Specifically, he references
all or part of the following pages, which had been formerly exempted as being
non-personal information, as being subject to solicitor-client privilege:
namely information on pages 375, 391, 864, 2904, 1543, 1608, 1943 and 1947.
[58]
In
my view, the applicant’s submission is well-founded. The sections of the Act
dealing with refusals to disclose personal information all specifically state
that it is the head of the institution that may refuse disclosure. It follows
that a statement by an officer or employee of the institution who is not the
head of the institution as defined in the Act, or to whom authority has not
been delegated by the head of the institution, is without effect. Accordingly,
the letters of Mr. Picard dated February 3, 2006 and December 19, 2006, to the
extent that they purport to assert an exemption, are of no force or effect.
[59]
Although
the claim of solicitor-client privilege asserted by Mr. Picard is invalid, the
content of the document in question may have been previously and validly
asserted by the respondent to be subject to solicitor –client privilege. This
is because many of the documents contained in the nearly 4000 pages are email
messages that have been produced numerous times. Accordingly, where it is
ordered that any document invalidly claimed as privileged by Mr. Picard be
disclosed, the respondent, if it is of the view that the content was validly
claimed as privileged on another document, will be provided with a reasonable
period of time to establish that to the Court’s satisfaction. I reserve the
right, in that circumstance, to order that the document, or a part of it, not
be disclosed.
Whether The Respondent’s
Redaction Was Over-reaching
[60]
Mr.
Murchison submits that when redaction of exempted material is appropriate, that
redaction must be limited to the specific information subject to the
exemption. He points out that in many of the documents produced to him in
redacted form, the redaction extends to the entire content of the document. He
submits that the respondent over-reached in this regard and, as an example,
submitted that the “to” and “from” and “re” lines on email correspondence
should not have been redacted even if the substantive content was exempt from
disclosure.
[61]
Mr.
Murchison submits that the Court ought to be guided by the judgment of the
Court of Appeal in Davidson v. Canada (Solicitor General), [1989] 2 F.C.
341 (C.A.), in which the Court held that exemptions are to be strictly
interpreted as exceptions to the general purpose of the Privacy Act, which,
in part, is to provide persons with a right of access to personal information
about themselves that is held by a government institution. He further relies
on the reasons of my colleagues Justice Mosley in Blank v. Canada (Minister of
Justice),
[2005]
F.C.J. No. 1927, and Justice O’Keefe in Blank v. Canada (Minister of
Justice),
[2006] F.C.J. No. 1110. In both of those cases the Court endorsed the view
that redaction is to be as limited as possible. However, neither case involved
the Privacy Act but involved a review under the provisions of the Access
to Information Act, R.S.C. 1985, c. A-1. Section 25 of that Act
specifically provides for the disclosure of any part of the record which can
reasonably be severed from those parts of the record which contain information
or material exempt from disclosure. There is no corresponding provision in the
Privacy Act; as such it may be submitted that these authorities are not of
assistance in this application.
[62]
In my view, while the Privacy Act
contains no provision similar to section 25 of the Access to Information Act,
the purposes of the Privacy Act, as set forth in section 2, does support
the applicant’s position that the redactions ought to be reasonably limited
when there is a claim made of solicitor-client privilege. Justice Mosley in Blank,
above, examined the general law of solicitor-client privilege and stated, at
paragraphs 26 to 29, as follows:
26
The
general proposition as stated by Wigmore at 8 Wigmore, Evidence para
2292 (McNaughton rev. 1961) is that solicitor-client privilege covers the
entire communication:
[w]here legal advice of any kind is
sought from a professional legal adviser in his capacity as such, the
communications relating to that purpose, made in confidence by the client, are
at his instance permanently protected from disclosure by himself or by the
legal adviser, except the protection be waived
27 The
scope of the privilege is wide and encompasses all information passed between
the lawyer and client. This conception of the broad scope of solicitor-client
privilege has been endorsed recently by the Supreme Court in Pritchard, supra
at paragraph 16.
28 However,
"not all communications between a lawyer and client are privileged - only
those ... where the [client] has sought legal advice": Davies v.
American Home Assurance Co. (2002), 60 O.R. (3d) 512 at 519. As well, in
order to be privileged the communication must be in the course of seeking legal
advice and with the intention that it be confidential: John Sopinka, Sidney N.
Lederman & Alan W. Bryant, The Law of Evidence in Canada (Toronto:
Butterworths, 1992) at 642.
29 Solicitor-client
privilege "extends to communications in whatever form, but does not extend
to facts which may be referred to in those communications if they are otherwise
discoverable and relevant": General Accident v. Chrusz (1999), 45
O.R. (3d) 321 at 347. Thus, where a communication between solicitor and client
takes place for the purpose of conveying or receiving information on matters of
fact, the communication is not privileged and may be obtained on discovery in
civil proceedings. (see Ronald D. Manes & Michael P. Silver, Solicitor-Client
Privilege in Canadian Law (Toronto: Butterworths, 1993) at 127). However,
"[a] privileged communication does not lose its privilege merely because
it contains matters of fact which are not privileged. In this situation, the
matters of fact can be severed from the privileged communication for the
purposes of discovery.": ibid, at 132.
[63]
Associate Chief Justice Jerome had occasion to examine the
issue of redaction under the Access to Information Act in Canada (Information
Commissioner) v. Canada (Solicitor
General),
[1988] 3 F.C. 551. That decision, although involving an application under the Access
to Information Act, involved the exclusion of personal information as
defined in the Privacy Act, and thus, to some extent, both Acts were in
play. The Associate Chief Justice held that a reasonableness test is to be
applied when examining whether a more surgical redaction is possible.
One of the considerations which
influences me is that these statutes do not, in my view, mandate a surgical
process whereby disconnected phrases which do not, by themselves, contain
exempt information are picked out of otherwise exempt material and released.
There are two problems with this kind of procedure. First, the resulting
document may be meaningless or misleading as the information it contains is
taken totally out of context. Second, even if not technically exempt, the
remaining information may provide clues to the content of the deleted portions.
Especially when dealing with personal information, in my opinion, it is
preferable to delete an entire passage in order to protect the privacy of the
individual rather than disclosing certain non-exempt words or phrases.
Indeed, Parliament seems to have intended
that severance of exempt and non-exempt portions be attempted only when the
result is a reasonable fulfillment of the purposes of these statutes. …
Disconnected snippets of releasable
information taken from otherwise exempt passages are not, in my view,
reasonably severable.
[64]
I agree. The purpose of the Privacy Act
is not met or advanced by providing access to isolated words or phrases that
have no meaning in isolation or that do not provide “information” to the
requester. In this respect, it is very unlikely that the header information of
an otherwise exempted email message, for example, will provide any meaningful
information to the requesting party. The same principle applies in much the
same way whether the exemption is claimed on the basis of solicitor-client
privilege or on the basis that the information is not personal information of
the requesting party.
[65]
When an institution claims that the
information is not personal information of the requester, that claim must be
closely examined. It is one thing to say that it is not the requester’s
personal information as defined in the Act and quite another to exempt it in
the basis that it is personal information both of the requester and of a third
party. The Federal Court of Appeal has observed that the same information may
be personal to more than one individual: See Canada (Information
Commissioner) v. Canada (Minister of
Citizenship and Immigration), [2002] F.C.J. No. 950. Accordingly, when
there is a claim for an exemption on the basis of subsection 12(1), care must
be taken that the redaction has not been made too broadly simply because the
information could also be said to be another’s personal information.
Whether The Respondent
Could Change The Basis Of The Exemption
[66]
As
noted, the OPC determined that some of the documents withheld by EDC on the
basis that they contained only non-personal information did in fact contain
personal information and ought to be disclosed. In response, the respondent
took the position that many of those documents were subject to solicitor-client
privilege and refused disclosure on this new claim for exemption. The
applicant submits that the respondent cannot change the basis of the claimed
exemption. He relies on the decision in Davidson v. Canada (Solicitor
General),
[1987] 3 F.C. 15 and, specifically, the statement of Associate Chief Justice
Jerome in paragraph 9 that “the respondent cannot rely on exemptions not
identified in the notice of refusal issued under section 14.”
[67]
The
Court of Appeal dismissed an appeal of that decision: [1989] 2 F.C. 341.
However, while it agreed with Associate Chief Justice Jerome that the
respondent was bound by the grounds of exemption asserted by it, it was made
clear that the grounds to which the respondent was bound were those advanced
before the matter reached the Federal Court. Justice McGuigan makes that point
when discussing the reason why the respondent cannot change the ground of
exemption once the matter is before the Court:
…[I]f new grounds of exemption were allowed
to be introduced before the judge after the completion of the Commissioner's
investigation into wholly other grounds, as is the issue in the case at bar,
the complainant would be denied entirely the benefit of the Commissioner's
procedures. He would thus be cut down from two levels of protection to one. No
case could better illustrate than the present one the advantages of a two-stage
process, because it was only at the second stage that the fatal flaw in the
initial ground was discovered.
That the parties would be denied the
benefit of the OPC review process is the rationale for refusing the respondent
the right to change its grounds of non-disclosure after that process has been
completed. To hold otherwise and hold the respondent to the grounds advanced
before the OPC had been engaged would reduce the role of the OPC to one of little
or no consequence. Indeed, what would be the point of encouraging the
respondent to re-examine its position if it were bound by exemptions already
asserted? Further, if the respondent fails to provide the response required in
the Act under section 14 within the applicable time limit, would it then be
precluded from asserting an otherwise legitimate exemption? I have already
discussed why I am of the view that such a position is untenable.
[68]
Accordingly,
in my view, the respondent was entitled to amend the ground of exemption up to
the point when this application was filed with the Court.
Other Observations
[69]
As
is noted above, the respondent originally claimed 100 pages were exempted as
being non-personal information, only to later claim that those pages never
existed; these are pages 2204 to 2303. It was understandable that Mr.
Murchison was suspicious of this later claim in light of the assurances given
that Mr. Picard had reviewed each and every page prior to disclosure. I have
reviewed the disclosed materials both from the respondent and from the
Commission, neither of which contains the 100 “missing” pages, and accept the
respondent’s explanation that this was the result of a clerical error when
numbering the pages. The person who did the numbering simply skipped from page
2203 to page 2304. There is no evidence that these 100 pages ever existed and
there is nothing in the sequence of documents to suggest that the respondent’s
explanation is not credible.
[70]
There
were a few pages that EDC had originally claimed to be exempt from disclosure
on the basis that they contained non-personal information. Subsequently the
respondent stated that the page was blank. Again, this change in
characterization reasonably roused Mr. Murchison’s suspicions. Having reviewed
the materials in the record, including the documents of the OPC, I can find nothing
to suggest that this too was other than a clerical error on the part of the
respondent and that the pages, in fact, are blank.
Conclusion
[71]
Having
reviewed the more than 900 pages in dispute which are attached to Mr. Picard’s affidavit
sworn November 1, 2007, I have determined that EDC has improperly claimed an
exemption to disclosure over many of them. The basis on which I hold that the
information contained in these documents is to be disclosed, with only a few
exceptions, is for one or more of the following reasons:
(a)
The
document is a non-privileged attachment or enclosure to a privileged document
and the exemption asserted was solicitor-client privilege;
(b)
The
document is sent to or from an employee of EDC who is a lawyer but who also
fills a non-legal role at EDC, such as Mr. Picard, and on the balance of
probabilities, the document was sent to or from him in his non-legal role;
(c)
The
document is an email message that has been copied to an in-house EDC lawyer and
there is no request advanced for legal advice;
(d)
The
document is sent to or from an employee of EDC who is a lawyer but there is no
request advanced for legal advice and no legal advice offered;
(e)
The
only valid exemption claimed by EDC was under subsection 12(1), but the
information has been held to constitute personal information of Mr. Murchison;
(f)
EDC
agreed to release the document to Mr. Murchison (these were usually blank pages
over which an exemption had been claimed);
(g)
The
redaction made by EDC is too broad and the non-exempted information is ordered
released; and
(h)
The
document contains no solicitor-client privileged information.
[72]
Attached
as Schedule A to these Reasons is a listing of documents previously exempted,
in whole or in part that, in whole or in part, are found not to be validly
subject to the exemption claimed and that are to be released to Mr. Murchison.
[73]
Mr.
Murchison has been partially successful in this application as many documents
previously withheld from him are ordered to be disclosed. On the other hand,
it has only been a partial victory and many of his submissions to the Court
were rejected. In these circumstances, I am of the view that there ought not
to be any order as to costs. Each party is to bear his or its own costs.
ORDER
THIS COURT
ORDERS AND ADJUDGES that:
1. The
information contained in the documents listed in Schedule A to this Order,
which was previously redacted by the respondent, shall be released by the
respondent to the applicant to the extent indicated in Schedule A and subject
to an order to withhold disclosure of any document listed under heading “I” if
it is established to the satisfaction of the Court by the respondent within 30
days hereof, that the respondent has made a previous and valid claim that the
information is subject to solicitor-client privilege;
2. Disclosure
of these materials need not be made for a period of thirty (30) days after the
date of this Order in case an appeal is filed; and
3. As success was divided, each party shall bear
its own costs.
“Russel W. Zinn”
Docket :
T-1291-07
SCHEDULE “A” TO
THE
REASONS FOR ORDER
AND ORDER
DATED JANUARY 26,
2009
The redacted portions of the
following pages (identified by the handwritten number on the lower right corner
from Exhibit “1” to the Confidential Affidavit of Serge Picard, sworn the 1st
day of November, 2007, are to be released in whole (or where indicated, in
part) for the reasons provided at the heading of each section.
A. The document is a non-privileged attachment or enclosure to a
privileged document:
Pages Nos. 2038 to 2082 inclusive, 2159, 2160, 2742 to 2758
inclusive, 3759 to 3802 inclusive, 3845, 3846, 3847, 3849 to 3885 inclusive,
3909 to 3939 inclusive, and 3948 to 3952 inclusive.
B. The document is sent to or from an employee of EDC
who is a lawyer who also fills a non-legal role at EDC and, on the balance of
probabilities, the email is being sent to or from the employee in the non-legal
role:
Pages Nos. 722,
724, 726, 728, 730, 731, 854, 855, 862, 865 to 872 inclusive, 1506, 1507, 1544
to 1549 inclusive, 1609, 1610, 1632, 1937, 1938, 1944, 1948, 1950, 1951, 1953,
2000, 2003, 2006, 2203, 2315, 2533, 2541, 2542, 2544, 3727, 3891, 3907, 3955.
C. The document is an email copied to an in-house EDC
lawyer with no request for legal advice:
Pages Nos. 628,
638, 641, 741, 1956, 2533, 2860.
D. The document is sent to or from an employee of EDC
who is a lawyer, but there is no request for legal advice and no legal advice
offered:
Pages Nos. 307,
308, 383, 731, 769, 795, 797, 803, 1453, 1594, 1597, 1696, 1856, 1878, 1955,
1978, 2374, 2543, 2853, 2958, 3606, 3637, 3638, 3654, 3664, 3685, 3953.
E. The only exemption claimed by EDC was under
subsection 12(1), but the information is personal information of Mr. Murchison:
Pages Nos. 383, 837,
841 to 843 inclusive, 1926, 1997, 1998
F. EDC agreed to release the
document:
Pages Nos. 568,
1737, 3758, 3760, 3762, 3764, 3770, 3773, 3887, 3888, 3889, 3890, 3956, 3957.
G. The redaction made by EDC is
too broad:
Page Nos. 434, 3030: only last
sentence in email sent April 6, 2005, 8:28 AM, should be redacted.
Page Nos. 648, 651: only the
first sentence in the second paragraph of email sent December 6, 2004, 4:48 PM,
should be redacted.
Page Nos. 676, 677, 678, 679,
680, 681, 682, 685, 809, 814, 1992, 2308, 2508: only the second full sentence
(beginning with word “Please”) in email sent November 23, 2004, 2:20 PM, should
be redacted.
Page No. 2506: only the first 3
email messages from the top of the page, as well as the second full sentence in
email sent November 23, 2004, 2:20 PM, should be redacted.
Page No. 766: Only the email
message sent December 6, 2004, 4:48 PM, should be redacted.
Page No. 778: Only the lower
portion of the page, following the words “we have draft ready to go”, should be
redacted.
Page No. 830: Only the bracketed
phrase following the word “Keith” and preceding the word “acknowledging” should
be redacted.
Page No. 876: The second to last
sentence, beginning “Michelle” and ending “Nothing”, should be released.
Page Nos. 1165, 3954: Only the
email sent October 18, 2005, 7:18 PM, should be redacted.
Page No. 1226: Only handwritten
notes should be redacted.
Page No. 1520: Only top half of
page should be redacted; everything following the words “Blair, Daniel” in bold
should be released.
Page No. 1533: Only top four
lines should be redacted.
Page Nos. 694, 696, 698, 700,
701, 824, 1596, 1631, 1993, 2311, 3727: Only email sent November 18, 2004,
12:00 PM, should be redacted.
Page No. 699: Only the first 6
lines of text from the top should be redacted.
Page No. 1883: Only the first 7
lines of text from the top should be redacted.
Page Nos. 712, 849, 1936, 1998:
Only the name of the third party referenced as the successful candidate in
email sent October 20, 2004, at 11:27AM, should be redacted.
Page No. 1949: Only the first 2
email messages at top should be redacted.
Page No. 2002: Only the first 3
email messages at top should be redacted.
Page No. 2004: Only first email
message at top should be redacted.
Page No. 2542: Only email message
sent October 18, 2005, 6:39 PM, should be redacted.
Page Nos. 307-308, 2775, 3232:
Only emails dated February 1, 2005, 2:02 PM, and Feb 1, 2005, 11:50 AM should
be redacted.
Page No. 2959: Only email sent
Jan 14, 2005, 6:58 PM, should be redacted.
H. The document contains no
solicitor-client privileged information:
Pages Nos. 616,
628, 715, 723, 732, 761, 762, 763, 1451, 1452, 1467, 1649, 1650, 1653, 1654,
2313, 2958, 3009, 3010, 3226 to 3231 inclusive, 3728, 3897, 3907, 3945.
I. The document contains personal information of the applicant:
The claim for
solicitor-client privilege made by Mr. Picard in his letters of Feb. 3, 2006
and December 19, 2006, has been held to be invalid, as it was made without
proper delegation of authority. Thus the document must be released, unless
within 30 days of this Order the respondent satisfies the Court that the
information on the page is subject to a valid claim of solicitor-client
privilege previously asserted with respect to another page:
Pages Nos. 308, 375,
391, 864, 1543, 1608, 1943, 1947, 2904.
J. Miscellaneous:
Page No. 779: EDC
has note that reads: “Note: EDC has been unable to locate the clean copy of
document no. 799. See affidavit of Serge Picard, paragraph 30(a), sworn Aug.
29, 2007.” The OPC has a clean copy of this page in its materials which the
Court had reviewed. It is the same as EDC page 794 and the redaction done on
page 794 is found to be appropriate.
Page No 3811: EDC
has note that reads: “Note: EDC has been unable to locate the clean copy of
document no. 3811. See affidavit of Serge Picard, paragraph 30(a), sworn Aug.
29, 2007.” The OPC has a clean copy of this page in its materials which the Court
has reviewed; it qualifies for solicitor-client privilege.
Page No. 3887:
This is a blank page in EDC’s unredacted document package. It is not in the
Privacy Commissioner’s package at all.