Date: 20090904
Docket: IMM-326-09
Citation: 2009 FC 873
Ottawa, Ontario, September 4, 2009
PRESENT: The Honourable Madam Justice Snider
BETWEEN:
NELL TOUSSAINT
Applicant
and
THE MINISTER OF CITIZENSHIP
AND IMMIGRATION
Respondent
and
LOW INCOME FAMILIES TOGETHER
and CHARTER COMMITTEE ON
POVERTY ISSUES
Interveners
REASONS FOR JUDGMENT AND JUDGMENT
I. Background
[1]
The
Applicant, Ms. Nell Toussaint, a citizen of Grenada, came to Canada in December 1999 as a visitor. Her
visitor status expired within 6 months of entering Canada and she has been without status since
that time. She does not want to return to Grenada. The Applicant would like to apply to the Minister of
Citizenship and Immigration (the Minister or the Respondent), pursuant to s.
25(1) of the Immigration and Refugee Protection Act, S.C. 2001, c. 27 (IRPA),
for an exemption from certain requirements of IRPA on the basis of
humanitarian and compassionate (H&C) considerations. Specifically, she
wants: (a) to be exempted from the requirement in s. 11 of IRPA that she
must apply for permanent residence status before entering Canada; and, (b) to
be granted permanent residence from within Canada on H&C grounds. The fee
required to process her in‑Canada H&C application is $550, which, the
Applicant claims, she cannot afford.
[2]
Under
cover of letter dated September 12, 2008, a Certified Canadian Immigration
Consultant, acting on behalf of the Applicant, forwarded an H&C application
to the Minister. The cover letter contained the following request:
On behalf of my client Ms. Nell Toussaint
I am hereby making a request under section 25(1) of the Immigration and Refugee
Protection Act for her to be exempted from the requirement under sections 307
and 10(1)(d) of the Immigration and Refugee Protection Regulations to pay the
$550 fee for the processing of her application for permanent residency based on
humanitarian and compassionate considerations (H&C) …
The basis of Ms. Toussaint’s request for
this fee exemption is set out in her affidavit, which is attached. As you can
see, she is indigent and unable to afford to pay the fee.
[3]
In a
letter dated January 12, 2009, the Administrative Officer, Case Management
Branch of Citizenship and Immigration Canada (CIC) returned the application
without processing for the following reasons:
Paragraph 10(1)(d) of the Immigration and
Refugee Protection Regulations requires all applicants to include evidence of
payment of the applicable fee. Your request for an exemption from the fees is
contrary to this legislative requirement. If you wish to apply for permanent
residence in Canada your application must be
accompanied by the required fee.
[4]
The
Applicant seeks judicial review of this decision. In addition to a request that
the decision of the Administrative Officer be quashed, the other key remedies
sought may be stated as follows:
·
An order
that the Minister examine the Applicant’s circumstances to determine whether an
exemption from s. 11 of the IRPA is justified on H&C grounds,
without the payment of any fee;
·
A
declaration that ss. 307, 10(1)(d) and 66 of the Immigration and Refugee
Protection Regulations, SOR/2002-227 (IRP Regulations or the Regulations),
which require the payment of a fee as a condition of accessing the procedure
under s.25(1) of IRPA is ultra vires in that it fetters the
Minister’s discretion under s. 25(1) of IRPA; and
·
A
declaration that ss. 307 and 10(1)(d) are inoperative or invalid as being
contrary to s. 15(1) and s. 7 of the Canadian Charter of Rights and
Freedoms, Part I of the Constitution Act, 1982, being Schedule B to
the Canada Act 1982 (U.K.), 1982, c. 11 (Charter), contrary to s. 1(b) of
the Canadian Bill of Rights S.C. 1960, c. 44. (Canadian Bill of Rights or
Bill of Rights),
and contrary to the Rule
of Law and the “constitutional norm of equality”;
[5]
By Order
of Prothonotary Aalto, two organizations - the Charter Committee on Poverty
Issues (CCPI) and Low Income Families Together (LIFT) – were granted intervener
status in this application for judicial review.
II. Issues
[6]
This
application raises the following issues:
1.
What is
the applicable standard of review of the Minister’s decision not to consider
waiving the Applicant’s in-Canada application fee?
2.
On a
proper statutory interpretation of the relevant provisions of IRPA, does
s. 25 of IRPA require the Minister to consider a request to waive the
fee for an in-Canada s. 25 application?
3.
Are the
provisions of IRPA or the IRP Regulations that purport to prevent
foreign nationals, who are indigent or on social assistance, from seeking a
waiver of fees for services under IRPA, invalid or inoperative on the
basis of:
a)
s. 7 of
the Charter; or
b)
s. 15 of
the Charter.
4.
Is the
failure of the government to provide for the waiver of fees contrary to the
rule of law and the common law constitutional right of access to the Courts.
[7]
In her
written submissions, the Applicant raised, as an issue, the possible
application of certain provisions of the Canadian Bill of Rights to the
facts. Since the Applicant did not address this argument during oral
submissions, I have not considered the possible application of the Bill of
Rights. Nevertheless, I would comment that the portion of the reasons and
my conclusions relating to s. 7 of the Charter would also apply to any Bill
of Rights argument advanced by the Applicant.
[8]
Lastly,
the Intervener LIFT focuses its issues specifically on the impact that a
failure to waive fees has on the best interests of children directly affected.
The Applicant has no children. Accordingly, the issue of the best interests of the
child, as raised by LIFT, is not relevant to the consideration of this judicial
review and any conclusions that I reach would not be determinative. This issue
was, however, relevant to the situation facing two families whose applications
for judicial review were heard together with this matter (Krena v. Canada (Minister of Citizenship and
Immigration)
(Court File No. IMM-2926-08) and Gunther v. Canada (Minister of Citizenship and
Immigration)
(Court File No. IMM-3045-08)). Because of the particular circumstances of each
of these files, the matters were dismissed on the basis of mootness or lack of
standing. Given the importance of having a proper factual foundation before the
Court upon which to make important Charter determinations, I will not
deal extensively with LIFT’s arguments in these Reasons for Judgment.
III. Legislative Framework
[9]
I begin by
stating that: “The
most fundamental principle of immigration law is that non-citizens do not have
an unqualified right to enter or remain in the country” (Canada (Minister of
Employment and Immigration) v. Chiarelli [1992] 1 S.C.R. 711, 90 D.L.R. (4th)
289 at para. 24). Thus, Parliament has established a scheme for immigration in
which all applications for permanent residence in Canada must be made from
outside Canada (IRPA, s. 11(1)).
However, s. 25(1) of IRPA gives the Minister the discretion to exempt
persons from that requirement on the basis of H&C considerations. Section
66 of the IRP Regulations provides that such an application be made in
writing accompanied by an application to remain in Canada as a permanent resident.
[10]
Section 89
of the IRPA allows for the making of regulations that govern fees for
services provided in the administration of IRPA and the cases in which
fees may be waived by the Minister.
[11]
Section 307
of the IRP Regulations sets out the fees payable for in-Canada H&C
applications. A principal applicant pays $550, a spouse or an applicant 22
years of age or older also pays $550, and a family member who is less than 22
years of age pays $150.
[12]
Section
10(1)(d) of the IRP Regulations states that an application may not be
processed unless the applicable processing fee is paid.
[13]
The full
text of these relevant provisions is set out in Appendix A to these reasons.
IV. Issue #1: What is
the applicable standard of review?
[14]
Given the
nature of the issues raised, the Minister’s decision is reviewable on the
standard of correctness. In other words, was the Minister correct in his
conclusion that an exemption from the fees is contrary to s. 10(1)(d) of the IRP
Regulations?
V. Issue #2: Does s. 25
of IRPA require the Minister to consider a request to waive the fee for
an in-Canada s. 25 application?
A. Position of the Applicant and Interveners
[15]
On the
issue of the proper statutory interpretation of s. 25, the position of the
Applicant and the Interveners is simple. They submit that s. 25 provides that
the Minister “shall”, upon request of a foreign national in Canada, examine the circumstances
and may grant an exemption from “any obligation of this Act”. They argue that,
since the Applicant is a foreign national in Canada and since she has requested an exemption
from the requirement to pay an application fee (an obligation under the Act),
the Minister must consider the waiver request on H&C grounds. This
broadly stated statutory obligation of the Minister cannot be fettered, they assert,
by regulation. Accordingly, their position is that ss. 307, 10(1)(d) and 66 of
the IRP Regulations, which require the payment of a fee as a condition
of accessing the procedure under s.25(1) of IRPA, are ultra vires.
B. Principles of Statutory Interpretation
[16]
Since the
first issue before me is one of statutory interpretation, it is useful to begin
with an overview of the principles related to such matters. On a number of
occasions, the Supreme Court of Canada has given guidance on how to approach a
problem of statutory interpretation. In Rizzo & Rizzo Shoes Ltd. (Re),
[1998] 1 S.C.R. 27 at paragraph 21, Mr. Justice Iacobucci, speaking for the
unanimous Court, endorsed the statement of Elmer Driedger in Driedger on the
Construction of Statutes, 2nd ed. (Toronto: Butterworths Canada Ltd., 1983)
that:
Today there is only one principle or
approach, namely, the words of an Act are to be read in their entire context
and in their grammatical and ordinary sense harmoniously with the scheme of the
Act, the object of the Act, and the intention of Parliament.
[17]
Accordingly,
the task of the Court in interpreting legislation cannot be restricted to
analysing the plain meaning of the provision in question. Further, while the
statutory words must be given a "fair, large and liberal construction and
interpretation as best ensures the attainment of its objectives” (Interpretation
Act, R.S.C. 1985, c. I-21, s. 12), attention must be directed to the scheme
and objective of the statute, the intention of the legislature, and the context
of the words in issue (Rizzo, above, at para. 23). Regardless of how
clear and unambiguous the words of a provision may be, further analysis must be
carried out. Indeed, a failure to determine the intention of the legislature in
enacting a particular provision has been found to be an error (Rizzo, above,
at paras. 23, 31). It follows that, where there are conflicting but not
unreasonable interpretations available, the contextual framework of the
legislation becomes even more important.
[18]
In short,
my task cannot be limited to interpreting the individual words or phrases used
in s. 25; rather, I must have regard to the context in which the words are
placed, the objects of IRPA and the intention of Parliament.
[19]
In
considering the context of IRPA, the nature or architecture of the
statutory scheme is important. In De Guzman v. Canada (Minister of Citizenship and
Immigration),
2005 FCA 436, [2006] 3 F.C.R. 655 at paragraph 23, the Court of Appeal described IRPA
as "framework legislation":
That is to say, the Act contains the core
principles and policies of the statutory scheme and, in view of the complexity
and breadth of the subject-matter, is relatively concise. The creation of
secondary policies and principles, the implementation of core policy and
principles, including exemptions, and the elaboration of crucial operational
detail, are left to regulations, which can be amended comparatively quickly in
response to new problems and other developments. Framework legislation thus
contemplates broad delegations of legislative power.
[20]
In De
Guzman (at paragraph 26), the Court also commented that if there is a
conflict between the express language of an enabling clause and a regulation
purportedly made under it, the regulation may be found to be invalid.
Otherwise, courts approach with great caution the review of regulations
promulgated by the Governor (or Lieutenant-Governor) in Council.
C. Analysis
[21]
I begin by
acknowledging that a bare reading of the words of s. 25 without reference to
any other provision of IRPA may support the interpretation preferred by
the Applicant and the Interveners. The “grammatical and ordinary sense” of the
words identified within s. 25 by the Applicant and Interveners could be
interpreted to mandate the Minister to consider the Applicant’s request for a
fee waiver. However, as taught by the jurisprudence, the question before me
cannot be answered without consideration of the words of s. 25 within the
entire context of IRPA.
[22]
In the
case before me, the Applicant is in breach of the obligation of s. 11 of IRPA
that she must have a visa before entering Canada. Thus, she clearly does not meet a
requirement of IRPA and s. 25(1) is available to her. Pursuant to s.
25(1), upon request, the Minister must consider whether to exempt the Applicant
from the s. 11 obligation. In other words, if the Applicant applies, the
Minister is obliged to consider whether to exempt her from the requirement or
inadmissibility criterion that prevents her from gaining permanent residence in
Canada. The question before me is
whether the Minister must also consider the Applicant’s request that the
application fee be waived.
[23]
There is
no question that “Section 25 itself is very broad and covers much more than
requests for an exemption to apply for a permanent visa from within Canada” (Monemi v. Canada (Solicitor General), 2004 FC 1648, 266 F.T.R. 31
at para. 37). I agree. Section 25(1) is available to foreign nationals in
Canada and those who are outside Canada
(albeit on slightly different terms). The Minister may, on his own initiative,
examine the circumstances concerning a foreign national and exempt such person
from obligations of IRPA or the Regulations. In addition to
H&C considerations, taking into account the best interests of a child
directly affected, the Minister may take public policy considerations into
account.
[24]
A review
of recent jurisprudence of this Court or the Court of Appeal shows that
applications under s. 25(1) have been used to seek exemptions of the following:
·
the
obligation of ss. 117(9)(d) of the IRP Regulations, that dependents be
declared by the foreign national at the time of a grant of a permanent resident
visa (Kisana v. Canada (Minister of Citizenship and Immigration), 2009
FCA 189, [2009] F.C.J. No. 713 (QL));
·
the
application of s. 35(1)(a) of IRPA that makes a foreign national
inadmissible on grounds of committing a crime against humanity (see, for
example, Varela v. Canada (Minister of Citizenship and
Immigration),
2009 FCA 145, [2009] F.C.J. No. 549 (QL));
·
medical
inadmissibility (see, for example, Kim v. Canada (Minister of Citizenship and
Immigration),
2005 FC 1357, 51 Imm. L.R. (3d) 262);
·
the
criteria to be met for a permanent resident visa from outside Canada (see, for example, Nalbandian
v. Canada (Minister of Citizenship and
Immigration),
2006 FC 1128, 309 F.T.R. 1); and
·
inadmissibility
due to criminality under s. 35 of IRPA (see, for example Keymanash v.
Canada (Minister of Citizenship and
Immigration),
2006 FC 641, [2007] 2 F.C.R. 206).
[25]
However, a
broad and liberal interpretation of s. 25 does not necessarily mean that this
provision is available in respect of every type of obligation that arises under
IRPA or the Regulations. Section 25(1) is available as a matter
of right to any foreign national in Canada
“who is inadmissible or who does not meet the requirements of this Act”. From
this phrase, we can see that the focus of s. 25(1) is on substantive
obligations that fundamentally affect the ability of a foreign national to come
to or remain in Canada. This focus is reflected in
the various types of s. 25(1) decisions that have been considered by the
Federal Court, as set out above.
[26]
In general
terms, the “exemption from any applicable criteria or obligation of this Act”
logically refers to such criteria or obligations as cause the foreign national
to be inadmissible or to not meet the requirements of IRPA. In my view, Parliament
never intended s. 25(1) to create the possibility of exemption from
administrative requirements whether established under IRPA or the IRP
Regulations. To access the extraordinary benefits of s. 25(1), the foreign
national must meet certain administrative requirements to make his or her
“request”, including: filing a written application; providing certain documents
and information; and paying the fees set by the IRP Regulations.
[27]
Consistent
with this view of the intention of Parliament is the inclusion in IRPA
of s. 89. As noted above, s. 89 permits the enactment of regulations that
govern fees for services provided in the administration of IRPA. This
provision also expressly provides for the ability of the government (through
the Governor in Council), by regulation, to establish cases in which fees may
be waived by the Minister. Under s. 89, the government has the exclusive
mandate to establish and waive fees for services. It is clear that Parliament
intended that the waiver of fees be done through regulations and not through
the operation of s. 25(1). This is consistent with my assessment that s. 25(1)
is available in respect of substantive criteria or obligations under IRPA
and not to administrative requirements.
[28]
When s.
25(1) and s. 89 are read together, in the context of the legislative scheme of IRPA,
the two provisions can co-exist. Each has meaning.
[29]
The
Applicant and Interveners refer to past practices of the Minister where fees
were waived by the Minister, apparently using s. 25(1) as authority. In
December 2004, the Honourable Judy Sgro, then-Minister applied a temporary fee
waiver for persons affected by the Tsunami and earthquake disaster of December
26, 2004. In the news release, it was stated that “the Minister has established
the following temporary public policy under section 25 of the Immigration and
Refugee Protection Act”. In October 2005, a similar waiver was granted for
persons affected by the Pakistani earthquake. Initially, in his Memorandum of
Argument at the leave stage of this judicial review, the Minister stated that
s. 25(1) gave the Minister authority to provide these general waivers of fees.
In the further Memorandum of Argument, this statement was not made. The
Applicant and the Interveners made much of this apparent change of positions. In
my view, the Minister’s past practices and his changed position on this
judicial review is of no great moment. Whether the general public policy
waivers of 2004 and 2005 ought to have been done through regulation is not the
question before me. I make no determination on whether the Minister’s actions in
those cases were ultra vires.
[30]
Moreover,
the interpretation of the legislative scheme that I have found also avoids
absurd results. Part 19 of the Regulations establishes the fees payable
for services provided under IRPA. Those fees are wide ranging. For
example, fees are established for sponsorship applications ($75), for work
permits ($150), for a permanent resident card ($50), for a study permit ($125)
and for certification of an immigration document ($30). If I were to accept the
interpretation submitted by the Applicant and Interveners, any of the fees
could be the subject of an application for waiver under s. 25. Further, any
such assessment would have to take into account all H&C considerations. I
suspect that the Minister would be inundated with requests for waivers of any
and all fees. In addition, applicants for any service under IRPA could
also seek waiver of other non-fee requirements set out in s. 10 of the IRP
Regulations. That would mean that applicants could ask the Minister to
waive such requirements as making an application in writing (s. 10(1)(a))
or identifying accompanying partners (s. 10(1)(e)) or providing information of
the names of all family members (s. 10(2)(a)). Surely, Parliament cannot have
intended that s. 25 be used in this manner.
[31]
The
Applicant and the Interveners submit that the relevant provisions of IRPA
and the Regulations must be interpreted in a manner that is consistent
with international instruments to which Canada is a signatory (De Guzman, above,
at paras. 61-62). A complete response to this argument is reflected by the
words of Chief Justice McLachlin, speaking for the Court in
Medovarski v. Canada (Minister of Citizenship and
Immigration),
2005 SCC 51, [2005] 2 S.C.R. 539 at paragraph 48:
Charter values only inform statutory
interpretation where "genuine ambiguity arises between two or more
plausible readings, each equally in accordance with the intentions of the
statute": CanadianOxy Chemicals Ltd. v. Canada (Attorney General), [1999] 1 S.C.R. 743, at
para. 14. Both readings are not equally in accordance with the intention of the
IRPA. Thus it is not necessary to consider Charter values in this case.
In my view, there is no ambiguity in s. 25(1) that requires
resort to Charter value assessment.
[32]
In sum on
this issue, I conclude that s. 25(1) does not require that the Minister
consider a request to exempt a foreign national from the payment of fees
established pursuant to s. 89 of IRPA and the relevant IRP
Regulations. Indeed, the Minister is without authority to do so. This
interpretation is apparent when s. 25(1) is read harmoniously in its entire
context and in its grammatical and ordinary sense, together with the scheme of IRPA,
the object of IRPA and the intention of Parliament.
[33]
This
interpretation does not, however, complete my analysis. Regardless of the
statutory interpretation, the relevant provisions could be invalid based on the
other grounds advanced by the Applicant and the Interveners.
VI. Issue
#3(a): Is the failure of the government to provide for fee waiver a breach
of
Section
7 of the Charter?
A. Nature of the Issue
[34]
The
Applicant submits that the refusal of the government to waive fees results in a
situation where foreign nationals may be removed from Canada and separated from their children
without consideration of the relevant H&C factors or the best interests of
the children involved. This, she argues engages s. 7 Charter interests.
She claims that, for persons who live in poverty and cannot afford to pay the
application fee, removal without any review of their H&C grounds and the
best interests of their children is inconsistent with the principles of natural
justice.
[35]
Section 7
of the Charter states that:
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.
|
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.
|
B. Deprivation of the right to life, liberty and
security of the person
[36]
The first
question to be asked is whether removal of the Applicant prior to consideration
of her H&C factors deprives her of her right to life, liberty or security of
the person.
[37]
The
Applicant is not a citizen of Canada. The situation faced by Ms.
Medavarski, in Medovarski, above, was similar to that of the Applicant.
Because of an earlier criminal conviction, provisions of IRPA precluded
Ms. Medovarski from having an assessment of H&C factors prior to her
deportation. As do the Applicant and Interveners before this Court, Ms.
Medovarski argued that her removal prior to an assessment of such
considerations was contrary to s. 7 of the Charter. In dismissing this
argument, the Supreme Court stated, at paragraph 46, “the deportation of a
non-citizen in itself cannot implicate the liberty and security interests
protected by s. 7 of the Canadian Charter of Rights and Freedoms”. This
statement appears to be a full answer to the s. 7 arguments of the Applicant
and the Interveners.
[38]
Moreover,
there is no evidence before me that the Applicant is facing any risk to her
life, liberty or security of person upon her deportation. If that had been the
case, the Applicant could have sought to remain in Canada as a Convention refugee, or a protected
person. Specifically, she could have brought a claim for protection under s. 96
(the refugee protection) or s. 97 (risk of torture or cruel and unusual
treatment) of IRPA. She did not. She could have applied for a
pre-removal risk assessment (PRRA). She did not. Either of these assessments
could have been accessed at no cost to her. From this, I can conclude two
things: (a) the Applicant does not fear for her safety should she return to Grenada;
and (b) she has been afforded the right to two different proceedings that could
have, to a large degree, considered whether her deportation to Grenada would have deprived her of
life, liberty or security of her person.
[39]
For other
claimants pursuing permanent residence through s. 25, most have already have
had the benefit of a refugee hearing or a PRRA, with negative results. In Singh
v. Canada (Minister of Employment and Immigration), [1985] 1 S.C.R. 177, 17
D.L.R. (4th) 422, the Supreme Court concluded that a well-founded
fear of persecution in Mr. Singh’s country of origin was sufficient to engage
s. 7 of the Charter. For failed refugee claimants and those in receipt
of a negative PRRA, a determination has been made that certain of the life,
liberty and security interests are not at risk under Canada’s international
obligations (in particular, United Nations Convention Relating to the Status
of Refugees, July 28, 1951, 189 U.N.T.S. 137, (the Refugee Convention)
or the Convention Against Torture and Other Cruel, Inhumane or Degrading
Treatment or Punishment, Dec. 10, 1984, UNGA Res. 39/46, 39 UN GAOR Supp.
(No. 51) 197 (the Convention Against Torture)). To the extent, however,
that the right to life, liberty and security of the person, as contemplated by
s. 7 of the Charter, may extend beyond those rights assessed during a refugee
hearing or a PRRA, I will continue my analysis.
C. Fundamental Justice
[40]
I turn now
to a consideration of the second aspect of s. 7. Is the Applicant being
deprived of her rights without application of the principles of fundamental
justice? In my view, there has been no breach of fundamental justice.
[41]
The
jurisprudence on s. 7 has established that a "principle of fundamental
justice" must fulfil three criteria (see R. v. Malmo-Levine, 2003
SCC 74, [2003] 3 S.C.R. 571 at para. 113):
1.
It must be
a legal principle (see Re B.C. Motor Vehicle Act, [1985] 2 S.C.R. 486,
at p. 503).
2.
The legal
principle must be one that is "vital or fundamental to our societal notion
of justice" (see Rodriguez v. British Columbia (Attorney General), [1993] 3 S.C.R. 519, at p.
590). Stated in different terms, the principle must be viewed by society as
“essential to the administration of justice” (see Canadian Foundation for
Children, Youth and the Law v. Canada (Attorney General), [2004] 1 S.C.R. 76 at para. 8 (referred
to as Canadian Foundation).
3.
“The
principle must be capable of being identified with precision and applied to
situations in a manner that yields predictable results” (Canadian Foundation,
above, at para. 8)
[42]
The
Applicant submits the addition of two alleged principles are engaged:
consideration of H&C factors for a foreign national prior to removal, and
consideration of the best interests of the child. Does either of these alleged
“principles” rise to the level of principles of natural justice? In my view,
they do not.
[43]
The first
alleged principle of fundamental justice is the right of a foreign national to
an assessment of H&C factors. Unlike the “best interests of the child”
(discussed below), I am not persuaded that an assessment of humanitarian and
compassionate considerations is a legal principle.
[44]
What is a
legal principle? The words of Chief Justice McLachlin in Canadian Foundation,
above, at paragraph 9 provide some guidance:
A legal principle contrasts with what
Lamer J. (as he then was) referred to as "the realm of general public
policy" (Re B.C. Motor Vehicle Act, above, at p. 503), and
Sopinka J. referred to as "broad" and "vague generalizations
about what our society considers to be ethical or moral" (Rodriguez,
above, at p. 591), the use of which would transform s. 7 into a vehicle for
policy adjudication.
[45]
The
Applicant is, in effect, seeking an appeal of her deportation on the basis that
H&C considerations would warrant her remaining in Canada. In general, a foreign national has no
constitutional right to enter or remain in Canada (see Singh, above, at
para. 13; Chiarelli, above, at para. 24 (SCC); Medovarski, above,
at para. 46).
[46]
Further, a
foreign national has no right to come to or remain in Canada because of her personal H&C
circumstances. The situation faced by the Applicant (and others in her
situation) is similar to that considered by the Supreme Court in Chiarelli,
above. In that case, Mr. Chiarelli was being deported because of serious
criminal convictions. By operation of the Immigration Act, 1976, S.C.
1976-77, c. 52, he was not permitted to have all of the circumstances of his
situation considered by the of the Immigration and Refugee Board, Immigration
Appeal Division (IAD). In other words, the IAD was not able to hear an appeal
from Mr. Chiarelli on H&C grounds that could have resulted in a stay of his
deportation; Mr. Chiarelli was deprived of the ability to make such
submissions. With respect to the right to appeal on H&C grounds, the Court
commented that Mr. Chiarelli had no substantive right to an appeal on
compassionate grounds. “It is entirely within the discretion of Parliament
whether an appeal on this basis is provided” (Chiarelli, above, at
para. 43). In Chiarelli, the Court held that the removal of Mr.
Chiarelli prior to review of compassionate factors did not amount to a breach
of natural justice.
[47]
If it is
within the discretion of Parliament whether to provide for an H&C review
prior to a deportation, it is certainly within Parliament’s discretion to
establish fees to access such an appeal process. I conclude that an H&C
assessment prior to deportation is not a legal principle and, thus, cannot be a
principle of fundamental justice to which s. 7 applies.
[48]
The second
alleged principle of fundamental justice is the “best interests of the child”.
This alleged principle does not apply to the Applicant; she is childless.
However, the Intervener (in particular, LIFT) has intervened and provided
extensive arguments on this point.
[49]
In Canadian
Foundation, above, the Canadian Foundation for Children, Youth and the Law
(the Foundation) sought a declaration that the exemption from criminal sanction
for parents or teachers who corporally punished children was unconstitutional.
This was on the basis that the provision violated s. 7 of the Charter.
The Foundation argued that the provision in the Criminal Code, R.S.C.
1985, c. C-46 failed to give procedural protections to children, did not
further the best interests of the child, and was both overbroad and vague. In
respect of the best interests of the child, Chief Justice McLachlin, writing
for the majority of the Court, agreed that “the best interests of the child”
was a “recognized legal principle” (Canadian Foundation, above, at para.
8). However, Chief
Justice McLachlin found that the “best interests of the
child” was not a principle of natural justice (Canadian Foundation, above,
at paras. 10-12).
However, the "best interests of the
child" fails to meet the second criterion for a principle of fundamental
justice: consensus that the principle is vital or fundamental to our societal
notion of justice. The "best interests of the child" is widely
supported in legislation and social policy, and is an important factor for consideration
in many contexts. It is not, however, a foundational requirement for the
dispensation of justice. Article 3(1) of the Convention on the Rights of the
Child describes it as "a primary consideration" rather than
"the primary consideration" (emphasis added). Drawing on this
wording, L'Heureux-Dubé J. noted in Baker v. Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R. 817, at
para. 75:
[T]he decision-maker should consider
children's best interests as an important factor, give them substantial weight,
and be alert, alive and sensitive to them. That is not to say that children's
best interests must always outweigh other considerations, or that there will
not be other reasons for denying an H & C claim even when children's
interests are given this consideration.
It follows that the legal principle of
the "best interests of the child" may be subordinated to other
concerns in appropriate contexts. For example, a person convicted of a crime
may be sentenced to prison even where it may not be in his or her child's best
interests. Society does not always deem it essential [page95] that the
"best interests of the child" trump all other concerns in the
administration of justice. The "best interests of the child", while
an important legal principle and a factor for consideration in many contexts,
is not vital or fundamental to our societal notion of justice, and hence is not
a principle of fundamental justice.
The third requirement is that the alleged
principle of fundamental justice be "capable of being identified with some
precision" (Rodriguez, above, at p. 591) and provide a justiciable
standard. Here, too, the "best interests of the child" falls short.
It functions as a factor considered along with others. Its application is
inevitably highly contextual and subject to dispute; reasonable people may well
disagree about the result that its application will yield, particularly in
areas of the law where it is one consideration among many, such as the criminal
justice system. It does not function as a principle of fundamental justice
setting out our minimum requirements for the dispensation of justice.
To conclude, "the best interests of
the child" is a legal principle that carries great power in many contexts.
However, it is not a principle of fundamental justice.
[50]
I agree
and would conclude that, for the same reasons given by Justice McLachlin in Canadian
Foundation, the “best interests of the child” is not a principle of
fundamental justice.
D. Conclusion on this issue
[51]
In
conclusion on this issue, I find that the deportation of the Applicant prior to
consideration of H&C factors does not engage the liberty and security
issues protected by s. 7 of the Charter. In any event, since neither the
assessment of H&C factors or of the best interests of the child are
principles of fundamental justice to which s. 7 of the Charter applies,
it follows that there is no breach of s. 7 of the Charter.
VII. Issue
#3 (b): Does the failure of the government to provide for waiver of fees violate
Section
15 of the Charter?
A. Nature of the s. 15 Issue
[52]
The
Applicant and Interveners (in particular CCPI) advance two different arguments
under s. 15(1) of the Charter. First, they submit that persons living in
poverty are protected under s. 15 of the Charter; thus, the
Minister’s failure to provide a fee waiver entails an improper failure to
exercise the discretion available under s. 25 of IRPA. In the
alternative, they assert that, by failing to provide for a fee waiver pursuant
to the regulation-making authority of s. 89 of IRPA, the government
violates s. 15.
[53]
Section
15(1) of the Charter provides as follows:
Equality before
and under law and equal protection and benefit of law
15. (1)
Every individual is equal before and under the law and has the right to the
equal protection and equal benefit of the law without discrimination and, in
particular, without discrimination based on race, national or ethnic origin,
colour, religion, sex, age or mental or physical disability.
|
Égalité devant la loi,
égalité de bénéfice et protection égale de la loi
15. (1) La loi ne fait acception
de personne et s'applique également à tous, et tous ont droit à la même
protection et au même bénéfice de la loi, indépendamment de toute
discrimination, notamment des discriminations fondées sur la race, l'origine
nationale ou ethnique, la couleur, la religion, le sexe, l'âge ou les
déficiences mentales ou physiques.
|
[54]
As I have
already determined that the Minister has no discretion to waive fees under s.
25 of IRPA, the first argument fails. Thus, the question before me is
directed at the failure of the government to enact, by regulation under s. 89
of IRPA, a waiver of fees for in-Canada H&C applications for persons
who live in poverty. Does this failure deprive the Applicant from her right to
equality under s. 15 of the Charter?
[55]
The
question before me is comparable to the situation before the courts in Eldridge
v. British
Columbia
(Attorney General),
[1997] 3 S.C.R. 624 where the hospital system had failed to provide
interpretative services for deaf patients to allow them to communicate with
medical service providers. In Eldridge, as before me, there was a
regulation-making authority, which had not been acted upon by the Government of
British Columbia. The Supreme Court (at paragraph 77) stated that:
The provision [s. 15] makes no
distinction between laws that impose unequal burdens and those that deny equal
benefits. If we accept the concept of adverse effect discrimination, it seems
inevitable, at least at the s. 15(1) stage of analysis, that the government
would be required to take special measures to ensure that disadvantaged groups
are able to benefit equally from government services.
[56]
Thus, I am
faced with a question that could result in a determination that the
government’s failure to make a distinction on the basis of poverty produces
discrimination within the meaning of s. 15 of the Charter.
[57]
The
Applicant bears the burden of establishing, on a balance of probabilities, the
elements of s. 15 discrimination (see Miron v. Trudel [1995] 2 S.C.R.
418 at para. 36).
[58]
I turn now
to the s. 15 analysis.
B. The s. 15 framework
[59]
Andrews
v. Law Society of British
Columbia, [1989] 1 S.C.R. 143 has long
been considered to be the foundational jurisprudence for a s. 15 analysis. The
Supreme Court of Canada called for “an analysis of the full context surrounding
the claim and the claimant”. In Law v. Canada, [1999] 1 S.C.R. 497, at
paragraph 88, Justice Iacobucci (writing for a unanimous court) set out
guidelines that reflected three broad inquiries:
1.
Does the
law, program or activity, based on a personal characteristic, impose
differential treatment between the claimant and others with whom the claimant
may fairly claim equality?
2.
Is the
differentiation based on one or more of the enumerated or analogous grounds?
3.
Does the
differentiation amount to a form of discrimination that has the effect of
demeaning the claimant’s human dignity?
[60]
The Law
framework was revisited In R. v. Kapp, 2008 SCC 41, [2008] 2 S.C.R. 483.
In Kapp, the Supreme Court reasserted Andrews as the seminal
decision and focused on the “underlying identification of the perpetuation of
disadvantage and stereotyping as the primary
indicators of discrimination” (Kapp, above, at para.
23). With respect to the multi-step analysis of Law, the Supreme Court
stated the following:
Viewed in this way, Law does not impose a
new and distinctive test for discrimination, but rather affirms the approach to
substantive equality under s. 15 set out in Andrews and developed in numerous
subsequent decisions. The factors cited in Law should not be read literally as
if they were legislative dispositions, but as a way of focussing on the central
concern of s. 15 identified in Andrews - combatting discrimination, defined in
terms of perpetuating disadvantage and stereotyping
(Kapp, above, at para. 24).
[61]
In the
result, I am taught by the jurisprudence to employ the two-step analysis
enunciated in Kapp, above, at paragraph 17:
1.
Does the
failure of the GIC to establish waiver for persons in poverty create a
distinction based on an enumerated or analogous ground?
2.
Does the
distinction create a disadvantage by perpetuating prejudice or stereotyping?
[62]
The first
question requires that I address sub-issues. First, does the failure create a
distinction based on a personal characteristic or fail to take into account the
Applicant’s already disadvantaged position in Canadian society, as compared to
others? This involves identifying what is known as the comparator group.
Secondly, is such a distinction based on an enumerated or analogous ground?
Finally, only if there is a distinction based on an enumerated or analogous
ground, do I need to turn to an examination of whether the distinction creates
a disadvantage by perpetuating prejudice or stereotyping.
C. Comparator group and distinction
[63]
I begin my
analysis by first identifying the appropriate comparator group for the s. 15
analysis. The Supreme Court has emphasized that equality is a comparative
concept and that an analysis under s. 15 requires that a comparison be made
between a group with which the claimant identifies and some other group. In Hodge
v. Canada, 2004 SCC 65, [2004] 3 S.C.R. 357, at paragraph 23, the SCC
offered guidance on the section of the appropriate “comparator group”:
The appropriate comparator
group is the one which mirrors the characteristics of the claimant (or claimant
group) relevant to the benefit or advantage sought except that the statutory
definition includes a personal characteristic that is offensive to the Charter or omits
a personal characteristic in a way that is offensive to the Charter.
[64]
The
submission of the Interveners rests on the argument that s. 25 is
discriminatory to the group of individuals who receive social assistance and
who can be categorized as experiencing the social condition of poverty. The
comparator group would therefore be foreign nationals who seek to make an
in-Canada H&C Application and who are not impecunious nor in receipt of
social assistance.
[65]
Having
identified the comparator group, the next question is whether s. 25 has created
a distinction between the Applicants and those in the comparator group on the
basis of an analogous ground.
[66]
I am not
convinced that application of the applicable statutory scheme results in a
differential effect that effectively bars the H&C review for those foreign
nationals living in poverty. There is no evidence to suggest that those foreign
nationals who manage to file H&C applications, complete with the processing
fee, are not impecunious and not in receipt of social assistance.
Indeed, the evidence produced by the Minister suggests, by implication, that
some persons living in poverty have paid the applicable fee (see the discussion
below beginning at paragraph [95]). Further, the volume of applications
for judicial review of H&C decisions brought to the Federal Court by those
on social assistance suggests that impecunious and social assistance recipients
have been able to access the procedure set out in s. 25 of IRPA (see,
for example, Veitch v. Canada (Minister Of Citizenship And Immigration),
2008 FC 1400; Tharmalingam v. Canada (Minister Of Citizenship And
Immigration), 2008 FC 463; Palumbo v. Canada (Minister of Citizenship
and Immigration), 2009 FC 706).
[67]
If I can
find no distinction made on the basis of poverty that denies an equal benefit
or imposes an unequal burden, it appears to me that the s. 15 argument must
fail. In spite of my concerns, I will continue the analysis. Without deciding,
I am prepared to accept, at this stage of the analysis, that persons living in
such poverty that they cannot afford the processing fee face a distinction as
compared to the comparator group.
D. Enumerated or analogous ground
[68]
Having
established a comparator group and assuming that there is discrimination, I
move to a consideration of whether the government failure to establish a waiver
of fees for persons in poverty discriminates against that group on the basis of
an enumerated or analogous ground. In other words, is poverty included in the
protection offered by s. 15(1)?
[69]
Section 15
of the Charter recognizes the right to equal protection and equal
benefit of the law without discrimination for several specified or enumerated
grounds. To prove discrimination, the claimant must show that the unequal
treatment is based on one of the grounds expressly mentioned in s. 15(1) --
race, national or ethnic origin, colour, religion, sex, age or mental or
physical disability -- or some analogous ground. Not all inequities are “worthy
of constitutional protection” (see Miron, above, at para. 31).
[70]
Poverty is
not an enumerated ground. Thus, any protection provided under s. 15 may only be
afforded to the Applicant on the basis that poverty is an analogous ground. The
Applicant and Interveners argue that it does. I disagree.
[71]
On the
issue of whether a ground constitutes an analogous ground for the purposes of
s. 15, the jurisprudence from the Supreme Court teaches that unacceptable forms
of discrimination are those that focus on “personal characteristics”, which are
somehow inherently part of an individual’s identity (Corbière v. Canada
(Minister of Indian and Northern Affairs), [1999] 2 S.C.R. 203 at para.
13):
What then are the criteria by
which we identify a ground of distinction as analogous? The obvious answer is
that we look for grounds of distinction that are analogous or like the grounds
enumerated in s. 15 -- race, national or ethnic origin, colour, religion, sex,
age, or mental or physical disability. It seems to us that what these
grounds have in common is the fact that they often serve as the basis for
stereotypical decisions made not on the basis of merit but on the basis of a
personal characteristic that is immutable or changeable only at unacceptable
cost to personal identity. This suggests that the thrust of identification
of analogous grounds at the second stage of the Law analysis is to reveal grounds
based on characteristics that we cannot change or that the government has no
legitimate interest in expecting us to change to receive equal treatment under
the law. To put it another way, s. 15 targets the denial of equal treatment
on grounds that are actually immutable, like race, or constructively immutable,
like religion. Other factors identified in the cases as associated with the
enumerated and analogous grounds, like the fact that the decision adversely
impacts on a discrete and insular minority or a group that has been
historically discriminated against, may be seen to flow from the central
concept of immutable or constructively immutable personal characteristics,
which too often have served as illegitimate and demeaning proxies for
merit-based decision making.
[Emphasis added]
[72]
In short,
the test is whether poverty is a personal characteristic that is either: (1)
actually immutable; or (2) constructively immutable because it is changeable
only at unacceptable cost to personal identity or, put differently, a
characteristic that the government has no legitimate interest in expecting the
individual to change.
[73]
Can it be
said, in the case before me, that the characteristic of being impecunious or in
receipt of social assistance is a personal characteristic that is inherently
part of an individual’s identity or is one that the government does not have a
legitimate interest to be changed?
[74]
I begin by
noting that the very notion of poverty as a social condition is somewhat
problematic. The argument of the Applicant and CCPI is based on a
conceptualization of poverty as a social condition, which refers not only to a
person’s economic status or income level but rather to a long-term condition
that encompasses the social dimensions associated with inadequate income (such
as stigma, stereotype and social exclusion).
[75]
I am not
sure that such a distinction can be made. Financial circumstances may change;
individuals may come into and out of the state of poverty and experience the
social consequences that follow. Further, even if I were to accept the concept
of poverty as a social condition, there is no clear evidence which links
durable poverty to any particular group of people. There are numerous factors
that contribute to situations in which persons experience long periods of
durable poverty. This would not be a social condition that occurs only to a
particular demographic or a particular discrete or insular minority or group
that historically has suffered discrimination.
[76]
More
importantly, for the purposes of s.15, it cannot be said that the state of
being in the social condition of poverty or in receipt of social assistance is
a personal characteristic that cannot be changed, such that certain people are
inevitably poor or impoverished and will continue to be this way for a
sustained period because that is an inherent part of who they are. As expressed
by Justice Fichaud in Boulter v. Nova Scotia Power Inc., 2009 NSCA 17,
275 N.S.R. (2d) 214 at paragraph 42: “Poverty is a clinging web, but
financial circumstances may change, and individuals may enter and leave poverty
or gain and lose resources. Economic status is not an indelible trait like
race, national or ethnic origin, color, gender or age.”
[77]
I would
also adopt Justice Fichaud’s reasoning in finding that neither the social
condition of poverty, nor the receipt of social assistance is a characteristic
that the government does not have a legitimate interest to expect to be
changed. On the contrary, “the government has a legitimate interest, not just
to promote affirmative action that would ameliorate the circumstances attending
an immutable characteristic, but to eradicate that mutable characteristic of
poverty itself” (Boulter, above, at para.42).
[78]
The
Applicant and CCPI rely on the decision of the Ontario Court of Appeal in Falkiner
v. Ontario (Ministry of Community and
Social Services) (2002),
59 O.R. (3d) 481 (C.A.).
[79]
In Falkiner,
the Court was called upon to determine whether the definition of
"spouse" in s. 1(1)(d) of Regulation 366, R.R.O. 1990, as amended by
O. Reg. 409/95, under the Family Benefits Act, R.S.O. 1990, c. F.2,
infringed s. 15(1) of the Charter. Because of the impugned definition,
persons adversely affected shared three relevant characteristics: “they are
women, they are single mothers solely responsible for the support of their
children and they are social assistance recipients” (Falkiner, at para.
70). As described by the Court of Appeal, the equality claim in Falkiner
alleged “differential treatment on the basis of an interlocking set of personal
characteristics” (Falkiner, above, at para. 72).
[80]
For
purpose of its s. 15 analysis, the Court recognized the receipt of social
assistance as an analogous ground, summarizing its views in paragraph 92:
The Divisional Court also recognized that social assistance
recipients deserved s. 15 protection. The Divisional Court, however, defined the analogous ground
more narrowly as sole support parents on social assistance or single mothers on
social assistance. The intervener LEAF supported the Divisional Court's characterization. It seems to me,
however, that recognizing the broader or more general category, receipt of
social assistance, is preferable. It is more truly analogous to the enumerated
grounds, which themselves are general; it conforms to the similar protection
accorded to social assistance recipients in human rights legislation; it
recognizes a group that is vulnerable to discrimination and that historically
has been subjected to negative stereotyping; and it simplifies the equality
analysis under s. 15. By contrast, recognizing as analogous a highly specific
ground like sole support mothers on social assistance makes the s. 15 analysis,
which is difficult enough, unnecessarily complex. Moreover, single mothers on
social assistance already receive twofold s. 15(1) protection on the grounds of
sex and marital status. What is novel about the respondents' position is that
they seek recognition that their status as social assistance recipients is also
relevant to the equality analysis. In my view, the most coherent way to achieve
this is to recognize receipt of social assistance as an analogous ground.
[81]
While the
Court of Appeal accepted the receipt of social assistance as an analogous
ground, the Court’s analysis cannot be separated from the multi-faceted set of
characteristics of the affected persons. The Court’s conclusion (above, at paragraph
105) demonstrates that identification of the receipt of social assistance as an
analogous ground is inseparable from the facts of the Falkiner case:
I conclude that the 1995 definition of
spouse in s. 1(1)(d)(iii) of Regulation 366 under the Family Benefits Act
imposes differential treatment on the respondents on the combined grounds of
sex, marital status and receipt of social assistance and that this differential
treatment discriminates against them, contrary to s. 15 of the Charter.
[82]
In other
words, the Court in Falkiner did not determine that the affected persons
suffered discrimination simply because they received social assistance.
[83]
Five years
later, in R. v. Banks, 2007 ONCA 19, 84 O.R. (3d) 1, leave to appeal
denied [2007] SCCA No. 139, a different panel of the Ontario Court of
Appeal held that anti-panhandling legislation did not violate s. 15(1). On the
issue of analogous ground, Justice Juriansz (at paras. 104 and 105) stated as
follows (albeit in obiter):
It is worth noting that the appellants
took care not to argue that "poverty" in and of itself is a ground of
discrimination. While the "poor" undoubtedly suffer from
disadvantage, without further categorization, the term signifies an amorphous
group, which is not analogous to the grounds enumerated in s. 15. The
"poor" are not a discrete and insular group defined by a common
personal characteristic. While it is common to speak of the "poor"
collectively, the group is, in actuality, the statistical aggregation of all
individuals who are economically disadvantaged at the time for any reason. Within
this unstructured collection, there may well be groups of persons defined by a
shared personal characteristic that constitute an analogous ground of
discrimination under s. 15.
Falkiner v. Ontario (Ministry of
Community and Social Services) (2002), 59 O.R. (3d) 481 (C.A.), on which the appellants rely, is
distinguishable from the present case. The differential treatment in that case
was based on three grounds: sex, marital status and "receipt of social
assistance". Falkiner did not recognize poverty as a ground of
discrimination.
[84]
The very
recent decision of the Nova Scotia Court of Appeal in Boulter, above, is
almost directly on point. In that case, a number of persons were challenging a
provision of the Public Utilities Act, R.S.N.S. 1989, c. 380 that did
not permit the Nova Scotia Utility and Review Board (the Board) to set a lower
rate for low income consumers than the rate chargeable to other consumers for
the same electrical service. Nova Scotia Power Incorporated (NSPI), a virtual
monopolist, provides electrical service. The Board must approve all rates
charged by NSPI. Under s. 67(1) of the Public Utilities Act all
rates must be charged equally to all persons. In Boulter, the claimants
challenged the validity of s. 67(1). They submitted that poverty is an analogous
ground under s. 15(1) of the Charter and that s. 67(1)’s exclusion of
the option for an ameliorative program to assist the poor discriminates
contrary to s. 15(1). It is interesting to note that, in Boulter, Mr. Bruce
Porter, who has also brought his opinions to this Court, appeared as an expert
witness before the Board.
[85]
The Court
of Appeal analyzed the s. 15(1) Charter claim, in accordance with the
Supreme Court of Canada guidance in Law and Kapp and concluded
that “Poverty per se does not suit the legal pattern for an analogous
ground under Corbière’s formulation (Boulter, above, at para. 42).
[86]
In short,
the applicants in Boulter brought the same argument to the Board and, in
appeal, to the Nova Scotia Court of Appeal as the Applicant and Interveners now
bring to this Court. In Boulter, the Court did not find that poverty is
an analogous ground under s. 15(1). I can see nothing to distinguish the case
before the Nova Scotia Court of Appeal from the case before me. The only
serious difference – which does not operate in favour of the Applicant – is
that, unlike electricity service, persons seeking the Minister’s discretion
under s. 25 of IRPA are doing so by choice. Electrical service is as
close to an essential service as one can find. In contrast, the processing of a
claim for permanent residence from inside Canada is an exceptional and non-essential
benefit. Persons who wish to apply for permanent residence in Canada may always do so from outside
Canada even where it may be
difficult for them to do so.
[87]
Finally, I
refer to the decision of Guzman v. Canada (Minister of Citizenship and
Immigration),
2006 FC 1134, [2007] 3 F.C.R. 411. In that case, Justice Simon Noël was asked
by Ms. Guzman to strike down s. 133(1)(k) of IRPA on the basis that it
violates section 15 of the Charter. Under s. 133(1)(k), Ms. Guzman, a
permanent resident of Canada, was prevented from
sponsoring her husband, Mr. Cosma, as a “member of the family class”
because she was in receipt of social assistance. Justice Noël declined to quash
s. 133(1)(k), concluding that the receipt of social assistance by Ms. Guzman
was not a “personal characteristic”. Nor did he find that the receipt of social
assistance was an analogous ground. Justice Noël distinguished Falkiner
as follows (at para. 21):
This situation is distinguishable from Falkiner
as in that case the individuals concerned had a long history of receipt of
social assistance combined with other factors, which contributed to them being
discriminated against. The Court of Appeal for Ontario in Falkiner found that
subparagraph 1(1)(d)(iii) of Regulation 366 of the Family Benefits Act,
R.S.O. 1990, c. F-2, discriminated on the grounds of sex, marital status and
the receipt of social assistance. In contrast to Falkiner, in the case
at hand the only ground for discrimination alleged is that of receipt of social
assistance, and there is no indication in the record that the applicant's
receipt of social assistance is of any permanency.
[88]
The
Federal Court of Appeal dismissed the appeal of Ms. Guzman, on the basis of
mootness; Mr. Cosma had left Canada after the Federal Court decision (Guzman
v. Canada (Minister of Citizenship and Immigration) 2007 FCA 358; leave to
SCC dismissed, [2008] S.C.C.A. No. 4).
[89]
In sum,
but for the Falkiner decision, there is no post-Corbière
jurisprudence supporting the position of the Applicant and Interveners. Even
the Falkiner decision can be readily distinguished. There is not one
case where a Court has concluded that poverty – in and of itself – is an
analogous ground. For the same reasons as expressed by Justice Fichaud in Boulter,
Justice Juriansz in Banks, and Justice Noël in Guzman, I do not
accept poverty as an analogous ground.
[90]
In
conclusion on this question, the Applicant has not persuaded me that the failure
of the government to provide for fee waivers for persons living in poverty is
based on an enumerated or analogous ground.
E. Discrimination
[91]
Having
determined that any distinction between the Applicant and those in the
comparator group is not based on an enumerated or analogous ground, there is no
need to proceed with the second part of the Kapp analysis. However, were
I to do so, I would conclude that the Applicant and CCPI fail to persuade me
that the distinction creates a disadvantage by perpetuating prejudice or
stereotyping. My reasons follow.
[92]
As taught
by the jurisprudence, at this final stage of the analysis, a number of
contextual factors are relevant. Those factors include:
1.
Pre-existing
disadvantage, stereotyping, prejudice or vulnerability;
2.
Relationship
or correspondence between the ground on which the claim is based and actual
need, capacity or circumstances of the claimant;
3.
Ameliorative
purpose or effects of the law upon more disadvantaged persons or group; and
4.
Nature and
scope of the interest affected by the impugned law.
[93]
The
Applicant put forward the affidavit evidence of Mr. Porter to address the
question of the disadvantages, stereotyping, prejudice and vulnerability of
persons living in poverty. Mr. Porter is the Director of the Social Rights
Advocacy Centre and describes himself as “a consultant and researcher in the
area of discrimination, poverty and human rights”. He is also a Coordinator of
CCPI and, in that capacity, has played a role in interventions in a number of
legal cases in Canada. In this case, he was
retained to assess “the effect of the absence of a fee waiver for applications
for Humanitarian and Compassionate consideration under section 25(1) of the
Immigration and Refugee Protection Act on social assistance recipients”. In his
affidavit, Mr. Porter concludes that:
[T]he absence of a fee waiver for those
living in poverty seeking Humanitarian and Compassionate consideration
perpetuates negative stereotypes and stigma attached to social assistance
recipients and low income families, newcomers, persons with disabilities and
racialized minorities and robs them of the sense of being valued as members of
society worthy of equal dignity and respect.
[94]
While I do
not for a minute doubt Mr. Porter’s sincerity and passion, I have serious
difficulties with his evidence in this case. Compared to the evidence provided
by the Respondent, Mr. Porter makes broad, generalized statements unsupported
by empirical data or analysis. He appears to have no direct experience in the
field of immigration. His comments and opinions with respect to immigration are
apparently based on anecdotal and hearsay information. Further, in spite of the
fact that he is not a lawyer, Mr. Porter purports to provide legal opinions
(for example, on the interpretation of the Charter and on the “rights
affirmed in the decision of the Supreme Court of Canada in Baker”). Quite simply, his
opinion does not meet the basic threshold of either reliability or relevance
(see R. v. Mohan, [1994] 2 S.C.R. 9).
[95]
The
Applicant faces further evidentiary problems with respect to the second and
third factors listed above. The Applicant points to her own affidavit and other
affidavit evidence showing that some foreign nationals are unable to pay and
thus receive consideration of their in-Canada H&C applications. However,
this evidence (other than from the Applicant) is purely anecdotal and hearsay.
[96]
On the
other hand, the Minister’s evidence provides reliable evidence of the numbers
of H&C applications and analysis of the data. It appears from the
statistical data that large numbers of foreign nationals are able to file
in-Canada H&C application, in spite of the fee. Highlights of those data,
as presented in the affidavit evidence of Ms. Martha Justus, Acting Director,
Strategic Research and Statistics Division, Research and Evaluation Branch,
CIC, are as follows:
·
In 2008,
2456 foreign nationals made in-Canada H&C applications (this counts every
individual within an application). The number of applicants has diminished
steadily and significantly from 2003 when 10439 foreign nationals sought
in-Canada landing. Part of the decrease can be attributed to the 2005 policy
that now permits claimants to apply from within Canada as members of the
“spouse and common-law partner in Canada
class”.
·
The
Minister’s evidence does not indicate that women are disadvantaged in making
applications. Rather, women file a large number of H&C applications as the
principal applicant in a group (794 female to 892 male, in 2008). Further, more
than 50% of successful H&C applications for permanent resident status are
women (18,112 females to 15,249 males for the period 2003 to 2008). In 2003,
principal claimants identified their marital status as married or in a
common-law relationship in 674 cases and as divorced, single, separated or
widowed in 1012 cases. If poverty affects single persons or women disproportionately,
the H&C application statistics do not appear to be reflect this
disproportionate effect.
·
Level of
education, which also correlates strongly to poverty, shows a wide variation in
those foreign nationals who are ultimately accepted for permanent residence
through the in-Canada application process. Or the period 2003 to 2008, about
33% of those admitted had less than nine years of education.
·
Foreign
nationals from over 30 nations commenced H&C applications in the period
from 2003 to 2008.
[97]
Given this
evidence, it is reasonable to infer that foreign nationals living in poverty
are filing in-Canada H&C applications. Based on my review of the statistical
evidence, I am unable to conclude that poverty prevents any significant number
of foreign nationals from filing in-Canada H&C applications. The need to
waive the fees to allow persons who can be distinguished on the basis of
poverty is simply not demonstrated. There is no evidence that shows that
foreign nationals who are living in poverty suffer disproportionate hardship
that can be attributed to the failure of the government to provide for fee
waivers.
[98]
The final
factor asks the Court to examine the nature of the interest affected by the
impugned law. An in-Canada H&C application provides foreign nationals with
a discretionary and exceptional benefit – and not a right. As I noted earlier
in these reasons, Canada’s immigration laws require a
foreign national to apply for residence in Canada from outside our country. Only in
exceptional circumstances is this requirement waived. In some situations, the
overarching commitment of Canada to international instruments (such as the Refugee
Convention or the Convention Against Torture) allows a claimant to
seek protection from within Canada’s borders. For refugee
claimants and persons who could return to the risk of torture, no fee is
charged for a determination of their claims. Thus, Canada recognizes its obligations under these
two important international conventions and the importance of allowing free
access to government services in situations where a foreign national is
impacted by such conventions.
[99]
An H&C
application does not fall into that category of claim. Access to the Minister’s
discretion is not a basic right as was considered, for example, in Eldridge,
above. An H&C application is not meant to be another track equivalent to a
claim for protection pursuant to s. 96 or s. 97 of IRPA or a pre-removal
risk assessment.
[100] I make one additional
observation. With the enactment of the IRP Regulations, Parliament has
chosen to establish a set of criteria that must be met before an application
for H&C relief can be assessed by the Minister. Section 10 of the Regulations,
which imposes the processing fee, reflects Parliament’s view on the issue of
fee structure and cost recovery in the immigration and refugee protection
context. While applications relating to possible risk and the need for
international protection are assessed free of charge, those relating to
immigration (and H&C applications for waivers of the requirements for
immigration) are assessed upon the payment of the required fee. In my view,
this was a legitimate policy decision that may not lend itself to a review
under s.15 of the Charter. In other words, the fee for processing
in-Canada H&C applications “arises not from any demeaning stereotype but
from a neutral and rationally defensible policy choice” (Alberta v.
Hutterian Brethren of Wilson Colony, 2009 SCC 37, [2009] S.C.J. No. 37 (QL)).
As noted by Justice Kroft of the Manitoba Court of Queen’s Bench, in Barker
v. Manitoba (Registrar of Motor Vehicles), (1987) 47 D.L.R. (4th)
69:
In a case of this kind, and when deciding
whether so called economic discrimination could possibly be read into the ambit
of s. 15(1), it is well to keep in mind that almost any law dealing with sales
or income taxes, licence fees, tariffs or social benefits will have a different
and more adverse impact on some groups of persons than others. If one were to
accept that the policy decisions underlying these laws were subject to review
by the court, then one would be led to the untenable conclusion that Parliament
had by s. 15(1) intended to create an economically egalitarian society with
judges as its supervisors.
[101] The
Applicant also asserts that the fee requirement causes adverse effect
discrimination on the basis of race, gender, disability and ethnic origin. This
argument relies on the assertion that there are “recognized intersections” of
poverty with other grounds of discrimination, such as sex, race, age and
marital or family status. However, beyond a bare assertion of adverse effect
discrimination, the Applicant has not shown how women, the disabled, single
mothers and racial minorities have experienced discrimination as against the
appropriate comparator groups for each of those alleged grounds.
[102] In order
to succeed in making this argument, the Applicant and Interveners would need to
show that the processing fee has an adverse effect on a disproportionate number
of individuals who are disabled, women, single mothers and racial minorities as
compared to the relevant comparator group (i.e. able-bodied, men, families,
non-minorities, respectively) (see Eldridge, above, and Vriend v. Alberta, [1998] 1
S.C.R. 493). They have failed to do so. There is no
evidence, for example, that more women are barred from making an H&C
application because of an inability to pay than men. The same goes for the
other grounds of discrimination raised. Indeed, as reflected above, the
evidence is that large numbers of foreign nationals that would fall within
those identified groups have found no barriers to filing in-Canada H&C
applications.
[103] I would
therefore reject the submissions on adverse effect discrimination.
[104] Lastly,
LIFT argues that the failure to waive the H&C fees constitutes
substantively differential treatment of Canadian children born to foreign
national parents. LIFT seems to be saying that the IRPA provisions are
discriminatory because Canadian children born to foreign national parents are
denied the benefit of making an H&C application, as compared to Canadian
children born to Canadian parents. In my view, this argument is without merit.
The IRPA provisions relating to H&C applications are applicable only
to foreign nationals who are seeking permanent resident status in Canada. They do
not apply to Canadian children born to Canadian parents. Therefore, it cannot
be said that the Minister’s refusal to consider H&C applications where the
processing fee has not been paid effectively denies the claimants a benefit
that Canadian nationals are receiving.
[105] I am also
not satisfied that immigrant families have somehow been denied equal protection
of the integrity of their family life and the best interests of the child under
international law by virtue of the IRPA provisions relating to H&C
applications. LIFT does not provide any examples or explanations apart from a
bare assertion of discrimination. They have therefore failed to show the alleged
discriminatory activity.
[106] Taken altogether, the factors
do not support a finding that the failure of the government to provide for a
waiver of H&C processing fees discriminates against the Applicant and
others living in poverty by imposing upon them burdens or obligations that are
not imposed on others. Nor does the fee impact the Applicants in a way that
perpetuates the pre-existing disadvantage and stereotyping experienced by them
so as to constitute discrimination.
F. Conclusion on this issue
[107] In sum, even if I were to
accept that persons living in a state of poverty, within which they cannot
afford the s. 25 processing fee, face a distinction as compared to the
comparator group, the s. 15(1) claim fails. This is because I have concluded
that: poverty is not an analogous ground. Further, and even if poverty were
accepted as an analogous ground, there is insufficient evidence to persuade me
that any distinction caused by the failure of the Minister to implement a fee
waiver for foreign nationals living in poverty perpetuates the prejudice or
stereotyping of persons living in poverty.
[108] In conclusion on this issue,
the Applicant and Interveners have failed to satisfy me that, on a balance of
probabilities, the failure of the government to implement a fee waiver is
contrary to s. 15(1) of the Charter.
VII. Issue
#4: Is the failure of the government to provide for the waiver of fees
contrary to the common law
constitutional right of access to the Courts
or
to the rule of law?
[109] The Applicant and the
Intervener, CCPI, submit that the failure of the government to provide for a
waiver of fees for foreign nationals who are unable to afford the processing
fee is contrary to the rule of law and the common law constitutional right of
access to the Courts.
[110] The Applicant and CCPI rely on
the case of Polewsky v. Home Hardware Stores Ltd. (2003), 66 O.R. (3d)
600 (Div. Ct.) in support of their position. The case of Polewsky
involved fees charged for matters coming before the Ontario Small Claims Court when the court was given no discretion
to waive such fees. The Ontario
Divisional Court
found that the failure to waive Small Claims Court fees for indigent
individuals violated both the common law right of access to courts in forma
pauperis and the constitutional principle of the rule of law. They submit
that the same principles should extend to the s. 25 in-Canada application on
H&C grounds.
[111] With respect to the concept of
in forma pauperis, the Court in Polewsky commented as follows (at
para. 44):
The purpose of allowing a claimant or a
defendant to proceed in forma pauperis was to allow people who are
indigent to access the courts. The concept has had a long-standing presence in
the common law and has found its way into statute law. Its presence in some
statutes, combined with what we find to be the common law right based upon the
constitutional principle of access to the courts, buttresses our conclusion
that the indigent should not be denied access to the Small Claims Court in
cases where their claims or defences are meritorious and their inability to pay
prescribed fees is proven on the balance of probabilities.
[112] On the issue of the common law
right of access to the court, the Court (at para. 62) concluded as follows:
. . . quite apart from the Charter, there
is at common law a constitutional right of access to the courts. The fact that
the provision to waive or reduce prescribed fees is omitted, deliberately or
otherwise, does not make it correct in law. The result is that for persons with
demonstrated inability to pay prescribed fees and with meritorious cases, there
must be a statutory provision to which they can resort for relief from the
requirement to pay fees.
[113] I acknowledge that the right
of access to the courts is, under the rule of law, an essential element for the
protection of the rights and freedoms of persons who might come before them.
However, the fundamental flaw in the argument of the Applicant and CCPI is that
access to the Minister under s. 25(1) cannot be equated to a right of access to
the courts.
[114] Section 25(1) provides a
discretionary benefit to foreign nationals. Parliament has no obligation to
provide for foreign nationals to remain in Canada on H&C grounds (Chiarelli, above,
at para. 43). Section 25 itself does not provide any right to make an in-Canada
H&C application; rather, it provides an opportunity to apply for an
exemption from provisions of IRPA or the Regulations. The
Minister is only obliged to consider H&C factors “upon request”.
Immigration is not a right; nor is access to s. 25 of IRPA.
[115] In my view, the principles
applied in Polewsky do not extend to discretionary administrative
determinations. Polewsky and the jurisprudence relied on by the
Applicant and CCPI (for example, R. v. Lord Chancellor ex parte John Witham,
[1997] 2 All E.R. 779 (Q.B.); R. v. Secretary of State for the Home
Department and others, ex parte Saleem, [2000] 4 All E.R. 814 (C.A.)) do
not apply to the situation before me. In Canadian cases where the doctrine of in
forma pauperis has been accepted (Polewski, above; Moss v. R.,
[1997] T.C.J. No. 712; Pearson v. Canada (2000), 195 F.T.R. 31) the
context has always been access to a constitutional or statutory court.
[116] Furthermore, the provisions
relating to the payment of the H&C application fee are not rendered invalid
by virtue of the rule of law. The Supreme Court of Canada’s statements, at
paragraphs 58 and 59, in British Columbia v. Imperial Tobacco Canada Ltd.,
2005 SCC 49, [2005] 2 S.C.R. 473, on the precise content of the rule of law and
its application to the constitutionality of legislation is informative:
This Court has described the rule of law
as embracing three principles. The first recognizes that "the law is
supreme over officials of the government as well as private individuals, and
thereby preclusive of the influence of arbitrary power": Reference re Manitoba Language Rights, at p. 748.
The second "requires the creation and maintenance of an actual order of
positive laws which preserves and embodies the more general principle of
normative order": Reference re Manitoba Language
Rights, at p. 749. The third requires that "the relationship
between the state and the individual ... be regulated by law": Reference re Secession of Quebec, at para. 71.
So understood, it is difficult to
conceive of how the rule of law could be used as a basis for invalidating
legislation such as the Act based on its content. That is because none of the
principles that the rule of law embraces speak directly to the terms of
legislation. The first principle requires that legislation be applied to all
those, including government officials, to whom it, by its terms, applies. The
second principle means that legislation must exist. And the third principle,
which overlaps somewhat with the first and second, requires that state
officials' actions be legally founded. See R. Elliot, "References,
Structural Argumentation and the Organizing Principles of Canada's Constitution" (2001),
80 Can. Bar Rev. 67, at pp. 114-15.
[117] The Supreme Court also
cautioned, at paragraph 67: “The rule of law is not an
invitation to trivialize or supplant the Constitution's written terms. Nor is
it a tool by which to avoid legislative initiatives of which one is not in
favour.” Applying the Supreme Court’s reasoning to the present
situation, I find that the rule of law cannot be used to create a fee waiver in
the context of H&C applications. This is not an appropriate application of
the rule of law.
IX. Conclusion
[118] For the above reasons, I
conclude that this application for judicial review will be dismissed.
[119] In general, decisions of the
Federal Court in matters arising under IRPA are final. However, pursuant
to s. 74(d) of IRPA, an appeal to the Federal Court of Appeal may be
made “only if, in rendering judgment, the judge certifies that a serious question
of general importance is involved and states the question”. In the recent
decision of Varela, above , the Court of Appeal emphasized that any
question certified must meet certain criteria:
·
The
question must be a serious question of general importance.
·
The
question must arise from the issues in the case and not the judge’s reasons.
·
A serious
question is one that is dispositive of the appeal.
·
The
reference in s. 74(d) to “a serious question” means that a single case will
raise more than one question only as an exception to the rule that only “a”
question may be certified
[120] In this case, there was more
than one issue raised. Had I found in favour of the Applicant on any one of the
issues, I would have allowed the application for judicial review. Accordingly,
each of the issues raises a question that could be dispositive of an appeal.
Further, given the number of in-Canada H&C applications that are made each
year and the far-reaching impacts of a decision in favour of the Applicant on
any of the issues, each of the issues is a “serious question of general
importance”.
[121] All of the parties have
proposed questions for certification that were similar in substance. Having
reviewed the proposed questions, the following are the questions that I will
certify:
1.
On a
proper statutory interpretation of s. 25(1) of IRPA, is the Minister
obliged to consider a request to grant an exemption from the requirement to pay
the H&C processing fee, otherwise required under s. 307 of the IRP
Regulations?
2.
Does the
failure of the government (through the GIC) to enact regulations permitting the
waiver of fees for foreign nationals living in poverty who wish to make an
in-Canada application for permanent resident status pursuant to s. 25(1) of IRPA
infringe the Applicant’s rights under s. 7 or s.15 of the Charter?
3.
Is the
failure of the government (through the GIC) to enact regulations permitting the
waiver of fees for foreign nationals living in poverty who wish to make an in‑Canada
application for permanent resident status pursuant to s. 25(1) of IRPA contrary
to either the rule of law or the common law constitutional right of access to
the Courts?
JUDGMENT
THIS
COURT ORDERS AND ADJUDGES that:
1.
The
Application for judicial review is dismissed; and
2.
The
following questions are certified:
a)
On a
proper statutory interpretation of s. 25(1) of IRPA, is the Minister
obliged to consider a request to grant an exemption from the requirement to pay
the H&C processing fee, otherwise required under s. 307 of the IRP
Regulations?
b)
Does the
failure of the government (through the GIC) to enact regulations permitting the
waiver of fees for foreign nationals living in poverty who wish to make an
in-Canada application for permanent resident status pursuant to s. 25(1) of IRPA
infringe the Applicant’s rights under s. 7 or s.15 of the Charter?
c)
Is the
failure of the government (through the GIC) to enact regulations permitting the
waiver of fees for foreign nationals living in poverty who wish to make an in‑Canada
application for permanent resident status pursuant to s. 25(1) of IRPA
contrary to either the rule of law or the common law constitutional right of
access to the Courts?
“Judith
A. Snider”
APPENDIX “A”
Immigration
and Refugee Protection Act, S.C. 2001, c, 27
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Loi sur l’immigration et la protection des réfugiés, L.C. 2001, c.
27
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Application before entering Canada
11. (1) A foreign national must,
before entering Canada, apply to an officer for a visa or for any other
document required by the regulations. The visa or document may be issued if,
following an examination, the officer is satisfied that the foreign national
is not inadmissible and meets the requirements of this Act.
Humanitarian and compassionate considerations
25. (1) The Minister shall, upon
request of a foreign national in Canada who is inadmissible or who does not
meet the requirements of this Act, and may, on the Minister’s own initiative
or on request of a foreign national outside Canada, examine the circumstances
concerning the foreign national and may grant the foreign national permanent
resident status or an exemption from any applicable criteria or obligation of
this Act if the Minister is of the opinion that it is justified by
humanitarian and compassionate considerations relating to them, taking into
account the best interests of a child directly affected, or by public policy
considerations.
Fees
Regulations
89. The regulations may govern fees for services provided in the
administration of this Act, and cases in which fees may be waived by the
Minister or otherwise, individually or by class.
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Visa et documents
11. (1) L’étranger doit, préalablement à son entrée au Canada, demander à l’agent les visa et
autres documents requis par règlement. L’agent peut les délivrer sur preuve,
à la suite d’un contrôle, que l’étranger n’est pas interdit de territoire et
se conforme à la présente loi.
Séjour pour motif d’ordre humanitaire
25. (1) Le ministre doit, sur demande d’un étranger se trouvant au
Canada qui est interdit de territoire ou qui ne se conforme pas à la présente
loi, et peut, de sa propre initiative ou sur demande d’un étranger se
trouvant hors du Canada, étudier le cas de cet étranger et peut lui octroyer
le statut de résident permanent ou lever tout ou partie des critères et
obligations applicables, s’il estime que des circonstances d’ordre
humanitaire relatives à l’étranger — compte tenu de l’intérêt supérieur de
l’enfant directement touché — ou l’intérêt public le justifient.
Frais
Règlement
89. Les règlements peuvent prévoir les frais pour les services offerts
dans la mise en oeuvre de la présente loi, ainsi que les cas de dispense,
individuellement ou par catégorie, de paiement de ces frais.
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Immigration and Refugee Protection
Regulations, SOR/2002-227
Form and content of application
10. (1) Subject to paragraphs 28(b) to (d),
an application under these Regulations shall
. . .
(d)
be accompanied by evidence of payment of the applicable fee, if any, set out
in these Regulations;
Division 5
Humanitarian and Compassionate
Considerations
Request
66. A request made by a foreign
national under subsection 25(1) of the Act must be made as an application in
writing accompanied by an application to remain in Canada as a permanent
resident or, in the case of a foreign national outside Canada, an application for a
permanent resident visa.
Application under Section 25 of the Act
Fees
307. The following fees are payable for processing an
application made in accordance with section 66 if no fees are payable in
respect of the same applicant for processing an application to remain in
Canada as a permanent resident or an application for a permanent resident
visa:
(a) in the case of a principal applicant, $550;
(b) in the case of a family member of the
principal applicant who is 22 years of age or older or is less than 22 years
of age and is a spouse or common-law partner, $550; and
(c)
in the case of a family member of the principal applicant who is less than 22
years of age and is not a spouse or common-law partner, $150.
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Règlement
sur l’immigration et la protection des réfugiés, DORS/2002-227
Forme et contenu de la demande
10. (1) Sous réserve des alinéas 28b) à d),
toute demande au titre du présent règlement :
. . .
d) est accompagnée d’un récépissé de paiement des droits
applicables prévus par le présent règlement;
Section 5
Circonstances d’ordre humanitaire
Demande
66. La demande faite par un
étranger en vertu du paragraphe 25(1) de la Loi doit être faite par écrit et
accompagnée d’une demande de séjour à titre de résident permanent ou, dans le
cas de l’étranger qui se trouve hors du Canada, d’une demande de visa de
résident permanent.
Demande en vertu de l’article 25 de la Loi
Frais
307. Les frais ci-après sont à payer pour l’examen de la
demande faite aux termes de l’article 66 si aucuns frais ne sont par ailleurs
à payer à l’égard du même demandeur pour l’examen d’une demande de séjour au
Canada à titre de résident permanent ou d’une demande de visa de résident
permanent :
a) dans le cas du demandeur principal, 550 $;
b) dans le cas d’un membre de la famille du demandeur
principal qui est âgé de vingt-deux ans ou plus ou qui, s’il est âgé de moins
de vingt-deux ans, est un époux ou conjoint de fait, 550 $;
c) dans le cas d’un membre de la famille du demandeur
principal qui est âgé de moins de vingt-deux ans et n’est pas un époux ou
conjoint de fait, 150 $.
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