Date: 20110623
Docket: T-1203-10
Citation: 2011 FC 764
Ottawa, Ontario,
June 23, 2011
PRESENT: The Honourable Mr. Justice Russell
BETWEEN:
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DAVE RUSSO
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Applicant
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and
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THE MINISTER OF TRANSPORT,
INFRASTRUCTURE AND COMMUNITIES
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Respondent
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REASONS FOR JUDGMENT AND
JUDGMENT
[1]
This
is an application for judicial review of the 24 June 2010 decision (Decision)
of a delegate of the Minister of Transport, Infrastructure and Communities (Minister’s
Delegate) to follow the recommendation of the Transport Canada Advisory Body (Advisory
Body) to refuse the Applicant’s application for security clearance pursuant to
section 509(c) of the Marine Transportation Security Regulations,
SOR/2004-144 (Regulations).
BACKGROUND
[2]
The
Applicant has been employed as a longshoreman at the Port of Vancouver Fraser since 2000. At present,
he reports on a daily basis to the dispatch hall of the British Columbia
Maritime Employers Association (BCMEA), where he is dispatched, based on
seniority and ratings, to the worksites of the BCMEA’s member companies. It is
not unusual for a longshoreman to be assigned to a different worksite each day,
with the exception of those who have regular workforce positions (RWFs). Those
with RWFs report directly to the same worksite each day for the duration of
that discrete job.
[3]
The
Applicant worked in an RWF for 18 months, beginning in November 2007. His
supervisors described him as a disciplined and “diligent” worker with a “very
good” attitude. In May 2009, the Applicant was displaced from his RWF by a
senior employee. He again began reporting to the dispatch hall. As the work
assignments include work at cruise ship terminals, which can be accessed only
by those with security clearance, and as the Applicant wished to be able to
participate in all of the employment opportunities available to him at the Port
of Vancouver Fraser, he applied for security clearance on 14 April 2009.
[4]
The
Applicant has a criminal record that includes convictions for dangerous
operation of a motor vehicle, possession of property obtained by crime under
$1000, obstructing a peace officer and producing a Schedule II substance
(namely, marijuana). This has been a consistent impediment to the Applicant’s
request for security clearance.
[5]
By
letter dated 25 June 2009, the Director of Security Screening Programs at Transport
Canada informed the Applicant
that “adverse criminal information” had been made available that raised doubts
as to his suitability to obtain security clearance. The letter listed the
Applicant’s above-noted convictions and advised him that his application would
be reviewed by the Advisory Body, which would then make a recommendation to the
Minister. The Applicant was “encouraged to provide a written statement,
outlining the circumstances surrounding the … convictions, for consideration by
the Advisory Body.”
[6]
On 8
July 2009 the Applicant, through counsel, sent a written statement to the
Minister, outlining the circumstances of his criminal convictions. He stated
that his convictions for dangerous operation of a motor vehicle, possession of
property obtained by crime under $1000 and obstructing a peace officer all
occurred in the early 1990s and were related to his choosing to drive without a
licence and insurance. He stated that, following his conviction for producing marijuana,
for which he was charged in 2004 and received a 20-month conditional sentence
in 2008, he turned his life around, due in large part to the birth of his two
children. The Applicant argued that his past convictions were unrelated to
security matters.
[7]
By
letter dated 12 August 2009, the Director of Security Screening Programs at
Transport Canada informed the Applicant that
the Advisory Body had unanimously recommended that his application for security
clearance be refused “based on the applicant’s four (4) criminal convictions
including one (1) recent drug-related conviction for Produce (sic) a
Schedule II Substance.” The letter further stated:
The
information was sufficient to determine that there is (sic) reasonable
grounds to suspect that the applicant is in a position in which there is a risk
that he may be suborned to commit an act or to assist or abet any person to
commit an act that might constitute a risk to marine transportation security.
His written explanation and supporting document did not provide sufficient
information that would compel the Advisory Body to recommend issuing a
clearance.
[8]
By
letter dated 16 September 2009 and by application dated 18 September 2009, the Applicant
applied to Transport Canada’s Office of
Reconsideration for a reconsideration of the 12 August 2009 refusal. The Office
of Reconsideration advised the Applicant by letter dated 22 September 2009 that
it would assign his file to an independent security advisor.
[9]
On 20
August, 16 October, 22 October and 30 October, all of 2009, Applicant’s counsel
asked various parties attached to Transport Canada to provide the documents and
information that informed their assessment of the Applicant’s security clearance
application so that the Applicant might understand the basis of the refusal and
respond to it. The Director of Security Screening Programs, among others,
advised counsel to make a formal request under the Privacy Act to
Transport Canada’s Access to Information
and Privacy Coordinator. Eventually, on 4 January 2010, the Applicant filed
such a request; it was received by Transport Canada but the Applicant did not receive the
requested documents until March 2011.
[10]
Transport
Canada tasked two independent
security advisors (Advisors) to review the Applicant’s file. On 9 November
2009, they met with the Applicant and his counsel. According to the transcript
of that interview, the Advisors stated that the “decision [to refuse the
Applicant security clearance] was based on the criminal record” and based
“mostly on the last conviction,” namely the 2008 conviction for producing a Schedule
II substance. They also stated that their role was to evaluate how this
conviction ties in with marine security and port security in Vancouver.
[11]
During
the interview, the Applicant explained the circumstances surrounding his
convictions. Regarding the conviction for product of a Schedule II substance,
he explained that he had started growing marijuana for his personal use and to
sell it but that he did not make much profit from sales. He described it as a
stupid decision but admitted that he still smokes about $100 worth of marijuana
cigarettes each week. When reminded that one of the conditions of his sentence
is to “keep the peace and be of good behaviour,” the Applicant told the
Advisors that, in his view, this did not prevent him from smoking marijuana or
from buying it from suppliers in his neighbourhood.
[12]
On
17 November 2009, the Advisors interviewed the Applicant’s probation officer by
telephone. The probation officer was aware of the Applicant’s occasional use of
marijuana but was unable to take action because the terms of the Applicant’s
sentence did not include a specific condition regarding drug use. The probation
officer described the Applicant as having “a great deal of respect toward the
criminal justice system,” and he opined that the Applicant’s risk of
reoffending in the production of marijuana was low.
[13]
On 9
December 2009 the Advisors submitted to the Office of Reconsideration a Refusal
of Security Clearance Review Report (Report). In it, the Advisors state that
the Applicant continues to participate in “the trafficking process by buying
from suppliers in his neighbourhood and on the street.” They also observe that
the Applicant’s interpretation of the term of his conditional sentence to “keep
[the] peace and be of good behaviour” does not include discontinuing the use
and purchase of marijuana. They recommended that the Advisory Body’s initial
decision to refuse the Applicant’s application for security clearance be
maintained, having concluded that:
This
situation constitutes in our view reasonable grounds to suspect that the
applicant is in a position in which there is a risk that they be suborned to
commit an act or to assist or abet any person to commit an act that might
constitute a risk to marine transportation security. We do not concur with the
applicant’s probation officer’s statement that Mr. Russo shows a great deal of
respect toward the criminal justice system. In doing so, we disagree with the
applicant’s argument.
[14]
On
12 April 2010, the Office of Reconsideration forwarded this Report to the
Minister’s Delegate. By letter dated 24 June 2010, the Minister’s Delegate
notified the Applicant that the Minister had decided to maintain the refusal of
his security clearance. This is the Decision under review.
DECISION UNDER REVIEW
[15]
The 24
June 2010 Decision refusing the Applicant’s application for reconsideration of
the refusal to grant him security clearance is brief. The Minister’s Delegate
states that the Minister received the Report of the independent security
advisors and that, based on all of the available information, the Applicant’s request
was refused. The Minister’s Delegate observed that there was “verifiable,
reliable, and sufficient” information available to conclude that there were
“reasonable grounds to suspect that the Applicant met the criterion of
paragraph 509(c) of the Regulations,” namely that he was “in a position in
which there is a risk that he would be suborned to commit an act or to assist
or abet any person to commit an act that might constitute a risk to marine
transportation.”
ISSUES
[16]
The
Applicant raises the following issues:
i.
Whether
the Decision was based on information that was irrelevant and that did not
support a conclusion that the Applicant may be suborned to commit an act that
might constitute a risk to marine transportation security; and
ii. Whether the Minister
breached the principles of procedural fairness by failing to provide the
Applicant with adequate notice of the case against him and adequate reasons for
refusing his application for security clearance.
STATUTORY PROVISIONS
[17]
The
following provisions of the Marine Transportation Security Act, S.C.
1994, c. 40 (Act), are applicable in this application:
Regulations respecting security
5. (1) The Governor in Council may make regulations
respecting the security of marine transportation, including regulations
(a) for preventing unlawful
interference with marine transportation and ensuring that appropriate action
is taken where that interference occurs or could occur;
(b) requiring or authorizing
screening for the purpose of protecting persons, goods, vessels and marine
facilities;
(c) respecting the
establishment of restricted areas; …
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Règlements en matière de sûreté
5. (1) Le
gouverneur en conseil peut, par règlement, régir la sûreté du transport
maritime et notamment :
a) viser à prévenir les atteintes illicites au transport
maritime et, lorsque de telles atteintes surviennent ou risquent de survenir,
faire en sorte que des mesures efficaces soient prises pour y parer;
b) exiger ou autoriser un contrôle pour la sécurité des
personnes, des biens, des bâtiments et des installations maritimes;
c) régir l'établissement de zones réglementées; ….
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[18]
The
following provisions of the Regulations are applicable in this application:
Checks and Verifications
508. On receipt of a fully completed application for
a security clearance, the Minister shall conduct the following checks and
verifications for the purpose of assessing whether an applicant poses a risk
to the security of marine transportation:
(a) a criminal record check;
(b) a check of the relevant files of law
enforcement agencies, including intelligence gathered for law enforcement
purposes;
(c) a Canadian Security Intelligence Service
indices check and, if necessary, a Canadian Security Intelligence Service
security assessment; and
(d) a check of the applicant’s immigration and
citizenship status.
Minister’s
Decision
509. The Minister may grant a security clearance if,
in the opinion of the Minister, the information provided by the applicant and
that resulting from the checks and verifications is verifiable and reliable
and is sufficient for the Minister to determine, by an evaluation of the
following factors, to what extent the applicant poses a risk to the security
of marine transportation:
(a) the relevance of any criminal convictions to
the security of marine transportation, including a consideration of the type,
circumstances and seriousness of the offence, the number and frequency of
convictions, the length of time between offences, the date of the last
offence and the sentence or disposition;
(b) whether it is known or there are reasonable
grounds to suspect that the applicant
(i) is or has been involved in, or contributes or has
contributed to, activities directed toward or in support of the misuse of the
transportation infrastructure to commit criminal offences or the use of acts
of violence against persons or property, taking into account the relevance of
those activities to the security of marine transportation,
(ii) is or has been a member of a terrorist group within
the meaning of subsection 83.01(1) of the Criminal Code, or is or has
been involved in, or contributes or has contributed to, the activities of
such a group,
(iii) is or has been a member of a criminal organization
as defined in subsection 467.1(1) of the Criminal Code, or
participates or has participated in, or contributes or has contributed to,
the activities of such a group as referred to in subsection 467.11(1) of the Criminal
Code taking into account the relevance of these factors to the security
of marine transportation,
(iv) is or has been a member of an organization that is
known to be involved in or to contribute to — or in respect of which there
are reasonable grounds to suspect involvement in or contribution to —
activities directed toward or in support of the threat of or the use of, acts
of violence against persons or property, or is or has been involved in, or is
contributing to or has contributed to, the activities of such a group, taking
into account the relevance of those factors to the security of marine
transportation, or
(v) is or has been associated with an individual who is
known to be involved in or to contribute to — or in respect of whom there are
reasonable grounds to suspect involvement in or contribution to — activities
referred to in subparagraph (i), or is a member of an organization or group
referred to in any of subparagraphs (ii) to (iv), taking into account the
relevance of those factors to the security of marine transportation;
(c) whether there are reasonable grounds to
suspect that the applicant is in a position in which there is a risk that
they be suborned to commit an act or to assist or abet any person to commit
an act that might constitute a risk to marine transportation security;
(d) whether the applicant has had a restricted
area pass for a marine facility, port or aerodrome removed for cause; and
(e) whether the applicant has filed fraudulent,
false or misleading information relating to their application for a security
clearance.
[…]
511. (1) If the Minister intends to refuse to grant a security clearance,
the Minister shall advise the applicant in writing to that effect.
(2) The
notice shall set out the basis for the Minister’s intention and fix a period
of time for the applicant to make written representations to the Minister,
which period of time shall start on the day on which the notice is served or
sent and shall be not less than 20 days from that day.
(3) The
Minister shall not refuse to grant a security clearance until the written
representations have been received and considered or before the period of
time fixed in the notice has expired, whichever comes first. The Minister
shall advise the applicant in writing of any refusal.
[…]
Reconsideration
517. (1) An applicant or a holder may request that the Minister reconsider
a decision to refuse to grant or to cancel a security clearance within 30
days after the day of the service or sending of the notice advising them of
the decision.
(2) The
request shall be in writing and shall set out the following:
(a) the decision that is the subject of the
request;
(b) the grounds for the request, including any new
information that the applicant or holder wishes the Minister to consider; and
(c) the name, address, and telephone and facsimile
numbers of the applicant or holder.
(3) On
receipt of a request made in accordance with this section, the Minister, in
order to determine the matter in a fair, informal and expeditious manner,
shall give the applicant or holder
(a) where the situation warrants, the opportunity
to make representations orally or in any other manner; and
(b) in any other case, a reasonable opportunity to
make written representations.
(4) After
representations have been made or a reasonable opportunity to do so has been
provided, the Minister shall reconsider the decision in accordance with
section 509 and shall subsequently confirm or change the decision.
(5) The
Minister may engage the services of persons with appropriate expertise in
security matters to advise the Minister.
(6) The
Minister shall advise the applicant or holder in writing of the decision made
following the reconsideration.
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Vérifications
508. Sur réception d’une demande d’habilitation de
sécurité dûment remplie, le ministre effectue les vérifications ci-après pour
établir si le demandeur ne pose pas de risque pour la sûreté du transport
maritime :
a)
une vérification pour savoir s’il a un casier judiciaire;
b)
une vérification des dossiers pertinents des organismes chargés de faire
respecter la Loi, y compris les renseignements recueillis dans le cadre de
l’application de la Loi;
c)
une vérification des fichiers du Service canadien du renseignement de
sécurité et, au besoin, une évaluation de sécurité effectuée par le Service;
d)
une vérification de son statut d’immigrant et de citoyen.
Décision
du ministre
509. Le ministre peut accorder une habilitation de
sécurité si, de l’avis du ministre, les renseignements fournis par le
demandeur et ceux obtenus par les vérifications sont vérifiables et fiables
et s’ils sont suffisants pour lui permettre d’établir, par une évaluation des
facteurs ci-après, dans quelle mesure le demandeur pose un risque pour la
sûreté du transport maritime :
a)
la pertinence de toute condamnation criminelle du demandeur par rapport à la
sûreté du transport maritime, y compris la prise en compte du type, de la
gravité et des circonstances de l’infraction, le nombre et la fréquence des
condamnations, le temps écoulé entre les infractions, la date de la dernière
infraction et la peine ou la décision;
b)
s’il est connu ou qu’il y a des motifs raisonnables de soupçonner que le
demandeur :
(i) participe ou contribue, ou a participé ou a
contribué, à des activités visant ou soutenant une utilisation malveillante
de l’infrastructure de transport afin de commettre des crimes ou l’exécution
d’actes de violence contre des personnes ou des biens et la pertinence de ces
activités, compte tenu de la pertinence de ces facteurs par rapport à la
sûreté du transport maritime,
(ii) est ou a été membre d’un groupe terroriste au sens
du paragraphe 83.01(1) du Code criminel, ou participe ou contribue, ou
a participé ou a contribué, à des activités d’un tel groupe,
(iii) est ou a été membre d’une organisation criminelle
au sens du paragraphe 467.1(1) du Code criminel ou participe ou
contribue, ou a participé ou a contribué, aux activités d’un tel groupe tel
qu’il est mentionné au paragraphe 467.11(1) du Code criminel, compte
tenu de la pertinence de ces facteurs par rapport à la sûreté du transport
maritime,
(iv) est ou a été un membre d’une organisation qui est
connue pour sa participation ou sa contribution — ou à l’égard de laquelle il
y a des motifs raisonnables de soupçonner sa participation ou sa contribution
— à des activités qui visent ou favorisent la menace ou l’exécution d’actes
de violence contre des personnes ou des biens, ou participe ou contribue, ou
a participé ou a contribué, aux activités d’une telle organisation, compte
tenu de la pertinence de ces facteurs par rapport à la sûreté du transport
maritime,
(v) est ou a été associé à un individu qui est connu pour
sa participation ou sa contribution — ou à l’égard duquel il y a des motifs
raisonnables de soupçonner sa participation ou sa contribution — à des
activités visées au sous-alinéa (i), ou est membre d’un groupe ou d’une
organisation visés à l’un des sous-alinéas (ii) à (iv), compte tenu de la
pertinence de ces facteurs par rapport à la sûreté du transport maritime;
c)
s’il y a des motifs raisonnables de soupçonner que le demandeur est dans une
position où il risque d’être suborné afin de commettre un acte ou d’aider ou
d’encourager toute personne à commettre un acte qui pourrait poser un risque
pour la sûreté du transport maritime;
d)
le demandeur s’est vu retirer pour motifs valables un laissez-passer de zone
réglementée pour une installation maritime, un port ou un aérodrome;
e)
le demandeur a présenté une demande comportant des renseignements frauduleux,
faux ou trompeurs en vue d’obtenir une habilitation de sécurité.
[…]
511. (1) Le ministre avise par écrit le demandeur de
son intention de refuser d’accorder l’habilitation de sécurité.
(2) L’avis
indique les motifs de son intention et le délai dans lequel le demandeur peut
présenter par écrit au ministre des observations, lequel délai commence le
jour au cours duquel l’avis est signifié ou acheminé et ne peut être inférieur
à 20 jours suivant ce jour.
(3) Le
ministre ne peut refuser d’accorder l’habilitation de sécurité avant la
réception et la prise en considération des observations écrites ou avant que
ne soit écoulé le délai indiqué dans l’avis, selon la première de ces
éventualités à survenir. Le ministre avise par écrit le demandeur dans le cas
d’un refus.
[…]
Réexamen
517. (1) Tout demandeur ou tout titulaire peut demander au ministre de
réexaminer une décision de refuser ou d’annuler une habilitation de sécurité
dans les 30 jours suivant le jour de la signification ou de l’envoi de l’avis
l’informant de la décision.
(2) La demande
est présentée par écrit et comprend ce qui suit :
a)
la décision qui fait l’objet de la demande;
b)
les motifs de la demande, y compris tout nouveau renseignement qu’il désire
que le ministre examine;
c)
le nom, l’adresse et les numéros de téléphone et de télécopieur du demandeur
ou du titulaire.
(3) Sur
réception de la demande présentée conformément au présent article, le
ministre accorde au demandeur ou au titulaire, de manière à trancher les
questions de façon équitable, informelle et rapide, la possibilité :
a)
lorsque les circonstances le justifient, de présenter des observations
oralement ou de toute autre manière;
b)
dans tout autre cas, de lui présenter par écrit des observations.
(4) Après que
des observations ont été présentées ou que la possibilité de le faire a été
accordée, le ministre réexamine la décision conformément à l’article 509 et,
par la suite, confirme ou modifie la décision.
(5) Le ministre
peut retenir les services de personnes qui possèdent la compétence pertinente
en matière de sûreté pour le conseiller.
(6) Le ministre
avise par écrit le demandeur ou le titulaire de sa décision à la suite du
réexamen.
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STANDARD OF REVIEW
[19]
The Supreme Court of Canada in Dunsmuir v New Brunswick, 2008 SCC 9, held that a standard
of review analysis need not be conducted in every instance. Instead, where the
standard of review applicable to the particular question before the court is
well-settled by past jurisprudence, the reviewing court may adopt that standard
of review. Only where this search proves fruitless must the reviewing court
undertake a consideration of the four factors comprising the standard of review
analysis.
[20]
The
first issue concerns the Minister’s assessment of the evidence. This is within
the Minister’s area of expertise and, therefore, attracts the reasonableness
standard. See Dunsmuir, above, at paragraphs 51 and 53; and Rivet v Canada (Attorney General), 2007 FC 1175 at
paragraph 16.
[21]
When reviewing a decision on the standard of reasonableness, the
analysis will be concerned with “the existence of justification, transparency
and intelligibility within the decision-making process [and also with] whether
the decision falls within a range of possible, acceptable outcomes which are
defensible in respect of the facts and law.” See Dunsmuir, above,
at paragraph 47; and Canada (Minister of Citizenship and Immigration) v Khosa, 2009 SCC 12 at
paragraph 59. Put another way, the Court should
intervene only if the Decision was unreasonable in the sense that it falls
outside the “range of possible, acceptable outcomes which are defensible in
respect of the facts and law.”
[22]
The second
issue concerns the adequacy both of the notice provided by the Minister with
respect to the case that the Applicant had to meet and of the Minister’s
reasons for refusing the Applicant’s application for security clearance. Adequacy
of notice and adequacy of reasons are procedural fairness issues, which attract
the correctness standard. See Khosa, above, at paragraph 43; and Rivet,
above, at paragraph 16.
ARGUMENTS
The Applicant
The Decision Was Based
on Irrelevant Considerations
[23]
The
Minister’s decision to grant or refuse an application for security clearance
must be based on the factors stated in s. 509 of the Regulations, including:
the relevance of any criminal record to the security of marine transportation,
pursuant to s. 509(a); and the existence of reasonable grounds to suspect that
the applicant may be in a position to be suborned to commit an act that might
endanger marine transportation security, pursuant to s. 509(c).
[24]
The
Applicant submits that information relevant to an assessment of these factors
was ignored. The Minister did not consider the Applicant’s ten-year employment
history, which includes clean disciplinary and workplace safety records and
positive references from his supervisors. The Minister also ignored the opinion
of the Applicant’s probation officer that the Applicant was at low risk to re-offend
and that he abided by the conditions of his sentence and accepted
responsibility for his wrongdoing. (The Applicant says this even though the
record shows that the Advisors considered the opinion and explicitly said that
they disagreed with it.)
[25]
Instead,
the Applicant argues, the Minister based his Decision on an irrelevant
consideration—namely, the Applicant’s current habit of using marijuana—which
overwhelmed all other considerations. The Regulations do not direct the
Minister to investigate applicants based on their habits. In so substituting
his own view of what was an appropriate consideration, the Minister unreasonably
exercised his discretion, contrary to the finding of the Supreme Court of
Canada in Chamberlain v Surrey School District No. 36, 2002 SCC 86, at
paragraphs 56-71.
[26]
According
to s. 509(c) of the Regulations, refusal of an application for security
clearance is justified where there are “reasonable grounds” to suspect that an
applicant may be suborned to commit an act that may constitute a risk to marine
transportation security. The Applicant argues that there are no reasonable
grounds to suspect that he may be suborned. The standard of proof required to
establish reasonable grounds is “a bona fide belief in a serious possibility
based on credible evidence.” See Sicuro v Canada (Minister of
Citizenship and Immigration), 2004 FC 461, at paragraphs 36-37. In the
Decision under review, the supposed connection between the Applicant’s criminal
record and/or his current marijuana use and such a risk is never explained. It
is unjustified.
Content of the Duty of
Fairness
[27]
The
Applicant submits that the content of the duty of fairness is contextual and
dependent on: (a) the nature of the decision being made and the process
followed in making it; (b) the nature of the statutory schemes and the terms of
the statute pursuant to which the body operates; (c) the importance of the
decision to the individual affected; (d) the legitimate expectations of the
person challenging the decision; and (e) the choices of procedure made by the
agency itself. See Baker v Canada (Minister of Citizenship and Immigration), [1999] 2 SCR
817, [1999] SCJ No 39 (QL), at paragraphs 21-27. The Supreme Court of Canada
has held that “a high standard of justice is required when the right to
continue in one’s profession or employment is at stake.” See Kane v Board of
Governors of the University
of British
Columbia,
[1980] 1 S.C.R. 1105, [1980] SCJ No 32 (QL), at page 7 (QL).
[28]
Under
s. 511 of the Regulations, an applicant who has been refused security clearance
is entitled to notice, including notice of “the basis for the Minister’s
intention” and the opportunity to make written representations. The Applicant
argues that security clearance applicants are also entitled to know the case
they have to meet; to be told the facts alleged against them; to make
representations on those facts; and to be provided with reasons, especially
where the decision is important or is the final step in the application process.
See DiMartino v Canada (Minister of Transport), 2005 FC 635 at paragraph
36; Rivet, above, at paragraph 25; Baker, above, at paragraphs 24
and 43; and Clifford v Ontario Municipal Employees Retirement System, 2009 ONCA 670, at
paragraph 21. The Applicant argues that, because this Decision affects his
ability to participate fully in his employment opportunities and to support his
family, he is entitled to all of these procedural protections.
The Applicant Did Not Have
Notice of the Case to Be Met
[29]
The
Applicant submits that disclosure of relevant evidence is a “basic element of
natural justice … and, in the administrative context, procedural fairness
generally requires disclosure unless some competing interest prevails.” See 1657575
Ontario Inc. v Hamilton (City), 2008 ONCA 570,
at paragraph 25. This Court has held in the context of airport security
clearance that a refusal of the advisory body to disclose documents to the
applicant prevented him from responding to accusations in a meaningful way. See
Xavier v Canada (Attorney General and
Minister of Transport, Infrastructure and Communities), 2010 FC 147 at
paragraphs 12-15.
[30]
The
Applicant notes that, from August to October of 2009, he requested four times that
various parties attached to Transport Canada provide him with copies of the documents upon
which they were relying to refuse his security clearance application. All
parties advised him to make a formal request under the Privacy Act to
Transport Canada’s Access to Information
and Privacy Coordinator. The Applicant contends that, as the information
related to his own application, this advice was inappropriate and constitutes a
breach of procedural fairness. The Applicant argues that the Minister’s persistent
failure to disclose these documents deprived him of the opportunity to respond
to the refusal of his application in a meaningful way. See Confederation
Broadcasting (Ottawa) Ltd. v Canadian
Radio-Television Commission, [1971] S.C.R. 906, [1971] SCJ No 72 (QL) at pages 13-14 (QL).
[31]
The
25 June 2009 letter from the Director of Security Screening Programs at
Transport Canada also was deficient with
respect to notice. Although it informed the Applicant that “adverse criminal
information” was made available that raised doubts as to his suitability to obtain
security clearance, it made no reference to s. 509(c) of the Regulations, which
apparently was the regulatory provision at issue. And while the letter did
encourage the Applicant to provide a written statement outlining the
circumstances of his convictions, it did not explain how these convictions
might be relevant to marine transportation security. It also did not specify
the information that Transport Canada would require to overcome its concerns
about the Applicant’s convictions and to grant the Applicant’s request for
security clearance.
[32]
The
12 August 2009 letter informing the Applicant that the Advisory Body had
unanimously recommended refusing his application for security clearance was
similarly deficient. It did not explain why Transport Canada believed the Applicant
to be at risk of being suborned or why the application for security clearance
had been refused under s. 509(c) instead of s. 509(a). This letter was the
first communication from Transport Canada to identify the Applicant’s drug conviction as
being of particular significance to his security clearance application. It did
not indicate that the Applicant’s current drug use would adversely impact his
application for security clearance; in failing to do so, it deprived him of the
opportunity to stop using marijuana so as to increase his chances of obtaining
a clearance.
[33]
In
their 9 November 2009 interview with the Applicant, the Advisors failed to address
with him the concerns and conclusions eventually published in their 9 December
2009 Report. They did not explain to the Applicant how, as a convicted
marijuana producer and/or a current recreational user of marijuana, he
constituted a risk to the security of marine transportation. They did not
provide him with a meaningful opportunity to make submissions, as required by
the Regulations, in answer to their concerns that he was addicted to marijuana
and was a security risk. Further, they did not identify specific information that
the Applicant could supply to Transport Canada to alleviate these concerns and thereby obtain his
security clearance.
[34]
Because
he has been refused security clearance, the Applicant cannot be dispatched to
all of the areas where he could potentially work. This limits his work
opportunities and results in a loss of income. The Applicant is concerned that
his lack of security clearance will have a material impact on his ability to
support his family.
The Reasons Were
Inadequate
[35]
The
Applicant submits that, in giving reasons, a decision maker cannot simply cite
a conclusion without explaining why the conclusion was reached. See Johal v Canada (Revenue Agency), 2009 FCA 276 at
paragraph 43. Reasons must be sufficiently clear, precise and intelligible to
enable an individual to know why the decision maker decided as it did. The
Ontario Court of Appeal in Clifford, above, makes clear that reasons
must let the individual affected by a decision know why the decision was made;
the basis of the decision must be explained and the explanation must be
logically linked to the decision. The path the decision maker takes in reaching
the decision must be clear.
[36]
In
the instant case, the Minister never explained why the Applicant’s current
marijuana use was considered at all or why it led the Ministry to conclude that
there were reasonable grounds to suspect that the Applicant is at a risk of
being suborned. It is not enough that, in the Decision, the Minister states
that the Applicant’s security clearance is denied because there was “enough
information available” to conclude that there were “reasonable grounds to
suspect” that he did not meet the criteria under s. 509(c). Adequate reasons
would explain what the “sufficient information” was, what the “reasonable
grounds” were and how it all related to threats against marine security. The
supposed connection between the Applicant’s current marijuana use and the risk
that he is in a position to be suborned is not explained. There is no
explanation of a connection between either his current use of marijuana or his
criminal record and marine transportation security.
The Respondent
The Decision
Was Reasonable
[37]
The
Respondent contends that the Decision was reasonable under the circumstances,
taking into account the objectives of the legislation. With respect to security
clearance, the objective of the legislation is to reduce the risk of security
threats by preventing unlawful interference with marine transportation. The
Ministry does this by conducting background checks on marine workers who
perform certain duties or who have access to restricted areas and by granting
clearance only to those who meet the standards set out in the Act and
Regulations.
[38]
The
Applicant’s criminal record of marijuana production and his continued
association with criminals through the purchasing of marijuana from criminals are
linked to a risk that he could be suborned to commit an act that is a risk to marine
security. In Rivet, above, the applicant argued that the revocation of
his security clearance was unreasonable because his fraud conviction was unrelated
to violent crime, terrorism and the objectives of the legislation. Justice Yvon
Pinard rejected this argument, noting that a law is arbitrary only where it
bears no relation to, or is inconsistent with, the objectives at the root of
it, namely protection of the interests of society as a whole and not just those
of the applicant.
[39]
In
the case at bar, the link between the Applicant’s criminal record and his risk
to marine security is explained in the Advisors’ Report:
…
[the Applicant] still participates today in the trafficking process by buying
from suppliers in his neighbourhood and on the street. His interpretation of
this important condition of his conditional sentence [to keep the peace and be
of good behaviour] does not include quitting the use of marihuana and stop
buying from suppliers. He admitted that he did not care where or toward what
cause the money he paid went to.
This
situation constitutes in our view reasonable grounds to suspect that the
applicant is in a position in which there is a risk that they be suborned to
commit an act or to assist or abet any person to commit an act that might
constitute a risk to marine transportation security.
[40]
This
demonstrates that there is a link between the Applicant’s criminal record
(which includes marijuana cultivation and association with criminals) and the
risk that he could be suborned by criminals to commit an act that might
constitute a risk to marine security. In this case, the reasons provided by the
Minister for denying the Applicant’s security clearance application were
certainly sufficient, considering the purpose of the legislation.
The Minister’s Duty of
Fairness Was Minimal
[41]
The
Respondent argues that the Minister’s duty of fairness was minimal in the
instant case for two reasons. First, the matter does not concern a revocation
of security clearance already obtained but rather a refusal to grant clearance
in the first place. In Kahin v Canada (Minister of Transport, Infrastructure
and Communities), 2010 FC 247 at paragraphs 11-16, Justice Roger Hughes of
this Court observed that, in Motta v Canada (Attorney General) (2000),
180 FTR 292, [2000] FCJ No 27 (QL) Justice Pinard commented that a refusal to
grant security clearance does not involve the withdrawal of a person’s rights
and that, therefore, that person can have no legitimate expectation that he
will be granted clearance. Justice Hughes went on to distinguish Motta from
DiMartino and Xavier, above, the latter two being cases in which
the applicants’ security clearance was revoked, thus requiring that the
applicants be afforded an opportunity to see the evidence relating to third-party
allegations made against them and to make submissions.
[42]
The
“security clearance revocation cases” (Rivet, DiMartino and Xavier)
are relied on by the Applicant but are distinguishable for the reasons outlined
above. The Respondent argues that the instant matter, a “security clearance
refusal case,” is more similar to Kahin, above. Applying the reasoning
in Kahin, the Respondent contends that the duty of procedural fairness in
the instant case is minimal. It requires only that there be an opportunity to
be heard and a basis for the Minister’s Decision. The Respondent argues that this
duty was met.
[43]
Second,
the Applicant did not lose his job as a result of the refusal. The Applicant
may continue to report to the dispatch hall; the denial of security clearance
does not prevent him from working in any area of the port other than a
restricted area. The Applicant has cited Kane, above, which involved a
disciplinary suspension, and DiMartino, Xavier and Rivet,
all of which involved loss of the applicants’ employment following revocation
of their security clearance. The duty of procedural fairness owed to those
applicants was greater than that owed to the Applicant in the instant case,
where only his income has been affected and by an indeterminate degree.
The Minister’s Duty of
Fairness Was Met; the Reasons Were Adequate
[44]
The
Respondent further argues that the Minister fulfilled the duty of fairness as
set down in the Regulations. Subsection 511(2) requires the Minister to provide
an applicant with the basis of the decision to refuse the security clearance
application. By letter dated 25 June 2009, the Director of Security Screening enumerated
the Applicant’s four convictions and stated that “during the verification
process adverse criminal information was made available that raises doubts as
to your suitability to obtain a clearance.” On 8 July 2009 the Applicant,
through counsel, submitted a written statement, outlining the circumstances of
his criminal convictions.
[45]
Following
the 12 August 2009 refusal, the Minister agreed to reconsider the Applicant’s
application. The Applicant, with counsel, was subsequently interviewed by two independent
security advisors and again had an opportunity to make submissions, both
written and oral. The Minister’s duty, pursuant to s. 517(6) of the
Regulations, was to advise the Applicant of the Decisions made on
reconsideration. The Minister did so on 24 June 2010. That letter indicated
that there were reasonable grounds to suspect that the Applicant met the
criteria set out in s. 509(c) of the Regulations and, therefore, the
application was refused. The Respondent submits that these reasons were
certainly adequate under the circumstances.
Document Disclosure Is
Irrelevant
[46]
The
Respondent submits that, contrary the Applicant’s arguments, this case is not
about document disclosure. The Applicant was informed repeatedly that the only
document that was important to the initial decision was the Applicant’s criminal
record. Unlike the situation in DiMartino and Xavier, above, the
Applicant had access to this document all along. Moreover, the Regulations
require only that the Applicant be provided with the basis for the Decision;
full document disclosure is not required.
[47]
In
the reconsideration process, the Report to Crown Counsel regarding the
Applicant’s marijuana offence and the related conditions of his sentence were
also important. Both were provided by the Applicant. Therefore, the Applicant
had access at all times to the only important documents referred to in his
case.
ANALYSIS
Adequate Notice of Case Against Him
[48]
The
Applicant asserts that he was not provided with the information that was
considered in the initial denial of his application and that he was not told
what the “reasonable grounds” were to suspect that he is at risk of being
suborned. He says, therefore, that he had no meaningful opportunity to meet the
case against him.
[49]
The
procedural fairness issues raised by the Applicant need to be considered in the
full context of his application for security clearance. This is because, as the
Supreme Court of Canada made clear in Baker, above, the extent of the
duty of procedural fairness that is owed in particular cases is variable and
context specific and all relevant circumstances must be considered. Factors to
be considered include: (a) the nature of the decision being made and the
process followed in making it; (b) the nature of the statutory schemes and the
terms of the statute to which the body operates; (c) the importance of the
decision to the individual affected; (d) the legitimate expectations of the
person challenging the decision; and (e) the choices of procedure made by the
agency itself.
[50]
The
Applicant was informed of the basis of the Minister’s intention by letter dated
25 June 2009 from the Director of Security Screening Programs, which stated
that “during the verification process adverse criminal information was made
available that raises doubts as to your suitability to obtain a clearance,” and
the Applicant’s four convictions were specifically cited.
[51]
Following
that, the Applicant submitted written representations on 8 July 2009 to the Director
of Security Screening. These representations were considered by the Minister
prior to rendering the decision to refuse the security clearance.
[52]
The
Applicant was informed in the letter dated 12 August 2009 that his four
convictions, including the recent drug-related convictions, were sufficient to
determine that there were reasonable grounds to suspect that he was in a
position in which there was a risk that he may be suborned to commit an act or
assist or abet any person to commit an act that might constitute a risk to marine
transportation security. He was also informed that his written explanation and
supporting documents did not provide sufficient information that would compel
the Advisory Body to recommend issuing a clearance.
[53]
On
reconsideration, the Applicant was represented by counsel and was able to make
further written submissions. He was also provided with an opportunity to make
oral representations to the independent Advisors to the Office of
Reconsideration and to respond to any concerns that they raised.
[54]
Following
that, the Applicant was advised of the reconsideration decision.
[55]
The
Applicant was also provided with the basis for denying his security clearance
by letter dated 24 June 2010 from the Deputy Minister that indicated that there
was enough information available to conclude that there were reasonable grounds
to suspect that the Applicant met the criteria of paragraph 509(c) of the Regulations.
[56]
In
my view, the record shows that the Applicant was made fully aware that his
criminal record raised concerns regarding whether he was a security risk. He
was given every opportunity to explain why this record should not be considered
as a threat to marine security. There was no failure to disclose documentation
because the only documents relied upon by the decision maker were those related
to the Applicant’s criminal record, of which he was fully aware. The Applicant
appears to be suggesting that he should have been pre-warned of concerns that
arose as part of the investigative process so that he could have been in a
position to refute conclusions that were drawn only after the investigation
took place and all of the information was assessed. This is not a procedural
fairness issue in my view. The Applicant was fully aware of what a security
check involved, and he was even told at the interview with the Security Advisors
what the purpose of the process was and that there were concerns related to his
criminal record. The Applicant gave a full and forthright account on the issue
of his conviction for producing a Schedule II substance and his continued
involvement with marijuana use.
[57]
As
the Respondent points out, this Court has assessed the content of the duty of
procedural fairness in the specific context of applications for security clearances
on a number of occasions. These decisions demonstrate that the level of
procedural fairness required with respect to the denial of an initial
application for a clearance, as opposed to a revocation, is minimal.
[58]
In Kahin,
above, a recent decision of this Court involving the denial of an application
for a security clearance in an airport, Justice Hughes considered a number of
relevant cases and noted as follows:
11 There are a
surprising number of cases dealing with persons employed at airport facilities
and security clearance issues. I suspect that is because letters refusing
clearance conclude, as the letter here of June 11, 2009 does, with an
invitation to seek judicial review in the Court. Those cases, as referred to me
by counsel, are:
Irani v. Canada
(Attorney General), 2006FC 816
Singh v. Canada
(Attorney General), 2006 FC 812
Motta v. Canada (Attorney
General) (2000), 180 F.T.R. 292
DiMartino v. Canada
(Minister of Transport), 2006 FC 635
Xavier v. Canada
(Attorney General), 2010 FC 147
12 Counsel for the
parties before me agreed that since the issue is procedural fairness, the
appropriate standard of review is correctness.
13 The present case
is similar to that of Motta. The Applicant here has only been employed, indeed only in Canada, for a few months and has not yet received any security
clearance that would enable him to continue his employment at the airport.
Justice Pinard in Motta
at paragraph 13 described the procedural fairness to be afforded in such
circumstances as minimal:
[13] In the case at bar, we
are dealing with a simple application for clearance or a permit made by a person
who has no existing right to that clearance or permit and is not accused of
anything. As the Minister’s refusal to grant access clearance does not involve
the withdrawal of any of the plaintiff's rights, the latter can have no
legitimate expectation that he will be granted clearance (see Peter G. White
Management Ltd. v. Canada (Minister of Canadian Heritage) et al. 1997
CanLII 5142 (F.C.), (1997), 132 F.T.R. 89, and Cardinal v. Alberta
(Minister of Forestry, Lands and Wildlife),
December 23, 1988, Edmonton 8303-04015, Alta. Q.B.) In
the circumstances, therefore, I consider that the requirements imposed by the
duty to act fairly are minimal and that, after allowing the plaintiff to submit
his application in writing as he did, the Minister only had to render a
decision that was not based on an erroneous finding of fact made in a perverse
or capricious manner or without regard for the material before him. As no
evidence was submitted that the decision duly made by the Minister pursuant to
the powers conferred on him by the Act and Regulations was without basis, this
Court's intervention is not warranted.
14 A similar finding
of minimal requirements was made in Irani (para. 21) and Singh (para. 20).
15 DiMartino and Xavier present a different set of
circumstances. In those cases a security clearance was revoked on the basis of
police reports of criminal activity. In those cases the Court required that the
individual be afforded an opportunity to see the case against him and make
submissions because the allegations as to impropriety came from third persons.
16 In
the present case, the decision was based on information and documents submitted
by the Applicant. The Applicant had not yet been given security clearance and
had been working at the airport only a few months. I find this case to be
similar to the Motta group of cases. Only minimal procedural fairness needs to be
extended. I find the letter of June 18, 2008, to be sufficient in that regard.
[59]
Although
the Applicant attempts to suggest otherwise, it is my view that in this case the
Applicant’s security clearance was not revoked but was denied in the first
instance as in the “Motta group of cases.” It is true that, in the
present case, the Applicant has been employed as a longshoremen since 2000, but
the security clearance process is of fairly recent origin and the Applicant,
like anyone else who wants to work on cruise ships, was obliged to apply for a
clearance. No one could have a legitimate expectation that security clearance
would be granted merely as a consequence of past work at the Port of Vancouver. Consequently,
the level of procedural fairness owed to the Applicant was minimal under the
circumstances and required only that the Applicant, like everyone else who
wanted clearance, be given an opportunity to be heard and that there be a basis
for the Minister’s decision. It is my view that this level of procedural
fairness was met in the instant case. The Applicant says that the present case
involves the revocation of his right to work on cruise ships and the various
benefits associated with that right. In my view, this is not an accurate
characterization of what occurred. The new regulatory scheme for security
clearance required everyone who wanted to work on cruise ships to apply for and
obtain the requisite security clearance. I have not been asked to review the
decision to implement the new scheme in this application. It was that decision,
if any, that removed any right of any longshoreman to work on cruise ships
without security clearance. The new regulations left the Applicant in
the same position as anyone else who wanted security clearance: he had to apply
for it.
[60]
In
my view, the Applicant’s case is distinguishable from DiMartino and
Xavier, which involved a revocation of the applicants’ clearance and
allegations against the applicants in the form of third-party information, which
was relied upon by the decision maker and which the applicants were not
provided an opportunity to challenge. In the present case, the Applicant was
provided with an opportunity to make submissions regarding the information
relied upon by the decision maker prior to a decision being rendered. This
information was his criminal record and recent drug-related conviction, and the
risk that he could pose to marine security.
[61]
In Rivet,
above, Justice Pinard found that the fact that the applicant had received
notice of the Advisory Board’s investigation and that he was invited to make
representations before the decision was made meant that he knew both the case
that he had to meet and the scope of the investigation. Justine Pinard found
that procedural fairness had been met in that case.
[62]
Similarly,
the Applicant in the present case was provided with information that his four
criminal convictions raised doubts as to his suitability to obtain a clearance.
On reconsideration, the Applicant was permitted to make submissions after being
informed that those convictions, including his recent drug-related conviction,
were sufficient to determine that there were reasonable grounds to suspect that
the Applicant may be suborned to commit an act, or to assist any person to
commit an act, that might constitute a risk to marine transportation security.
He was also informed that his written explanation and supporting document did
not provide sufficient information that would compel the Advisory Body to
recommend issuing a clearance.
[63]
Consequently,
it is my view that the Applicant knew the case he had to meet and that the
procedural fairness requirements were satisfied in this case.
[64]
The
Applicant also complains about insufficient document disclosure. The document important
to the Decision of the Minister to deny the application for a clearance was the
Applicant’s criminal record. The Applicant had access to this documentation all
along. The Applicant was informed repeatedly that the issue of concern was his
criminal record. The Applicant knows his own criminal record.
[65]
In
post-hearing written submissions based upon additional documentation that the
Applicant acquired through the Privacy Act application, the Applicant
argues that the documents make no mention of potential subornment and focus
exclusively on his criminal convictions. In addition, he says that the Decision
was “made on the basis of a moral judgment about the proximity of Mr. Russo’s
activities to his wife’s pregnancy” and that this is “unreasonable and outside
of the statutory mandate of the Regulations.” He also argues that the
“documents also enforce Mr. Russo’s view that the issue of subornment was never
considered by Transport Canada.”
[66]
I do
not find these arguments convincing. For reasons already given, it is my view
that the Applicant was made fully aware of the basis for the risk his criminal
activities posed to security, was given every opportunity to present whatever
materials and arguments he wanted to show that he did not pose such a risk, and
was considered a security risk because of the reasons in the letter from the
Minister dated 12 August 2009 which was based upon the Advisory Body Record of
Recommendation dated 22 July 2009, which was item 9 in the Rule 318 certificate
that was disclosed to the Applicant. Quite apart from admissibility issues
concerning the new documentation, it is my view that there is nothing in the
documents that makes any difference to the issues raised by the Applicant in
this judicial review.
[67]
Unlike
the situation in DiMartino and Xavier, the Decision in this case
was not based upon third-party information regarding criminal activity that the
applicant had not been given a chance to challenge prior to a decision to
revoke his clearance. It was based upon various convictions, including a recent
one, and the Applicant had already had a chance to challenge his criminal
charges prior to his convictions. In the present case, the Applicant simply
disagrees that his criminal convictions should give rise to a security concern.
He professes not to see the connection between his criminal activities
involving marijuana and marine security. However, it is clear to me from the
record that the Applicant was well aware that this was a concern. In fact, at
the interview, the Applicant’s marijuana activities were raised with him and he
had every opportunity to provide his views as to why his criminal activities
involving marijuana should not give rise to a security concern. Just because
the Applicant’s views, and those of his probation officer, were not accepted
does not mean that the Decision was unreasonable or that a breach of procedural
fairness occurred.
[68]
The
Report to Crown Counsel in relation to the Applicant’s drug-related offence and
the conditions attached to his conditional sentence in relation to that
conviction were the two additional documents that were important to the
Advisor’s Report and the Minister’s Decision. Both were provided to counsel for
the Applicant at the time of his interview. Consequently, the Applicant had
access at all times to the only important documents referred to in his case.
[69]
The
procedural fairness requirements in respect of the Applicant were also low
because he did not lose his job as a result of the refusal of his clearance.
[70]
As
the Respondent points out, the Applicant’s materials indicate that he worked
from 2000 to 2007 out of the dispatch hall and then had a regular workforce
position from November 2007 to May 2009. He did not try to obtain a clearance under
the new regulatory scheme until 14 April 2009. Only since May 2009 has he had
to report to the dispatch hall again as a result of someone with greater
seniority taking his regular workforce position.
[71]
The
Applicant may continue to report to the dispatch hall. The denial of his clearance
does not prevent him from working in any area of the port other than a
restricted area. This is not a situation that requires a high level of
procedural fairness. The Applicant has not lost his employment, even though he
feels that he has less chance of promotion as a result of being denied security
clearance.
Adequate Reasons
[72]
The
Applicant’s complaint concerning inadequate reasons also has to be viewed in
the full context of what occurred in this particular case.
[73]
On 12
August 2009, the Applicant was advised in the letter from Transport Canada that the Minister had
refused to grant his security clearance based on the Advisory Board’s
recommendation. That letter reads as follows:
The
Advisory Board was unanimous in its recommendation to refuse to grant the
applicant a security clearance based on the applicant’s four (4) criminal
convictions including one (1) recent drug-related conviction for Produce [sic]
a Schedule II Substance. The information was sufficient to determine that there
is reasonable grounds [sic] to suspect that the applicant is in a
position in which there is a risk that he may be suborned to commit an act or
to assist or abet any person to commit an act that might constitute a risk to
marine transportation security.
[74]
So
the Applicant was told the nature of the problem and the reasons why he could
not be granted security clearance: he had four criminal convictions (and the
recent Schedule II substance conviction was singled out), which were identified
as the basis for reasonable grounds to suspect that there was a risk that he
could be suborned to commit an act or to assist or abet someone else, so that
he may constitute a risk to marine transportation security.
[75]
The
Applicant may argue that this connection between his criminal activities and
marine security is unreasonable, but I do not think he can say that he was not
given adequate reasons as to why he was denied a security certificate.
[76]
As
was his right, the Applicant requested a reconsideration of this Decision. He
went through the interview and the investigative process, during which the
security risks of his Schedule II substance conviction and his continued
acquisition and use of marijuana were investigated, and the Applicant was
allowed to make submissions.
[77]
The
final Decision was rendered by the Minister by letter dated 24 June 2010 which
read as follows:
In
response to your application to the Office of Reconsideration dated September
17, 2009, we would like to inform you that the independent advisors who were
assigned to review your file submitted their report to the Minister of
Transport, Infrastructure and Communities.
After
reviewing all the information made available, the Minister decided to maintain
the refusal of your security clearance. In the course of this review, there was
enough information available which was considered verifiable, reliable and
sufficient to conclude there are reasonable grounds to suspect that you do meet
the criterion under Paragraph 509(c) of the Marine Transportation Security
Regulations, which states:
Paragraph
509(c) – whether there are reasonable grounds to suspect that the applicant is
in a position in which there is a risk that they be suborned to commit and act
or to assist or abet any person to commit an act that might constitute a risk
to marine transportation.
You
have a right to seek a judicial review of this decision through the Federal
Court of Canada within thirty (30) days of receipt of this notice, as noted by
the Canada Gazette publications related to the Marine Transportation
Security Act. For further information, please visit:
http://cas-ncr-nter03.cas-satj.gc.ca/fct-cf/index.html.
[78]
As
this letter points out, the Decision is simply to “maintain” the earlier
refusal of 12 August 2009, and the reasonable grounds to fear subornment are
reiterated. The Minister’s obligations on reconsideration under the Marine
Transportation Security Regulations are found in Regulation 517.
[79]
Under
subsection 517(4), the Minister is obliged to consider the decision “in
accordance with section 509 and shall subsequently confirm or change the
decision.” The Minister is then obliged, under ss. 517(6), to advise the
applicant of the decision.
[80]
This
is precisely what occurred in the present case. The Minister followed the
Regulations and applied them. The Applicant says that this was not enough
because he was not provided with sufficient reasons. In my view, this is not
the case.
[81]
The
Minister explains that he is confirming or maintaining the decision of 12 August
2009 for which the Applicant has already been given reasons, and the reason the
Minister has decided to maintain that decision is given in the letter of 24 June
2010, i.e., there is a subornation concern.
[82]
If
we step back and look at the whole process, there is no doubt or confusion as
to why the Applicant was refused security clearance: his criminal convictions
and, in particular, his continuing involvement with marijuana, are used as
reasonable grounds to suspect that there is a risk that he might be suborned.
Once again, the Applicant can argue that his involvement with marijuana is not
a reasonable basis for such a conclusion, but I do not think he can say that he
was not made fully aware of the reasons why he was refused security clearance.
This is particularly the case when the procedural fairness obligation in this
case is on the low side.
[83]
In
my view, what the Applicant means by “inadequate reasons” is that he disagrees
with the reasons. He does not feel that his criminal involvement with marijuana
provides reasonable grounds for a conclusion that he poses a security risk.
This is a reasonableness issue.
Reasonableness
[84]
Also,
in my view, the reconsideration decision was reasonable under the circumstances
given the purpose of the legislation, the Applicant’s criminal record of drug
cultivation and his continued association with criminals through his purchasing
of drugs from them. There is a clear link. The Applicant wishes to work on
cruise ships that travel across international borders. He admits to purchasing
and using marijuana even after his Schedule II substance conviction. I do not
think the connection to a possible risk of subornment that may impact marine
transport security is difficult to understand or unreasonable.
[85]
This
does not mean that I personally would have concluded that such a risk exists.
However, I cannot say that conclusions reached by the Minister in this case,
after a full investigation, fall outside of the range of possible, acceptable
outcomes which are defensible in respect of the facts and law. The Applicant’s
professional opportunities may have been curtailed somewhat by the Decision,
but public safety is also at stake and the Minister must be left to make these
decisions. As has been said so many times in this Court, the Court cannot
substitute its own opinion of the case for the opinion of either the Minister
or those who are delegated with the authority to assess security and clearance
applications unless the Court can find some breach of natural justice or procedural
fairness or unless the decision is unreasonable and falls outside the range
posited by Dunsmuir. Although the denial of security clearance to the
Applicant is inconvenient to him in terms of his career objectives, I can find
no such reviewable error in this case.
JUDGMENT
THIS COURT’S JUDGMENT is
that
1.
The
application for judicial review is dismissed with costs to the Respondent.
“James Russell”