Docket: IMM-1144-14
Citation:
2015 FC 879
[UNREVISED ENGLISH CERTIFIED TRANSLATION]
Ottawa, Ontario, July 17, 2015
PRESENT: The Honourable Madam Justice Bédard
BETWEEN:
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WILFRID NGUESSO
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Applicant
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and
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THE MINISTER OF
CITIZENSHIP AND IMMIGRATION
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Respondent
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JUDGMENT AND REASONS
[1]
This is an application for judicial review of a
decision rendered on December 20, 2013, by Constance Terrier (the
officer), an immigration officer with the Immigration Section of the Canadian
Embassy in Paris (the Immigration Section). In her decision, the officer
declared the applicant inadmissible on grounds of organized criminality under
paragraph 37(1)(a) of the Immigration and Refugee Protection Act,
SC 2001, c 27 (IRPA), and she refused his application for permanent residence
as a member of the family class. For the following reasons, the application is
allowed.
I.
Background
[2]
The applicant is a citizen of the Republic of
the Congo (Congo), but during the relevant period, he resided in France, where
he holds a residency permit that is valid until December 31, 2022. The
applicant is the nephew and adopted son of Denis Sassou-Nguesso (DSN), who is
the president of Congo. He is married to a Canadian citizen, with whom he has
six children, all Canadian citizens.
[3]
In 2006, the applicant’s wife and four of their
children moved to Montréal. On December 27, 2006, the applicant filed an
application for permanent residence under the family class with the Immigration
Section. It was this application that was refused on December 20, 2013. Between
2006 and the refusal of his permanent residence application, the applicant
obtained several temporary resident visas enabling him to visit his family in
Canada.
[4]
The processing of the applicant’s permanent
residence application took seven years and was marked by various events. It is
not necessary to describe each step of the process in detail, but since several
breaches of the duty of procedural fairness have been raised, it will be useful
to provide an overview of some of the steps involved in processing the
application. It will also be useful to highlight some of the facts in the
record that are not contested but that are relevant to understanding the nature
of the disputes between the parties.
[5]
In 1989, the Congolese government created a
national marine transportation company, the Société Congolaise de Transports
Maritimes (Socotram), with two private partners, SAGA and ELF Congo. The
Congolese government held 45% of the shares, SAGA 49% and ELF Congo 6%.
Socotram’s main objective is to develop a domestic shipping fleet. In May 1990,
the Congolese government designated Socotram [translation]
“a national shipping company” and granted the company all of its traffic
rights.
[6]
In 1998, after DSN had returned to power, the
Congolese government granted Socotram the right to appropriate at least 40% of
the marine traffic rights generated by foreign trade to and from Congo.
[7]
In 1998, W.G.N. Trading and Shipping Negoce
International S.A. (TS), a company created in 1995 in which the applicant is
the sole shareholder, purchased all of the Socotram shares held by SAGA and ELF
Congo. The applicant therefore became, through TS, Socotram’s majority private
shareholder. He was also appointed Socotram’s Director of Transportation.
[8]
In 2004, TS sold its Socotram shares to the
Guinéa Gulf Shipping Company S.A. (GGSC), but the applicant remained in
Socotram’s employ, and, in June 2005, he was appointed Chief Executive Officer
(CEO).
[9]
The applicant had interests in other companies
aside from TS, including S.C.I. St. Philibert (St. Philibert), Matsip
Consulting S.A. (Matsip), Trading and Shipping S.A., International Shipping
S.A. and S.C.I. Canaan Canada (Canaan).
[10]
The record also shows the following facts
relating to the processing of the applicant’s file by the Immigration Section,
and more specifically by the officer who processed his permanent residence
application.
[11]
In February 2008, the Security Intelligence
Background Section of the Canadian Embassy in Paris (Section B) asked the war
crimes and organized crime sections of the Canada Border Services Agency (CBSA)
to verify whether the applicant’s activities or associations rendered him
inadmissible to Canada. The request indicated, among other things, that the
applicant was the son of DSN; that he was CEO of Socotram, the principal
shareholder of which was his company TS; and that he was president of the Club
2002-Pur, an association supporting DSN that became a political party in
January 2007. The request also specified that the origins of President DSN’s
wealth, particularly his assets in France, was the subject of an investigation
by the French police, following a complaint filed by associations regarding
allegations of theft for the embezzlement of public funds (this investigation
is known in France as the investigation into [translation]
“ill-gotten gains”). The request specified that the applicant’s name appeared
several times in this complaint and that some of the assets obtained through
questionable funding were allegedly in his name. The request also mentioned
that open sources spoke of [translation]
“clannish, family-centred” management of power in
Congo, presenting the applicant as being very close with President DSN. The
applicant was not informed of the requests made to the CBSA.
[12]
On April 14, 2008, the CBSA’s War Crimes
Section concluded that there was insufficient evidence to establish that the
applicant was inadmissible to Canada for war crimes under section 35 of
the IRPA. However, it recommended that the file be referred for screening under
section 37 of the IRPA because of the [translation]
“opaque” transactions of Socotram and TS.
[13]
On April 24, 2008, an email sent by an
officer of the CBSA’s Organized Crime Section to an officer of Section B
highlighted major concerns about the origins of the applicant’s properties and
financial sources and suggested that additional information be obtained from
the applicant.
[14]
On May 13, 2008, the immigration officer
responsible for the file at the time sent a letter to the applicant asking him
to provide certain documents and information. The applicant sent some of the
requested documents to the Immigration Section on August 1, 2008.
[15]
The officer, Constance Terrier, was assigned to
the applicant’s file in August 2008.
[16]
On January 14, 2009, the Financial
Transactions and Analysis Centre (FINTRAC) prepared a report and disclosure
regarding several electronic transfers of funds involving the applicant. The
report indicated that FINTRAC had reasonable grounds to believe that some of
the information was relevant in the context of a potential money laundering
offence. The report also mentioned that FINTRAC believed that some of the
information was relevant to the determination of whether an individual was
inadmissible under sections 34 to 42 of the IRPA. This report was sent to the
CBSA on January 14, 2009, and forwarded to Section B on May 4,
2009.
[17]
On July 27, 2009, a representative of the
CBSA’s Organized Crime Section sent an email to Guy Langevin, an officer with
Section B, in which he stated that despite lingering concerns regarding the
links between the applicant and DSN, there was insufficient evidence that
illegal activities had been committed. He concluded by indicating that the
Organized Crime Section would be closing the file “pending
further intelligence”.
[18]
A note entered into the Global Case Management
System (GCMS) on October 29, 2009, by Mr. Langevin of Section B
states that the file is still being studied by the CBSA’s Organized Crime
Section.
[19]
The notes entered in the GCMS show no progress
in the file between October 2009 and early March 2011.
[20]
On March 3, 2011, the applicant’s counsel
at the time announced her intention to file a mandamus application to
force the Immigration Section to render a decision on the applicant’s permanent
residence application.
[21]
On April 5, 2011, FINTRAC prepared a second
report on electronic transfers of funds involving the applicant, indicating
that he was a “politically exposed foreign person”
within the meaning of section 9.3 of the Proceeds of Crime (Money
Laundering) and Terrorist Financing Act, SC 2000, c 17 (PCMLA).
[22]
On August 12, 2011, the officer
communicated with the investigating judge responsible for the investigation
into the [translation] “ill-gotten
gains”. He informed her that he was bound by professional privilege, but that
the investigation was moving forward and that it should reach its conclusion in
early 2012.
[23]
On May 22, 2012, the applicant’s counsel
filed a mandamus application with this Court (Docket IMM-4924-12), to
force the Immigration Section to render a decision on the applicant’s permanent
residence application. This dispute was settled out of court on July 3,
2012, on the basis of a timetable proposed by the respondent to complete the
processing of the applicant’s permanent residence application. It was established
that the applicant would be called to an interview.
[24]
On September 5, 2012, the applicant
received a letter from the Immigration Section about concerns regarding his
admissibility under paragraph 37(1)(a) of the IRPA. The letter
indicated that the Immigration Section was concerned about the applicant’s
experience, knowledge and advancement in the professional world. The letter
also mentioned specific concerns in connection with an alleged appropriation of
proceeds from the sale of petroleum products. The letter contained the
following excerpt:
[translation]
We have reasonable grounds, supported by
open, convergent and consistent documentation, to believe that you may belong
to a group of persons embezzling part of Congo’s national petroleum production,
appropriating the proceeds of the resale of petroleum products and
participating in the embezzlement of public property to the detriment of the
Congolese state.
We have reasonable grounds to believe that
these transactions arose from a corporate structure involving a small number of
individuals belonging to a single clan and closely related companies held and
directed by the same small number of individuals.
Finally, we have questions about a number of
electronic transfers of funds made between November 2005 and October 2008,
considered suspect by FINTRAC, the Financial Transaction and Reports Analysis
Centre of Canada.
You will be asked to provide additional
documents at the end of the interview.
[25]
The applicant’s interview with the officer took
place on September 25, 2012, and lasted about four hours, during which he
was asked about 170 questions. It appears from the record that the officer
prepared some of the interview questions and that several other questions were
prepared by the CBSA.
[26]
On September 28, 2012, the Immigration
Section sent the applicant a letter in which it was indicated that based on
statements made during the interview of September 25, 2012, the Immigration
Section had concerns about his revenues, the companies in which he previously or
still held shares, the nature of his contract of employment and the success of
his businesses. The letter was accompanied by a six-page list of documents and
information to be provided regarding the subjects raised during the interview,
requesting that they be submitted within 90 days.
[27]
On November 1, 2012, the CBSA prepared a
report and a recommendation regarding the possibility that the applicant was
inadmissible under paragraph 37(1)(a) of the IRPA. The report
refers to two FINTRAC reports and information provided by the applicant during
his interview. The CBSA concluded, after a thorough review, that despite
suspicions that the applicant might be involved in embezzlement and money
laundering activities, there was not enough evidence to meet the standard of
“reasonable grounds to believe” that he was inadmissible on grounds of
organized criminality.
[28]
On January 28, 2013, the Immigration
Section was informed of a change of counsel; from that point on, the applicant
was represented by Johanne Doyon.
[29]
On February 1, 2013, Ms. Doyon asked
for additional time to respond to the requests formulated on September 28,
2012, by the Immigration Section. She also asked to be provided with the
documents referred to in the fairness letter of September 5, 2012,
indicating that under the rules of procedural fairness, these should have been
disclosed to the applicant before the interview of September 25, 2012.
[30]
On February 27, 2013, the officer replied
to the letter of February 1, 2013, by a letter dated February 1,
2013. In her letter, she extended the applicant’s deadline for submitting the
requested documents to April 30, 2013. However, she refused to disclose
the documents and information that Ms. Doyon had requested on the grounds
that [translation] “at this stage of the process, there is no requirement to
provide all of the sources or copies of the documents consulted, given that
your client has been provided with a reasonable opportunity to review the
information which we intend to use as a basis for our decision.” The officer
did, however, provide Ms. Doyon with her notes from the interview of
September 25, 2012, as well as her analysis of the interview.
[31]
On April 30, 2013, the applicant, by way of
Ms. Doyon, filed a complaint with the Director of the Immigration Section.
In the complaint, she alleged several breaches of procedural fairness in the
processing of the applicant’s file, in particular the refusal to disclose the
documents mentioned in the letter of September 5, 2012. Ms. Doyon
also invoked bad faith on the part of the immigration officers in processing
the applicant’s file and the way in which the interview of September 25,
2012, was conducted. More specifically, Ms. Doyon asked that the officer
no longer be assigned to the applicant’s file and that her interview notes be
withdrawn from the record. In the same letter, Ms. Doyon enclosed some of
the documentation that had been requested in the letter of September 28,
2012.
[32]
This complaint was dismissed by Rénald Gilbert,
the Immigration Section’s Immigration Program Manager, in a letter dated
December 6, 2013. Mr. Gilbert wrote that the officer would finish
processing the applicant’s permanent residence application and that her
interview notes would not be withdrawn from the record. He also concluded that
there had been no breach of the rules of procedural fairness.
[33]
On May 13, 2013, the officer again
contacted the office of the investigating judge responsible for the [translation] “ill-gotten gains”
investigation, but no information was provided to her because of the
confidentiality of the investigation.
[34]
On December 20, 2013, the officer refused
the applicant’s permanent residence application and declared him inadmissible
on grounds of organized criminality.
II.
The impugned decision
[35]
Inadmissibility on grounds of organized crime is
governed by paragraph 37(1)(a) of the IRPA:
Organized criminality
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Activités de criminalité organisée
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37(1) A permanent resident or a foreign national is inadmissible
on grounds of organized criminality for
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(1) Emportent interdiction de territoire pour criminalité
organisée les faits suivants :
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(a) being a
member of an organization that is believed on reasonable grounds to be or to
have been engaged in activity that is part of a pattern of criminal activity
planned and organized by a number of persons acting in concert in furtherance
of the commission of an offence punishable under an Act of Parliament by way
of indictment, or in furtherance of the commission of an offence outside
Canada that, if committed in Canada, would constitute such an offence, or
engaging in activity that is part of such a pattern; or
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a) être membre d’une organisation dont il y a des motifs
raisonnables de croire qu’elle se livre ou s’est livrée à des activités
faisant partie d’un plan d’activités criminelles organisées par plusieurs
personnes agissant de concert en vue de la perpétration d’une infraction à
une loi fédérale punissable par mise en accusation ou de la perpétration,
hors du Canada, d’une infraction qui, commise au Canada, constituerait une
telle infraction, ou se livrer à des activités faisant partie d’un tel plan;
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[36]
In her decision, the officer concluded that she
had reasonable grounds to believe that the applicant was a member of a criminal
organization through his family connections, which had enabled him to occupy
positions unrelated to his education and contribute to a system of
embezzlement, misappropriation of company property, money laundering and opaque
financial arrangements for personal enrichment at the expense of corporations.
She added that she had reasonable grounds to believe that the applicant was
involved in organized criminality that was part of a pattern of criminal
activity organized by a number of persons acting in
concert in furtherance of the commission of offences of embezzlement, misappropriation
of company property and money laundering that, if committed in Canada, would
constitute such offences.
[37]
The officer noted that her conclusions were
based on the position held by the applicant within Socotram and the benefits
granted to him by Socotram or other companies with which he was connected. The
officer then discussed the elements that had led her to these conclusions.
[38]
First she indicated that she had doubts about
the honesty of the transaction that resulted in the applicant, through TS,
acquiring the Socotram shares held by SAGA and Elf-Congo. She wrote that she
had reasonable grounds to believe that this transaction had been arranged or
influenced by DSN after his return to power in Congo, when he was [translation]“placing” those close to him
in various key positions.
[39]
She went on to state that she had reasonable
grounds to believe that the applicant’s appointment as Socotram’s Director of
Transportation was based more on his connection to DSN than his personal merits
or qualifications for the position, that his remuneration was not based on his
professional activities and that the benefits he received were for his personal
enrichment, to the detriment of Socotram’s activities. She added that she had
reasonable grounds to believe that his joining Socotram represented a desire to
take control of a financially rich structure and bring it into the Nguesso
family’s sphere of influence for the purpose of personal enrichment.
[40]
The officer also indicated that she did not
believe the applicant’s statement during the interview to the effect that he
did not know the individuals behind GGSC and that he had sold his shares in
Socotram through the transfer of the shares held by TS to GGSC. She noted that
the documents provided by the applicant established that GGSC and TS had the
same corporations as administrators or shareholders and that their head offices
were in the same building. She also indicated that these companies had ties
with Alain Sereyjol-Garros (ASG) or his fiduciary holdings and noted that she
had reasonable grounds to believe that the applicant had withheld information
at the interview by failing to indicate that he had ties with the various
companies that were the majority private shareholders of Socotram. She also
wrote that the companies’ corporate structure was nebulous and confusing and
that its purpose was to hide the true identity of the shareholders. She
inferred that the applicant was the sole shareholder in control of Socotram and
that the complex corporate structures had been set up by ASG, acting on his
behalf.
[41]
The officer also concluded that she had
reasonable grounds to believe that Socotram’s funds had been used for
activities whose purpose was to enrich the applicant rather than to advance its
corporate purpose, through the purchase of assets and transfer of funds for his
benefit and for the benefit of companies in which he held shares.
[42]
She then indicated that she had reasonable
grounds to believe that the applicant was a member of a criminal organization
through his involvement in a montage of companies, the organized and criminal
nature of which was corroborated by the presence and involvement of ASG, who
was known for his ability to disperse assets in a complex layer of financial
and fiduciary transactions for the purpose of masking the origins of the
investments and the identity of their true holders. She added that using tax
havens is not in itself illegal, but that using tax havens to launder money
constitutes organized criminality. She added that the financial structures,
through trust companies, constituted an asset concealment system to perpetrate
planned financial fraud and money laundering with the support of an illegal
organization.
[43]
She concluded by stating that she had
reasonable grounds to believe that the applicant was involved in criminal
activity (embezzlement, misappropriation of company property and money
laundering) that was supported by a structured and deliberate plan and that he
had directly participated, conscientiously and repeatedly, in these financial
structures and activities.
III.
First preliminary issue – the striking of the
applicant’s supplementary affidavits
[44]
The respondent submits that the supplementary
affidavits filed by the applicant should be struck. He submits that the right
to file an affidavit was limited by the parameters that I had set out in the
order of January 26, 2015, namely, to that needed to introduce in evidence
documents that were not included in the Certified Tribunal Record (CTR) and
that the applicant considered relevant to support the grounds raised in his
application for judicial review.
[45]
The respondent argues that the affidavit filed
by Amélie Charbonneau on May 15, 2015, is not limited to introducing
exhibits and contains several arguments in support of the application for judicial
review, as well as a biased repetition of the facts already appearing in the
court record. The respondent relies on Canada (Attorney General) v Quadrini,
2010 FCA 47 at para 18, [2010] FCJ No 194 [Quadrini], in
which the Court set out that “the purpose of an affidavit
is to adduce facts relevant to the dispute without gloss or explanation”.
He adds that some of the exhibits filed in support of the affidavit should not
be authorized either, in particular Exhibits G, H, I and J, on the grounds
that they were not authorized by the order of January 26, 2015.
[46]
The respondent also alleges that the applicant’s
supplementary affidavit, also filed on May 15, 2015, was not authorized by
the Court and should be struck.
[47]
The applicant submits that his supplementary
affidavit is authorized by the order that I issued on March 20, 2015, in
which I set a new timetable and authorized the filing of an additional
memorandum and affidavit. I agree and find that there is no reason to strike
the affidavit.
[48]
As for Ms. Charbonneau’s affidavit, the
applicant submits that its purpose was to relate facts, not to issue opinions,
and Ms. Doyon indicated during the hearing that she would not object to
having the Court ignore anything that could be considered an opinion.
[49]
The principles taught in Quadrini are
clear: an affidavit must set out facts and not its author’s opinions. I do not
consider it necessary to analyze each paragraph of Ms. Charbonneau’s
affidavit; it will suffice to state that I intend to ignore any statement in
the affidavit that may fall outside the framework of neutral factual
statements. As for Exhibits G to J, I do not consider it necessary to
declare them inadmissible, even though they were not helpful to my analysis of
the record.
IV.
Second preliminary issue: the applicability of
the clean hands doctrine
[50]
In his supplementary memorandum, the respondent
argues that the applicant is not addressing the Court with “clean hands”, as
the latter made several false statements and provided several contradictory
stories, particularly between his permanent residence application form, the
information he gave during his interview with the officer and the information
contained in the documents he submitted. The respondent submits that, among
other things, the applicant provided conflicting information about his places
of residence, especially during the period he was living in Gabon; the
activities of TS; the shares he holds or has held in various other companies;
property purchased by Socotram in Canada for his benefit and grants allegedly
received by Socotram.
[51]
The respondent adds that the applicant refused
to submit several documents that were asked of him and that were relevant to
the analysis of his permanent residence application, particularly those listed
in the letter of September 28, 2012.
[52]
The respondent alleges that a reviewing court
may exercise its jurisdiction by refusing to hear an application for judicial
review on the merits or refusing to grant the remedy sought where the applicant
has acted dishonestly, illegally or in bad faith. The respondent maintains that
the applicant lied on several occasions to the Canadian immigration authorities
and voluntarily withheld facts from the authorities relating to important
elements, and that he therefore deliberately misled or attempted to mislead the
immigration authorities on many points. The respondent submits that this
conduct undermines the integrity of the immigration system. The Court should
therefore use its discretion to dismiss the application for judicial review
without considering it on the merits.
[53]
The respondent bases this position on
subsection 16(1) of the IRPA and on the case law, including Canada
(Minister of Citizenship and Immigration) v Thanabalasingham, 2006 FCA
14, [2006] FCJ No 20 [Thanabalasingham] and Dong v Canada (Minister
of Citizenship and Immigration), 2011 FC 1108, [2011] FCJ No 1370.
[54]
The applicant, on the other hand, submits that
he has not made any misrepresentations and that the clean hands doctrine does
not apply in his case. He adds that the officer did not declare him
inadmissible on the basis of alleged misrepresentations. He insists on the fact
that the respondent is focusing on minor errors that have no incidence on the
dispute.
[55]
An application for judicial review is a recourse
that involves judicial discretion. If the applicant does not come to the Court
with “clean hands”, the Court may dismiss the application without determining
the merits, but it is not obliged to do so. In exercising its discretion, the
Court must instead try to strike a balance between the attack on the integrity
of the process brought about by the applicant’s misconduct and the public
interest in ensuring the lawful conduct of government (Thanabalasingham, at
paras 9-10). In this case, I find that the application raises serious issues
and has a significant impact on the applicant and his family. I am of the view
that the interests of justice will be better served if I decide on the merits
of this application for judicial review filed against the decision refusing the
applicant’s permanent residence application and declaring him inadmissible.
[56]
Furthermore, the contradictions and conduct of
which the respondent criticizes the applicant were in part considered by the
officer and are relevant to the issue of whether the rules of procedural
fairness were violated and whether the officer’s decision was reasonable. It
seems to me that it would be more appropriate to deal with them in that
context.
V.
Issues
[57]
This application for judicial review raises the
following issues:
1.
Was the process that led to the decision tainted
by breaches of procedural fairness?
2.
Did the officer commit errors of law that
warrant this Court’s intervention?
3.
Did the officer commit errors in her assessment
of the applicant’s permanent residence application that warrant this Court’s
intervention?
VI.
Standards of review
[58]
The standard of review applicable in matters of
procedural fairness is correctness (Canada (Minister of Citizenship and
Immigration) v Khosa, 2009 SCC 12 at para 43, [2009]
1 SCR 339; Mission Institution v Khela,
2014 SCC 24 at para 79, [2014] 1 SCR 502). The
issue to be determined is not whether the decision was correct, but rather
whether the process followed by the decision-maker was fair (Majdalani v
Canada (Minister of Citizenship and Immigration), 2015 FC 294 at
para 15, [2015] FCJ No 459; Krishnamoorthy v Canada (Minister of Citizenship
and Immigration), 2011 FC 1342 at para 13, [2011] FCJ
No 1643 [Krishnamoorthy]; Pusat v Canada (Minister of
Citizenship and Immigration), 2011 FC 428 at para 14,
[2011] FCJ No 541 [Pusat]).
[59]
I am also of the view that the standard of
reasonableness should be applied to the errors of law alleged by the applicant.
All of the errors raised relate to how the officer should have interpreted and
applied paragraph 37(1)(a) of the IRPA and section 33, which
establishes the “reasonable grounds to believe” standard.
[60]
In Agraira v Canada (Minister of Public
Safety and Emergency Preparedness), 2013 SCC 36 at
paras 49-50, [2013] 2 SCR 559 and Canadian National Railway
Co. v Canada (Attorney General), 2014 SCC 40 at
paras 55-62, [2014] 2 SCR 135, the Supreme Court applied the
presumption that the standard of reasonableness is applicable to issues that
involve a decision-maker interpreting its own statute or statutes closely
connected to its function in non-jurisdictional contexts.
[61]
It is well established that the application of
the “reasonable grounds to believe” standard by an immigration officer to the
circumstances of a case involves questions of mixed fact and law reviewable on
a standard of reasonableness (Torre v Canada (Minister of Citizenship and
Immigration), 2015 FC 591 at para 15, [2015] FCJ No 601; Dunsmuir
v New Brunswick, 2008 SCC 9 at para 51, 53, [2008]
1 SCR 190; Thanaratnam v Canada (Minister of Citizenship and Immigration),
2005 FCA 122 at paras 32-33, [2005] FCJ 587 [Thanaratnam]).
VII.
Analysis
A.
Procedural fairness
[62]
The applicant submits that broad procedural
protections are required in this case because of the enormous impact on his
family of the decision to declare him inadmissible. He raises the failed family
reunification resulting from this decision and negative impact on his
children’s constitutional right to remain in Canada.
[63]
The respondent submits that the content of the
duty of procedural fairness is variable, and its purpose is to ensure that the
person concerned receives a fair hearing. It maintains that the content of the
duty of fairness owed by a visa officer is at the lower end of the spectrum,
since the interests at stake are less important than in other circumstances and
that the issuing of a permanent resident visa is a privilege, not a right.
[64]
In Baker v Canada (Minister of Citizenship
and Immigration, [1999] 2 SCR 817 at paras 21, 33, [1999]
SCJ No 39 [Baker], the Supreme Court of Canada recalled that the content
of the duty of procedural fairness is variable and flexible and must be
considered in context. At paragraph 30, the Court notes that “[a]t the heart of this analysis is whether, considering all
the circumstances, those whose interests were affected had a meaningful
opportunity to present their case fully and fairly.” The Court did not
dictate the content of the duty of fairness, but it did identify factors to
consider in determining the scope of the duty in a given context. These factors
were summarized in Congrégation des témoins de Jéhovah de
St-Jérôme-Lafontaine v Lafontaine (Village), 2004 SCC 48, [2004]
2 SCR 650 at para 5:
The content of the duty of fairness on a
public body varies according to five factors: (1) the nature of the decision
and the decision-making process employed by the public organ; (2) the nature of
the statutory scheme and the precise statutory provisions pursuant to which the
public body operates; (3) the importance of the decision to the individuals
affected; (4) the legitimate expectations of the party challenging the
decision; and (5) the nature of the deference accorded to the body: Baker v.
Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R.
817. . . .
[65]
The case law also generally recognizes that the
scope of the duty of fairness owed by a visa officer is at the lower end of the
spectrum. In Khan v Canada (Minister of Citizenship and Immigration),
2001 FCA 345, at paras 31-32, [2001] FCJ No 1699 [Khan], the
Federal Court of Appeal wrote the following:
31 The factors tending to limit the
content of the duty in the case at bar include: the absence of a legal right to
a visa; the imposition on the applicant of the burden of establishing
eligibility for a visa; the less serious impact on the individual that the refusal
of a visa typically has, compared with the removal of a benefit, such as
continuing residence in Canada; and the fact that the issue in dispute in this
case (namely, the nature of the services that Abdullah is likely to require in
Canada and whether they would constitute an excessive demand) is not one that
the applicant is particularly well placed to address.
32 Finally, when setting the content
of the duty of fairness appropriate for the determination of visa applications,
the Court must guard against imposing a level of procedural formality that,
given the volume of applications that visa officers are required to process,
would unduly encumber efficient administration. The public interest in
containing administrative costs and in not hindering expeditious
decision-making must be weighed against the benefits of participation in the
process by the person directly affected.
[See also Fouad v Canada (Minister of
Citizenship and Immigration), 2012 FC 460 at para 14, (sub nom
Al-Ghazali v Canada (Minister of Citizenship and Immigration)) [2012] FCJ
No 768.]
[66]
It should also be kept in mind that a decision
on inadmissibility does not involve the exercise of a discretionary power. This
factor militates in favour of a greater scope for the duty of fairness. In this
respect, I consider the comments of Justice Dawson in Mekonen v Canada
(Minister of Citizenship and Immigration), 2007 FC 1133 at paras 16-17, [2007] FCJ No 1469
[Mekonen] to be applicable to this case:
16 The decision with respect to
inadmissibility is not an exercise of discretion. Officers are instructed to
obtain evidence for subsection 34(1) decisions by collecting police or
intelligence reports, statutory declarations supported by evidence of
statements made to an officer, and other documentary evidence including media
articles, scholarly journals, and expert reports.
17 The objective nature of the
decision and the lack of any appeal procedure militate in favor of greater
content to the duty of fairness.
[67]
One must also consider the particular circumstances
of the case and the significant impact that the decision declaring the
applicant inadmissible and refusing his permanent residence application has had
on his family. This decision prevents the family’s permanent reunification in
Canada, despite the fact that the applicant’s wife and children are Canadian
citizens. This particular circumstance militates in favour of a duty of
fairness more extensive than that owed, for example, to a visa applicant who is
not in this situation (AB v Canada (Minister of Citizenship and Immigration),
2013 FC 134 at para 55, [2013] FCJ No 166 [AB]).
[68]
Specifically, the applicant has two principal
grounds for claiming that his right to procedural fairness was violated: (1)
his permanent residence application was refused on grounds of inadmissibility
other than those disclosed to him and the officer failed to disclose documents
and/or information relevant to the decision before her; and (2) his file was
handled improperly and unfairly overall and the conduct of the officer and other
employees in the Immigration Section raises a reasonable apprehension of bias.
(1)
Failure to disclose the proposed grounds of
inadmissibility as well as certain documents and information
(a)
Applicant’s arguments
[69]
The applicant alleges that the grounds of inadmissibility
relied on by the officer were not disclosed to him before she rendered her
decision and that the officer never disclosed to him the true nature of the
alleged inadmissibility.
[70]
On this point, he submits that the fairness
letter of September 5, 2012, sent before the interview that was held on
September 25, 2012, raised the possibility of inadmissibility based on
concerns that he might [translation]
“belong to a group of persons embezzling part of Congo’s
national petroleum production, appropriating the proceeds of the resale of
petroleum products and participating in the embezzlement of public property to
the detriment of the Congolese state”.
[71]
The applicant submits that the grounds of
inadmissibility relied on by the officer and mentioned in her decision are
completely different from those raised in the letter; the officer found that
there were reasonable grounds to believe that he was involved in a structure of
companies organized in connection with ASG for the purpose of hiding assets,
laundering money and committing tax fraud, embezzlement and misappropriation of
public property.
[72]
The applicant also submits that the letter sent
to him on September 28, 2012, after the interview, did not raise any new
concerns, but simply asked for additional information.
[73]
The applicant adds that ASG’s name was never
communicated to him before he received the decision and that the officer had
never informed him that she had concerns about his alleged ties to ASG. He
submits that the officer had a duty to inform him of her concerns, even if they
were prompted by documents that he himself submitted after the interview.
[74]
He therefore states that he was not presented
with the concerns and doubts that formed the basis of the officer’s decision
and that he never had the opportunity to address them and respond.
[75]
The applicant also submits that the officer
herself admitted that she had changed the grounds for inadmissibility when she
indicated that the documents he had sent on and after April 30, 2013, had
[translation] “provided new
leads”. The officer also admitted that she had learned about ASG’s existence by
reading the documents the applicant had sent her on April 30, 2013.
[76]
The applicant adds that the unfair treatment has
continued into the judicial review proceedings, with the respondent relying on
undisclosed documents to justify the officer’s decision on the basis of reasons
other than those mentioned in the decision. The applicant argues that the
respondent is now claiming that the criminal organization to which he is
accused of belonging is allegedly made up of himself and his companies,
President DSN, the administrators of Socotram and ASG. This organization was
identified for the first time not in the officer’s decision, but rather in the
respondent’s memorandum.
[77]
The applicant alleges that the officer failed to
disclose not only the true nature of the grounds of inadmissibility, but also
the documents and information relevant to the processing of his application.
Therefore, he was denied the opportunity to verify the accuracy of the
information on which she was relying, to make full answer and defence against
the allegations and to participate in a meaningful manner in the
decision-making process.
[78]
Among other things, the applicant accuses the
officer of having failed to disclose to him several useful documents and pieces
of information before the interview, particularly the [translation] “open, convergent and consistent documentation”
referred to in the fairness letter of September 5, 2012, and the nature of
the electronic transfers of funds that FINTRAC found suspicious. The applicant
maintains that if the officer’s sources of information had been disclosed to
him, he could have verified their reliability and objectivity and, if
necessary, made submissions and argued against the use of certain information
in the public domain. The applicant submits that this opportunity would have
been all the more important given his family ties with a political figure, who
may be the subject of extensive media coverage that is not always neutral.
[79]
He also submits that the January 2009 FINTRAC
report should have been disclosed to him before the interview to enable him to
verify the accuracy of the information it contained. The applicant submits that
it was not enough for the officer to mention in the fairness letter that
certain transfers of funds were considered suspect by FINTRAC without providing
him with a list of transactions.
[80]
The applicant also claims that the fairness
letter should have identified the criminal organization in question, the list
of questions that the officer intended to ask him and a list of the documents
that she would ask him to submit. He also alleges that during the interview,
the officer repeatedly referred to documents and information that had not been disclosed
to him and that were not shown to him during the interview while the officer
was referring to them to ask questions.
[81]
The applicant also criticizes the officer for
failing to disclose to him, before the interview, the April 2008 report of the
CBSA (War Crimes Section) as well as the July 2009 conclusion of the CBSA’s
Organized Crime Section. The applicant submits that the officer should also
have disclosed to him the CBSA’s report of November 1, 2012, in which it
concluded, after verifications and an exhaustive review, that there was
insufficient evidence on which to base reasonable grounds to believe that he
was inadmissible under sections 34, 35 or 37 of the IRPA.
[82]
The applicant insists on the importance of the
report of November 1, 2012, particularly because the officer admitted that
the significant concerns mentioned at paragraph 6 of her affidavit of
September 24, 2014, came from the CBSA. It was the CBSA that sent the
officer most of the questions that she asked during the interview. The applicant
argues that by failing to disclose that report, the officer deprived him of
evidence favourable to his case that was based on the same sources and/or
information that she herself had consulted before declaring him inadmissible.
[83]
The applicant adds that the second FINTRAC
report of April 2011, to which the CBSA report of November 1, 2012,
refers, should also have been disclosed to him. The applicant argues that this
report was all the more relevant because it included his designation as a
politically exposed foreign person under the PCMLA, which was relevant to his
defence.
(b)
Respondent’s arguments
[84]
The respondent submits that, in this case, the
concerns that led to the declaration of inadmissibility of the applicant were
disclosed to him and that he had ample opportunity to make representations and
resolve the officer’s doubts. The respondent submits that the officer’s two
principal categories of concern involved his rise within Socotram given his
family ties and professional profile and the origins of his considerable
wealth. The respondent submits that these concerns were raised several times
and that the applicant had numerous occasions to address them and submit
information that would resolve the officer’s doubts.
[85]
The respondent submits that procedural fairness
does not require that every document processed by an officer be disclosed to
the applicant, but rather that he have real or presumed knowledge of the
essential information contained in the relevant documents to enable him to
provide his point of view on the information. The respondent submits that the
applicant had access to all of the relevant information and documents to enable
him to participate in the decision-making process.
[86]
Referring to the letter of September 5,
2012, the respondent submits that the information included in the [translation] “open, convergent and
consistent documentation” mentioned therein (mainly newspaper articles about
members of the Nguesso family, the wealth of certain African heads of state and
the Congolese petroleum industry and Socotram) was public, that it could not
have not been unknown to the applicant and that he had ample opportunity to
respond to it.
[87]
The respondent also insists on the fact that the
applicant was represented by counsel and that at no time before or during the
interview did he request a copy of the documents referred to in the fairness
letter, implying that he was aware of the information it contained. There was
no request for disclosure until February 1, 2013.
[88]
Furthermore, the officer, on cross-examination,
informed the applicant that the documentation mainly included newspaper
articles about members of his family.
[89]
The respondent acknowledges that the FINTRAC
report of January 14, 2009, was not disclosed to the respondent, but
submits that the report listed electronic transfers of funds made or received
by the applicant, so he could not have been unaware of them. The respondent
also argues that the issue involving the various transfers of funds was raised
on several occasions. He alleges that the fairness letter of September 5,
2012, mentions it, that several of the questions asked during the interview of
September 25, 2012, were about certain transactions and that the letter of
September 28, 2012, demanded information on that subject. The respondent
therefore argues that the applicant was informed of most of the information and
allegations contained in the FINTRAC report and that he was given the
opportunity to make whatever submissions he deemed appropriate.
[90]
As for the second FINTRAC report dated April 5,
2011, the respondent submits that because the officer did not look at it or use
it in her analysis of the permanent residence application, she had no
obligation to transmit it to the applicant. The respondent also submits that it
appears from the CBSA’s recommendation of November 1, 2012, that this
disclosure was similar to the first.
[91]
The respondent also addressed the three reports
prepared by the CBSA.
[92]
He submits that the evaluation made by the
CBSA’s War Crimes Section did not need to be disclosed to the applicant because
it addressed the possibility of inadmissibility for war crimes under section 35
of the IRPA, a ground that the officer rejected.
[93]
As for the July 2009 email containing the
opinion of the CBSA’s Organized Crime Section, the respondent submits that it
reveals no concerns that were not disclosed to the applicant. He adds that the
CBSA opinion clearly mentioned that it was not final. The respondent adds that
the preliminary nature of the opinion no doubt explains why the recipient of
the email, Guy Langevin, wrote in the GCMS notes on October 29, 2009, that
the file was [translation] “still under review in the Organized Crime Section”.
[94]
As for the CBSA evaluation dated
November 1, 2012, the respondent submits that it was essentially based on
the responses provided by the applicant during the interview, the FINTRAC
disclosures and the information in the public record. The CBSA therefore
reveals no new concerns that had not been raised with the applicant and on
which the officer based her decision.
[95]
The respondent notes that the officer indicated,
on cross-examination, that she had taken into consideration the CBSA’s
evaluation and that no inference could be drawn from the fact that the CTR did
not contain any notes or exchanges about the evaluation or the fact that it was
not mentioned in the officer’s decision.
[96]
The respondent adds that the report is based
solely on the evidence that was before the CBSA on November 1, 2012. It
has been demonstrated that the CBSA only had access to the interview notes
relating to the questions it had asked the officer to ask the applicant.
Furthermore, this recommendation does not take into account the information and
documents sent by the applicant on April 30, 2013. Finally, it is clearly
stated in the CBSA report that its role was limited to providing support to the
officer, who retained the authority to make whatever decision she considered
appropriate.
[97]
The respondent also refutes the applicant’s
allegation that the officer should have again confronted him with the concerns
that emerged from the documents he submitted in April 2013. The respondent
submits that the officer asked the applicant several questions about his
various companies and that he deliberately chose not to respond or provide
explanations about the transfers of funds between Socotram, several of his
companies and himself.
(c)
Analysis
[98]
The case law recognizes that a visa applicant
must be given a reasonable opportunity to respond to an immigration officer’s
concerns before his or her application is denied, and it goes without saying
that he or she must therefore be informed of any such concerns (Khan at
para 18; AB at para 67; Pimentel v Canada (Minister of Citizenship
and Immigration), 2004 FC 1149 at para 7, [2004] FCJ No 1380; Ghofrani
v Canada (Minister of Citizenship and Immigration), 2008 FC
767 at paras 15-17, [2008] FCJ No 1005).
[99]
This Court has dealt on several occasions with
files in which the alleged breach of procedural fairness involved a failure to
disclose documents or information before a decision was rendered, as is the
case here.
[100] In Haghighi v Canada (Minister of Citizenship and Immigration),
[2000] 4 FC 407 at paras 26-28, [2000] FCJ No 854 (CA) [Haghighi],
the Federal Court of Appeal had to determine whether an immigration officer
dealing with an application for a humanitarian and compassionate exemption
based in part on a fear of persecution had breached procedural fairness by
failing to disclose a pre-removal risk assessment report prepared by another
officer. The Court held that the relevant issue was whether prior disclosure of
the report was required to allow the applicant to participate meaningfully in
the decision-making process, and it established guidelines for reviewing the
scope of the duty of fairness in such a context.
[101] The Federal Court of Appeal was again invited to consider the
obligation to disclose certain documents before a decision is rendered in Bhagwandass
v Canada (Minister of Citizenship and Immigration), 2001 FCA
49 at para 22, [2001] 3 FC 3 [Bhagwandass], but this
time, in the context of a public danger opinion. The Court applied the Haghighi
test.
[102] At paragraph 12 of Mekonen, Justice Dawson
summarized as follows the factors identified by the Federal Court of Appeal in Haghighi
and Bhagwandass:
12 . . . In both cases,
the Court applied five factors in order to determine whether disclosure of the
report in question was required in order to provide the person concerned with a
reasonable opportunity to participate in a meaningful fashion in the
decision-making process. The factors were:
(1) the nature and effect of the decision
within the statutory scheme;
(2) whether, because of the expertise of the
writer of the report or other circumstances, the report was likely to have such
a degree of influence over the decision-maker that advance disclosure was
required in order to “level the playing field”;
(3) the harm likely to arise from a decision
based upon an incorrect or ill-considered understanding of the relevant
circumstances;
(4) the extent to which advance disclosure
of the report was likely to avoid the risk of an erroneously-based decision;
and
(5) any costs likely to arise from advance
disclosure, including delays in the decision-making process.
[103] At paragraph 19 of Mekonen, Justice Dawson addressed the
factor relating to the degree of influence that the report was likely to have
over the decision-maker and used the expression “instrument of advocacy”, a
phrase often repeated in subsequent cases. She also emphasized, at
paragraph 27 of her judgment, the fact that the relevant issue was not
whether the applicant knew of the facts or information contained in the
undisclosed report, but “whether the disclosure of the
report is required to provide the person with a reasonable opportunity to
participate in a meaningful manner in the decision-making process”.
[104] The same test was applied in similar circumstances in various
judgments of this Court, and, in most of those cases, the nature of the
information contained in the undisclosed documents and the influence they had
on the decision-maker were the determinative factors (Okomaniuk v Canada
(Minister of Citizenship and Immigration), 2013 FC 473 at paras
33-34, [2013] FCJ No 501 [Okomaniuk]; Gebremedhin v Canada
(Minister of Citizenship and Immigration), 2013 FC 380 at para 9,
[2013] FJC No 404 [Gebremedhin]; Ulybin v Canada (Minister of
Citizenship and Immigration), 2013 FC 629 at para 23, [2013] FCJ
No 661; Krishnamoorthy at para 37; Pusat at para 30; Baybazarov
v Canada (Minister of Citizenship and Immigration), 2010 FC
665 at paras 13-15, [2010] FCJ No 930 [Baybazarov]; Kablawi v
Canada (Minister of Citizenship and Immigration), 2009 FC 283 at
paras 12-14, [2009] FCJ No 348).
[105] At paragraph 33 of Okomaniuk, the Court specified that
it is not always necessary for the report to be disclosed if the content or
gist of the concerns are raised and conveyed (see also Gebremedhin at
para 9).
[106] Like the respondent, I believe that the rules of procedural fairness
were not breached in this case. I find that the applicant was validly informed
of the nature of the inadmissibility being considered and the officer’s
concerns and that he had a reasonable and meaningful opportunity to participate
in the decision-making process.
[107] As of May 13, 2008, the Immigration Section asked the applicant
to provide additional documents and information. This request already indicated
that the Immigration Section had concerns, or at least questions, about the
applicant’s assets and revenue sources. The Immigration Section instructed the
applicant to provide his bank statements, the deeds of acquisition for his
properties and vehicles, and details about the origin of the funding for these
purchases. He was also instructed to provide the financial statements of
Socotram and TS and the details of his brothers’ and sisters’ employment.
[108] Counsel then representing the applicant inquired about the reasons
why the additional documents were being required of the applicant, and, in an
email dated December 2, 2008, she called into question the relevance of
several of the pieces of information sought. In an email dated December 5,
2008, the Immigration Section replied that in the context of an immigration
application, immigration officers may ask for any document that will help
establish a candidate’s personal, professional and financial reality. The
response specified that the research undertaken had raised concerns and
questions about some of the applicant’s assets and that the public information
available, published on Internet sites or in newspapers, justified a more
in-depth investigation, which the Immigration Section was conducting in
collaboration with partner agencies and Citizenship and Immigration Canada
(CIC). The Immigration Section also noted that this was a routine check that
could take time.
[109] The applicant then received the letter of September 5, 2012.
This letter set out the various concerns of the Embassy’s Immigration Section
and specifically mentioned the ground of inadmissibility set out at
paragraph 37(1)(a) of the IRPA. The letter indicated that the Immigration
Section was concerned about the applicant’s experience and knowledge and his
advancement in the professional world. The letter also mentioned specific
concerns in connection with the potential appropriation of proceeds from the
sale of petroleum products.
[110] The file then evolved considerably, and although the concern
regarding the potential misappropriation of the proceeds of petroleum
production was no longer raised, the other concerns relating to the applicant’s
advancement in the professional world and the origins and legitimacy of his
substantial financial resources remained. The same can be said for the concerns
relating to certain transfers of funds.
[111] On September 25, 2012, the applicant participated in an
interview that lasted almost four hours, during the course of which he was
asked 170 questions. The applicant was accompanied by the counsel representing
him at the time. As a result of the interview, additional information was
obtained from the applicant, and he was informed of the officer’s concerns. The
questions asked by the officer clearly revealed that she had concerns about
various subjects, including the following:
•
the applicant’s academic history;
•
the creation of TS, its financial resources and
activities and the circumstances that enabled the applicant to move from a
helicopter pilot position to that of TS administrator;
•
the benefits that the applicant may have reaped
from his family ties with DSN, particularly with respect to his advancement in
the professional world;
•
the creation of Socotram, its mandate, its
activities, its funding model, its partners, its administrators and their
proximity with DSN and the private shareholders who have successively held its
shares;
•
the purchase by TS of the shares held by SAGA
and ELF Congo;
•
the applicant’s recruitment to Socotram, the
lack of connection between his education and career path and his rise within
Socotram through positions of great responsibility;
•
the salary and benefits that the applicant
receives from Socotram;
•
the sale of TS’s shares to GGSC and the reasons
for the sale;
•
the history of GGSC, its shareholders, its
activities and its connections with the applicant, as well as the applicant’s
claimed ignorance regarding GGSC’s activities, shareholders and administrators;
•
the interests that the applicant allegedly holds
in several companies, and particularly his role in St. Philibert, Matsip and
Canaan;
•
the real property and moveable assets owned by
the applicant in France, Congo and Canada and the source of the funds used to
purchase them;
•
the many transfers of electronic funds made for
the applicant’s benefit that came from Socotram and several other companies,
including TS, Matsip and Canaan;
•
the apartment rented by Socotram for the
applicant that belonged to St. Philibert, one of the applicant’s
companies;
•
the transfer of a large sum of money from
Socotram to Canaan via a Montréal notary that allegedly served to purchase the
house in which the applicant’s wife and children reside; and
•
his involvement in the investigation by the
French authorities into [translation]
“ill-gotten gains”.
[112] Following the interview, the officer sent a letter to the applicant
dated September 28, 2012. In the letter she indicated that based on the
applicant’s statements during the interview, the Immigration Section had
concerns about his revenues, the companies in which he held shares, the nature
of his employment contract and the success of his business.
[113] The applicant submits that this letter did not list the officer’s
new concerns, but merely requested additional information. This argument cannot
succeed. The correspondence and the list of documents that the officer asked
the applicant to provide clearly show that her concerns were broader and more
numerous than those exposed in the letter of September 5, 2012. The
officer asked the applicant to provide many documents about a variety of
subjects, such as his revenues; the activities and resources of TS; the
transaction by which he acquired, through TS, the shares that SAGA and ELF
Congo held in Socotram; Socotram’s activities; Socotram’s administrators; his
employment contract; the salary and benefits that he received from Socotram;
various companies in which he held interests, such as St. Philibert and Canaan;
and several transfers of funds carried out by Socotram to the applicant or to
some of his companies and other transfers of funds from the companies to the
applicant.
[114] On February 27, 2013, the Immigration Section also sent the
applicant’s counsel the list of questions asked of the applicant during the
interview, the answers he gave and the officer’s analysis of the interview. The
officer’s concerns relating to the applicant’s career path and the influence of
DSN, the creation and development of TS, Socotram’s operations, the applicant’s
other companies and the legitimacy of several transactions and transfers
involving Socotram and the applicant are clearly reflected in the interview
notes.
[115] I am therefore of the view that the applicant was validly informed
of the officer’s concerns, which were not permanently set when the letter dated
September 5, 2012, was sent. I should reiterate that the fairness letter
of September 5, 2012, was not limited to the allegations of potential
misappropriation of the proceeds of petroleum production in Congo.
[116] The officer’s concerns about the legitimacy of the applicant’s
business and sources of revenue, his companies’ corporate structures, their
ties with Socotram and the transfers of funds between Socotram and those
companies evolved based on the responses provided by the applicant to the
questions he was asked and the documents he provided. I am of the view that all
the letters the applicant received, the questions asked of him during the
interview and the documents and information requested of him after the
interview, as well as the officer’s interview notes, enabled him to understand
the gist and nature of the officer’s concerns. He also had the opportunity to
ask questions as needed, which he did not do. The applicant instead chose to
respond only partially to the officer’s questions and provide only some of the
requested documents.
[117] I therefore find that he was validly informed of the officer’s
concerns and had a reasonable opportunity to respond to them. I reject the
applicant’s allegation that he was found to be inadmissible on grounds other
than those alleged.
[118] I also find that the applicant was provided with the information
that would enable him to participate meaningfully in the decision-making
process.
[119] The letter of September 5, 2012, clearly indicates that
inadmissibility for organized criminality was being considered under
paragraph 37(1)(a) of the IRPA.
[120] I agree that the officer disclosed to the applicant neither the
public sources on which her concerns mentioned in the letter of September 5,
2012, were based, nor the list of relevant electronic transfers of funds, and
it would have been preferable for her to have done so. However, I find that the
officer’s concerns were specifically expressed during the interview and that
they are clearly revealed by the interview notes disclosed to the applicant. I
therefore find that this omission did not prevent the applicant from
participating in the decision-making process in a meaningful way. The officer
informed the applicant that the documentation was made up mainly of newspaper
articles. This information was in the public domain and was available.
Moreover, the applicant could not have been unaware of the media coverage about
his family or that relating to the investigation by the French authorities into
[translation] “ill-gotten gains”.
Furthermore, the public documentation referred to in the letter of
September 5 was mentioned in relation with the concern about the potential
misappropriation of a portion of the proceeds of petroleum products, and this
element was not raised subsequently.
[121] The officer did not disclose to the applicant the FINTRAC report of
January 2009, which included a list of the transfers of funds considered
suspect, but she did ask him several pointed questions about specific
transactions and transfers of funds that concerned her. Moreover, in the letter
of September 28, 2012, the officer clearly asked the applicant to provide
information about the transactions and transfers at issue. I therefore find
that the gist of the information contained in the January 2009 FINTRAC report
that was used by the officer was disclosed to the applicant and that he had the
opportunity to make any submissions he wished to make in response to her
questions and concerns. As for the second FINTRAC report from April 2011, the
officer did not look at it before rendering her decision. It therefore could
not have been used as an “instrument of advocacy” and did not have to be
disclosed to the applicant.
[122] As for the CBSA reports, I find that the officer did not breach
procedural fairness in failing to disclose them to the applicant.
[123] The first report from the CBSA’s War Crimes Section in
April 2008 concerned the possibility of inadmissibility for war crimes.
This ground was rejected by the officer and was therefore not relevant to the
decision she rendered.
[124] The CBSA’s email of July 2009 was a preliminary opinion based on its
analysis of the information in its possession at that time. The report contains
very little information and does not refer to concerns that were not disclosed
to the applicant.
[125] It is clear that the officer looked at the CBSA report of
November 1, 2012, before rendering her decision. However, applying the
test set out in Haghighi and Bhagwandass and repeated in Mekonen
does not lead me to conclude that its disclosure was necessary, because the
report was not relied on by the officer, and it is not based on information
that was unavailable to the applicant. The report is an analysis performed by a
partner agency on the basis of the evidence in the file at the time the report
was prepared. The record also shows that the officer did not rely on the report
in rendering her decision; instead she reached contrary findings based on her
own analysis of the file and the evidence at her disposal. Therefore, the CBSA
report was not an “instrument of advocacy” designed to have such a degree of
influence on the officer that advance disclosure was required to level the
playing field.
[126] It was not a report reflecting negatively on the applicant on which
the officer relied to render her decision, as was the case in all of the
authorities filed by the parties. On the contrary, this report indicated that
the CBSA was of the view that there was insufficient evidence to support the
existence of reasonable grounds to believe that the applicant should be
declared inadmissible for organized criminality. The question of whether the
officer should have accepted the CBSA’s findings is more relevant to the issue
regarding the reasonableness of her decision.
[127] Essentially, the applicant submits that if he had had the CBSA
report in his possession, he could have used it to try to persuade the officer
that there was insufficient evidence to declare him inadmissible. This argument
is not sufficient to create a duty to disclose the report to the applicant, particularly
because the CBSA was not acting as the decision-maker and the officer’s
decision was based on much more information than the CBSA had available to it
when it issued its opinion. In addition to the information available to the
CBSA, the officer based her analysis on the responses provided by the applicant
to the questions she herself had asked him and on the documents that he had
provided on April 30, 2013. The influence that the CBSA report of
November 1, 2012, could have had on the officer’s decision was therefore
limited and insufficient to require that it be disclosed to the applicant.
[128] The applicant submits that the officer should have sent him the
“new” concerns that emerged following her analysis of the documents that he
submitted on April 30, 2013. I disagree. The officer asked the applicant to
provide her with a large number of documents. He had ample opportunity then to
make any submissions he thought appropriate to explain or contextualize the
documents he opted to send. The record also shows that the applicant chose to
provide only partial responses to the officer’s questions and to provide only
some of the documents requested. The applicant had the opportunity to provide
explanations to address the officer’s concerns regarding the transactions
between Socotram, TS and GGSC; his conditions of employment; the corporate
structure of his companies and several transfers of funds, but he opted to do
so only partially. The officer had no duty to disclose to the applicant the
results of her analysis of the documents he had submitted.
[129] Requiring another “round” of fairness would have been equivalent to
requiring that the officer provide the applicant with an intermediate outcome
of her analysis of documents he had submitted. The duty of fairness may require
that the applicant have a fair opportunity to respond to concerns raised by
documents that he himself has submitted if the officer has concerns about the
credibility, accuracy or genuineness of the information submitted (Baybazarov
at para 12; Kaur v Canada (Minister of Citizenship and Immigration),
2014 FC 678 at para 17, [2014] FCJ No 745 [Kaur]; Chawla
v Canada (Minister of Citizenship and Immigration), 2014 FC
434 at para 14, [2014] FCJ No 451; Hussaini v Canada (Minister of
Citizenship and Immigration), 2013 FC 289 at para 10; [2013] FCJ
No 318). This duty does not stretch to the point of requiring an officer to
provide an applicant with a preliminary analysis of the evidence that he has
submitted (Rukmangathan v Canada (Minister of Citizenship and Immigration),
2004 FC 284 at paras 22-23, [2004] FCJ No 317; Baybazarov
at para 11; Kaur at para 17). In this case, the officer did not have
doubts regarding the authenticity or credibility of the documents that the
applicant provided; rather she drew inferences and conclusions from these
documents.
[130] I therefore find that the applicant benefitted from the information
that was necessary to enable him to participate meaningfully in the
decision-making process and that the failure to provide the FINTRAC and CBSA
reports and to question him further about the documents he submitted on
April 30, 2013, does not constitute a breach of the rules of procedural
fairness.
(2)
Unfairness and reasonable apprehension of bias
(a)
Applicant’s arguments
[131] The applicant submits that several elements in the record show that
he was treated unfairly throughout the processing of his permanent residence
application. He also argues that the unfair treatment has extended into this
judicial review and that the manner in which the file has been handled
constitutes an abuse of process.
[132] The applicant alleges that despite the fact that the Immigration
Section asked the CBSA three times to examine whether he was inadmissible and
that the CBSA found three times that there was no evidence to support a finding
of inadmissibility, his file was unduly blocked because of the ongoing
investigation in France into [translation]
“ill-gotten gains”.
[133] The applicant notes that the entry into the GCMS of October 29,
2009, indicated that his file was [translation]
“still under review in the Organized Crime Section”, despite the fact that the
CBSA had found no grounds for inadmissibility in July 2009. The applicant
states that the officer was unable to explain this note.
[134] The applicant also submits that there was no progress in the file
from October 2009 to March 2011 and that he had to file a mandamus
application to move things forward. Moreover, he notes that the out-of-court
settlement involved a timetable for finalizing the processing of the
application without the issue of inadmissibility being raised by the
respondent.
[135] The applicant also criticizes the respondent for filing an
incomplete CTR, arguing that he was forced to file several applications to have
the CTR completed and that it is still not complete.
[136] The application criticizes the officer for some of her statements
regarding the preparation of the CTR. The officer indicated that the documents
included in supplementary volumes 8 and 9 of the CTR were not included in the
original CTR because they were not in her possession or under her control,
because she was not aware of them or because they had been destroyed in
accordance with the thin file policy.
[137] The applicant submits that the responses to the undertakings made by
the officer on cross-examination and the cross-examination itself reveal that
the majority of the documents that were not in the original CTR were indeed in
her possession. They could mainly be found in her electronic mailboxes and her
computer. He alleges that it also came out for the first time during the
officer’s cross-examination and her responses to her undertakings that she had
decided to remove certain documents from the CTR on the ground that they contained
privileged information.
[138] The applicant alleges that the officer also admitted that her
affidavit of September 19, 2014, contained errors, particularly with
respect to her statement about the completeness of the record, and that she
should have specified, at paragraphs 6 and 7 of her affidavit, [translation] “all my communication
exchanges in the file still physically present in Paris”. The applicant submits
that the officer also admitted that she had not mentioned in her affidavit of
September 19, 2014, that there existed other exchanges with the CBSA and
CIC that had not been included in Volumes 1 to 7 of the CTR on the grounds that
they had not been relevant to the decision.
[139] The applicant therefore submits that the officer failed to prepare
the CTR rigorously and made inaccurate statements.
[140] The applicant also takes issue with the officer for making
misrepresentations, particularly when she claimed not to have had any direct
communications with partners such as the CBSA on the basis that these
communications were made through the officers of Section B. The applicant also
complains that the officer made contradictory statements regarding the number
of times she communicated with the investigating judges in charge of the [translation] “ill-gotten gains”
investigation in France.
[141] The applicant also submits that the officer’s interview notes are
incomplete and, in some respects, inaccurate, and that there are discrepancies
and contradictions between the version of the notes provided to the CBSA and
the one provided to him. The applicant also alleges that the officer’s
interview notes are replete with personal comments and unreliable.
[142] The applicant finally submits that the affidavit sworn by the
officer on September 24, 2014, on the subject of procedural fairness, was
incomplete because, among other reasons, there was no mention of the complaint
he filed on April 30, 2013, or the way it was handled. The applicant
criticizes the officer for having attempted to explain this omission by
alleging that she was not the one who had dealt with the complaint, when the
record shows that she was involved in its handling.
[143]
The applicant is also of the view that the
officer’s conduct raises a reasonable apprehension of bias. He is particularly
critical of her communications with the French investigating judge, despite her
awareness that he was bound by professional privilege. From the applicant’s
point of view, these communications raise concerns about potential interference
or an attempt to let the investigating judge know about Canada’s interest in
the investigation. The applicant submits that the officer’s conduct was
improper and raises a reasonable apprehension of bias.
[144]
The applicant also submits that the notes
handwritten by the officer on the complaint of April 30, 2013, demonstrate
that she believed that he had been charged with offences relating to the [translation] “ill-gotten gains”
complaint in France, before the investigation was even concluded. The applicant
states that this confusion also raises a reasonable apprehension of bias.
[145]
The applicant also alleges that the CTR
(page 2040 of Volume 8) reveals that on June 22, 2012, well
before the interview of September 25, 2012, the officer was already
considering inadmissibility. In an email that the officer sent to another
officer, she wrote, [translation] “apart from security grounds, there aren’t really any other
grounds for refusal”.
[146]
The applicant also criticizes the officer for
the way she conducted the interview, and more particularly the unreasonableness
of several of her questions. He adds that the officer’s interview notes, as
well as the notes summarizing her analysis, demonstrate the presence of biases,
insinuations and arbitrary comments that lack any evidentiary basis.
[147]
The applicant adds that on April 30, 2013,
he submitted all of the documents relevant to the processing of his permanent
residence application and the decision on inadmissibility. The applicant
submits that it was abusive to ask him to submit all of the documents
identified in the letter of September 28, 2012, and that only those
documents regarding the lawfulness of his commercial activities and his sources
of revenue were relevant. The applicant submits that several of the documents
requested went beyond what was relevant and constituted a fishing expedition
and an invasion of his private life.
(b)
Respondent’s arguments
[148] The respondent refutes any allegations that the applicant’s file was
handled improperly.
[149] He submits that the IRPA does not impose time limits for dealing
with permanent residence applications. The investigations were necessary and
could require considerable time to conduct. The respondent insists that the
immigration system is based on the provision of accurate and complete
information and that the officer was entitled to ask the applicant to provide
additional information and documents. He adds that delays in handling complex
files are indicative not of bias but of prudence.
[150] The respondent submits that the interview of September 25,
2012, was conducted according to standard practice and that the officer was
under no obligation to disclose to the applicant in advance the questions she
planned to ask him.
[151]
The respondent refutes the argument that the
handling of the applicant’s file raises a reasonable apprehension of bias and
notes that the onus is on the applicant to reverse the presumption of
impartiality by demonstrating a reasonable apprehension of bias, which he has
not done.
[152]
The respondent also submits that the officer’s
role in the handling of the complaint of April 30, 2013, was not
inappropriate, since it is often the decision-maker who first deals with an
allegation of bias against him or her, and that, regardless, the final decision
on this complaint was made by the officer’s supervisor. The respondent alleges
that the fact that the officer did not mention the complaint in her affidavit
cannot form the basis of a reasonable apprehension of bias because the
complaint was not part of the review of the file on the merits.
[153]
As for the officer’s communications with the
French investigating judge, the respondent submits that the officer had a duty
to inform herself of the progress of the investigation into [translation] “ill-gotten gains” because
any charges resulting from the investigation would have been relevant in the
context of the processing of the applicant’s permanent residence application.
[154]
In relation to the officer’s notes on the copy
of the complaint filed by the applicant on April 30, 2013, the respondent
submits that the officer admitted that, at the time, she had confused the
investigation with charges, but she clearly indicated when rendering her
decision that she was aware that the applicant had not been charged with
anything.
[155]
With respect to the officer’s interview notes,
the respondent submits that the officer acknowledged that translation errors
may have slipped into the document sent to the CBSA and that she had translated
into English, but that this had no impact on the decision and in no way
indicated a reasonable apprehension of individual or institutional bias.
(c)
Analysis
[156]
There is no doubt that procedural fairness
requires that decisions be rendered by an impartial decision-maker (Baker
at para 45). The test for bias is that set out by Justice de Grandpré,
writing in dissent, in Committee for Justice and Liberty v Canada (National
Energy Board), [1978] 1 SCR 369 at 394, 68 DLR (3d) 716:
40 . . . the
apprehension of bias must be a reasonable one, held by reasonable and right
minded persons, applying themselves to the question and obtaining thereon the
required information. In the words of the Court of Appeal, that test is “what
would an informed person, viewing the matter realistically and practically—and
having thought the matter through—conclude. Would he think that it is more
likely than not that Mr. Crowe, whether consciously or unconsciously, would not
decide fairly.”
[157]
The impartiality of the decision-maker is
presumed, and the apprehension of bias must be based on tangible elements. In
this respect, I adopt the statements of Justice Layden-Stevenson in Ayyalasomayajula
v Canada (Minister of Citizenship and Immigration),
2007 FC 248 at paras 14-15, [2007] FCJ No 320:
14 In short, a finding of reasonable
apprehension of bias on the part of a decision-maker requires something more
than an allegation. The evidence before me does not demonstrate a reasonable
apprehension of bias.
15 In the absence of any evidence to
the contrary, it must be presumed that a decision-maker will act impartially: Zündel
v. Citron, [2000] 4 F.C. 225 (C.A.) leave to appeal refused, [2000]
S.C.C.A. No. 322. Even in the context of judicial hearings, the apprehension of
bias must be reasonable and be held by reasonable and right-minded persons
applying themselves to the question and obtaining the required information. The
question is -- what would an informed person, viewing the matter realistically
and practically, having thought the matter through, conclude? The grounds must
be substantial and the test should not be related to the very sensitive or
scrupulous conscience. A real likelihood or probability of bias must be
demonstrated and mere suspicion is not sufficient: Committee for Justice and
Liberty v. Canada (National Energy Board), [1978] 1 S.C.R. 369.
[158] It is also important that the applicant be treated fairly while his
application is being processed.
[159] Contrary to the applicant’s claims, I am unable to find that his
application was processed unfairly or that the officer’s conduct, or that of
any other person, raises a reasonable apprehension of bias.
[160] It is true that the handling of the applicant’s file stretched out
over a very long period, probably too long, and that it was finally resolved
after the applicant initiated mandamus proceedings, but I am not
prepared to infer procedural unfairness from this.
[161] The file was complex, and the Immigration Section waited for the
results of the CBSA’s analyses. The record also indicates that the Immigration
Section hoped to know the outcome of the French authorities’ [translation] “ill-gotten gains”
investigation before rendering its decision. This does not mean that it was
appropriate for the file to be put on hold for such a long period, but there is
no basis on which to infer bad faith or bias against the applicant. In the July
2009 email, the CBSA indicated that it was suspending the file “pending further intelligence”. This, in my view, is
what explains the note that Mr. Langevin entered into the GCMS in October
2009 in which he stated that the file was still under review at the CBSA’s
Organized Crime Section. I do not see that as a decision to [translation] “block” the file as the
applicant claims. The applicant availed himself of the legal recourse at his
disposal, a mandamus application, and the resulting out-of-court
settlement helped to move the file forward.
[162] The subsequent delays were mainly caused by the requests from the
applicant’s successive counsel for more time to provide the information sought
in the letter of September 28, 2012. Delays also resulted from the
complaint filed by the applicant on April 30, 2013.
[163] As for the CTR, I wrote in my amended order and reasons of
February 2, 2015 (Nguesso v Canada (Minister of Citizenship and
Immigration), 2015 FC 102 at paras 79-99, 120-122) that it had
possibly been prepared on the basis of incorrect parameters. I wrote at
paragraph 122 of the amended order and reasons that all the documents at
the officer’s disposal during the processing of the application were presumed
to be relevant and should have been included in the CTR. However, the officer’s
examinations on affidavit, which took place after the release of my amended
order and reasons, revealed that the CTR was indeed prepared with only those
documents that were still in the officer’s possession and that she considered
relevant to the decision she had to render. The original CTR was therefore not
prepared in accordance with the parameters that I described in my amended order
and reasons.
[164] However, there is no evidence that the officer acted knowingly and
in bad faith for the purpose of hiding information from the applicant. She
prepared the record according to the parameters that the respondent considered
appropriate. She admitted to having made certain errors and finding some of the
documents on her computer. I also note that she made inaccurate statements in
stating that she had not had any direct contact with the CBSA officer, while
the CTR shows that she did have certain exchanges with CBSA officers who did
not go through Section B. However, I find that these errors and
contradictions do not indicate that the officer acted in bad faith or wished to
hide information. The file was processed over a very long period and involved a
significant number of exchanges and the handling of many documents, which could
explain certain contradictions and omissions, which, in my view, did not affect
the essential elements of the record.
[165] The discrepancies between the interview notes that the officer
shared with the CBSA and the version provided to the applicant are translation
errors of no bearing on the processing of the file. The officer recognized that
certain errors may have crept in because she had translated the applicant’s responses
into English before sending them to the CBSA. However, since the officer based
her analysis on her own interview notes, no harm could have resulted from any
errors that may have crept into the summary sent to the CBSA.
[166] I also reject the applicant’s claim that the officer’s notes are
replete with comments and insinuations that demonstrate a bias against the
applicant. The officer described some of the applicant’s reactions during the
interview and commented on some of his answers, but none of the comments
implies a bias or demonstrates that the officer’s notes do not faithfully
reflect what happened during the interview. Furthermore, nothing in the
officer’s notes indicates that she conducted the interview improperly, unfairly
or unreasonably. She asked the applicant many questions that were all, in my
view, relevant and objective.
[167] I also find that no inference of bad faith or reasonable
apprehension of bias can be drawn from the officer’s notes on the complaint
filed by the applicant on April 30, 2013. The officer admitted that when
she learned about the complaint, she mistakenly believed that the French
investigation into [translation]
“ill-gotten gains” meant that he had been charged, but she clearly indicated
that she knew, when the time came to render her decision, that he had not.
[168] The applicant also argues that the email sent by the officer on
June 5, 2012, in which she indicated that there were no grounds for
refusal apart from security grounds, demonstrated bias. I disagree. It is
merely an indication that the only elements that could raise concerns about the
applicant’s permanent residence application involved the possibility of
inadmissibility based on security grounds.
[169] With respect to the communication that the officer had with the
investigating judge, who was responsible for the investigation on [translation] “ill-gotten gains”, I find
that it was inappropriate, but that alone is not sufficient to raise a
reasonable apprehension of bias or unfair treatment. I understand from the
record that the officer was trying to find out when the investigation would
conclude because any resulting charges would have been relevant to the decision
she had to render. In fact, the CBSA, in its opinion of November 1, 2012,
suggested that the Immigration Section talk to the French authorities to find
out whether the applicant had been charged following the investigation. No
information was sent to the officer by the investigating judge or his office
because it was confidential, and the officer’s inquiries remained unanswered. I
therefore find that it was unhelpful and inappropriate for the officer to
contact the office of the investigating judge, but that these communications
did not raise a reasonable apprehension of bias because their purpose was to
find out whether the investigation was nearing its conclusion. Possible charges
or an absence of charges following the investigation would have been relevant
to the decision that the officer was to make.
[170] There was some confusion regarding the number of times the officer
contacted the office of the investigating judge, but there were no false
statements.
[171] Nor do I find any unfairness or bias in the processing of the
complaint filed by the applicant on April 30, 2013. The record indicates
that the officer was aware of the complaint and probably discussed it with her
superior, but she is clearly not the one who dealt with it. The complaint was
addressed and rejected by Mr. Gilbert. In this case, I find that the
officer did not have a duty to address this complaint in her affidavit of
September 24, 2014, because the complaint had no impact on her processing
of the applicant’s permanent residence application.
[172] Finally, contrary to the applicant’s allegations, I find that the
documents that the officer asked the applicant to provide in her letter of
September 28, 2012, were all relevant.
B.
Errors of law
[173] Under paragraph 37(1)(a) of the IRPA, a person may be
declared inadmissible on the basis of membership in a criminal organization or
participation in organization-related activities (Thanaratnam at para
30; Mendoza v Canada (Minister of Public Safety and Emergency Preparedness),
2007 FC 934 at para 27, [2007] FCJ No 1204 [Mendoza]). In this
case, the officer concluded that there were reasonable grounds to believe that
the applicant was a member of a criminal organization and had
participated in that organization’s activities.
[174] The applicant submits that the officer committed three errors of law
warranting this Court’s intervention: (1) she applied the wrong standard of
proof, (2) she failed to identify the criminal organization at issue, and (3)
she failed to identify the alleged offences in foreign law and their
equivalents in Canadian law.
(a)
Standard of proof
[175] The standard of proof applicable to inadmissibility for organized
criminality is the “reasonable grounds to believe” standard set out at
paragraph 33 of the IRPA:
33. The facts that
constitute inadmissibility under sections 34 to 37 include facts
arising from omissions and, unless otherwise provided, include facts for
which there are reasonable grounds to believe that they have occurred, are
occurring or may occur.
|
33. Les faits —
actes ou omissions — mentionnés aux articles 34 à 37 sont, sauf
disposition contraire, appréciés sur la base de motifs raisonnables de croire
qu’ils sont survenus, surviennent ou peuvent survenir.
|
[176] In her decision, the officer mentioned this standard of proof
several times in support of her findings.
[177] The applicant submits that the officer applied the wrong standard.
Relying on R v MacDonald, 2014 SCC 3 at paras 41, 69, [2014]
1 SCR 37 [MacDonald], particularly on the concurring opinions of
Justices Moldaver and Wagner endorsed by Justice Rothstein, he alleges
that the “reasonable grounds to believe” standard refers to the standard of
“reasonable and probable grounds” and that this standard must be objectively
verifiable.
[178] The respondent submits that the Supreme Court of Canada dealt with
the applicable standard of proof in Mugesera v Canada (Minister of
Citizenship and Immigration), 2005 SCC 40 at para 114, [2005]
2 SCR 100 [Mugesera], and he refutes the applicant’s position. He
argues that the authorities cited by the applicant were rendered in a
non-criminal-law context and that there is no reason to depart from the
standard recognized in Mugesera.
[179] In Mugesera, the Supreme Court of Canada determined the
standard of proof required by paragraph 19(1)(j) of the former Immigration
Act, RSC 1985, c I-2, which set out that persons were inadmissible if there
were reasonable grounds to believe they had committed an act or omission
outside Canada that constituted a war crime or a crime against humanity that
would have constituted an offence against the laws of Canada if it had been
committed in Canada. The Court found, at paragraph 114, that the “reasonable grounds to believe” standard “requires something more than mere suspicion, but less than the
standard applicable in civil matters of proof on the balance of
probabilities: . . . . In essence, reasonable grounds
will exist where there is an objective basis for the belief which is based on
compelling and credible information . . .”. The Supreme
Court also set out, at paragraph 116, that this standard applied only to
questions of fact, and that the follow-up issue of whether the facts in the
case met the requirements of the offence at issue, in that case a crime against
humanity, constituted a question of law.
[180] The principles set out by the Supreme Court in Mugesera are
applicable to the determination of the standard to be applied in this
case. Section 33 of the IRPA imposes the same standard of inadmissibility
for crimes against humanity as for organized criminality, and the case law of
this Court on inadmissibility for organized criminality applies the Mugesera
principles (Castelly v Canada (Minister of Citizenship and Immigration),
2008 FC 788 at para 13, [2008] FCJ No 999; Lai v Canada (Minister
of Public Safety and Emergency Preparedness), 2014 FC 258 at para
11, [2014] FCJ No 282 [Lai FC], upheld on the ground that a general
question had been incorrectly certified by 2015 FCA 21, [2015] FCJ No 125
[Lai FCA]).
[181]
In MacDonald, the Supreme Court was
called upon to determine the lawfulness of a safety search carried out by a
police officer without a warrant. The majority held that such a search could be
authorized if the police officer had reasonable grounds to believe that there
was a threat to the safety of the public or the police, while the concurring
judges, Justices Moldaver and Wagner, with Justice Rothstein’s
endorsement, were of the view that reasonable grounds to suspect were enough.
Justice LeBel, writing for the majority, expressed the following test for
determining the “reasonable grounds to believe” that a police officer must have
in a given context:
41 But although I acknowledge the
importance of safety searches, I must repeat that the power to carry one out is
not unbridled. In my view, the principles laid down in Mann and
reaffirmed in Clayton require the existence of circumstances
establishing the necessity of safety searches, reasonably and objectively
considered, to address an imminent threat to the safety of the public or the
police. Given the high privacy interests at stake in such searches, the search
will be authorized by law only if the police officer believes on reasonable
grounds that his or her safety is at stake and that, as a result, it is
necessary to conduct a search (Mann, at para. 40; see also para. 45).
The legality of the search therefore turns on its reasonable, objectively
verifiable necessity in the circumstances of the matter (see R. v. Tse,
2012 SCC 16, [2012] 1 S.C.R. 531, at para. 33). As the Court stated in Mann,
a search cannot be justified on the basis of a vague concern for safety.
Rather, for a safety search to be lawful, the officer must act on
“reasonable and specific inferences drawn from the known facts of the situation”
(Mann, at para. 41).
[Emphasis added.]
[182] The applicant relies on the following passage of the reasons of
Justices Moldaver and Wagner:
[69] Read in isolation, the “reasonable
grounds to believe” language connotes the “reasonable and probable grounds”
standard. See Baron v. Canada, [1993] 1 S.C.R. 416, at p. 447. But one
cannot stop reading there, because the concept of being “at risk” inherently
builds in the concept of possibility. See, e.g., the Oxford English
Dictionary (online), sub verbo “risk” (“the possibility of
loss, injury, or other adverse or unwelcome circumstance; a chance or situation
involving such a possibility” (emphasis added)).
[70] The language of Mann thus
appears to stack a probability on top of a possibility — a chance upon a
chance. In other words, Mann says a safety search is justified if it is
probable that something might happen, not that it is probable
that something will happen. As this Court only recently explained, the
former is the language of “reasonable suspicion” (R. v. MacKenzie, 2013
SCC 50, [2013] 3 S.C.R. 250, at para. 74). The latter is the language of
“reasonable and probable grounds”.
[183] I do not believe that the Court’s statements in MacDonald had
the effect of changing the definition it had given to the standard of proof of
“reasonable grounds to believe” in the IRPA context. First, MacDonald was
rendered in a criminal context, not in the context of the application of the
IRPA. Second, MacDonald was rendered several years after Mugesera,
and the Court neither set aside nor even addressed the definition adopted in Mugesera.
Finally, I do not understand Justice LeBel’s statements in MacDonald to
be requiring that the standard of reasonable grounds to believe correspond to a
standard of “reasonable and probable grounds”, and the statements of
Justices Moldaver and Wagner must be read in their context.
[184] I therefore find that the officer set out the correct standard of
proof.
(b)
Failing to specify the criminal organization
[185] The applicant submits that the officer erred in law by failing to
identify in either the fairness letter or her reasons the criminal organization
of which he was a member. The applicant maintains that the existence of a
criminal organization, which must be specified, is required for a finding of
inadmissibility for organized criminality, for both the first part of
paragraph 37(1)(a) of the IRPA (membership) and the second
(engaging in the activities of a criminal organization). The applicant argues
that it was clearly insufficient for the officer to state that he was allegedly
a member of criminal group through his family connections and/or his
involvement in a corporate structure whose criminal and organized nature is
supposedly corroborated by the presence and involvement of ASG, without
specifically identifying the organized group in question. Among other cases, he
relies on Thanaratnam at paras 23, 30-31, Mendoza at para
27 and Sittampalam v Canada (Minister of Citizenship and Immigration),
2006 FCA 326, [2006] FCJ No 1512 [Sittampalam].
[186]
The respondent, on the other hand, submits that
the term “organization” employed at paragraph 37(1)(a) of the IRPA
must be given a broad and unrestricted interpretation and that the case law
calls for a flexible, contextual approach to ensure that this provision is
applied in accordance with the objectives set forth in paragraphs 3(1)(h)
and (i) of the IRPA, namely, to maintain the security of Canadians,
promote justice and security and deny access to Canadian territory to persons
who are criminals or security risks (Sittampalam at paras 36-39 and
R v Venneri, 2012 SCC 33 at paras 28-29, [2012] 2 SCR 211 [Venneri])
[187]
The respondent does argue that the organization
at issue is made up of, among others, the applicant; President DSN; the
administrators of Socotram; ASG and the companies he set up on the respondent’s
behalf, including Matsip, TS, International Shipping S.A., St-Philibert and
Canaan; and he submits that the applicant is the beneficiary of this
organization. The respondent suggests that the composition of the criminal
organization appears from the decision itself, even though the officer did not
spell it out explicitly.
[188]
In Sittampalam, the Federal Court of
Appeal did adopt a flexible approach to the interpretation of “criminal
organization”, which is not defined in the IRPA:
37 Paragraph 37(1)(a) appears to be
an attempt to tackle organized crime, in recognition of the fact that
non-citizen members of criminal organizations are as grave a threat as
individuals who are convicted of serious criminal offences. It enables
deportation of members of criminal organizations who avoid convictions as
individuals but may nevertheless be dangerous.
38 Recent jurisprudence supports this
interpretation. In Thanaratnam v. Canada (Minister of Citizenship and
Immigration), [2004] 3 F.C.R. 301 (T.D.), reversed on other grounds,
[2006] 1 F.C.R. 474 (C.A.), O'Reilly J. took into account various factors
when he concluded that two Tamil gangs (one of which was the A.K. Kannan gang
at issue here) were “organizations” within the meaning of paragraph 37(1)(a) of
the IRPA. In his opinion, the two Tamil groups had “some characteristics of an
organization”, namely “identity, leadership, a loose hierarchy and a basic
organizational structure” (para. 30). The factors listed in Thanaratnam,
as well as other factors, such as an occupied territory or regular meeting
locations, both factors considered by the Board, are helpful when making a
determination under paragraph 37(1)(a), but no one of them is essential.
39 These criminal organizations do
not usually have formal structures like corporations or associations that have
charters, bylaws or constitutions. They are usually rather loosely and
informally structured, which structures vary dramatically. Looseness and
informality in the structure of a group should not thwart the purpose of IRPA.
It is, therefore, necessary to adopt a rather flexible approach in assessing
whether the attributes of a particular group meet the requirements of the IRPA
given their varied, changing and clandestine character. It is, therefore,
important to evaluate the various factors applied by O’Reilly J. and other
similar factors that may assist to determine whether the essential attributes
of an organization are present in the circumstances. Such an interpretation of
“organization” allows the Board some flexibility in determining whether, in
light of the evidence and facts before it, a group may be properly
characterized as such for the purposes of paragraph 37(1)(a).
[189] In Venneri, at paras 28-29, the Supreme Court also confirmed
the need for flexibility in the legal definition of a criminal organization
within the meaning of the Criminal Code.
[190] I therefore agree without hesitation that a liberal interpretation
of “criminal organization” is needed to help achieve the objectives of the
provisions enabling the declaration of certain persons as inadmissible.
[191] However, I am of the view that the organization in question must at
least be identified in the decision declaring a person inadmissible on grounds
of organized criminality. The existence of a criminal organization constitutes
an essential element of inadmissibility under paragraph 37(1)(a) of
the IRPA. In all of the examples submitted by the parties, the organization at
issue was identified.
[192] I am of the view that the difficulty of precisely identifying a
nameless organization does not relieve the officer handling the file and
declaring a person inadmissible from identifying the criminal organization at
issue.
[193] In this case, the officer merely indicated that she had reasonable
grounds to believe that the applicant was a member of a criminal group [translation] “through
his family connections”. In her decision, she does address President DSN
and his alleged influence over the transaction between TS and GGSC, just as she
mentions the Nguesso family’s sphere of influence, but without specifying who
makes up the criminal organization in question. The officer also refers to ASG,
but it is unclear whether she believes that he belongs to the criminal
organization at issue or whether his involvement in the corporate structure is
instead the demonstration of the criminal and organized nature of the
applicant’s alleged activities.
[194] I therefore find that it was insufficient to state that the
applicant was a member of a criminal organization on the basis of his family
connections without further identifying or describing the composition of the
organization. Is the group limited to DSN and the applicant, or does it include
the administrators of Socotram, ASG and certain companies in which the
applicant holds shares? A reading of the officer’s decision does not allow me
to answer that question.
[195] The respondent submits that the organization in question was
difficult to identify, but he proposes a relatively precise composition. The
problem with the respondent’s proposal is that it represents a non-negligible
addition to what can be found in the officer’s decision.
[196] In Newfoundland and Labrador Nurses’ Union v Newfoundland and
Labrador (Treasury Board), 2011 SCC 62 at para 15, [2011]
3 SCR 708, the Supreme Court recognized that a reviewing court may look to
the administrative tribunal’s record for the purpose of assessing the
reasonableness of the outcome, with the caveat that courts should not substitute
their own reasons for those of the decision-maker (see also Alberta
(Information and Privacy Commissioner) v Alberta Teachers’ Association,
2011 SCC 61 at para 54, [2011] 3 SCR 654). I am of the view that
this is what the respondent is asking this Court to do. Justice Rennie’s
remarks in Komolafe v Canada (Minister of Citizenship and Immigration),
2013 FC 431 at para 11, [2013] FCJ No 449, strike me as being
applicable to this case:
11 Newfoundland Nurses is not
an open invitation to the Court to provide reasons that were not given, nor is
it licence to guess what findings might have been made or to speculate as to
what the tribunal might have been thinking. This is particularly so where the
reasons are silent on a critical issue. It is ironic that Newfoundland Nurses,
a case which at its core is about deference and standard of review, is urged as
authority for the supervisory court to do the task that the decision maker did
not do, to supply the reasons that might have been given and make findings of
fact that were not made. This is to turn the jurisprudence on its head. Newfoundland
Nurses allows reviewing courts to connect the dots on the page where the
lines, and the direction they are headed, may be readily drawn. Here, there
were no dots on the page.
[197] I therefore find that by not specifying the criminal organization in
question and by not providing sufficient indications of its composition, the
officer erred in law, which makes her decision unreasonable, because an
essential element is missing in the application of s. 37(1)(a) of the
IRPA. I am of the view that ratifying such an omission would give the concept
of criminal organization an overly broad interpretation that would allow for
people to be declared inadmissible without any certainty about the criminal organization
to which they are accused of belonging or the activities in which they are
accused of participating.
(c)
Failure to identify the alleged Canadian
criminal offences
[198]
The applicant alleges that the officer committed
another error of law in failing to associate the alleged activities with
Canadian criminal offences. He also submits that the officer had a duty to
perform an equivalence exercise between the alleged offences under Congolese
law and their Canadian-law equivalents. The applicant alleges that in
performing such an exercise, the officer should have identified the relevant
criminal legislation or provisions corresponding to the offences she alleged he
had committed and then identified the corresponding offences in Canadian law.
[199]
Furthermore, the applicant argues that the
offences of misappropriation of company property in French law do not exist in
Canada and are not equivalent to the offence of fraud. He also adds that if
fraud may be considered a malum in se offence (an offence that by its
very nature may be considered an offence in all civilized nations), this was
not raised by the officer. Moreover, paragraph 37(1)(a) of the IRPA
and the case law require the demonstration of the essential elements of the
offence at issue. The applicant relies on Lai FC and Lai FCA.
[200]
The respondent admits that the officer did not
clearly identify the Canadian-law equivalents of the alleged offences. However,
he submits that while there is no particular equivalence in Canada for
embezzlement of funds and misappropriation of company property, these offences
are covered by the offence of fraud set out in subsection 380(1) of the Criminal
Code. He adds that there was no need for the officer to address these
crimes in more detail because they are mala in se offences.
[201] As for the money laundering, the respondent alleges that it
constitutes laundering the proceeds of crime within the meaning of
section 462.31 of the Criminal Code in addition to being
prohibited by international law at section 23 of the United
Nations Convention against Corruption, UN Doc A/RES/58/4.
[202]
The respondent finally submits that tax evasion
is also covered by subsection 380(1) of the Criminal Code in
addition to being sanctioned by several provisions, including
subsection 239(1) of the Income Tax Act, RSC 1985, c 1(5th Supp).
Moreover, when the offence of fraud involves subject-matter whose value exceeds
$5,000, it is an indictable offence, which is required for the application of
paragraph 37(1)(a) of the IRPA.
[203] I do not feel that it was necessary in this case to identify and
analyze the equivalent offences in foreign law. However, the officer made an
error of law warranting the Court’s intervention by failing to identify the
relevant offences under Canadian law, identify the essential elements of these
offences and explain how the evidence resulted in reasonable grounds to believe
that the essential elements of these offences were committed.
[204] The concept of equivalent offences was developed mainly in the
context of inadmissibility on grounds of criminality under
section 36 of the IRPA, when a person was declared guilty of an
offence by a foreign jurisdiction. In that context, the decision-maker must
ensure that the offence of which the individual has been found guilty is
equivalent to an offence under a Canadian law, either by comparing the text of
the foreign legislation to that of the Canadian legislation, by examining the
evidence that was before the foreign jurisdiction to verify whether it matches
the essential elements of the corresponding offence under Canadian law (Hill
v Canada (Minister of Citizenship and Immigration), 73 NR 315 at
p 350, [1987] FCJ No 47, Brannson v Canada (Minister of Employment and
Immigration), [1981] 2 FC 141 at paras 4-6,
1980 CarswellNat 161F).
[205] In Park v Canada (Minister of Citizenship and Immigration),
2010 FC 782 at paras 14‑15, [2010] FCJ No 958,
Justice Mosley summarized the state of the law as follows, also in a
context in which the person in question was found guilty of offences in a
country other than Canada:
14 According to Hill v. Canada
(Minister of Employment and Immigration), (1987), 1 Imm. L.R. (2d) 1,
[1987] F.C.J. No. 47, to determine that the offence at issue committed abroad
would be an offence under an Act of Parliament if it had been committed in
Canada, it must be established that the essential elements of both offences are
equivalent. Equivalency can be verified in three ways, one of which is by
comparing the precise wording in each statute both through documents and, if
available, through the evidence of an expert or experts in the foreign law and
determining therefrom the essential ingredients of the respective offences: Kharchi,
above, at para, 32.
15 As was found by Justice de
Montigny in Qi v. Canada (Minister of Citizenship and Immigration),
2009 FC 195, [2009] F.C.J. No. 264, at para. 24, “it is now well-settled
that foreign criminal law may be proved without expert evidence in determining
criminal inadmissibility in the immigration context. The decision-maker may
rely on expert evidence if it is available, but may also rely on the foreign
and domestic statutory provisions and the totality of the evidence, both oral
and documentary: see, e.g., Hill v. Canada (Minister of Employment and
Immigration) (1987), 73 N.R. 315, 1 Imm. L.R. (2d) 1 (F.C.A.); Li v.
Canada (Minister of Citizenship and Immigration), [1997] 1 F.C. 235
(F.C.A.).”
[206] This exercise ensures that a person’s acts are always evaluated in
accordance with Canada’s standard for criminal law, in particular to protect
those coming from countries where the criminal law is harsher:
35 On the other side of the coin, as
we well know, some countries severely, even savagely, punish offences which we
regard as relatively minor. Yet Parliament has made clear that it is the
Canadian, not the foreign, standard of the seriousness of crimes, as measured
in terms of potential length of sentence, that governs admissibility to Canada.
The policy basis for exclusion under paragraph 19(1)(c) must surely be
the perceived gravity, from a Canadian point of view, of the offence the person
has been found to have committed and not the actual consequence of that finding
as determined under foreign domestic law. If that is the policy basis, there
seems to me no reason why the Canadian standard ought not to apply uniformly to
all persons seeking admission regardless of where an offence was committed.
[Canada (Minister of Employment and
Immigration) v Burgon, [1991] 3 FC 44 at p 50, [1991] FCJ No 149
(CA) (J. Mahoney)]
[207] When a person is found guilty of a crime abroad whose scope is wider
than the crime sanctioned by Canadian law, the decision-maker must review the
evidence of the acts committed in order to verify whether the essential
elements of the Canadian offence are truly present. For example, in Steward
v Canada (Minister of Employment and Immigration), [1988] 3 FC
487 at para 9, [1988] FCJ No 321 (CA), the applicant had been found
guilty of arson in the State of Oklahoma. However, the American offence at
issue included fires caused by negligence, while the offence under Canadian law
required an element of intentionality. The Court held that the decision-maker
had to examine the evidence of the acts committed in order to ensure that the
intentional element required under Canadian law was present. In this way, the
Canadian standard remains the standard of reference for inadmissibility.
[208] However, in a context where there is no finding of guilt in the
foreign country and the inadmissibility is merely founded on acts committed
abroad, I am of the view that it is unnecessary to identify the potential
foreign-law offences and compare them with the Canadian law.
Paragraph 37(1)(a) of the IRPA simply states that the organized
activities must be in furtherance of the commission of “an
offence outside Canada that, if committed in Canada, would constitute such an
offence”. In my view, this paragraph does not require a determination of
whether the acts at issue are prohibited by foreign law. The important thing is
to assess whether the acts committed would be punishable by indictment in accordance
with a Canadian Act of Parliament. The foreign law is only relevant to the
extent that it enables one to assess the probative value of a conviction by a
foreign jurisdiction as evidence that the acts committed correspond to an
offence under Canadian law. Otherwise, it suffices to assess directly whether
the evidence establishes reasonable grounds to believe that the person
committed acts that, if committed in Canada, would be punishable by indictment
in accordance with federal legislation. This exercise requires that the
offences under Canadian law and their essential elements be identified.
[209] This is what the Supreme Court did in Mugesera; it provided a
detailed analysis of the essential elements of the alleged offences under
Canadian law and the evidence that supported them, simply presuming that
Rwandan law would produce the same result. Moreover, the case law on
paragraph 36(1)(c) of the IRPA, which covers inadmissibility on
grounds of serious criminality in cases where there has been no conviction in
the foreign jurisdiction, does not lend itself to an equivalence exercise. It
does, however, require that the acts committed raise reasonable grounds to
believe that an offence under Canadian law has been committed (see e.g. Bankole
v Canada (Minister of Citizenship and Immigration), 2011 FC 373,
[2011] FCJ No 481; Magtibay v Canada (Minister of Citizenship and
Immigration), 2005 FC 397, [2005] FCJ No 498).
[210] I agree that in Lai FC, Justice Hughes found that an
equivalence exercise was necessary, despite the fact that there do not seem to
have been any foreign declarations of guilt in that case. However, Justice
Hughes held that, regardless, detailed evidence of equivalence was not
necessary in that case because the alleged crimes were mala in se, or
crimes condemned throughout the world. In Lai FCA, the Federal Court of
Appeal affirmed this finding that the certified question on the need to
perform an equivalence exercise was therefore not dispositive of the appeal.
Therefore, I find that the judgments in Lai have not resolved the issue
about the need to perform an equivalence exercise when inadmissibility is not
based on a finding of guilt by a foreign jurisdiction.
[211] However, I find that it is critical for the officer to identify the
offences under Canadian law at issue, as well as their essential elements, and
to assess the evidence before her with respect to the essential elements of
these offences. According to section 33 and paragraph 37(1)(a)
of the IRPA, the officer declaring inadmissibility must have reasonable grounds
to believe that the organization engages in or has engaged in activities in
furtherance of the commission of an offence that, if committed in Canada, would
constitute an indictable offence under an Act of Parliament. Without such an indication
of the offence at issue and its essential elements, the decision is
unintelligible because it is silent on an essential criterion of
inadmissibility under paragraph 37(1)(a) of the IRPA.
[212] While the case law on organized criminality generally deals with
organizations whose criminal nature is not in doubt, this Court has overturned
decisions in analogous circumstances where the tribunal had not precisely
identified the alleged offences or how the acts committed corresponded to the
essential elements of those offences. For example, in Andeel v Canada
(Minister of Citizenship and Immigration), 2003 FC 1085, [2003] FCJ No
1399, Justice Noël overturned a decision in which a visa officer had
failed to specify which war crime the applicant had allegedly committed,
resulting in an unintelligible decision:
19 To determine the second issue,
whether the Visa Officer failed to consider the specific sections of the War
Crimes Act, the applicant submits that, in rendering his decision, the Visa
Officer did not establish which specific provision of section 4 to 7,
Ms. Haddad is supposed to have breached. I must agree with the applicant.
The decision provides no explanation as to which section or sections apply and
I am of the opinion that this lack of explanation constitutes a legal error. A
reader must be able to understand a Visa Officer’s decision and in this case I
do not understand how Sections 4 to 7 of the War Crimes Act apply to Ms.
Haddad's admission. If not for substantive reasons, for the mere sake of clarity,
an explanation and a specific reference to the applicable section is essential.
General reference to sections which are mutually exclusive does not give the
reader such clarity nor does it allow for proper understanding of the decision.
[213] Similarly, in Karakachian v Canada (Minister of Citizenship and
Immigration), 2009 FC 948 at para 39, [2009] FCJ No 1463, the
Court overturned a decision in which the visa officer failed to identify the
essential elements of the concept of terrorism and explain how the acts
committed by the applicant corresponded to the definition of terrorism within
the meaning of paragraph 34(1)(f) of the IRPA:
39 A close reading of the reasons
given by the officer for concluding that the ARF is a terrorist organization
and that the applicant was a member of that organization reveals several flaws.
First, nowhere in her decision does she specify what she means by the word
“terrorism”. Yet this is a concept which is at the very heart of paragraph
34(1)(f) and of which several definitions can be found in international
instruments and Canadian caselaw: see, among others, Suresh v. Canada
(Minister of Citizenship and Immigration), [2002] 1 S.C.R. 3. Although the
term as such is not defined in the Criminal Code, R.S.C. 1985, c. C-46,
the expressions “terrorist activity” and “terrorist group” are defined in
subsection 83.01(1). This Court has stated on more than one occasion that an
immigration officer must indicate in clear terms what constitutes terrorism and
how the concept applies in the specific case of the applicant who is denied a
visa: Jalil v. Canada (Minister of Citizenship and Immigration), [2006]
4 F.C.R. 471; Naeem v. Canada (Minister of Citizenship and Immigration),
2007 FC 123; Mekonen v. Canada (Minister of Citizenship and Immigration),
2007 FC 1133; Beraki v. Canada (Minister of Citizenship and Immigration),
2007 FC 1360.
[214] I am of the view that these principles are transferrable to
organized criminality, in the sense that an officer who declares one
inadmissible on this ground must indicate which offences under Canadian law
have allegedly been committed by the organization or the applicant, as well as
their essential elements, then explain how the evidence provides reasonable
grounds to believe that the offences have been committed.
[215] In this case, the officer concluded that she had reasonable grounds
to believe that the applicant had contributed to a system of embezzlement,
money laundering and misappropriation of company property. Although the officer
also refers on the last page of her decision to the fact that the financial
arrangements in which the applicant allegedly participated constituted an asset
concealment system to evade taxes, she reiterated in the following paragraph
that the criminal activities at issue were limited to embezzlement,
misappropriation of company property and money laundering.
[216] However, the officer did not identify the precise offences under
Canadian law to which the acts alleged to have been committed by the applicant
corresponded, and so she necessarily failed to identify their constituent
elements or assess the evidence in light of those elements. Counsel for the
respondent attempted to perform this exercise themselves by pointing to
provisions of the Criminal Code and case law relating to fraud, but as
with the issue of the identity of the criminal organization at issue, I find
that this goes above and beyond the reasons for the decision and cannot [translation] “save” it.
[217] I therefore find that the errors of law committed by the officer are
determinative and affect the intelligibility of the decision, so that it cannot
be considered reasonable.
[218] Because the officer neither identified the alleged offences under
Canadian law nor assessed the evidence in light of the essential elements of
those offences, I find it impossible to address the reasonableness of the
officer’s assessment of the evidence.
[219] I also find that it would be inappropriate in this case for the
Court to grant the applicant’s requested remedy and dictate the outcome of the
new review by ordering the officer to accept the applicant’s permanent
residence application (Kahlon v Canada (Minister of Employment and
Immigration), [1986] 3 FC 386, [1986] FCJ No 930).
VIII.
Certification
[220] The applicant submits that no question should be certified. The
respondent also submits that no question should be certified, but he proposes
that because there is an application for leave to appeal the judgment rendered
in Lai FCA to the Supreme Court of Canada (Docket #36361), I could
consider certifying the question that Justice Hughes certified in Lai
FC, which reads as follows:
In section 37(1)(a) of the Immigration
and Refugee Protection Act, does the phrase “in furtherance of the
commission of an offence outside Canada that, if committed in Canada, would
constitute such an offence” require evidence of the elements of a specific
foreign offence and an equivalency analysis and finding of dual criminality
between the foreign offence and an offence punishable under an Act of
Parliament by way of indictment.
[221] Paragraph 74(d) of the IRPA prescribes the criterion for
having a question certified, namely that the case involves a serious question
of general importance. It is well established that a question should only be
certified if it is a serious question of general interest that transcends the
interests of the parties to the litigation and would be dispositive of the
appeal (Canada (Minister of Citizenship and Immigration) v Liyanagamage
(1994), 176 NR 4 at para 4, [1994] FCJ No 1637; Zazai v
Canada (Minister of Citizenship and Immigration), 2004 FCA 89 at
para 11, [2004] FCJ No 368; Lai FCA, at para 4).
[222] I find that the question, as proposed, would not necessarily be
dispositive of the appeal. However, I am of the view that my conclusions raise
questions that transcend the interests of the parties and that would be
dispositive of the appeal, in particular my finding that the officer erred in
law by failing to identify the criminal organization at issue and the precise
offences under Canadian law along with their essential elements. I will
therefore certify the following questions:
1.
In the context of a declaration of
inadmissibility under paragraph 37(1)(a) if the IRPA, is it
necessary to identify the applicable criminal organization?
2.
At paragraph 37(1)(a) of the Immigration
and Refugee Protection Act, does the expression “or in furtherance of the
commission of an offence outside Canada that, if committed in Canada, would
constitute such an offence” require the identification of the provisions of a
federal law that are related to an offence punishable by indictment, the
identification of the constituent elements of the offence under Canadian law
and the proof of the constituent elements of the offence?