Docket: T-550-13
Citation:
2015 FC 882
Ottawa, Ontario, July 17, 2015
PRESENT: The
Honourable Mr. Justice LeBlanc
BETWEEN:
|
PAUL
ABI-MANSOUR
|
Applicant
|
and
|
THE ATTORNEY
GENERAL OF CANADA
|
Respondent
|
JUDGMENT AND REASONS
[1]
The Applicant seeks judicial review pursuant to
section 18.1 of the Federal Courts Act, RSC 1985, c F-7, of a decision
of the Public Service Staffing Tribunal (the Tribunal) dated March 6, 2013.
The Tribunal dismissed the Applicant’s complaint of abuse of authority made pursuant
to section 77(a) of the Public Service Employment Act, SC 2003, c 22
(the Act) in relation to an internal appointment process held by the Department
of Aboriginal Affairs and Northern Development Canada (the Department).
[2]
The Applicant alleges that the Department, by
using improper assessment methods and appointing persons who were unqualified
or less qualified than him, has discriminated against him on the basis of race
and national or ethnic origin and has, therefore, abused its authority within the
meaning of section 77(a) of the Act.
[3]
For the reasons that follow, the Applicant’s
judicial review application is dismissed.
I.
Background
A.
The Appointment Process at Issue
[4]
In June 2010, the Department launched a process
to fill a position of Human Resource Business Analyst at the AS-04 level and to
establish a pool of candidates for potential future staffing of similar
positions. The Applicant was one of 26 candidates to apply for the position.
The Job Opportunity Advertisement (the JOA) and the Statement of Merit Criteria
for this AS-04 Analyst position listed the following essential and asset
qualifications:
Essential Qualifications:
College diploma or an acceptable combination
of education, training and experience;
Two year experience in PeopleSoft Version 8
and/or 8.9 or equivalent system application;
Two year experience in participating in data
integrity activities such as data audit;
Two year experience in PeopleSoft or
equivalent system reporting.
Asset
Qualifications:
Experience in
PeopleSoft version 8 or 8.9 or equivalent system;
Experience in
providing or facilitating training on PeopleSoft;
Experience in
HR business analysing and system impact identification;
Experience in
project management.
[5]
Through the JOA, candidates were advised that
they “may be required to meet the asset qualifications
or the organizational needs, depending on the requirements of the specific
position being staffed”. In terms of “organizational
needs”, the JOA provided that the selection “may
be limited to candidates self-identifying as belonging to one of the following
Employment Equity Groups: Aboriginal people and Visible Minorities”.
[6]
The candidates were also informed of the need to
provide in support of their application a resumé as well as a cover letter
describing how they meet the requirements for the position to be staffed. The
JOA provided the details of the information the cover letter should contain:
In the cover letter, candidates are to use
the essential qualification experience and education statements from the Statement
of Merit criteria as headers and then provide concrete examples demonstrating
how they meet each of these requirements. Resumes will be used to validate the
experience and education information provided in the cover letter. Failure to
provide sufficient information may result in the candidate being screened out.
Also in the cover letter, candidates should identify which of the asset
criteria that they meet and provide concrete examples to demonstrate how they
meet them. A person may be appointed to the position even though he/she does
not meet any or all of the asset qualifications. However, meeting these
criteria is desirable and may be a deciding factor in choosing the person to be
appointed.
[7]
Of the 26 candidates who participated in the
appointment process, 11, including the Applicant, were screened into the
process. The merit assessment of these 11 candidacies consisted of a review of
their candidacy applications, an interview before a three-member assessment
panel and reference checks. Following that process, the Applicant as well as
five other people were found to meet the essential qualifications of the AS-04
Analyst position and placed in a pool of candidates. The five other people
placed in the pool were Mr. St-Goerges, Ms. Privalova, Ms. Morin, Ms. Verner
and Ms. Chauret.
B.
The Appointments and the Complaints
[8]
The first person from the pool to be appointed
to an AS-04 Analyst position was Mr. St-Goerges, an Aboriginal person. This
appointment was not challenged. Mss. Privalova, Morin and Verner, were then
also appointed to AS-04 Analyst positions in the Department’s Human Resources
and Workplace Services Branch (HRWS Branch), leaving the Applicant and Ms.
Chauret as the only remaining candidates in the pool.
[9]
The Applicant challenged those three
appointments by way of two complaints to the Tribunal that were eventually
consolidated. The basis of his complaints that the Department abused its
authority by discriminating against him was summarized as follows by the
Tribunal:
a. During the interview, one member of the
assessment panel questioned him using a technique that is normally used when
one thinks a person is lying while another member of that panel interacted with
him in an intimidating manner;
b. The assessment process was totally subjective,
with the result that he was marked lower than appropriate on certain questions
so that the assessment panel could justify the appointment of other candidates
than him; an objective written test would have permitted him to demonstrate
his strength in a objective manner;
c. References are not a valid tool to assess
qualifications and should only be used in the final stages of a selection
process, not as a basic selection tool, as was the case here;
d. The personal suitability questions were
based on the ‘local culture’ within the Department, with which he is not
familiar as he had never previously worked in this Department;
e. Email correspondence between a member of
the assessment panel and a senior human resources advisor shows that the
Department was looking for ways to eliminate him from the process;
f. Of the six persons in the pool of
candidates, only Mr. St-Goerges and him met the organization need set out in
the JOA in furtherance of the Department’s Employment Equity Plan but of the
two, he was the only one belonging to an under-represented group in the
Department; therefore, appointing Mr. St-Goerges and not him, was inconsistent
with the Plan, so was the appointment of Mss. Privalova, Morin and Verner,
three white women who do not meet the JOA’s organizational need;
g. His technical experience, education and
technical and analytical skills were superior to those of these three
appointees; in addition, it is not clear from the resumés, references, rating
guides and appointment rationales for these three persons how they met the
qualifications for the appointment: Ms. Privalova made very little mention of
PeopleSoft in her resumé and the information from her references is not
consistent with the rationale for her appointment; Ms. Morin failed the
interview and her references’ information does not demonstrate that she had the
experience described in the rationale for her appointment; as for Ms. Verner,
she had no technical background or in-depth experience in human resources and
her references did not support her appointment rationale that she had
experience in PeopleSoft training or in human resources business analysis;
h. Ms. Verner’s appointment was made in
retaliation for having filed a complaint concerning the appointments of Ms.
Privalova and Ms. Morin; and
i. Reports
show that in a majority of cases taken from a sample of 64 appointments at the
Department, the documentation on file does not permit to determine whether all
qualifications were assessed or that there was a clear link between qualifications
and the assessment. They also show that the Department developed an Employment
Equity Plan to ensure that it has fair employment systems and a representative
workforce so as to meet the requirements of the Employment Equity Act,
S.C. 1995, c. 44 and, therefore, remove employment equity barriers affecting
visible minorities in particular and close the gap between visible minority
representation and the workforce availability.
[10]
Since his complaints raised an issue involving
the interpretation or application of the Canadian Human Rights Act, RSC
1985, c H-6, the Applicant, as required by section 78 of the Act, notified the
Canadian Human Rights Commission of the issue. However, the Commission
informed the Tribunal that it did not intend to participate in the proceedings
brought forward by the Applicant.
[11]
Subsequently, two other persons – Ms. V and Mr.
B - were appointed in AS-04 Analyst positions in the HRWS Branch to replace Ms.
Privalova and Ms. Morin. One replacement was deployed from another position
and the other was appointed from a different appointment process. At the same
time, the Applicant was also eliminated from another appointment process
initiated by the Department for an EC-04 position.
[12]
The Applicant claimed before the Tribunal that the
Department appointed these two persons from outside the pool to avoid
appointing him to an AS-04 Analyst position. In particular, he contended that
if Ms. Chauret was not appointed to replace Ms. Privalova or Ms. Morin, it was
because he would stand out as being the only person left in the pool who had
not been appointed to a position. Finally, he contended that the decision to
eliminate him from this other appointment process was made to retaliate against
him.
C.
The Tribunal’s Decision
[13]
The Tribunal examined the following three
issues:
a. What is the role of the Tribunal in
addressing the Applicant’s concerns regarding employment equity?
b. Did the Department abuse its authority by
discriminating against the Applicant on the basis of race, national or ethnic
origin? and
c. Did the Department retaliate against the
Applicant for having filed his complaints?
[14]
On the first issue, the Tribunal concluded that
although it had no jurisdiction to consider whether a government department is
fulfilling its responsibilities under the Employment Equity Act, a role
vested in the Canadian Human Rights Commission, employment equity matters could
nonetheless be relevant to an abuse of authority analysis under section 77 of
the Act where such matters were established as an organizational need as
permitted by section 30(2)(b)(iii) of the Act. The Tribunal ruled that in such
cases, it had the authority to consider whether or not the department concerned
had regard to the identified organizational need when it selected a particular
candidate for a particular position.
[15]
As to the second issue, the Tribunal, applying
the tests developed in human rights jurisprudence, found that the
Applicant had established a prima facie case of discrimination. In
particular, it found that if believed and in the absence of an answer from the
Department, the Applicant’s evidence would demonstrate that the Department (i)
tried to unfairly eliminate him from the appointment process when one of his
references was unavailable, (ii) used assessment tools that were highly
subjective, (iii) appointed unqualified persons to positions, all of whom were
neither Middle Eastern, of Lebanese origin or visible minorities, (iv) included
him in the pool of qualified candidates with no intention of appointing him to a
position, (v) appointed women who are not underrepresented in the Department
rather than an underrepresented visible minority person, (vi) recruited from
outside the pool rather than to appoint him, and (vii) refused to appoint Ms.
Chauret so that he would not be the only person left in the pool without an
appointment.
[16]
Being satisfied that a prima facie case
of discrimination had been established, the Tribunal stated the burden was on
the Department to rebut the allegations upon which the prima facie case
of discrimination was based. It found that this burden had been successfully
met as it was satisfied that the Department had led convincing evidence
establishing that the Applicant’s race or national and ethnic origin were not
factors in its decision to appoint persons other than him. In particular, that
evidence showed, according to the Tribunal, that the Applicant was not
appointed to the AS-04 Analyst position because he did not have experience in
PeopleSoft and did not demonstrate on his application materials that he met the
other asset qualifications that were legitimately considered by the Department
in making the appointments at issue.
[17]
Finally, with respect to the third issue, the
Tribunal found that the Applicant’s allegations of retaliation were either
unfounded or entirely speculative.
II.
Issues
[18]
The Applicant claims that the present judicial
review application raises the following four issues:
a. Did the Tribunal breach procedural
fairness by refusing to deal with the allegation of abuse of authority in
appointing candidates who do not meet essential qualifications by being bias,
not thorough and neutral?
b. Did the Tribunal commit a jurisdictional
error in finding that it has no jurisdiction to deal with employment equity
matters?
c. Did the Tribunal err in dealing with the
discrimination allegation? and
d. Did the Tribunal err in dealing with the
retaliation allegation?
[19]
The Department contends that the sole issue to
be determined in this case is whether the Tribunal’s decision that the
Applicant failed to establish any abuse of authority, including that there was
no discrimination in the appointment process at issue, is reasonable.
[20]
Apart from the bias allegation, I agree that the
issues raised by the Applicant all come down to determining whether the Tribunal’s
decision is reasonable.
[21]
The parties have also raised a number of
preliminary matters which I will address first.
III.
Analysis
A.
Preliminary Matters
(1)
Style of Cause
[22]
The Department requests that the style of cause
be amended to remove “Department of Aboriginal Affairs”
as the respondent and replace it by the “Attorney
General of Canada” as the sole respondent. It claims that government
departments are not legal entities and are not to be made parties in
proceedings before the Court. The Applicant did not respond to that
preliminary matter.
[23]
The Department is correct: government
departments are not legal entities and cannot therefore be named as parties (Gravel
v Canada (Attorney General), 2011 FC 832, at para 6; Mahmood v Canada
(1998), 154 FTR 102, at para 14, 82 ACWS (3d) 898). Since, according to Rule
303(1)(a) of the Federal Courts Rules, SOR/98-196 (the Rules), it is not
proper to name the Tribunal as the respondent in these proceedings, the
Department shall be replaced by the Attorney General of Canada, as contemplated
by Rule 303(2). The style of cause will be modified accordingly.
(2)
Notice of Constitutional Question
[24]
Less than a week prior to the hearing of the
present proceedings, the Applicant served on the Department a Notice of
Constitutional Question raising issues under the Canadian Charter of Rights
and Freedoms. The Department opposed the filing of that Notice both because
of its lateness and its lack of specificity. At the hearing, I upheld the
Department’s objection to filing. Here are my reasons.
[25]
The filing of the Notice of Constitutional
Question in this case faces at least two insurmountable obstacles. First,
there was no constitutional argument before the Tribunal. In Boshra v
Canada (Attorney General), Docket T-789-10, December 21, 2011, the Court
held that constitutional questions should not be addressed on judicial review
when they were not raised with the Tribunal (Boshra, at para 7). This
stems from the well-established principle that constitutional issues, specially
Charter issues, should not – and must not – be decided on a factual
vacuum (Worthington v Canada (Minister of Citizenship and Immigration),
2004 FC 1546, 258 FTR 102 at paras 24-25; aff’d in 2006 FCA 30).
[26]
Second, the Notice did not comply with Section
57(2) of the Federal Courts Act which requires such notice to be
filed at least 10 days before the day on which the constitutional question is
to be heard. The notice requirement is mandatory, with two possible exceptions:
where Attorneys General consent, which is not the case here, or where there has
been de facto notice which, again, is not the case here. Apart from
those limited circumstances, this requirement cannot be ignored or waived by
the Court.
[27]
Here, not only was the Notice of Constitutional
Question not served and filed within the prescribed timeline, but it provided
no details whatsoever as to the basis of the constitutional challenge. This
total lack of specificity is fatal as courts “cannot
deal with constitutional arguments raised in a random and unstructured manner”
(Canada (Attorney General) v Misquadis, 2003 FCA 473, [2004] 2 FCR 108,
at para 50). At a minimum, a notice of constitutional questions must set out
the material facts and the legal basis for the constitutional question (Gitxsan
Treaty Society v Hospital Employee’s Union, [2001] 1 FC 135 (C.A.), [1999]
FCJ No. 1192 (QL), at para 11).
[28]
Here, the Notice of Constitutional Question met
neither of these requirements and was not filed within the 10-day delay
contemplated by section 57(2) of the Federal Courts Act. It was
therefore not acceptable for filing.
(3)
The Applicant’s affidavits in support of the
present proceedings
[29]
The Department claims that certain parts of the
two affidavits filed by the Applicant – a self-represented litigant - in
support of the present judicial review application go beyond statements of
facts and contain argument and opinion. It contends that this is the case of
paragraphs 8, 14, 17, 18, 20, 23, 24, 25, 26, 27, 28 of the June 14, 2013
affidavit and of paragraphs 8, 14, 21, 22, 24, 25, 28, 29, 30, 31, 32, 33 and
34 of the August 28 affidavit. The Department requests that these paragraphs
be struck out.
[30]
According to Rule 81(1), affidavits are to be
confined to facts within the personal knowledge of the deponent. Affidavits are
not the proper vehicle to provide opinion or to argue the case. The usual
remedy for an affidavit that contains portions that are opinionated and
argumentative is to strike those portions out. It is also open to the Court to
exercise its discretion by giving no weight or probative value to opinionated
and argumentative assertions in an affidavit (McEwing v Canada (Attorney
General), 2013 FC 525, 433 FTR 59, at para 107).
[31]
Here, I am satisfied that all the paragraphs of
the Applicant’s affidavits that the Department has identified as amounting to
opinion or argument are in fact opinionated and argumentative. I have opted to
give them no weight or probative value.
(4)
The attachments to the Department’s affidavit
[32]
In support of its position in the present proceedings,
the Department has filed an affidavit from Ms. Isabelle Larose, who is one of
its Senior Staffing Advisors. The Applicant claims that the attachments to
this affidavit should be struck as they are duplicative of his own exhibits
related to the complaint process and therefore irrelevant or as they consist of
cases and jurisprudence.
[33]
This claim has no merit. Duplication of court
materials is no ground for striking out exhibits. Information on the complaint
process must have been relevant as the Applicant himself speaks to it in his
own affidavits. Furthermore, in the absence of any transcript of the
proceedings before the Tribunal and given the nature of the Applicant’s
challenge to the Tribunal’s decision, that information was, in my view, relevant.
Finally, I have not been able to locate exhibits to Ms. Larose’s affidavit in
the nature of cases and jurisprudence. I can only speculate that the Applicant
is referring to the cases and jurisprudence that were included at volumes VI
and VII of the “Respondent’s Record” which,
again, is no ground for striking these materials from the record.
B.
Statutory Framework
[34]
Appointments in the federal public service are
the exclusive purview of the Public Service Commission (PSC). The PSC may
delegate that authority to deputy heads of federal departments who in turn, may
authorize any person to exercise or perform any of the powers and functions
delegated to them by the PSC (sections 11, 15 and 24 of the Act).
[35]
Section 30 (1) of the Act provides that
appointments to or from the federal public service “shall
be made on the basis of merit and must be free from political influence”.
These principles are the cornerstones of the appointment process in the federal
public service (Samatar v Canada (Attorney General), 2012 FC 1263,
[2014] 2 FCR 43, at para 83). Section 30(2) defines when an appointment is
made on the basis of merit. It reads as follows:
Meaning of merit
|
Définition du mérite
|
(2) An appointment is made on the basis of merit when
|
(2) Une nomination est fondée sur le mérite lorsque les conditions
suivantes sont réunies :
|
(a) the Commission is satisfied that the person to be appointed
meets the essential qualifications for the work to be performed, as
established by the deputy head, including official language proficiency; and
|
a) selon la Commission, la personne à nommer possède les
qualifications essentielles — notamment la compétence dans les langues
officielles — établies par l’administrateur général pour le travail à
accomplir;
|
(b) the Commission has regard to
|
b) la Commission prend en compte :
|
(i) any additional qualifications that the
deputy head may consider to be an asset for the work to be performed, or for
the organization, currently or in the future,
|
(i) toute qualification supplémentaire que
l’administrateur général considère comme un atout pour le travail à accomplir
ou pour l’administration, pour le présent ou l’avenir,
|
(ii) any current or future operational requirements of the
organization that may be identified by the deputy head, and
|
(ii) toute exigence opérationnelle actuelle ou future de
l’administration précisée par l’administrateur général,
|
(iii) any current or future needs of the organization that may be
identified by the deputy head.
|
(iii) tout besoin actuel ou futur de l’administration précisé par
l’administrateur général.
|
[36]
The Act provides that different geographic,
organizational or occupational criteria can be established by the PSC or the
person holding the appointment authority for “designated
groups” within the meaning of section 3 of the Employment Equity Act
than for other persons (section 34 of the Act). Designated groups within the
meaning of the Employment Equity Act are women, aboriginal peoples,
persons with disabilities and members of visible minorities.
[37]
For the purposes of determining whether a person
meets the qualifications referred to in sections 30(2)(a) and 30(2)(b)(i)
above, the PSC - or the person to whom PSC’s appointment authority has been
delegated - can use any assessment method, such as a review of past performance,
interviews and examinations, that it considers appropriate (section 36 of the
Act).
[38]
In Kilbray and Wersch v Canada (Attorney
General), 2009 FC 390, 344 FTR 203, the Court described this statutory
scheme as giving a deputy head “considerable discretion
when it comes to staffing and in making appointments” (Kilbray and
Wersch, at para 39). Then it described, at paragraph 41, the objective of
the reform that was brought to the Act in 2003:
The objective of the new PSEA was to reform
the previous service staffing regime because it was too complex and slow. The
new staffing system is directed at enabling managers to fill vacancies in a
timely fashion with qualified people. The new system no longer uses
competitions or relative merit concepts. Rather, the focus is on finding a
person who is a good fit for the job. This determination is made by the Deputy
Head of each department on delegation from the Public Service Commission. The
Deputy Head may then delegate to departmental directors or managers.
[39]
The Act’s new philosophy is echoed in the Act’s
preamble, which states that “delegation of authority
should be as low level as possible within the public service, and should afford
public service managers the flexibility necessary to staff, to manage and to
head their personnel to achieve results for Canadians” (see also Attorney
General of Canada v Lahlali, 2012 FC 601, 411 FTR 245, at para 16-17).
[40]
Section 77 of the Act provides that a person who
has not been appointed or proposed for an appointment can make a complaint to
the Tribunal when the person was not appointed or proposed for an appointment
by reason of an “abuse of authority” by the
Commission or the deputy head in the exercise of its or his/her authority under
section 30(2).
[41]
The Act does not provide an exhaustive
definition of the concept of “abuse of authority”
but it stipulates that reference to this concept in the Act “shall be construed as including bad faith and personal
favouritism” (subsection 2(4)).
According to the Federal Court of Appeal’s decision in Kane v Canada
(Attorney General), 2011 FCA 19, at para 66, Parliament’s intent in “limiting the Tribunal’s jurisdiction to adjudicate
employees’ complaints to instances of abuse of authority” was to “reduce the staffing delays, and overly intrusive
surveillance, associated with was effectively do novo appellate review
under the former Act”. Although the concept of abuse of authority shall
not be limited to instances of serious misconduct carrying a moral stigma or
requiring an element of intention, it requires more than an error or omission,
or even improper conduct (Lavigne v Deputy Minister of Justice and Public
Service Commission, 2009 FC 684, at para 62; Lahlali, above at para
38).
[42]
Abuse of authority complaints are determined by
a single member of the Tribunal “as informally and
expeditiously as possible” (section 98). When the Tribunal finds a
complaint to be substantiated, it may order the PSC or the deputy head to
revoke the appointment or not to make the proposed appointment and to take any
corrective action that it considers appropriate. The Tribunal is not empowered
however to order the Commission to make an appointment or to conduct a new
appointment process (sections 81 and 82).
[43]
The Act provides for some interplay with the Canadian
Human Rights Act. Section 80 empowers the Tribunal to interpret and apply
the Canadian Human Rights Act in considering whether a complaint under
section 77 is substantiated. Section 3 of that Act lists prohibited grounds of
discrimination as including race, and national or ethnic origin and section 7
provides that it is a discriminatory practice to, directly or indirectly,
refuse to employ any individual or, in the course of employment, differentiate
adversely in relation to an employee, on a prohibited ground of discrimination.
[44]
The reliefs listed in sections 53(2)(e) and
53(3) of the Canadian Human Rights Act are also available to the
Tribunal when ordering the Commission to take a corrective action (section
81(2)). Finally, complainants raising an issue involving the interpretation or
application of the Canadian Human Rights Act are obliged to notify the
Canadian Human Rights Commission of the issue (section 78). When so notified,
the Commission has the right to make submissions to the Tribunal with respect
to that issue (section 79(2)).
C.
Standard of Review
[45]
In a challenge of similar nature brought by the
Applicant against an appointment decision of the Department of Foreign Affairs
(Abi-Mansour v Department of Foreign Affairs, 2013 FC 1170), Justice Richard
Boivin, as he then was, at paras 54-55, held that the standard of
reasonableness was applicable to issues concerning abuse of authority,
including where issues of discrimination are the basis of the alleged abuse of
authority:
With respect to the other three (3) issues,
the reasonableness standard applies. In Dunsmuir v New Brunswick, 2008
SCC 9, [2008] 1 SCR 190 [Dunsmuir] the Supreme Court of Canada held
that a reviewing court does not have to conduct a standard of review analysis
where jurisprudence determined in a satisfactory manner the standard of review
applicable to the question before the court (Dunsmuir, above at para
62). The three questions concerning abuse of authority can qualify as
questions of mixed fact and law. They involve the interpretation of the PSEA
as well as provisions of the CHRA concerning employment discrimination,
that the PSST is allowed to interpret and that they are closely related to its
function. The jurisprudence has indicated that such decisions by the PSST are
reviewable under the reasonableness standard (Lavigne v Canada (Deputy
Minister of Justice), 2009 FC 684 at paras 42, 45, 46, 50, ]2009} FCJ No
827 (QL) ]Lavigne}; Alexander v Canada (Attorney General), 2011 FC 1278
at para 44, [2011] F.C.J. No. 1560 (QL) [Alexander]; Kilbray v Canada
(Attorney General), 2009 FC 390 at para 33, [2009] F.C.J. No. 531 (QL) [Kilbray];
Kane v Canada (Attorney General), 2011 FCA 19 at para 40, [2011] F.C.J.
No. 79 (QL); Jalal v Canada (Minister of Human Resources and Skills Development),
2013 FC 611 at para 31, [2013] F.C.J. No. 640 (QL); Canada (Attorney
General) v Lahlali, 2012 FC 601 at paras 22-23 [2012] F.C.J. No. 591 (QL) [Lahlali];
Smith v Canada (Attorney General), 2011 FC 1401 at para 21, [2011]
F.C.J. No. 1709 (QL).
The Court recalls that the role of reviewing
courts, when applying the reasonableness standard, is not to reweigh the
evidence that was before the decision-maker. They have to limit their
examination to "[...] the existence of justification, transparency and intelligibility
within the decision-making process" and should be concerned with
determining "whether the decision falls within a range of possible,
acceptable outcomes which are defensible in respect of the facts and law"
(Dunsmuir, above at para 47; Newfoundland and Labrador Nurses' Union
v Newfoundland and Labrador (Treasury Board), 2011 SCC 62 at paras 15-16,
[2011] 3 S.C.R. 708 [Newfoundland Nurses].
[46]
In a Judgment released on May 29, 2015 (Abi-Mansour
v Deputy Minister of Foreign Affairs and International Trade Canada, 2015
FCA 135), the Federal Court of Appeal upheld Justice Boivin’s Judgement. On
the standard of review issue in particular, the Court of Appeal held, at
paragraph 6, that the issues of abuse of authority and discrimination had
properly been reviewed on a standard of reasonableness.
[47]
This pretty much settles the issue. In
particular, it disposes of the Applicant’s argument that less deference should
be owed to the Tribunal when it considers a discrimination-based complaint
because of a lack of expertise in human rights matters.
[48]
To the extent the Applicant raises procedural
fairness concerns, the applicable standard of review is correctness (Abi-Mansour
v Deputy Minister of Foreign Affairs and International Trade Canada, above
at para 6). There is no disagreement between the parties on this issue.
D.
The Tribunal’s finding that the Applicant failed
to establish that the Department abused its authority in the appointment
process at issue is reasonable
[49]
As the Department correctly points out, in a
reasonableness analysis, it is not enough to disagree with the Tribunal’s
findings. The Applicant must demonstrate that the Tribunal’s finding that the
Department did not abuse its authority in the appointment process at issue is
not rationally supported by the evidence. More particularly, he must show that
the Tribunal’s finding that the Department has rebutted the allegations upon
which he based his prima facie case of discrimination by persuasively
explaining that the Applicant has failed to establish that he possessed the
qualifications being sought by the Department for the positions at issue,
including experience with the PeopleSoft software application, falls outside
the range of possible, acceptable outcomes which are defensible in respect of
the facts and law.
[50]
It is worthy of note that in conducting a
reasonableness analysis, one has to be mindful that in considering a complaint,
the Tribunal may examine the assessment process but it is not its role to
reassess candidates or redo an appointment process (Lahlali, above at
paras 39 and 42).
[51]
As in Abi-Mansour v Department of Foreign
Affairs, above, the Applicant is raising a myriad of arguments against the
Tribunal’s decision.
[52]
First, he contends that the Tribunal refused to
exercise its jurisdiction by not considering his Employment Equity concerns as
a separate issue from the discrimination issue. Then he claims that the
Tribunal committed a series of reviewable errors in its assessment of the
explanations provided by the Department to demonstrate that the Applicant’s
race or national and ethnic origin were not factors in its decision to appoint
persons other than him. The Applicant essentially contends in this respect
that the impugned decision is unreasonable to the extent the Tribunal:
-
ignored evidence that the “right fit” discretion is being generally used to
commit disguised discrimination;
-
found that a candidate to an appointment process
is not qualified if he or she does not possess the asset qualifications which,
by definition, are arbitrarily chosen by the employer;
-
accepted that his own application had been
objectively and properly assessed;
-
found that Ms. Morin met the essential
qualifications for the positions at issue;
-
failed to take into consideration that he was a
stronger candidate that Mss. Morin, Privalova and Verner and the two persons
appointed from outside the pool of the appointment process at issue;
-
failed to give any weight to the fact the
Department did not apply organizational needs despite the existence of gaps in
the representation of visible minorities in its workforce; and
-
found that he failed to establish that the
Department retaliated against him for having filed complaints with the
Tribunal.
(1)
The jurisdictional argument
[53]
The Applicant claims that the Tribunal had to
consider Employment Equity as a separate issue and not, as it did in this case,
as a component of the discrimination analysis. By failing to conduct a
separate Employment Equity analysis, the Applicant contends that the Tribunal
declined to exercise its jurisdiction, committing thereby a fatal
jurisdictional error.
[54]
This argument cannot succeed. It is correct to
say that the Federal Court of Appeal, in Lincoln v Bay Ferries Ltd.,
2004 FCA 204, made it clear that the Employment Equity Act was intended
to apply independently from the Canadian Human Rights Act and to impose
on employers “duties and obligations that are specific
to that legislation, that are to be enforced pursuant to that legislation and
that are unrelated to a complaint under section 7 of the Canadian Human Rights
Act” (Lincoln, at para 27).
[55]
However, this does not require the Tribunal to
do more than what is required by the Act in terms of Employment Equity. In my
view, the Tribunal, in the present case, properly described its role in this
respect. It first reminded that the responsibility of enforcing compliance
with the Employment Equity Act has been bestowed by Parliament to the
Canadian Human Rights Commission, not the Tribunal, meaning that the Tribunal
has no authority to consider whether a government department is fulfilling its
obligations under the Employment Equity Act. Second, it stated that
although the role of enforcing compliance with the Employment Equity Act
belongs to the Canadian Human Rights Commission, equity matters may nonetheless
be relevant to complaints made under the section 77 of the Act where a
department establishes an organizational need as a merit criterion, as it is
permitted to do under subsection 30(2)(b)(iii). In such instances, the
Tribunal has the authority, pursuant to subsection 77(1)(a) of the Act, to
determine whether the identified organizational need was duly taken into
consideration in the appointment process.
[56]
Contrary to the Applicant’s assertion, this
mirrors the position adopted by the Tribunal in Brown v Commissioner of
Correctional Services of Canada, 2011 PSST 0015. In that case, the Tribunal
provided useful guidance on the interaction between the Act and the Employment
Equity Act:
[68] It is useful at this point to
examine the purpose of the EEA and how that Act operates to better
understand the relation between that Act and this appointment process. The
purpose of the EEA is to correct conditions of disadvantage in
employment experienced by women, aboriginal peoples, persons with disabilities
and members of visible minorities (the designated groups) (s. 2). The Act sets
out several obligations on the employer in order to reach those goals. Among
them is the obligation to identify and eliminate barriers to employment for
employees in the designated groups and institute policies and practices that
will achieve a degree of representation in each occupational group in the
employer’s workforce that reflects their representation in the workforce in the
country (s. 5). The CHRC is responsible for enforcing the EEA (s. 22).
It does so through compliance audits. When the employer does not comply with
the EEA, the CHRC may issue a direction to the employer to remedy the
non-compliance (s. 25(2)). The employer may ask for a review of the direction
by an Employment Equity Review Tribunal established by the Chairperson of the
CHRC (s. 28 (1)).
[69] The EEA and the PSEA are
coordinated to ensure that both EE and merit are respected in appointments.
Section 30(2)(b)(iii) of the PSEA allows the deputy head to establish
organizational needs as a merit criteria. It is uncontested that EE can be an
organizational need and that “[m]ember of a designated Employment Equity group”
was identified as an organizational need in this appointment process. The PSEA
also contributes to EE goals by allowing the deputy head to limit the area of
selection to designated groups, or to have a broader area of selection for
those groups (s. 34). The EEA ensures that merit is respected in
appointments since the employer is not required to hire a person who does not
meet the merit criteria within the meaning of the PSEA where merit applies (s.
6(c)).
[57]
The Tribunal made it clear in Brown, at
paragraph 71, that it will consider whether or not an employer has had regard
to an organizational need only when such a need has been established as a merit
criterion. This is consistent with the jurisprudence of this Court which
establishes that the language used at subsection 30(2) of the Act confers on
deputy heads discretion to identify current or future organizational needs as a
merit criterion (Abi-Mansour v Department of Foreign Affairs, above at
para 87).
[58]
In other words, Employment Equity concerns
engage the Tribunal’s jurisdiction only when Employment Equity is identified as
an organizational need under subsection 32(2) of the Act in relation to an
appointment process that is the subject of a complaint pursuant to section 77
of the Act. Therefore, I see no reason to interfere with the Tribunal’s
approach to the Applicant’s Employment Equity concerns.
(2)
The Department’s rebuttal of the prima facie
case of discrimination
[59]
The Tribunal held that the Department led
convincing evidence establishing that the Applicant’s race or national and
ethnic origins were not factors in its decision to appoint persons other than
him. In particular, it was satisfied that the Department had established that
although the Applicant may have met the essential qualifications for the advertised
positions, he did not have experience in PeopleSoft and did not demonstrate on
his application that he possessed the other asset qualifications that were
legitimately considered in making the appointments at issue.
[60]
In arriving at that conclusion, the Tribunal
considered the following evidence:
- The appointment process at issue was preceded by an
unsuccessful process where experience in PeopleSoft was an essential
qualification. As a result, the essential qualification in the process at
issue was changed to two years experience in PeopleSoft “or an equivalent system”;
- Four asset experience qualifications were then established :
(i) experience in PeopleSoft version 8 or 8.9 or equivalent system, (ii)
experience in providing or facilitating training on PeopleSoft, (iii)
experience in Human Resources Business analysing and system impact identification,
and (iv) experience in project management. Some but not necessarily all
of the asset qualifications would be needed for certain of the positions
to be filed;
- Although it was prepared, if necessary, to hire a person with
experience in another human resources information system, the Department
preferred to appoint persons with PeopleSoft experience, who would be “quickly up and running on the job”, because it
is the only human resources system in use in the Department and because it
would take two to three years to train a person to become a fully
qualified business analyst in PeopleSoft;
- The MariTime system, with which the Applicant had experience,
although it takes some data from PeopleSoft, is a separate system than the
PeopleSoft system with which he had no experience according to his
application materials;
- The Applicant testified that he forgot to provide the asset
qualification information in his application materials, admitting that he
had not read the portion of the JOA stating that candidates may be
required to meet the asset qualifications or organizational needs to be
appointed to a specific AS-04 Analyst position.
[61]
The Tribunal found that it was the Applicant’s
responsibility to provide all the information requested in the JOA and that the
Department was under no obligation to infer that a candidate has certain
qualifications or to seek further information from candidates concerning their
qualifications, especially where the JOA’S instructions are clear that such
information must be provided in the application.
[62]
It was therefore satisfied that the Applicant
had not demonstrated that he possessed the asset qualifications sought in
making the appointments at issue and that the Department had abused its
authority in finding that he was not the “right fit”
for the positions to be filed through the process at issue.
[63]
My role is not to re-assess or re-weigh the
evidence and substitute my own findings to those of the Tribunal. The function
of the Court is limited to determining whether the Tribunal’s finding that the
Department has rebutted the allegations upon which the prima facie case
of discrimination was based by persuasively explaining that the Applicant has
failed to establish that he possessed the qualifications being sought in the
appointments at issue, including experience with the PeopleSoft software
application, falls within the range of possible, acceptable outcomes which are
defensible in respect of the facts and law. This standard of review recognizes
that there can be more than one reasonable outcome to the determination of
mixed questions of facts and law.
[64]
Here, I am of the view that the Tribunal’s
finding that the Department has persuasively demonstrated that the Applicant
had failed to establish that he possessed the qualifications being sought in
the appointments at issue, is rationally supported by the evidence on record
and falls, as a result, within the range of possible and acceptable outcomes.
It was ultimately the Applicant’s responsibility to clearly demonstrate in his
application that he met the required essential and asset qualifications and
that he complied with the JOA’s instructions (Abi-Mansour v Department of
Foreign Affairs, at para 88). The Tribunal was satisfied that the
Department had convincingly established that he failed to make that
demonstration. The Applicant vehemently disagrees with the Tribunal’s finding,
but this is not enough to establish its unreasonableness.
(3)
The alleged errors
[65]
The Applicant’s contentions that the Tribunal
erred in the ways I summarized at paragraph 52 above, have no merit.
(a)
The “right fit”
discretion
[66]
The Applicant first claims that the Tribunal
ignored evidence that the “right fit” discretion
is being generally used to commit disguised discrimination. However, this does
not oust the principle that each case has to be considered on its own merits.
Here, the Tribunal was satisfied that the Applicant had established a prima
facie case of discrimination. It then considered the Department’s
explanations aimed at rebutting this prima facie discrimination and was
satisfied that these explanations were reasonable and not just a pretext to
camouflage discrimination against the Applicant. In concluding as it did, the
Tribunal applied the correct legal test and carefully reviewed and considered
the evidence that was before it. As I already indicated, on the facts of this
case, the Tribunal’s conclusion that the explanations provided by the
Department were not a disguise for an otherwise discriminatory conduct, was
reasonable. The fact that the “right fit”
discretion might have serve as a pretext for discrimination in other instances
is irrelevant in the circumstances of the present case.
(b)
The role of the asset qualifications
[67]
Also, there is no merit to the
Applicant’s proposition that it was an error on the part of the Tribunal to
find that a candidate to an appointment process does not qualify if he or she
does not possess the asset qualifications. As the Tribunal correctly pointed
out, subsection 30(2) of the Act allows the appointment authority to have
regard for any additional qualifications that it considers to be an asset for
the work to be performed. It was therefore appropriate for the Department to
consider the asset qualifications in determining who among the qualified
candidates, was the right fit for appointment in the appointment process at
issue. This is in accord with the language of subsection 30(2) as well as with
the Act’s main objective, which is to afford public
service managers flexibility in staffing, managing and heading their personnel
to achieve results for Canadians.
(c)
The assessment methods
[68]
I see no reason either to interfere with the
Tribunal’s findings regarding the assessment of the Applicant’s application.
First, it was open to the Tribunal to conclude, on the basis of section 36 of
the Act, that the Department was under no duty to require a written test in
order to objectively assess candidates. Indeed, the language of section 36 is
clear: it provides deputy heads with the authority to use “any assessment method” that “it
considers appropriate” to determine whether a person meets the
qualifications for a given position. It imposes no obligation to use a
particular method. The evidence before the Tribunal in this regard was that
the Department considered the review of résumés as an objective assessment tool
as it was based on what is written by the candidates. The information in the
résumés was then confirmed by reference checks and while the Department
conceded that the third assessment method used for the appointment process at
issue – the interview - could be considered as subjective, the Tribunal noted
that the assessment panel had developed a rating guide in which each question
in the interview was linked to a qualification in the Statement of Merit
Criteria.
[69]
Second, the Tribunal was satisfied that there
was no obligation to use reference checking only in the final stages of an
assessment process and that it could therefore be used in earlier stages of the
process to verify the accuracy of information provided by candidates on
applications forms , résumés and interviews. The Tribunal found that contrary
to the Applicant’s assertion, the PSC Guide, when read as a whole, does permit
an appointment authority to conduct reference checks at various stages in the
assessment process to assess qualifications and to verify information provided
by job applicants.
[70]
Finally, the Tribunal held that there was no
evidence to support the Applicant’s assertion that the referees, in this case,
were generally biased and lacked integrity by providing false or misleading
information in the references.
[71]
The Applicant has failed to establish that the
Tribunal’s conclusion that the assessment methods used by the Department were
appropriate and did not contribute to a discriminatory outcome in this case was
unreasonable. This finding is rationally supported by the evidence and the
law.
(d)
The assessment of the Applicant’s candidacy
[72]
As for the assessment of the Applicant’s own
application, the Tribunal found that the Applicant’s assertions that he was the
victim of an attempt to unfairly eliminate him from the appointment process or
that his main referee was not contacted by the Department were unsubstantiated.
I find that it was open to the Tribunal to conclude as it did on this point.
The emails on which the Applicant is relying to claim that an attempt was made
to eliminate him from the process can reasonably be read as referring to his
main referee, not him, as this referee appeared unavailable, when first
contacted, to provide the requested reference. Also, the evidence before the
Tribunal was that although the Applicant’s main referee appeared unavailable,
based on an “out-of office” message indicating
that he would not be back in the office for a period of two weeks, the main
reference did read his emails despite being away and offered to provide the
requested reference.
[73]
The Applicant also complained that the
assessment panel interviewed him in an intimidating manner. The Tribunal also
found this complaint to be unsubstantiated. Again, I see no basis for
interfering with this finding.
[74]
As for the outcome of the assessment of the
Applicant’s application, the Tribunal found that the Department had
successfully established that the Applicant did not meet the asset
qualifications for the positions that were being filled. As I have indicated
previously, this finding was, in my view, entirely within the range of possible
and acceptable outcomes.
(e)
Ms. Morin
[75]
The Applicant further claims that Ms. Morin did
not met the essential qualifications for the AS-04 Analyst positions at issue
as she failed her interview on one personal suitability qualification. As
result, he contends that she ought to have been eliminated from the appointment
process and since she was not, her appointment ought to have been revoked by
the Tribunal. The evidence before the Tribunal was that the assessment panel
did not make a reference check and did think of eliminating Ms. Morin from the
appointment process but was advised by a Department’s Human Resources advisor
to proceed to the reference check as it might lead them to reconsider the
failing mark. Following the reference check, it was determined that Ms. Morin
should receive a passing mark on this personal suitability qualification and
be, as a result, included in the pool.
[76]
The Applicant may have had a point if the
assessment of the candidates would have been limited to an interview. As we
have seen, it was not the case and there was therefore nothing illegal or
inappropriate in Ms. Morin’s candidacy being assessed through the three methods
– review of application forms/résumés, interview and reference checking -
chosen by the Department for the appointment process at issue. The Applicant
further claims that Ms. Morin’s referees did not confirm the asset
qualifications that were used by the assessment panel to justify her
appointment. Although the Tribunal noted that there were some discrepancies in
the references provided for Ms. Morin, it was nevertheless satisfied that there
was sufficient evidence supporting the assessment panel’s conclusion that she
did possess the asset qualifications identified in her appointment rationale.
The Applicant has not shown that the Tribunal’s finding in this respect was not
rationally supported by the evidence and warranted the Court’s intervention.
(f)
The other appointees
[77]
The Tribunal was also satisfied that Mss.
Privalova, Verner, V and Mr. B met the essential qualifications as well as the
asset qualifications sought for the positions to which they were appointed.
Contrary to the Applicant, Ms. Morin possessed key asset qualifications,
whereas Mss. Privalova, Verner, V and Mr. B all had PeopleSoft experience. The
Tribunal concluded that these were reasonable non-discriminatory explanations
for not appointing the Applicant to the positions at issue.
[78]
The Applicant claims however that he was a
stronger candidate than these individuals and that, accordingly, he should have
been appointed to one of these positions. This argument does not assist the
Applicant. In Lahlali, above, the Court emphasized that under the new
staffing regime established under the Act, an appointment authority is no
longer required to appoint to a position the best qualified candidate:
[18] Parliament also distanced itself from
the old system by using a version of the merit principle that emphasizes
individual merit rather than comparative merit, as section 30 of the PSEA
shows. From that point forward, a manager would no longer be required to
appoint the best qualified candidate to a position; it would be enough that a person
would have the essential qualifications established by the deputy head to be
appointed to a position. Paragraph 30(2)(b) of the PSEA specifies that the
Public Service Commission (the Commission) may also take into account any
additional qualifications considered an asset to the work to be performed, any
current and future organizational need and any current and future operational
requirements.
[79]
Therefore, it is clear that even if the
Applicant was to be considered as more qualified for the positions at issue
than those who were appointed to these positions, there was no obligation on
the part of the Department to appoint the Applicant to one of these positions
as long as the Department could reasonably explain that those individuals were
the right fit for the organisation. As we have seen, the Tribunal was
satisfied that Mss. Morin, Privalova, Verner, V and Mr. B all met the essential
qualifications as well as the asset qualifications legitimately considered by
the Department in making the appointments at issue and that the Applicant was
not appointed because he had no experience in PeopleSoft and did not possess
the other asset qualifications. This finding, as I have already indicated, is
rationally supported by the evidence.
[80]
In the course of the proceedings before the
Tribunal, the Applicant insisted that the performance reviews of these
appointees and of those who occupied the positions at issue before them be
provided to him, as this information “may be relevant”
to prove that the Department’s explanation that certain asset skills were
essential for the safe performance of these positions was “a pretext or a plain lie”. The Tribunal denied the
Applicant’s request in interim orders rendered in the course of the proceedings
before it on the ground that the Applicant’s request was based on mere
suspicion that the performance reviews of these employees may contain relevant information
and that, in any event, this information was irrelevant as the asset
qualifications were not assessed in the present case through the use of
performance reviews.
[81]
According to subsection 17(2) of the Public
Service Staffing Complaint Regulations, SOR/2006-6, adopted pursuant to
section 109 of the Act, the issuance of an order for the provision of that
information was conditional upon the Applicant establishing that the said
information was relevant to the case at hand and not just a “fishing expedition”. I find that the Tribunal’s
discretion under that provision to determine whether information is relevant or
not was properly exercised and that there is, therefore, no basis to disturb its
decision in this regard.
(g)
Organizational needs
[82]
The Applicant also contends that the Tribunal
failed to give any weight to the fact the Department did not apply
organizational needs despite the existence of gaps in the representation of
equity groups in its workforce, especially visible minorities. First, as the
Tribunal correctly pointed out, the JAO clearly stated that the Department “may” give preference to Aboriginal or visible
minorities. There was no obligation on the part of the Department to limit the
selection for appointment to someone from either designated group. Subsection
30(2) of the Act is clear that hiring managers were granted discretion to
consider, once a candidate has been found to meet the essential qualifications
for a position, “other qualifications that might be
assets for their organizations and current or future needs that may have been
identified” (Abi-Mansour v Department of Foreign Affairs, above
at para 87).
[83]
The evidence before the Tribunal was that the
wording of the JOA reflected the fact that the appointment process at issue was
not intended to be a “targeted” process and that
therefore, there was no requirement to give preference to someone from one of
these designated employment equity groups although in case of a tie-breaker
between two equally qualified candidates, the organizational need would be
used. I am satisfied, therefore, that the Tribunal’s finding that the
Department has provided a reasonable explanation for its decision not to apply
the organizational needs section of the JOA in the present case falls well
within the range of possible, acceptable outcomes defensible in respect of the
fact and the law.
[84]
As the Tribunal also rightly pointed out, even
if the application of the organizational needs section of the JOA had been
mandatory, the Applicant still lacked the asset qualifications to be the right
fit for the appointments at issue. This is entirely consistent with the
provisions of the Employment Equity Act that provides that the
obligation to implement employment equity does not require an employer of the
federal public sector to hire or promote persons without basing the hiring or
promotion on merit in cases where the Public Service Employment Act requires
that hiring or promotion be based on merit (subsection 6(c) of the Employment
Equity Act).
[85]
The Tribunal then looked at the reports
introduced by the Applicant, including the Department’s Employment Equity Plan
as well as the HRWS Branch Human Resources Plan, in support of the argument
that the Department abused its authority by not applying organizational needs
to the appointment process at issue given the gap in the representation of
equity groups in its workforce. The Tribunal noted that the Department
recognizes that it has an employment gap with respect to visible minorities but
that this gap, through initiatives it had developed in its Employment Equity
Plan, had been reduced by June 30, 2012, to 0.65% while at the same time the
representation of the other three employment equity designated groups –
Aboriginal persons, women and disabled persons – exceeded workforce
availability. The Tribunal also noted that in the HRWS Branch in particular,
where all but one of the appointments at issue were made, visible minority
persons and Aboriginal persons, with three representatives each, accounted for
40% of the Branch workforce. It concluded from this evidence that
discrimination against visible minorities was not a factor in the appointment
process at issue.
[86]
I find that this conclusion is rationally
supported by the evidence and I see no need to interfere with it although,
again, the issue of whether an employer has met its obligation to eliminate
barriers to employment for employees in the designated groups and institute
policies and practices that will achieve a degree of representation of these
groups in its workforce is first and foremost a matter falling under the Employment
Equity Act and within the exclusive purview of the Canadian Human Rights Commission.
[87]
The Applicant further contends that the
Tribunal’s finding in this regard might have been different if it had ordered,
as he had requested the Tribunal to do, the provision of an audit report
performed by the Canadian Human Rights Commission on the Department’s staffing
processes. The Tribunal refused to order the provision of this audit report on
the ground that the Canadian Human Rights Commission not being a “party” to the proceedings before it, it had no
authority, pursuant to section 17 of the Public Service Staffing Complaints
Regulations, above, to make such an order. Subsection 17 empowers the
Tribunal to make an order for the provision of information where “a party refuses to provide information”. A “party” is defined in these Regulations as “anyone who has the right to be heard under subsection 65(3),
section 75, subsection 79(1) or section 85 of the Act”. The Canadian
Human Rights Commission does not possess such a right although, as we have
seen, it is entitled under subsection 79(2) of the Act to make submissions to
the Tribunal with respect to an issue involving the interpretation or
application of the Canadian Human Rights Act, when notified that such an
issue is being raised in a proceeding before the Tribunal. In the present case,
as we have also seen, the Canadian Human Rights Commission was notified of the
Applicant’s complaints but declined to make submissions.
[88]
As a result, on a plain reading of section 17 of
the Public Service Staffing Complaints Regulations, the Tribunal was
entitled to refuse to order the Canadian Human Rights Commission to provide the
audit report requested by the Applicant. However, the Applicant argues that
the Tribunal’s decision in this regard is flawed as subsection 99(e) of the Act
empowers the Tribunal to “compel, at any stage of a
proceeding, any person to produce any documents and things that may be
relevant”. Section 109 of the Act provides that the Tribunal may make
regulations respecting the disclosure of information obtained in the course of an
appointment process or a complaint proceeding under the Act. Section 17
appears to be the regulatory provision enacted by the Tribunal pursuant to
section 99(e) of the Act. To the extend the Applicant sought to be provided
with a copy of the audit report through a request for the provision of
information made under section 17 of the Public Service Staffing Complaints
Regulations, he has to accept that the Tribunal did not have the authority,
under that provision, to issue an order compelling the Canadian Human Rights
Commission to provide that information.
[89]
Be that as it may, even assuming that it was
open to the Tribunal to compel the Canadian Human Rights Commission to produce
that audit report pursuant to subsection 99(e) of the Act, one wonders what its
immediate relevance to the issues the Tribunal had to determine in the present
case might be. I find there is none. First, there is no indication on record
that the report comments on the appointment process at issue. The Applicant
insists that he may have found in that report evidence supporting his claim of
abuse of authority as there were some references to it in the Department’s
Employment Equity Plan he had previously obtained through a request for the
provision of information under section 17 of the Public Service Staffing
Complaints Regulations. This is clearly in the nature of a fishing
expedition. Second, this audit report was in all likelihood prepared in the
context of the implementation of the Employment Equity Act, which, as I
already indicated, has no direct bearing on the application of the Act or on
the jurisdiction of the Tribunal.
[90]
I therefore find that even if it was open to the
Tribunal to compel the production of the audit report requested by the
Applicant, the fact it did not do so is immaterial as the report was not
relevant to the issue the Tribunal had to determine, which was whether the
Department had abused its authority in conducting the appointment process at
issue and in making the appointments at issue.
(h)
Retaliation
[91]
Finally, I am satisfied that the Tribunal’s
finding that the Applicant has failed to established that the Department
retaliated against him because he had filed complaints, is reasonable. The
Applicant was alleging before the Tribunal that as a result of the filing of
these complaints, the Department had taken “all
measures to assure that he would never get any position with them”.
This was evidenced, according to the Applicant, by the appointments of Mss.
Verner, V and Mr. B, who were candidates that had “nothing
more than I have”, and further evidenced by the fact he was screened out
of a separate appointment process.
[92]
The Applicant says that the Tribunal in not
dealing “with all the elements I raised in support of
the retaliation allegation”. There are two problems with that
proposition. First, there is no obligation on an administrative decision-maker
to make an explicit finding on each constituent element, however subordinate,
leading to its final conclusion (Newfoundland and Labrador Nurses’ Union v.
Newfoundland and Labrador (Treasury Board), 2011 SCC 62, [2011] 3 S.C.R.
708, at para 16) or to list, as the Department points out; “every conceivable factor which may have influenced the
decision” (McEvoy v Canada (Attorney General), 2013 FC 685, at
paras 79-84).
[93]
Here, the Tribunal reiterated the evidence that
Mss. Verner, V and Mr. B were appointed because they were the right fit for a
position which included experience in PeopleSoft, an asset qualification the
Applicant failed to demonstrate that he possessed. The Tribunal also dismissed
the Applicant’s claim that Mr. B was appointed instead of Ms. Chauret in order
to avoid, as he would otherwise had been the only one left in the pool, the
appearance that the Department was discriminating against him. This claim was
rejected on the ground that there was non-contradicted evidence on record
showing that Ms. Chauret was approached when Ms. Privalova and Ms. Morin left
their positions but indicated that she had another offer and was no longer
interested in these positions. Finally, the Tribunal held that any claim that
the Applicant was screened out of the separate appointment process for
extraneous reasons was entirely speculative and that if he thought that he had
been unfairly eliminated from that process, he had recourses under the Act.
[94]
These findings meet the test of transparency,
intelligibility and justification and are well within the range of acceptable
outcomes.
[95]
The other difficulty with the Applicant’s
proposition that the Tribunal overlooked some of his arguments is that there
are no precise indications in his written submissions as to what these
overlooked “elements” are. The Court is
therefore called upon to guess what those might be. This does not sit well
with the principle that the burden is on the Applicant to show that the
Tribunal’s decision is unreasonable. Here, the Applicant has failed to meet
his burden in this regard.
[96]
The Applicant also submits that the Tribunal’s
approach to the retaliation issue is flawed. He contends that retaliation being
a form of discrimination, the Tribunal was bound to determine first whether
there was a prima facie case of discrimination and only then to proceed
to determine whether the Department’s explanations were reasonable, something
it did not do.
[97]
In Lincoln, above, the Federal Court of
Appeal held that although the Canadian Human Rights Tribunal had adopted an
incorrect approach for determining the existence of a prima facie case
of discrimination, the Tribunal’s “overall conclusion”
that the respondent in that case had put forward a
reasonable explanation for not hiring the appellant and that this explanation
was not a mere pretext for discrimination, was supported by the evidence
and did not require, as a result, judicial intervention (Lincoln, at
para 23).
[98]
Here, the Tribunal’s ultimate conclusion is that
the Department has come up with a reasonable explanation that the appointments
of Mss. Verner, V and Mr. B to the positions at issue instead of the Applicant did
not amount to retaliation and were not, therefore, a mere pretext for
discrimination. The Applicant’s contention that the Tribunal arrived at that
conclusion without first determining whether he had established a prima case
of discrimination is, in these circumstances, immaterial.
[99]
In sum, I am satisfied that the Tribunal’s
findings that the Applicant failed to establish that the Department abused its
authority in the appointment process at issue or retaliated against him for
having filed complaints in relation to that process, were reasonable.
E.
The Bias allegations
[100]
The Applicant claims that the Tribunal “just wanted to rule in favour of the Crown” as
evidenced by its decision. He says that when this is looked through by an
informed person, it gives rise to a reasonable apprehension of bias.
[101] In a decision rendered in this case on November 21, 2014, in
relation to a preliminary matter, the Federal Court of Appeal found that the
Applicant’s “unsupported allegations of bias are an
abuse of process” (Abi-Mansour v Department of Aboriginal Affairs,
2014 FCA 272, at para 14). To paraphrase the Federal Court of Appeal, the
present allegations are just but another example of someone “who invoke a decision-maker’s assistance in its capacity as
an independent arbiter of disputes and who then repeatedly allege bias when the
decision-maker’s decisions do not meet his or her expectations” (idem).
[102] Allegations of bias are very serious allegations as they constitute
attacks on the integrity of the entire administration of justice (Coombs v
Canada (Attorney General), 2014 FCA 222, at para 14). They need to be made
expressly and unequivocally and not simply on the basis of “elusive innuendoes”. Here again, the Applicant’s
allegations of bias are unsubstantiated and amount to an abuse of process.
IV.
The costs
[103] The Applicant is claiming costs, including full disbursements as
well as compensation for leave from work to complete the Record, regardless of
the outcome of the proceedings. He contends that as a person of limited means,
he should not be expected to pay costs, particularly in a context where the
present proceeding raises questions of public importance.
[104] The Department contends that costs should be awarded against the
Applicant and fixed at a higher rate given the unsubstantiated allegations of
bias made by the Applicant in the course of these proceedings and the unfounded
accusations of perjury he made against the Department’s witnesses. It claims a
total of $9,551.00 in fees and disbursements.
[105] Rule 400 of the Federal Courts Rules provides the Court with “full discretionary power over the amount and
allocation of costs and the determination of by whom they are to be paid”. In exercising this discretion, the Court may
consider various factors such as the result of the proceeding and the conduct
of the parties. It can also take into consideration any other matter that it
considers relevant. It further has to be mindful of the objectives of an award
of costs, which are to provide compensation, promote settlement and deter
abusive behaviour.
[106] Here, I find that there is no reason to depart from the general rule
that costs should follow the event and be awarded, as a result, to the
Respondent. Under Rule 407, costs are to be assessed in accordance with column
III of the table to Tariff B of the Rules, unless the Court orders otherwise.
The Respondent has used column IV to Tariff B’s table to assess its fees.
Column III concerns cases of average or usual complexity and represents a
compromise between awarding full compensation to the successful party and
imposing a crushing burden on the unsuccessful party (Air Canada v Thibodeau
(2007), 375 N.R. 195, 2007 FCA 115, at para 24). Given that in the present
case, the Applicant has already been ordered by Justice Roy and the Federal
Court of Appeal to pay costs in the amounts of $250 and $500 respectively, I
find that costs shall be assessed in accordance with Column III of the table to
Tariff B.
[107] A further amount of $250 with respect to costs needs to be
considered. On August 22, 2013, Madam Prothonotary Aronovitch ordered the Applicant
to pay the costs of a motion at a fixed amount of $250 in any event of the
cause. The Applicant has appealed that Order under Rule 51 and the appeal was
heard at the outset of the hearing of the present judicial review application.
[108] This Order stems from successive motions brought by the Applicant to
perfect his application record, in particular with respect to the filing of his
affidavit. His deadline for doing so was first extended by Madam Prothonotary
Tabib by Order dated June 13, 2013. The Applicant was able to meet that
extended deadline.
[109] However, a few weeks later, he brought a motion for leave to file an
amended affidavit. In his motion materials, the Applicant argued that “this motion was forced by Prothonotary Tabib” and “could have been avoided if there was a reasonable
Prothonotary in place of Tabib”. The Department opposed the Applicant’s
motion.
[110] In her Order, Madam Prothonotary Aronovitch, although barely
justified in her view, allowed the motion. Her reasons for awarding costs against
the Applicant read as follows:
I do not take the Respondent to have
unnecessarily opposed the motion. In any case, the intemperate language
directed at counsel for the Respondent is inappropriate, as is the baseless
allegation of abuse against the Court, and, in my view, calls for sanction by
way of an order of costs. I note that the applicant has already been cautioned
in that regard. (Abi-Mansour v Public Service Commission, Reasons for Order on
Motion, 2013 FCA 116).
Pursuant to Rule
410(1) costs of an amendment are ordinarily awarded against the amending party
unless the Court orders otherwise. In the circumstances, I see no basis to
exercise my discretion to avoid the application of the general rule.
[111] As is well established, orders of Prothonotaries ought not to be
disturbed unless the questions raised in the motion are vital to the final
issue in the case or the impugned order is clearly wrong in the sense that the
exercise of discretion was based upon a wrong principle or upon a
misapprehension of the facts (Merck & Co. v Apotex Inc, 2003 FCA 488,
[2004] 2 FCR 459).
[112] It is clear that the Applicant’s appeal does not raise a question
which is vital to the final disposition of the case. It is clear also that
Prothonotary Aronovitch’s exercise of discretion in awarding costs against the
Applicant was not based on a wrong principle or upon a misapprehension of the
facts. As the Respondent points out, quoting the Supreme Court of Canada decision
in Sun Indalex Finance v United Steelworkers, 2013 SCC 6, costs awards
are quintessentially discretionary and should only be set aside if the court
below “has made an error in principle or if the costs
award is plainly wrong” (Sun Indalex Finance, at para 247).
[113] Here, although it is not clear that Rule 410(1) applies to
amendments brought to an affidavit with leave of the Court, it is clear that
the costs award, when Prothonotary Aronovitch’s Order is read as a whole, was
in response to the baseless allegations of abuse being directed at the Court.
This was, as the Respondent puts it, the crux of the costs Order and there was
ample authority in the Rules to support it. According to Prothonotary
Aronovitch, the Applicant’s motion to amend his affidavit was barely
justified. Coupled with what she perceived, correctly in my view, to be
abusive behaviour on the part of the Applicant, Prothonotary Aronovitch was
entitled, in the exercise of her discretion, to award costs against the
Applicant.
[114] Regardless of Rule 410(1), it was open to her, in these
circumstances, to award costs against the “successful”
party, as per Rule 400(6), and to use her discretion to award costs in order to
deter abusive behaviour and unacceptable conduct, which Rule 400 clearly
permits (Air Canada, above at para 24; Jean-Pierre v Agence des Services
Frontaliers du Canada, 2014 FC 637, at para 21; McMeekin v Canada
(Minister of Human Resources and Social Development), 2011 FCA 165, at para
32).
[115] The Applicant claims that Prothonotary Aronovitch’s costs award
should be overturned because the Respondent did not seek costs on this specific
point. There is no such obligation on a party to seek costs in this manner.
The Respondent did seek its costs on the Applicant’s motion. This was
sufficient to trigger Prothonotary Aronovitch’s “full
discretionary power” to award costs on the said motion.
[116] Finally, the Applicant contends that Prothonotary Aronovitch’s costs
award must not stand as “it will put litigants under undue
pressure in writing factums because of fear of costs sanctions merely if a
prothonotary does not like their choice of words” , hindering as a
result “the litigants ability to fiercely and
fearlessly advance their cases”.
[117] The Applicant misses the point. The only limit to a litigant’s
ability to fiercely and fearlessly advance his or her case, be it before this
Court or any other court, is abuse of process. Again, the Applicant’s
unacceptable comments regarding Prothonotary Tabib, which prompted the impugned
award of costs, is yet another example of the Applicant seeking the Court’s
assistance in its capacity as an independent arbiter of disputes and then
repeatedly attacking its members when the Court’s decisions do not meet his
expectations. The Applicant has now been warned on several occasions that this
is abusive behaviour. It ought not to be tolerated.
[118] The Applicant’s appeal against Prothonotary Aronovitch’s cost award
is therefore dismissed, with costs to the Respondent in the amount of $250.