Date: 20150505
Docket: IMM-2864-14
Citation: 2015 FC 585
Toronto, Ontario,
May 5, 2015
PRESENT: The Honourable Mr. Justice Brown
BETWEEN:
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AMALAN
THIRUCHELVAM
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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
I.
Summary
[1]
This is an application for judicial review by
Amalan Thiruchelvam [the Applicant] under subsection 72(1) of the Immigration
and Refugee Protection Act, SC 2001, c 27 [IRPA] of a decision by the
Ministerial Delegate of Case Determination [the Ministerial Delegate], dated
February 14, 2014 and communicated to the Applicant on or about April 2, 2014,
wherein the Ministerial Delegate rejected the Applicant’s application for
protection under sections 112 and 113 of the IRPA, a pre-removal risk
assessment [PRRA] application where the Applicant had previously been found to
be excluded on the basis of Article 1F of the United Nations Convention
Relating to the Status of Refugees [Refugee Convention]. The
application is allowed for the reasons that follow namely that the Applicant’s
right to a timely restricted PRRA was breached.
II.
Facts
[2]
The Applicant was born on May 31, 1980. He is a
citizen of Sri Lanka of Tamil ethnicity. His sister is in Canada as a refugee.
On March 5, 1998, she sponsored their father’s overseas family class
application for permanent residence, which included the Applicant as a
dependent. This application was refused on January 8, 2001. On January 3, 2002,
the Applicant fled Sri Lanka by flying to Singapore on a false passport and
then, with the help of an agent, going to Indonesia, then Somalia and finally
to the United Kingdom, where he claimed refugee protection on August 22, 2002.
Although his credibility was not questioned in the United Kingdom, the
Applicant’s claim was rejected on the basis of an ongoing cease fire in Sri
Lanka at the time. The Applicant appealed this decision in August 2003 but the
Appeal division refused his appeal in October 2003.
[3]
The Applicant arrived in Canada on March 16,
2004 and claimed refugee protection, alleging fear at the hands of the army,
the police, the Liberation Tigers of Tamil Eelam [LTTE] and other militant
groups in Sri Lanka. The Applicant made the following allegations in support of
his refugee protection claim:
1.
He was forced to help the LTTE by digging
bunkers and looking after their wounded, but refused to join their ranks
although he was pressured to do so.
2.
He was arrested by Sri Lankan army in October
1997 on suspicion of being involved with the LTTE but was released the same day
when a member of the Tamil Eelam Liberation Organization [TELO] vouched for
him.
3.
He became a member of the TELO student
organization around March 1998 and eventually became vice president.
4.
There were disputes between the People’s
Liberation Organisation of Tamil Eelam [PLOTE] and TELO with accusations by
PLOTE that TELO was involved with the LTTE.
5.
Around the end of the year 2000, the army
searched a TELO camp. The Applicant was arrested but was able to establish his
identity and membership of TELO. He subsequently escaped abduction by PLOTE.
6.
The Applicant helped a fellow student in October
2001 who was subsequently arrested on suspicion of being involved with the
LTTE. On December 19, 2001, the Applicant was arrested by the Sri Lankan army
on suspicion of helping the LTTE, namely by helping his friend back in October.
There, he was detained for 7 days, where he was interrogated, tortured, beaten,
given electric shocks and sexually assaulted. The Applicant was released with
the help of TELO members and his uncle. Upon release, he hid at his uncle’s
house for 3 days, left for Colombo hidden in a lorry of dried fish, stayed in a
Muslim home for 5 days and the left Sri Lanka for the United Kingdom.
[4]
The Applicant was made the subject of an
inadmissibility report pursuant to section 44 of the IRPA. Upon review of the
inadmissibility report by the Minister’s delegate, the Applicant was issued a
departure order that was not in force at the time of its issue. On February 28,
2005, Canada Border Services Agency [CBSA] notified the Immigration and Refugee
Board, Refugee Protection Division [RPD] of the Minister’s intent to intervene
on the grounds that the Applicant was a person described in Article 1F(a) and
1F(c) of the Refugee Convention, namely that he has committed a crime
against peace, a war crime, or a crime against humanity or that he has been
guilty of acts contrary to the purposes and principles of the United Nations.
[5]
On October 11, 2006, the RPD found there were
serious reasons to believe the Applicant was part of the terrorist wing of
TELO. The RPD determined that the Applicant was a person described in Article
1F(a) and 1F(c) of the Refugee Convention and, accordingly, found him to
be excluded from refugee determination in Canada. The departure order against
the Applicant became in force on that date. The Applicant filed an application
for leave and judicial review of the RPD’s decision in this Court on November
1, 2006, but leave was denied on February 13, 2007.
[6]
The Applicant applied for a PRRA on July 6, 2007,
putting forward two new considerations. First, he argued that the changes in
country conditions amounted to clearly defined risk to Tamils in Sri Lanka and that
there was no internal flight alternative for Tamils in Colombo or any other
part of Sri Lanka. Second, the Applicant clarified his involvement with TELO
while in Sri Lanka, alleging that he was involved with the Student wing of TELO
and that he was not involved in any militant activity. The Applicant also cited
risks as a returning Sri Lankan asylum seeker.
[7]
On November 6, 2007, a PRRA officer formed the opinion
that the Applicant may be a person in need of protection as described in
section 97 of the IRPA due to his ethnicity and his previous involvement with TELO.
However, because the PRRA officer was not delegated to make a final decision in
this type of case, the risk assessment was forwarded to the CBSA. Almost six
years later, an officer of CBSA completed a restriction assessment dated August
8, 2013 on the Applicant under paragraph 172(2)(b) of the Immigration and
Refugee Protection Regulations, SOR/2002-227. There is no explanation for
this very lengthy delay. The PRRA opinion and CBSA’s restriction assessment (both
positive to the Applicant) were disclosed to the Applicant by letter dated
September 6, 2013, which also included some updated country condition
information from public sources. The Applicant replied to this information.
[8]
In the interim, the Applicant has applied for
permanent residence from within Canada on Humanitarian and Compassionate [H&C]
grounds on December 16, 2010. The outcome of this application is not known.
[9]
Because the Applicant was a person excluded
pursuant to Article 1F of the Refugee Convention, his PRRA was required
to be assessed by a Ministerial Delegate appointed pursuant to subsection 6(2)
of the IRPA. In this regard, the Ministerial Delegate reviewed but rejected the
restricted PRRA officer’s report, and determined for herself that the Applicant
would not be at risk of torture, risk to life or risk of cruel and unusual
treatment or punishment if he was to be returned to Sri Lanka. Accordingly the
Ministerial Delegate rejected the Applicant’s PRRA application on February 14,
2014. The Applicant was informed at the same time that the removal order made
against him was then enforceable.
[10]
The Applicant filed an application for leave and
judicial review of that decision in this Court on April 16, 2014. On May 14,
2014 this Court stayed the Applicant’s removal to Sri Lanka, scheduled for May
19, 2014, pending the determination of his application for leave and for
judicial review of the Ministerial Delegate’s decision to reject his PRRA
application. On January 28 2015, this Court granted leave to commence an
application for judicial review of that decision.
III Decision under Review
[11]
Because the Applicant was determined by the RPD
to be excluded from refugee protection pursuant to Articles 1F(a) and 1F(c) of
the Refugee Convention, he was found by the Ministerial Delegate to be a
person described under paragraph 112(3)(c) of the IRPA, which provides the
following:
Restriction
(3) Refugee
protection may not result from an application for protection if the person
[…]
(c) made a claim
to refugee protection that was rejected on the basis of section F of Article 1
of the Refugee Convention;
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Restriction
(3) L’asile ne
peut être conféré au demandeur dans les cas suivants : […]
c) il a été
débouté de sa demande d’asile au titre de la section F de l’article premier
de la Convention sur les réfugiés;
|
[12]
The Ministerial Delegate consequently assessed
the Applicant’s application through the framework of paragraph 113(d) of the
IRPA, which provides the following:
Consideration of
application
113.
Consideration of an application for protection shall be as follows: […]
(d) in the case
of an applicant described in subsection 112(3) — other than one described in
subparagraph (e)(i) or (ii) — consideration shall be on the basis of the
factors set out in section 97 and […]
(ii) in the case
of any other applicant, whether the application should be refused because of
the nature and severity of acts committed by the applicant or because of the
danger that the applicant constitutes to the security of Canada; and
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Examen de la
demande
113. Il est
disposé de la demande comme il suit :
d) s’agissant du
demandeur visé au paragraphe 112(3) — sauf celui visé au sous-alinéa e)(i) ou
(ii) —, sur la base des éléments mentionnés à l’article 97 et, d’autre part :
[…]
(ii) soit, dans
le cas de tout autre demandeur, du fait que la demande devrait être rejetée
en raison de la nature et de la gravité de ses actes passés ou du danger
qu’il constitue pour la sécurité du Canada;
|
[13]
The Ministerial Delegate therefore considered
the Applicant’s submissions, the PRRA officer’s assessment, and the restriction
assessment from CBSA and the Applicant’s submissions on the two assessments (by
CBSA and the PRRA officer). The Ministerial Delegate held that the PRRA
officer’s assessment “contain[ed] little by way of
analysis regarding the risk [the Applicant] would personally face in Sri Lanka”
and also found the PRRA officer’s conclusions on risks were outdated. She reviewed
the updated country condition material sent to the Applicant and in addition conducted
her own analysis, citing other country condition material. She held that the
cessation of hostilities in Sri Lanka following the defeat of the LTTE by
government forces in May 2009 as the most significant recent developments
relevant to the Applicant’s case.
[14]
The Ministerial Delegate noted that the
Applicant was not a member of the LTTE, but instead a card carrying member of
TELO, a group she described as “one of a number of non-state
pro-government paramilitary groups operating in Sri Lanka and one of the groups
to whom the Sri Lankan security forces have outsourced the work of controlling
major Tamil towns.” The Ministerial Delegate also noted that the
Applicant was able, at least on one occasion, to establish his membership to
the Sri Lankan Army in order to avoid arrest and detention, and was able on
another occasion to effect his release from detention by the Sri Lankan
authorities following the intervention by members of TELO and his uncle. To the
Ministerial Delegate, this indicated that the Sri Lankan government did not
have continued interest in the Applicant as a suspected member of the LTTE.
[15]
Regarding the returning asylum seeker argument,
the Ministerial Delegate noted that the documentation before her indicated
evidence that Tamils who have been politically active abroad in peaceful
opposition to the Sri Lankan government may be subjected to torture and other
ill-treatment upon return. However, the Ministerial Delegate found that there
was insufficient evidence before her to indicate that the Applicant had been
politically active in opposition to the government of Sri Lanka either during
his stay in the United Kingdom or in Canada.
[16]
The Ministerial Delegate acknowledged that the
evidence indicated that returning asylum seekers are identified by their travel
documents, are taken out of the immigration queue and subjected to special
questioning by the police and members of the Terrorist Investigation
Department. However, the Ministerial Delegate noted that there is insufficient
evidence to lead her to conclude that detainees in these circumstances are more
likely than not to be tortured.
[17]
In light of the evidence before her, the Ministerial
Delegate was satisfied on a balance of probabilities that the Applicant was not
likely to face personalized risks as identified in section 97 of the IRPA and
consequently rejected his PRRA application.
IV Issues
[18]
This matter raises the following issues:
A.
Whether the Ministerial Delegate breached her
duty of procedural fairness towards the Applicant?
B.
Whether the Ministerial Delegate erred in her
assessment of the evidence relating to the risks faced by the Applicant upon
returning to Sri Lanka?
V Standard of Review
[19]
In Dunsmuir v New Brunswick, 2008 SCC 9
at paras 57, 62 [Dunsmuir], the Supreme Court of Canada held that a
standard of review analysis is unnecessary where “the
jurisprudence has already determined in a satisfactory manner the degree of
deference to be accorded with regard to a particular category of question.”
[20]
Issues of procedural fairness are reviewable
under the correctness standard of review: Canada (Minister of Citizenship
and Immigration) v Khosa, 2009 SCC 12 at para 43; Sketchley v Canada
(AG), 2005 FCA 404 at paras 53-55. In Dunsmuir at para 50, the
Supreme Court of Canada explained what is required of a court reviewing on the
correctness standard of review:
When applying the correctness standard, a reviewing court will not
show deference to the decision maker’s reasoning process; it will rather
undertake its own analysis of the question. The analysis will bring the court
to decide whether it agrees with the determination of the decision maker; if not,
the court will substitute its own view and provide the correct answer. From the
outset, the court must ask whether the tribunal’s decision was correct.
[21]
The Ministerial Delegate’s assessment of the
evidence is to be reviewed on the reasonableness standard of review: Muhammad
v Canada (Minister of Citizenship and Immigration), 2014 FC 448 at para at
para 9. In Dunsmuir at para 47, the Supreme Court of Canada explained
what is required of a court reviewing on the reasonableness standard of review:
A court conducting a review for
reasonableness inquires into the qualities that make a decision reasonable,
referring both to the process of articulating the reasons and to outcomes. In
judicial review, reasonableness is concerned mostly with the existence of justification,
transparency and intelligibility within the decision-making process. But it is
also concerned with whether the decision falls within a range of possible,
acceptable outcomes which are defensible in respect of the facts and law.
VI Submissions of the Parties and Analysis
[22]
As a preliminary matter the Respondent opposes the
Applicant’s filing of evidence that was not before the Ministerial Delegate. It
is established that new evidence is not to be considered on judicial review
unless it falls within certain exceptions: Ochapowace First Nation v Canada
(AG), 2007 FC 920 at para 9, aff’d 2009 FCA 124, leave to appeal to SCC
ref’d [2009] SCCA no 262. However, I do not need to make a finding on this issue
because the matter before me is disposed of, as set out below, without relying
of the new evidence.
A.
Whether the Ministerial Delegate breached her
duty of procedural fairness towards the Applicant?
[23]
The Ministerial Delegate, in conducting a final
assessment under paragraph 113(d) of the IRPA, was required by law to consider
an assessment of risk by a competent decision-maker (the PRRA officer’s risk
assessment dated November 6, 2007), and to consider an assessment of whether
the application should be refused because of the nature and severity of acts
committed by the Applicant or because of the danger that the Applicant
constitutes to the security of Canada (the CBSA’s restriction assessment dated
August 8, 2013).
[24]
The Applicant submits that the Ministerial
Delegate breached her duty of procedural fairness by rejecting the only risk
assessment disclosed to the Applicant as being outdated and of little relevance
without giving him the opportunity to comment on the actual risk assessment she
conducted. According to the Applicant, the Ministerial Delegate had a duty to
provide him with an opportunity to make submissions on the risk assessment on
which her decision was based.
[25]
The Applicant has no right to see the
Ministerial Delegate’s draft risk assessment, and there is no case law contrary
to this proposition. However, in a case such as this, the statute itself
requires that the Applicant be given a timely risk assessment for his comment.
I accept the law stated in Ragupathy v Canada (Minister of Public Safety and
Emergency Preparedness), 2006 FC 1370 at para 27 [Ragupathy] in this
respect:
[27] A timely risk assessment is
Canada’s safeguard against deportation to torture or similar treatment. Indeed,
the performance of a risk assessment before removal is the mechanism by which
effect is given to section 7 of the Charter and various international
human rights instruments to which Canada is a party. An individual’s rights
under section 7 of the Charter would be rendered illusory, however, if
the facts underlying the risk assessment did not correspond to the present
reality in the country to which the individual is being deported.
[26]
What is timely will depend on the circumstances
including the relative stability of relevant country conditions and the length
of delay. In some cases, it might be a relatively long time period of time
between the assessment and the Applicant’s opportunity to comment upon it. In
other cases the delay may be shorter. It will be a matter of degree and
circumstances in each case. This proposition is established by asking: what if
the delay was not 6 years, but 10 or 15 years? In my respectful view, there
comes a time when, in a case like this, a restricted PRRA assessment is so out
of date as to be no restricted PRRA assessment at all, that is, the requirements
of 113(d) of the IRPA have not met because the restricted PRRA is so out of
date.
[27]
The scheme of the legislation supports this
conclusion. The Minister’s delegate is duty bound to consider the restricted PRRA
report and the CBSA report. These reports must be given to the Applicant and he
has a statutory right to comment on them. That right of comment is rendered
nugatory if the PRRA is so out of date as to be of no use to the Applicant or
the Minister. That was the case here. Ultimately, it comes down to the
legislator’s intent. To ensure the Applicant’s right to comment on the PRRA
(and on the CBSA report for that matter), in my view, the legislator intended
that such reports be timely. If it were otherwise, there would be no point in
Parliament legislating on the rights of disclosure or comment.
[28]
I am unable to agree with the argument that Ragupathy
should be restricted to the circumstances of that case. PRRAs are extremely
important, because they are the last chance to ensure that Canada, in
discharging its treaty and international obligations, has got it right before
refusing its asylum, subject to the limited discretion of a removal officer. I
see no reason why a stand alone PRRA, should be treated any differently from a restricted
PRRA under paragraph 113(d) of the IRPA. Nor can I see any justification for
why it might be acceptable for the Minister’s Delegate to review an out of date
restricted PRRA, but to require stand-alone PRRAs to be timely. A timely PRRA
is important because it must be provided to an applicant who then has the statutory
right to see and comment upon it. There is no point in providing out of date restricted
PRRAs in cases like this, because to do so engages the Applicant in the futile
exercise of responding to a departmental document which another official in the
same department is bound to reject as out of date. An out of date PRRA empties
the statutory right to have it disclosed in the first place, and likewise
empties the Applicant’s statutory right to comment on it.
[29]
The question therefore becomes whether a restricted
PRRA almost six years out of date meets the legal requirement that it be
provided in a timely manner. In my view it does not. This is particularly the
case given the situation facing Tamils from the North: in which respect see Navaratnam
v Canada (Minister of Citizenship and Immigration) 2015 FC 244 at paras 13
to 16.
[30]
I am unable to agree with the Respondent’s
submission that the Applicant is precluded from asking that the PRRA be
provided in a timely manner. I do not agree that his right was waived, nor do I
accept that he is estopped in this regard. The Applicant had a legal right to a
timely restricted PRRA, but instead received a PRRA that could simply be
rejected as out of date, which is exactly what the Minister’s Delegate did. In
doing so, a casualty was the Applicant’s right to both receive and comment on a
meaningful restricted PRRA.
[31]
I agree with the Respondent that up to date
country condition submissions may be filed within the context of the
Applicant’s (presumably, although I do not know its status) ongoing H&C. However,
this missed the point. Filing an H&C does not result in the loss of the
right to a timely restricted PRRA. The two procedures serve different purposes.
[32]
Since a timely restricted PRRA was not provided,
the Applicant was denied the statutory requirements and procedural fairness to
which he was entitled, and the decision below must be set aside.
[33]
Mechanically, the Applicant must be reassessed.
That reassessment must involve the Applicant being given a fresh and timely restricted
PRRA for his review and comment. Since there is to be fresh consideration of
the matter, the Applicant will be at liberty to file fresh evidence in relation
to the new PRRA.
[34]
Given my finding on the issue of procedural
fairness, I am not required to comment on the issue of whether the Ministerial
Delegate erred in her assessment of the evidence. However, I do wish to note
that various decision makers have dealt with the Applicant’s membership in TELO
with dramatically different results. The Applicant’s membership in TELO led the
RPD to exclude him from refugee protection in 2006 when it held TELO was a “terrorist organization”. In 2014 however, the Ministerial
Delegate found that the Applicant was not at risk if he returned to Sri Lanka because
TELO is apparently today considered a “non-state
pro-government paramilitary group”. On that basis the Minister’s
Delegate rejected his request to remain in Canada. I also note that the
original exclusion finding by the RPD is problematic given the Supreme Court of
Canada’s recent decision in Ezokola v Canada (Citizenship and Immigration),
2013 SCC 40.
[35]
In my view the issue of the Applicant’s
membership with TELO and the consequences of such membership on risk should be
clearly analyzed and thoroughly assessed upon the re-determination ordered in
this case.
[36]
Neither party proposed a question to certify,
and no question arises.
VII Conclusions
[37]
The application for judicial review should be allowed
and this matter is remitted for re-determination in accordance with these reasons.
JUDGMENT
THIS COURT’S JUDGMENT is that the
application for judicial review is granted, the decision of the Minister’s
Delegate is set aside, the matter is remitted to a differently constituted
decision-maker for re-determination in accordance with these reasons in respect
of which a new restricted PRRA is required and new evidence may be filed, no
question is certified and there is no order as to costs.
“Henry S. Brown”