Nova Scotia (Workers’ Compensation Board) v. Martin; Nova
Scotia (Workers’ Compensation Board) v. Laseur, [2003] 2 S.C.R. 504,
2003 SCC 54
Donald Martin Appellant
v.
Workers’ Compensation Board of Nova Scotia and
Attorney General of Nova Scotia Respondents
and
Nova Scotia Workers’ Compensation Appeals Tribunal,
Ontario Network of Injured Workers Groups,
Canadian Labour Congress,
Attorney General of Ontario,
Attorney General of British Columbia and
Workers’ Compensation Board of Alberta Interveners
and between
Ruth A. Laseur Appellant
v.
Workers’ Compensation Board of Nova Scotia and
Attorney General of Nova Scotia Respondents
and
Nova Scotia Workers’ Compensation Appeals Tribunal,
Ontario Network of Injured Workers Groups,
Canadian Labour Congress,
Attorney General of Ontario,
Attorney General of British Columbia and
Workers’ Compensation Board of Alberta Interveners
Indexed as: Nova Scotia (Workers’ Compensation Board) v.
Martin; Nova Scotia (Workers’ Compensation Board) v. Laseur
Neutral citation: 2003 SCC 54.
File Nos.: 28372, 28370.
2002: December 9; 2003: October 3.
Present: McLachlin C.J. and Gonthier, Iacobucci, Major,
Bastarache, Binnie, Arbour, LeBel and Deschamps JJ.
on appeal from the court of appeal for nova scotia
Administrative law — Workers’ Compensation Appeals
Tribunal — Jurisdiction — Charter issues — Constitutional validity of
provisions of Appeals Tribunal’s enabling statute — Whether Appeals Tribunal
has jurisdiction to apply Canadian Charter of Rights and Freedoms — Workers’
Compensation Act, S.N.S. 1994-95, c. 10, s. 10B — Functional Restoration
(Multi-Faceted Pain Services) Program Regulations, N.S. Reg. 57/96.
Constitutional law — Charter of Rights — Equality
rights — Workers’ compensation legislation excluding chronic pain from purview
of regular workers’ compensation system and providing in lieu of benefits
normally available to injured workers four-week functional restoration program
beyond which no further benefits are available — Whether legislation infringes
s. 15(1) of Canadian Charter of Rights and Freedoms — If so, whether
infringement justifiable under s. 1 of Charter — Workers’ Compensation
Act, S.N.S. 1994-95, c. 10, s. 10B — Functional Restoration (Multi-Faceted Pain
Services) Program Regulations, N.S. Reg. 57/96.
Administrative law — Boards and tribunals —
Jurisdiction — Constitutional issues — Powers of administrative tribunals to
determine questions of constitutional law — Appropriate test.
The appellants, L and M, both suffer from the
disability of chronic pain attributable to a work-related injury. M worked as
a foreman and sustained a lumbar sprain. In the following months, he returned
to work several times, but recurring pain required him to stop. He attended a
work conditioning and hardening program. During this period, the Workers’
Compensation Board of Nova Scotia provided him with temporary disability
benefits and rehabilitation services. When his temporary benefits were discontinued,
M sought review of this decision, but his claim was denied by the Board. L was
employed as a bus driver and injured her back and her right hand when she
slipped and fell from the bumper of her bus. She received temporary disability
benefits. Although L attempted to return to work on several occasions, she
found that performing her duties aggravated her condition. She was denied a
permanent partial disability award and vocational rehabilitation assistance. M
and L appealed the Board’s decisions to the Workers’ Compensation Appeals
Tribunal on the ground that the Functional Restoration (Multi-Faceted Pain
Services) Program Regulations and portions of s. 10B of the Workers’
Compensation Act infringed s. 15(1) of the Canadian Charter of
Rights and Freedoms . These provisions exclude chronic pain from the
purview of the regular workers’ compensation system and provide, in lieu of the
benefits normally available to injured workers, a four-week Functional
Restoration Program beyond which no further benefits are available. The Board
challenged the Appeals Tribunal’s jurisdiction to hear the Charter
argument.
The Appeals Tribunal affirmed its jurisdiction to
apply the Charter and allowed M’s appeal on the merits, holding that the
Regulations and s. 10B(c) of the Act violated s. 15 of the Charter
and that these violations were not justified under s. 1 . M was awarded
temporary benefits from August 6 to October 15, 1996. In L’s appeal, the
Appeals Tribunal concluded, based on the reasons given in M’s appeal, that
s. 10A and s. 10B(b) and (c) of the Act also violated s. 15(1)
of the Charter and were not saved by s. 15(2) or s. 1 ; however, the
Appeals Tribunal found that while L suffered from chronic pain attributable to
her work injury, her permanent medical impairment rating under the applicable
guidelines was 0 percent, thus barring her from obtaining permanent impairment
or vocational rehabilitation. The Board appealed the Appeals Tribunal’s Charter
conclusions, M cross-appealed the cut-off of benefits as of October 15,
1996, and L cross-appealed the refusal to award benefits. The Court of Appeal
allowed the Board’s appeals and dismissed the cross-appeals. The court found
that the Appeals Tribunal did not have jurisdiction to consider the constitutional
validity of the Act and that, in any event, the chronic pain provisions did not
demean the human dignity of the claimants and thus did not violate s. 15(1) of
the Charter .
Held: The appeals
should be allowed. Section 10B of the Act and the Regulations in their
entirety infringe s. 15(1) of the Charter and the infringement is
not justified under s. 1 . The challenged provisions are of no force or
effect by operation of s. 52(1) of the Constitution Act, 1982 . The
general declaration of invalidity is postponed for six months from the date of
this judgment. In M’s case, the decision rendered by the Appeals Tribunal is
reinstated. L’s case is returned to the Board.
The Constitution is the supreme law of Canada and, by
virtue of s. 52(1) of the Constitution Act, 1982 , the question of
constitutional validity inheres in every legislative enactment. From this
principle of constitutional supremacy flows, as a practical corollary, the idea
that Canadians should be entitled to assert the rights and freedoms that the
Constitution guarantees them in the most accessible forum available, without
the need for parallel proceedings before the courts. To allow an
administrative tribunal to decide Charter issues does not undermine the
role of the courts as final arbiters of constitutionality in Canada.
Administrative tribunal decisions based on the Charter are subject to
judicial review on a correctness standard. In addition, the constitutional
remedies available to administrative tribunals are limited and do not include
general declarations of invalidity. A determination by a tribunal that a
provision of its enabling statute is invalid pursuant to the Charter is
not binding on future decision-makers, within or outside the tribunal’s
administrative scheme. Only by obtaining a formal declaration of invalidity by
a court can a litigant establish the general invalidity of a legislative
provision for all future cases.
The Court of Appeal erred in concluding that the
Appeals Tribunal did not have jurisdiction to consider the constitutionality of
the challenged provisions of the Act and the Regulations. Administrative
tribunals which have jurisdiction, explicit or implied, to decide questions of law
arising under a legislative provision are presumed to have concomitant
jurisdiction to decide the constitutional validity of that provision. In
applying this approach, there is no need to draw any distinction between
“general” and “limited” questions of law. Explicit jurisdiction must be found
in the terms of the statutory grant of authority. Implied jurisdiction must be
discerned by looking at the statute as a whole. Relevant factors will include
the statutory mandate of the tribunal in issue and whether deciding questions
of law is necessary to fulfilling this mandate effectively; the interaction of
the tribunal in question with other elements of the administrative system;
whether the tribunal is adjudicative in nature; and practical considerations,
including the tribunal’s capacity to consider questions of law. Practical
considerations, however, cannot override a clear implication from the statute
itself. The party alleging that the tribunal lacks jurisdiction to apply the Charter
may rebut the presumption by pointing to an explicit withdrawal of authority to
consider the Charter ; or by convincing the court that an examination of
the statutory scheme clearly leads to the conclusion that the legislature
intended to exclude the Charter (or a category of questions that would
include the Charter , such as constitutional questions generally) from
the scope of the questions of law to be addressed by the tribunal. Such an
implication should generally arise from the statute itself, rather than from
external considerations. To the extent that Cooper v. Canada (Human Rights
Commission), [1996] 3 S.C.R. 854, is inconsistent with this approach, it
should no longer be relied upon.
The Appeals Tribunal could properly consider and
decide the Charter issue raised in this case. The legislature expressly
conferred on the Appeals Tribunal the authority to decide questions of law by
providing, in s. 252(1) of the Act, that it “may confirm, vary or reverse the
decision of a hearing officer” exercising the authority conferred upon the
Board by s. 185(1) of the Act to “determine all questions of fact and law
arising pursuant to this Part”. Other provisions of the Act also confirm the
legislature’s intention that the Appeals Tribunal decide questions of law,
including s. 256(1) , which provides for a further appeal to the Court of
Appeal “on any question of law”. This suggests that the Appeals Tribunal may
deal initially with such questions. The Appeals Tribunal thus has explicit
jurisdiction to decide questions of law arising under the challenged
provisions, a jurisdiction which is presumed to include the authority to
consider their constitutional validity. This presumption is not rebutted in
this case, as there is no clear implication arising from the Act that the
legislature intended to exclude the Charter from the scope of the
Appeals Tribunal’s authority. Even if there had been no express provision
endowing the Appeals Tribunal with authority to consider and decide questions
of law arising under the Act, an examination of the statutory scheme set out by
the Act would lead to the conclusion that it has implied authority to do so.
The Court of Appeal also erred in concluding that the
challenged provisions of the Act and the Regulations did not infringe
s. 15(1) of the Charter . The appropriate comparator group for the
s. 15(1) analysis in this case is the group of workers subject to the Act
who do not have chronic pain and are eligible for compensation for their
employment-related injuries. By entirely excluding chronic pain from the
application of the general compensation provisions of the Act and limiting the
applicable benefits to a four-week Functional Restoration Program for workers
injured after February 1, 1996, the Act and the Regulations clearly impose
differential treatment upon injured workers suffering from chronic pain on the
basis of the nature of their physical disability, an enumerated ground under
s. 15(1) of the Charter . The view that since both the claimants
and the comparator group suffer from physical disabilities, differential
treatment of chronic pain within the workers’ compensation scheme is not based
on physical disability must be rejected. Differential treatment can occur on
the basis of an enumerated ground despite the fact that not all persons
belonging to the relevant group are equally mistreated. Distinguishing injured
workers with chronic pain from those without is still a disability-based
distinction. Although, under the current guidelines, L would be found to have a
0 percent impairment rating and would thus be denied benefits anyway,
deprivation of access to an institution available to others, even though the
individual bringing the claim would not necessarily derive immediate benefits
from such access, constitutes differential treatment. In the context of the
Act, and given the nature of chronic pain, the differential treatment is
discriminatory. It is discriminatory because it does not correspond to the
actual needs and circumstances of injured workers suffering from chronic pain,
who are deprived of any individual assessment of their needs and
circumstances. Such workers are, instead, subject to uniform, limited benefits
based on their presumed characteristics as a group. The scheme also ignores
the needs of those workers who, despite treatment, remain permanently disabled
by chronic pain. Nothing indicates that the scheme is aimed at improving the
circumstances of a more disadvantaged group, or that the interests affected are
merely economic or otherwise minor. On the contrary, the denial of the reality
of the pain suffered by the affected workers reinforces widespread negative
assumptions held by employers, compensation officials and some members of the
medical profession. A reasonable person in circumstances similar to those of L
and M, fully apprised of all the relevant circumstances and taking into account
the relevant contextual factors, would conclude that the challenged provisions
have the effect of demeaning the dignity of chronic pain sufferers.
The infringement of L’s and M’s equality rights cannot
be justified under s. 1 of the Charter . The first objective of
maintaining the financial viability of the Accident Fund is not pressing and
substantial. Budgetary considerations in and of themselves cannot justify
violating a Charter right, although they may be relevant in determining
the appropriate degree of deference to governmental choices based on a
non-financial objective. Likewise, the second objective of developing a
consistent legislative response to chronic pain claims cannot stand on its
own. Mere administrative expediency or conceptual elegance cannot be
sufficiently pressing and substantial to override a Charter right. This
objective only becomes meaningful when examined with the third objective of
avoiding fraudulent claims based on chronic pain. Developing a consistent
legislative response to the special issues raised by chronic pain claims — such
as determining whether the pain is actually caused by the work-related accident
and assessing the relevant degree of impairment — in order to avoid fraudulent
claims is a pressing and substantial objective. The challenged provisions of
the Act and the Regulations are rationally connected to this objective. It is
obvious, however, that the blanket exclusion of chronic pain from the workers’
compensation system does not minimally impair the rights of chronic pain
sufferers. The challenged provisions make no attempt whatsoever to determine
who is genuinely suffering and needs compensation, and who may be abusing the
system. They ignore the very real needs of the many workers who are in fact
impaired by chronic pain and whose condition is not appropriately remedied by
the four-week Functional Restoration Program. The fourth objective is to
implement early medical intervention and return to work as the optimal
treatment for chronic pain. Assuming that this objective is pressing and
substantial and that the challenged provisions are rationally connected to it,
they do not minimally impair the rights of chronic pain sufferers. No evidence
indicates that an automatic cut-off of benefits regardless of individual needs
is necessary to achieve that goal. This is particularly true with respect to
ameliorative benefits which would actually facilitate return to work, such as
vocational rehabilitation, medical aid and the rights to re-employment and
accommodation. Moreover, the legislation deprives workers whose chronic pain
does not improve as a result of early medical intervention and who return to
work from receiving any benefits beyond the four-week Functional Restoration
Program. Others, like L, are not even admissible to this program because of
the date of their injuries. The deleterious effects of the challenged
provisions on these workers clearly outweigh their potential beneficial
effects.
Cases Cited
Overruled: Cooper
v. Canada (Human Rights Commission), [1996]
3 S.C.R. 854; discussed: Douglas/Kwantlen Faculty Assn. v.
Douglas College, [1990] 3 S.C.R. 570; Cuddy Chicks Ltd. v. Ontario
(Labour Relations Board), [1991] 2 S.C.R. 5; Tétreault-Gadoury v.
Canada (Employment and Immigration Commission), [1991] 2 S.C.R. 22; referred
to: Egan v. Canada, [1995] 2 S.C.R. 513; Vriend v. Alberta,
[1998] 1 S.C.R. 493; M. v. H., [1999] 2 S.C.R. 3; Battlefords
and District Co-operative Ltd. v. Gibbs, [1996] 3 S.C.R. 566; Granovsky
v. Canada (Minister of Employment and Immigration), [2000] 1 S.C.R.
703, 2000 SCC 28; Weber v. Ontario Hydro, [1995] 2 S.C.R. 929; Bell
Canada v. Canada (Human Rights Commission), [2001] 2 F.C. 392, rev’d
[2001] 3 F.C. 481; Canada (Minister of Citizenship and Immigration) v.
Reynolds (1997), 139 F.T.R. 315; McLeod v. Egan, [1975]
1 S.C.R. 517; David Taylor & Son, Ltd. v. Barnett, [1953] 1 All
E.R. 843; Canadian Broadcasting Corp. v. Canada (Labour Relations Board),
[1995] 1 S.C.R. 157; Pasiechnyk v. Saskatchewan (Workers’ Compensation
Board), [1997] 2 S.C.R. 890; Law v. Canada (Minister of Employment
and Immigration), [1999] 1 S.C.R. 497; Reference re Workers’
Compensation Act, 1983 (Nfld.), [1989] 1 S.C.R. 922; Janzen v.
Platy Enterprises Ltd., [1989] 1 S.C.R. 1252; Brooks v. Canada
Safeway Ltd., [1989] 1 S.C.R. 1219; Winko v. British Columbia
(Forensic Psychiatric Institute), [1999] 2 S.C.R. 625; Eaton v.
Brant County Board of Education, [1997] 1 S.C.R. 241; Andrews v.
Law Society of British Columbia, [1989] 1 S.C.R. 143; Lavoie v.
Canada, [2002] 1 S.C.R. 769, 2002 SCC 23; Corbiere v. Canada
(Minister of Indian and Northern Affairs), [1999] 2 S.C.R. 203; Lovelace
v. Ontario, [2000] 1 S.C.R. 950, 2000 SCC 37; R. v. Swain,
[1991] 1 S.C.R. 933; British Columbia (Superintendent of Motor
Vehicles) v. British Columbia (Council of Human Rights), [1999]
3 S.C.R. 868; British Columbia (Public Service Employee Relations
Commission) v. BCGSEU, [1999] 3 S.C.R. 3; Gosselin v. Quebec
(Attorney General), [2002] 4 S.C.R. 429, 2002 SCC 84; R. v.
Oakes, [1986] 1 S.C.R. 103; Eldridge v. British Columbia (Attorney
General), [1997] 3 S.C.R. 624; Reference re Remuneration of Judges
of the Provincial Court of Prince Edward Island, [1997] 3 S.C.R. 3; Schachter
v. Canada, [1992] 2 S.C.R. 679; R. v. Edwards Books and Art Ltd.,
[1986] 2 S.C.R. 713; White v. Slawter (1996), 149 N.S.R. (2d) 321; Marinelli
v. Keigan (1999), 173 N.S.R. (2d) 56.
Statutes and Regulations Cited
Canadian Charter of Rights and
Freedoms, ss. 1 , 15 , 24(1) .
Constitution Act, 1982, s. 52(1) .
Constitutional Questions Act, R.S.N.S. 1989, c. 89.
Functional Restoration
(Multi-Faceted Pain Services) Program Regulations,
N.S. Reg. 57/96, ss. 2(b), 3, 4, 5, 6, 7, 8.
Public Inquiries Act, R.S.N.S. 1989, c. 372.
Workers’ Compensation Act, S.N.S. 1994-95, c. 10, ss. 10(1), 10A [ad. 1999, c. 1, s. 1],
10B [idem], 10E [idem], 28, 84, 90, 91, 113, 178(1), 180, 183
[am. idem, s. 19], 183(5A) [ad. idem], 185(1), 199(1), (2),
200(1), 202(a), 238(5), 240, 243 [rep. & sub. idem, s. 30],
245(1)(d), 246(1), (3) [ad. idem, s. 31], 248(1), (3), 252(1), 253(1),
256(1) [am. idem, s. 36].
Authors Cited
Canada. Association of Workers’
Compensation Boards of Canada. Compensating for Chronic Pain — 2000.
Mississauga, Ont.: AWCBC, 2000.
McAllister, Debra M.
“Administrative Tribunals and the Charter : A Tale of Form Conquering
Substance”, in L.S.U.C. Special Lectures 1992 — Administrative
Law: Principles, Practice and Pluralism. Scarborough, Ont. :
Carswell, 1993, 131.
Murray, T. J. Chronic Pain.
Report prepared for the Workers’ Compensation Board of Nova Scotia. Halifax:
Workers’ Compensation Board of Nova Scotia, 1995.
Ontario. Workplace Safety and
Insurance Board. Chronic Pain Initiative: Report of the Chair of the
Chronic Pain Panels. Toronto: WSIB, 2000.
Roman, Andrew J. “Case Comment: Cooper
v. Canada (Human Rights Commission)” (1997), 43 Admin. L.R. (2d) 243.
APPEALS from judgments of the Nova Scotia Court of
Appeal (2000), 192 D.L.R. (4th) 611, 188 N.S.R. (2d) 330, 587 A.P.R. 330, 26
Admin L.R. (3d) 90, 84 C.R.R. (2d) 246, [2000] N.S.J. No. 353 (QL), 2000
NSCA 126, allowing the appeals and dismissing the cross-appeals from the
decisions of the Workers’ Compensation Appeals Tribunal. Appeals allowed.
Kenneth H. LeBlanc, Anne
S. Clark, Anne Derrick, Q.C., and Patricia J. Wilson,
for the appellants.
Brian A. Crane, Q.C.,
David P. S. Farrar and Janet Curry, for the respondent the
Workers’ Compensation Board of Nova Scotia.
Catherine J. Lunn, for the respondent the Attorney General of Nova Scotia.
John P. Merrick, Q.C., and Louanne Labelle, for the intervener
the Nova Scotia Workers’ Compensation Appeals Tribunal.
Ena Chadha and William
Holder, for the intervener the Ontario Network of Injured Workers Groups.
Steven Barrett and
Ethan Poskanzer, for the intervener the Canadian Labour Congress.
Robert Earl Charney, for the intervener the Attorney General of Ontario.
Kathryn L. Kickbush, for the intervener the Attorney General of British Columbia.
Written submissions only by Curtis Craig,
for the intervener the Workers’ Compensation Board of Alberta.
The judgment of the Court was delivered by
Gonthier J. —
I. Introduction
1
Chronic pain syndrome and related medical conditions have emerged in
recent years as one of the most difficult problems facing workers’ compensation
schemes in Canada and around the world. There is no authoritative definition
of chronic pain. It is, however, generally considered to be pain that persists
beyond the normal healing time for the underlying injury or is disproportionate
to such injury, and whose existence is not supported by objective findings at
the site of the injury under current medical techniques. Despite this lack of
objective findings, there is no doubt that chronic pain patients are suffering
and in distress, and that the disability they experience is real. While there
is at this time no clear explanation for chronic pain, recent work on the
nervous system suggests that it may result from pathological changes in the
nervous mechanisms that result in pain continuing and non-painful stimuli being
perceived as painful. These changes, it is believed, may be precipitated by
peripheral events, such as an accident, but may persist well beyond the normal
recovery time for the precipitating event. Despite this reality, since chronic
pain sufferers are impaired by a condition that cannot be supported by
objective findings, they have been subjected to persistent suspicions of
malingering on the part of employers, compensation officials and even
physicians. Ruth Laseur and Donald Martin are the appellants in this case.
Both suffer from the disability of chronic pain.
2
Courts are not the appropriate forum for an evaluation of the available
medical evidence concerning chronic pain for general scientific purposes.
Nevertheless, because disability is an enumerated ground in s. 15(1) of the Canadian
Charter of Rights and Freedoms , the question whether the way in which a
government handles chronic pain in providing services amounts to discrimination
is a proper subject of judicial review. More specifically, these appeals
concern the constitutional validity of s. 10B of the Nova Scotia Workers’
Compensation Act, S.N.S. 1994-95, c. 10, as amended by S.N.S. 1999, c.
1 (the “Act”), and of the Functional Restoration (Multi-Faceted Pain
Services) Program Regulations, N.S. Reg. 57/96 (the “FRP Regulations”),
adopted under that Act. These provisions exclude chronic pain from the purview
of the regular workers’ compensation system and provide, in lieu of the
benefits normally available to injured workers, a four-week Functional
Restoration (Multi-Faceted Pain Services) Program (the “Functional Restoration
Program”) beyond which no further benefits are available. A preliminary issue
is whether the Nova Scotia Workers’ Compensation Appeals Tribunal (the “Appeals
Tribunal”), an administrative tribunal set up to hear appeals from decisions of
the Workers’ Compensation Board of Nova Scotia (the “Board”), had jurisdiction
to decline to apply the challenged provisions to the appellants on the ground
that these provisions violate the Charter .
3
In my view, the Nova Scotia Court of Appeal erred in concluding that the
Appeals Tribunal did not have jurisdiction to consider the constitutionality of
the challenged provisions of the Act and the FRP Regulations. I am of the view
that the rules concerning the jurisdiction of administrative tribunals to apply
the Charter established by this Court in Douglas/Kwantlen Faculty
Assn. v. Douglas College, [1990] 3 S.C.R. 570, Cuddy
Chicks Ltd. v. Ontario (Labour Relations Board), [1991] 2
S.C.R. 5, and Tétreault-Gadoury v. Canada (Employment and
Immigration Commission), [1991] 2 S.C.R. 22, ought to be reappraised and
restated as a clear set of guidelines. Administrative tribunals which have
jurisdiction — whether explicit or implied — to decide questions of law arising
under a legislative provision are presumed to have concomitant jurisdiction to
decide the constitutional validity of that provision. This presumption may
only be rebutted by showing that the legislature clearly intended to exclude Charter
issues from the tribunal’s authority over questions of law. To the extent that
the majority reasons in Cooper v. Canada (Human Rights Commission),
[1996] 3 S.C.R. 854, are inconsistent with this approach, I am of the view that
they should no longer be relied upon.
4
Here, the Nova Scotia legislature expressly conferred on the Appeals
Tribunal the authority to decide questions of law by providing, in s. 252(1) of
the Act, that it “may confirm, vary or reverse the decision of a hearing
officer” exercising the authority conferred upon the Board by s. 185(1) of the Act
to “determine all questions of fact and law arising pursuant to this Part”.
Other provisions of the Act also confirm the legislature’s intention that the
Appeals Tribunal decide questions of law, for instance by allowing the Chair,
under certain circumstances, to direct cases involving “important or novel
questions or issues of general significance” or issues of “law and general
policy” to the Appeals Tribunal for consideration (s. 199(1) and (2)), and by
providing for a further appeal to the Nova Scotia Court of Appeal “on any
question of law” (s. 256(1)). The Appeals Tribunal thus has explicit
jurisdiction to decide questions of law arising under the challenged
provisions, a jurisdiction which is presumed to include the authority to
consider their constitutional validity. This presumption is not rebutted in
this case, as there is no clear implication arising from the Act that the
legislature intended to exclude the Charter from the scope of the
Appeals Tribunal’s authority.
5
In my view, the Nova Scotia Court of Appeal also erred in concluding
that the challenged provisions of the Act and the FRP Regulations did not
violate s. 15(1) of the Charter . By entirely excluding chronic pain
from the application of the general compensation provisions of the Act and
limiting the applicable benefits to a four-week Functional Restoration Program
for workers injured after February 1, 1996, the Act and the FRP Regulations
clearly impose differential treatment upon injured workers suffering from
chronic pain on the basis of the nature of their physical disability, an
enumerated ground under s. 15(1) of the Charter . In the context of the
Act, and given the nature of chronic pain, this differential treatment is
discriminatory. It is discriminatory because it does not correspond to the
actual needs and circumstances of injured workers suffering from chronic pain,
who are deprived of any individual assessment of their needs and
circumstances. Such workers are, instead, subject to uniform, limited benefits
based on their presumed characteristics as a group. The scheme also ignores
the needs of those workers who, despite treatment, remain permanently disabled
by chronic pain. Nothing indicates that the scheme is aimed at improving the
circumstances of a more disadvantaged group, or that the interests affected are
merely economic or otherwise minor. On the contrary, the denial of the reality
of the pain suffered by the affected workers reinforces widespread negative
assumptions held by employers, compensation officials and some members of the
medical profession, and demeans the essential human dignity of chronic pain
sufferers. The challenged provisions clearly violate s. 15(1) of the Charter .
6
Finally, I am of the view that this violation cannot be justified under
s. 1 of the Charter . On the one hand, budgetary considerations in and
of themselves cannot justify violating a Charter right, although they
may be relevant in determining the appropriate degree of deference to
governmental choices based on a non-financial objective. On the other hand,
developing a consistent legislative response to the special issues raised by
chronic pain claims — such as determining whether the pain is actually caused
by the work-related accident and assessing the relevant degree of impairment —
in order to avoid fraudulent claims is a pressing and substantial objective.
However, it is obvious that the blanket exclusion of chronic pain from the
workers’ compensation system does not minimally impair the rights of chronic
pain sufferers. The challenged provisions make no attempt whatsoever to
determine who is genuinely suffering and needs compensation and who may be
abusing the system. They ignore the very real needs of the many workers who
are in fact impaired by chronic pain and whose condition is not appropriately
remedied by the four-week Functional Restoration Program. A last alleged
objective of the legislation is to implement early medical intervention and
return to work as the optimal treatment for chronic pain. Assuming that this
objective is pressing and substantial and that the challenged provisions are
rationally connected to it, however, they do not minimally impair the rights or
chronic pain sufferers. No evidence indicates that an automatic cut-off of
benefits regardless of individual needs is necessary to achieve that goal.
This is particularly true with respect to ameliorative benefits which would
actually facilitate return to work, such as vocational rehabilitation, medical
aid and the rights to re-employment and accommodation.
7
I thus conclude that the challenged provisions violate the Charter and
should be struck down.
II. Facts
A. The Laseur Appeal
8
The appellant Ruth A. Laseur was employed as a bus driver by the
Metropolitan Authority (Metro Transit Division) in Halifax, Nova Scotia. On
November 13, 1987, she injured her back and her right hand when she slipped and
fell from the bumper of her bus while attempting to clean the windshield. The
accident was reported to the Board and she continued to work until February 16,
1988, with occasional days off due to back pain. She received temporary
disability benefits for various periods between February 16, 1988, and October
30, 1989, when the benefits were terminated. Although Ms. Laseur attempted to
return to work on several occasions, she found that performing her duties
aggravated her condition.
9
Ms. Laseur continued to pursue her workers’ compensation claim and
returned to work part-time on February 23, 1990. A summary report by the Board
on February 21, 1990, noted that she had “fallen into the usual chronic pain
picture” and considered that there was “no objective evidence to justify a PMI
(permanent medical impairment) examination”. She worked part‑time until
April 10, 1990, when her employer required her to return to full‑time
hours. This aggravated her back pain. She stopped work on April 18, then
shortly returned on a part‑time basis until July 30. Later, after
numerous treatments for her back pain remained ineffective, her family
physician ordered her to stop working again.
10
Ms. Laseur appealed the Board’s decision to terminate her temporary
disability benefits to the Workers’ Compensation Appeal Board (as it was then
called). In October 1990, the Board awarded her further temporary disability
benefits until July 30, 1990, which were to be continued beyond that date until
an assessment could be carried out for permanent partial disability benefits.
On January 17, 1991, Ms. Laseur attended for an estimation of her permanent
medical impairment. The medical services administrator noted that “[t]his is
basically a chronic pain problem, perhaps even a chronic pain syndrome although
she seems to be a very pleasant individual with not the usual features of this
type of problem. However, there is no organic evidence to justify a PMI as far
as I can tell based on the examination done today.” A permanent partial
disability award was denied.
11
After being denied accommodation by her employer and permanent benefits
by the Board, Ms. Laseur resigned from her position. She took courses in
accounting and business computer programming, which she self-financed, notably
by borrowing money from her mother-in-law. She did well and, upon graduating
from her last course in 1994, found employment with a software firm in
Edmonton. As she continued to suffer from chronic back pain, her work schedule
was modified and she was allowed occasionally to work from home. She continued
to pursue her claim in Nova Scotia for permanent partial disability benefits
retroactive to January 1991. On August 12, 1994, after further medical
reports, a case manager determined that Ms. Laseur was not entitled to such benefits
or to vocational rehabilitation assistance. The case manager stated that “she
probably has a full blown chronic pain syndrome, which is a non‑compensable
condition and is well known to be virtually totally related to psychosocial
factors”. This decision was affirmed by a review officer on March 21, 1996,
and by a hearing officer on November 19, 1996.
12
Ms. Laseur appealed the Board’s decision to the Appeals Tribunal on the
ground that portions of s. 10B of the Act, which prevents chronic pain
sufferers from obtaining workers’ compensation benefits, infringed s. 15 of the
Charter . The Appeals Tribunal allowed the appeal in part, but held
that, even disregarding the effect of s. 10B of the Act, Ms. Laseur was not
entitled to permanent impairment benefits or vocational rehabilitation
assistance. The Board appealed the Appeals Tribunal’s Charter
conclusions, and Ms. Laseur cross-appealed the refusal to award benefits. The
Nova Scotia Court of Appeal allowed the Board’s appeal and dismissed Ms.
Laseur’s cross-appeal.
B. The Martin Appeal
13
The appellant Donald Martin worked as a foreman at Suzuki Dartmouth. On
February 6, 1996, he lifted a tow dolly and towed it backward about 15 feet.
He experienced a sudden and severe pain in his lumbar spine and, although he
remained at work that day, he later visited his family physician, who on
February 8 diagnosed a lumbar sprain. In the following months, Mr. Martin
returned to work several times, but recurring pain required him to stop. He
attended a work conditioning and hardening program. During this period, the Board
provided him with temporary disability benefits and rehabilitation services.
However, his temporary benefits were discontinued on August 6, 1996. Mr.
Martin sought review of this decision, but his claim was denied. The review
officer noted that there was no demonstrated pathology to support Mr. Martin’s
complaint of pain, that he was developing early signs of chronic pain and that
under the FRP Regulations, chronic pain is generally excluded from the
operation of the Act. A further appeal to a hearing officer was also denied.
14
Mr. Martin appealed the Board’s decision to the Appeals Tribunal on the
ground that the FRP Regulations and s. 10B(c) of the Act infringed s. 15 of the
Charter . The Board challenged the Appeal Tribunal’s jurisdiction to
hear the Charter argument. The Appeals Tribunal affirmed its
jurisdiction to apply the Charter and allowed the appeal on the merits,
holding that the FRP Regulations and s. 10B(c) of the Act violated s. 15 of the
Charter and that these violations are not justified under s. 1 . Mr.
Martin was awarded temporary benefits from August 6 to October 15, 1996. The
Board appealed the Appeals Tribunal’s Charter conclusions, and Mr.
Martin cross-appealed the cut-off of benefits as of October 15, 1996. The Nova
Scotia Court of Appeal allowed the Board’s appeal and dismissed Mr. Martin’s
cross-appeal.
III. Judgments Below
A. Nova Scotia Workers’ Compensation Appeals
Tribunal
15
In its preliminary decision on jurisdiction in the Martin appeal,
rendered on August 27, 1999, the Appeals Tribunal held that it had jurisdiction
to make determinations of all questions of law, including whether the Act or
the FRP Regulations violated the Charter . It did so on the basis
of s. 185(1) of the Act, which granted the Board “exclusive jurisdiction to
inquire into, hear and determine all questions of fact and law arising pursuant
to this Part”, “[s]ubject to the rights of appeal provided in this Act” and of
s. 243 , which provided a right of appeal from the Board to the Appeals Tribunal.
The Appeals Tribunal applied this decision in the Laseur appeal.
16
In the Martin appeal, decided on January 31, 2000, the Appeals
Tribunal concluded that the FRP Regulations violated s. 15(1) of the Charter .
It found that workers suffering from chronic pain were subjected to
differential treatment, in that the benefits to which they were entitled were
significantly restricted and their cases were not determined having regard to
their individual circumstances. The Appeals Tribunal also found that such
differential treatment was founded on disability caused by chronic pain, and
that that disability constitutes either a physical or a mental disability under
s. 15(1) . Finally, it held that the operation of the FRP Regulations was
discriminatory in that it stereotyped workers with chronic pain and determined
their cases without reference to their individual circumstances, thus impacting
their dignity by implying that their claims were less valid than those of
injured workers without chronic pain.
17
The Appeals Tribunal further found that this infringement was not
justified under s. 15(2) or s. 1 of the Charter . In its view, the
blanket exclusion of chronic pain from the operation of the Act illustrated
that the objective of the FRP Regulations was not to ameliorate the condition
of workers affected by chronic pain, but rather to provide them with very
limited, structured benefits. Turning to s. 1 , the Appeals Tribunal found that
the objective of the FRP Regulations was pressing and substantial, as they
attempted to provide a compensation scheme to individuals whose disability
presented a challenge to the normal system. The Appeals Tribunal found,
however, that the FRP Regulations did not pass the minimal impairment test, as
they effectively precluded chronic pain sufferers from receiving any benefits
whatsoever in relation to the frequent permanency of their condition. For the
same reasons, the Appeals Tribunal also found that s. 10B(c) of the Act was
unconstitutional and that Mr. Martin was entitled to temporary loss of earnings
benefits and medical aid up to October 15, 1996.
18
In the Laseur appeal, also decided on January 31, 2000, the
Appeals Tribunal concluded, based on the reasons given in the Martin
appeal, that s. 10A and s. 10B(b) and (c) of the Act also violated s. 15(1) of
the Charter and were not saved by s. 15(2) or s. 1 . Even ignoring these
provisions, however, the Appeals Tribunal found that while Ms. Laseur suffered
from chronic pain attributable to her work injury, her permanent medical
impairment rating under the applicable guidelines was 0 percent, thus barring
her from obtaining permanent impairment or vocational rehabilitation benefits.
While the Appeals Tribunal recognized that this conclusion was inconsistent
with its findings on the Charter issue, it held that, since the
constitutionality of the guidelines had not been raised or argued, it lacked
jurisdiction to decide the issue.
B. Nova Scotia Court of Appeal (2000),
192 D.L.R. (4th) 611, 2000 NSCA 126
1. Jurisdiction of the Appeals Tribunal to
Apply the Charter
19
Cromwell J.A. found that the Appeals Tribunal did not have jurisdiction
to consider the constitutional validity of the Act. He stated that the
relevant inquiry was whether the legislature intended to confer on the tribunal
the power to interpret and apply the Charter , an intention that should
generally not be inferred from the tribunal’s authority simply to interpret and
apply its own enabling statute. What was needed, in his view, was a grant of
authority to the tribunal to interpret or apply “any law necessary to
[reaching] its findings”, to address “general questions of law”, or to “apply
the law of the land to the disputes before them” (para. 93). In the
absence of an express grant, one may be implied from the statutory scheme and
the role of the tribunal. A key consideration is whether the tribunal performs
an adjudicative function.
20
Turning to the applicable legislation, Cromwell J.A. stated, at para.
126, that “[t]he linchpin of the argument in favour of [the Appeals Tribunal]’s
Charter jurisdiction is that it derives this authority by virtue of its
appellate role in relation to the Board.” Thus, it was necessary first to
consider the authority of the Board to subject its enabling statute to Charter
scrutiny. Cromwell J.A. held that, while s. 185 of the Act conferred on the
Board jurisdiction to determine “all questions of fact and law arising pursuant
to this Part”, other factors indicated that the legislature did not intend it
to decide fundamental constitutional issues. The Board was not an adjudicative
body, hearing officers could not refuse to apply the Board’s policies on
grounds of inconsistency with the Act, and the Chair of the Board of Directors
could postpone an appeal raising “an issue of law and general policy” for up to
12 months to allow the Board to exercise its policy-making power (s.
200(1) (a)). Thus, Cromwell J.A. concluded, the Board lacked the authority to
refuse to apply a provision of the Act on Charter grounds.
21
Cromwell J.A. found that, since the Appeals Tribunal’s jurisdiction was
to “confirm, vary or reverse” the decision of the Board, the latter’s lack of
jurisdiction to apply the Charter destroyed the underpinning of the
submission that the former was empowered to do so. In addition, even though
the Appeals Tribunal, unlike the Board, was an adjudicative body, there were
clear indications of its lack of jurisdiction to apply the Charter . It
had no express grant of authority to decide general questions of law, but
merely to interpret and apply the Act itself; it was not an expert tribunal,
since it did not exercise policy-making functions; its members (apart from the
Chief Appeal Commissioner) were not required to be members of the bar; and it
was required to decide appeals within 60 days, in brief written reasons.
Moreover, the Chair could refer “an issue of law and general policy” arising on
an appeal to the Board of Directors. Finally, allowing the Appeals Tribunal to
decide constitutional questions could increase its workload and cause delays
which parties to other cases would have to bear. This would contradict the
objective of eliminating the previous backlog of cases, the objective
propelling the 1999 chronic pain amendments.
2. Section 15(1) of the Charter
22
Cromwell J.A. first noted that prior to the enactment of the challenged
provisions, claims based on chronic pain were problematic under the Act. This
had been due to the difficulties in establishing causality, the absence of
ascertainable organic cause or objective findings and the lack of response to
traditional treatment. To respond to these problems, the legislature enacted
the challenged provisions, which “may be taken as a legislative judgment . . .
that for workers’ compensation purposes, the loss of earnings or permanent
impairment flowing from chronic pain are not reasonably attributed to the
injury” (para. 181). Turning to the formal s. 15(1) analysis, Cromwell J.A.
held that in each case, the appropriate comparison was between workers subject to
the Act who have chronic pain and have suffered functional limitation, wage
loss or permanent impairment and workers subject to the Act who do not have
chronic pain and have suffered functional limitation, wage loss or permanent
impairment.
23
Cromwell J.A. went on to find that there was clear differential
treatment in Mr. Martin’s case. Since Ms. Laseur would not have been entitled
to benefits under the guidelines even without the challenged provisions,
Cromwell J.A. held that the differential treatment in her case consisted of
denial of access to the general scheme of benefits under the Act: Egan v.
Canada, [1995] 2 S.C.R. 513; Vriend v. Alberta, [1998]
1 S.C.R. 493; M. v. H., [1999] 2 S.C.R. 3. He further found that
the differential treatment of the respondents was based on the enumerated
ground of “physical or mental disability”. Even though injured workers without
chronic pain also suffered from disabilities, differential treatment could
exist even where the appropriate comparator group consists of persons who are
also described by the same enumerated ground: Battlefords and District
Co-operative Ltd. v. Gibbs, [1996] 3 S.C.R. 566; Granovsky
v. Canada (Minister of Employment and Immigration), [2000] 1
S.C.R. 703, 2000 SCC 28.
24
Turning to the substantive discrimination analysis, Cromwell J.A. first
held that nothing in the record indicated that chronic pain sufferers have been
victims of historical disadvantage or stereotyping distinct from that
experienced by other disabled workers seeking compensation. As to the
relationship between the benefits, the claimants’ circumstances and the
ameliorative purpose of the impugned law, he found that in the context of a
large-scale no-fault compensation scheme, it would be unrealistic to insist
upon perfect correspondence. The scheme as a whole had an ameliorative
purpose; the question was whether the limitations on recovery were premised on
a misunderstanding of the claimants’ actual needs, capacities and
circumstances. He found that chronic pain was a complex of physical,
psychological, emotional, social and cultural factors, and the chronic pain
provisions in issue attempted to respond to this reality by providing
short-term benefits in the form of participation in the Functional Restoration
Program and encouraging early return to work by denying further benefits.
Although the need to contain costs and to bring consistency to the large number
of claims before the Board also motivated the enactment, this did not negate
its ameliorative effects. Cromwell J.A. also found the interest affected by
the denial of benefits to be merely economic in nature.
25
Based on these findings, he concluded that the chronic pain provisions
did not demean the human dignity of the claimants and thus did not violate s.
15(1) . Consequently, it was not necessary to address arguments relating to s.
15(2) or s. 1 .
IV. Issues
26
Does the Nova Scotia Workers’ Compensation Appeals Tribunal have the
authority to refuse to apply, on Charter grounds, benefits provisions of
its enabling statute?
In addition,
the following constitutional questions have been stated by this Court:
1. Do s. 10B of the Workers’ Compensation
Act, S.N.S. 1994‑95, c. 10, as amended, and the Functional
Restoration (Multi‑Faceted Pain Services) Program Regulations, N.S.
Reg. 57/96, infringe the equality rights guaranteed by s. 15(1) of the Canadian
Charter of Rights and Freedoms ?
2. If the answer to question # 1 is yes, does
such infringement constitute a reasonable limit prescribed by law and
demonstrably justified in a free and democratic society pursuant to s. 1 of the
Canadian Charter of Rights and Freedoms ?
V. Analysis
A. Jurisdiction of the Appeals Tribunal to
Apply the Charter
1. The Policy Adopted by This Court in the
Trilogy
27
This Court has examined the jurisdiction of administrative tribunals to
consider the constitutional validity of a provision of their enabling statute
in Douglas College, supra, Cuddy Chicks, supra, and
Tétreault-Gadoury, supra (together, the “trilogy”). On each
occasion, the Court emphasized the strong reasons, of principle as well as
policy, for allowing administrative tribunals to make such determinations and
to refuse to apply a challenged provision found to violate the Constitution.
28
First, and most importantly, the Constitution is, under s. 52(1) of the Constitution
Act, 1982 , “the supreme law of Canada, and any law that is inconsistent
with the provisions of the Constitution is, to the extent of the inconsistency,
of no force or effect”. The invalidity of a legislative provision inconsistent
with the Charter does not arise from the fact of its being declared
unconstitutional by a court, but from the operation of s. 52(1) . Thus, in
principle, such a provision is invalid from the moment it is enacted, and a
judicial declaration to this effect is but one remedy amongst others to protect
those whom it adversely affects. In that sense, by virtue of s. 52(1) , the
question of constitutional validity inheres in every legislative enactment.
Courts may not apply invalid laws, and the same obligation applies to every
level and branch of government, including the administrative organs of the
state. Obviously, it cannot be the case that every government official has to
consider and decide for herself the constitutional validity of every provision
she is called upon to apply. If, however, she is endowed with the power to
consider questions of law relating to a provision, that power will normally
extend to assessing the constitutional validity of that provision. This is
because the consistency of a provision with the Constitution is a question of
law arising under that provision. It is, indeed, the most fundamental question
of law one could conceive, as it will determine whether the enactment is in
fact valid law, and thus whether it ought to be interpreted and applied as such
or disregarded.
29
From this principle of constitutional supremacy also flows, as a
practical corollary, the idea that Canadians should be entitled to assert the
rights and freedoms that the Constitution guarantees them in the most
accessible forum available, without the need for parallel proceedings before
the courts: see Douglas College, supra, at pp. 603-4. In La
Forest J.’s words, “there cannot be a Constitution for arbitrators and another
for the courts” (Douglas College, supra, at p. 597). This
accessibility concern is particularly pressing given that many administrative
tribunals have exclusive initial jurisdiction over disputes relating to their
enabling legislation, so that forcing litigants to refer Charter issues
to the courts would result in costly and time-consuming bifurcation of
proceedings. As McLachlin J. (as she then was) stated in her dissent in Cooper,
supra, at para. 70:
The Charter is not some holy grail which only judicial initiates
of the superior courts may touch. The Charter belongs to the people.
All law and law‑makers that touch the people must conform to it.
Tribunals and commissions charged with deciding legal issues are no exception.
Many more citizens have their rights determined by these tribunals than by the
courts. If the Charter is to be meaningful to ordinary people, then it
must find its expression in the decisions of these tribunals.
Similar views
had been expressed by the majority in Weber v. Ontario Hydro,
[1995] 2 S.C.R. 929.
30
Second, Charter disputes do not take place in a vacuum. They
require a thorough understanding of the objectives of the legislative scheme
being challenged, as well as of the practical constraints it faces and the
consequences of proposed constitutional remedies. This need is heightened
when, as is often the case, it becomes necessary to determine whether a prima
facie violation of a Charter right is justified under s. 1 . In this
respect, the factual findings and record compiled by an administrative
tribunal, as well as its informed and expert view of the various issues raised
by a constitutional challenge, will often be invaluable to a reviewing court:
see Douglas College, supra, at pp. 604-5. As La Forest J.
correctly observed in Cuddy Chicks, supra, at pp. 16-17:
It must be emphasized that the process of Charter decision
making is not confined to abstract ruminations on constitutional theory. In
the case of Charter matters which arise in a particular regulatory
context, the ability of the decision maker to analyze competing policy concerns
is critical. . . . The informed view of the Board, as manifested in a
sensitivity to relevant facts and an ability to compile a cogent record, is
also of invaluable assistance.
31
Third, administrative tribunal decisions based on the Charter are
subject to judicial review on a correctness standard: see Cuddy Chicks, supra,
at p. 17. An error of law by an administrative tribunal interpreting the
Constitution can always be reviewed fully by a superior court. In addition,
the constitutional remedies available to administrative tribunals are limited
and do not include general declarations of invalidity. A determination by a
tribunal that a provision of its enabling statute is invalid pursuant to the Charter
is not binding on future decision makers, within or outside the tribunal’s
administrative scheme. Only by obtaining a formal declaration of invalidity by
a court can a litigant establish the general invalidity of a legislative
provision for all future cases. Therefore, allowing administrative tribunals
to decide Charter issues does not undermine the role of the courts as
final arbiters of constitutionality in Canada.
32
In Douglas College, supra, La Forest J. expressly
considered and rejected several general arguments made against recognizing that
administrative tribunals that have jurisdiction to decide questions of law
possess a concomitant jurisdiction to apply the Charter . He noted that
some authors had pointed to practical concerns with respect to the desirability
of such adjudication, such as the lack of legal expertise of some
administrative tribunals, the differences between their rules of procedure and
evidence and those followed by courts, and the need to maintain the
accessibility and timeliness of their procedures. Nevertheless, La Forest J.
concluded, at p. 603, that these considerations, “though not without weight,
should [not] dissuade this Court from adopting what has now become the clearly
dominant view in the courts of this country”. Nor, in my view, should such
practical considerations surreptitiously find their way back into the courts’ analysis
of a particular tribunal’s jurisdiction despite a clear expression of
legislative intent to endow it with authority to decide questions of law,
including constitutional issues. I now turn to the rules governing this
analysis.
2. The Applicable Law
33
In view of the policy considerations outlined above, this Court has
adopted a general approach for the determination of whether a particular
administrative tribunal or agency can decline to apply a provision of its
enabling statute on the ground that the provision violates the Charter .
This approach rests on the principle that, since administrative tribunals are
creatures of Parliament and the legislatures, their jurisdiction must in every
case “be found in a statute and must extend not only to the subject matter of
the application and the parties, but also to the remedy sought”: Douglas
College, supra, at p. 595; see also Cuddy Chicks, supra,
at pp. 14-15. When a case brought before an administrative tribunal involves a
challenge to the constitutionality of a provision of its enabling statute, the
tribunal is asked to interpret the relevant Charter right, apply it to
the impugned provision, and if it finds a breach and concludes that the
provision is not saved under s. 1 , to disregard the provision on constitutional
grounds and rule on the applicant’s claim as if the impugned provision were not
in force.
34
Since the subject matter and the remedy in such a case are premised on
the application of the Charter , the question becomes whether the
tribunal’s mandate includes jurisdiction to rule on the constitutionality of
the challenged provision: see Douglas College, supra, at p. 596; Cuddy
Chicks, supra, at p. 15. This question is answered by applying a
presumption, based on the principle of constitutional supremacy outlined above,
that all legal decisions will take into account the supreme law of the land.
Thus, as a rule, “an administrative tribunal which has been conferred the power
to interpret law holds a concomitant power to determine whether that law is
constitutionally valid”: Cuddy Chicks, supra, at p. 13; or, as
stated in Cooper, supra, at para. 46:
If a tribunal does have the power to consider
questions of law, then it follows by the operation of s. 52(1) that it must be
able to address constitutional issues, including the constitutional validity of
its enabling statute.
While the
general principles outlined above have been consistently reaffirmed by this
Court and remain sound, their application has been fraught with difficulties,
as evidenced by the disagreements that arose in Cooper, supra. I
am of the view that it is now time to reappraise the case law and to provide a
single set of rules concerning the jurisdiction of administrative tribunals to
consider Charter challenges to a legislative provision.
35
In each case, the first question to be addressed is whether the
administrative tribunal at issue has jurisdiction, explicit or implied, to
decide questions of law arising under the challenged provision. While, as
stated in the trilogy and Cooper, supra, this question is one of
legislative intent, it is crucial that the relevant intent be clearly defined.
The question is not whether Parliament or the legislature intended the tribunal
to apply the Charter . As has often been pointed out, such an
attribution of intent would be artificial, given that many of the relevant
enabling provisions pre-date the Charter : see, e.g., A. J. Roman, “Case
Comment: Cooper v. Canada (Human Rights Commission)”
(1997), 43 Admin. L.R. (2d) 243, at p. 244; D. M. McAllister,
“Administrative Tribunals and the Charter : A Tale of Form Conquering
Substance”, in L.S.U.C. Special Lectures 1992 — Administrative Law:
Principles, Practice and Pluralism (1993), 131, at p. 150. That
attribution of intent would also be incompatible with the principle stated
above that the question of constitutional validity inheres in every legislative
enactment by virtue of s. 52(1) of the Constitution Act, 1982 .
Therefore, in my view, to the extent that passages in the trilogy and Cooper,
supra, suggest that the relevant legislative intention to be sought is
one that the tribunal apply the Charter itself, those passages should be
disregarded.
36
Rather, one must ask whether the empowering legislation implicitly or
explicitly grants to the tribunal the jurisdiction to interpret or decide any
question of law. If it does, then the tribunal will be presumed to have the
concomitant jurisdiction to interpret or decide that question in light of the Charter ,
unless the legislator has removed that power from the tribunal. Thus, an
administrative tribunal that has the power to decide questions of law arising
under a particular legislative provision will be presumed to have the power to
determine the constitutional validity of that provision. In other words, the
power to decide a question of law is the power to decide by applying only valid
laws.
37
Often the statute will expressly confer on the tribunal jurisdiction to
decide certain questions of law. Thus, in Cuddy Chicks, supra,
the Ontario Labour Relations Act granted the Labour Relations Board
jurisdiction “to determine all questions of fact or law that arise in any
matter before it”. This provision was held to provide a clear jurisdictional
basis for the Labour Relations Board to consider the constitutional validity of
a provision of the Labour Relations Act excluding agricultural employees
from its purview. Yet, while obviously adequate, such a broad grant of
jurisdiction is not necessary to confer on an administrative tribunal the power
to apply the Charter . It suffices that the legislator endow the
tribunal with power to decide questions of law arising under the challenged
provision, and that the constitutional question relate to that provision.
38
This nuance was sometimes overlooked in the trilogy. Thus, in Douglas
College, supra, La Forest J. held that an arbitration board had jurisdiction
to apply the Charter to a provision in the collective agreement that the
board was empowered to interpret and apply. While that conclusion was
certainly correct, courts should use some care in relying on the reasoning used
to support it. The British Columbia Labour Code provided that the
arbitration board had authority to “interpret and apply any Act intended to
regulate the employment relationship of the persons bound by a collective
agreement”. La Forest J. found that the Charter was intended to be
included within the meaning of the term “Act” in that section. With respect, I
believe the better view is that, since the board had undisputed jurisdiction to
decide questions of law arising under the collective agreement, and the
agreement constituted “law” within the meaning of s. 52(1) of the Constitution
Act, 1982 , the board could consider the constitutional validity of the
agreement’s provisions. This conclusion would have been true regardless of
whether the Charter is truly an “Act intended to regulate the employment
relationship of the persons bound by a collective agreement”.
39
In other words, the relevant question in each case is not whether the
terms of the express grant of jurisdiction are sufficiently broad to encompass
the Charter itself, but rather whether the express grant of jurisdiction
confers upon the tribunal the power to decide questions of law arising under
the challenged provision, in which case the tribunal will be presumed to have
jurisdiction to decide the constitutional validity of that provision. The Charter
is not invoked as a separate subject matter; rather, it is a controlling norm
in decisions over matters within the tribunal’s jurisdiction.
40
In cases where the empowering legislation contains an express grant of
jurisdiction to decide questions of law, there is no need to go beyond the
language of the statute. An express grant of authority to consider or decide
questions of law arising under a legislative provision is presumed to extend to
determining the constitutional validity of that provision.
41
Absent an explicit grant, it becomes necessary to consider whether the
legislator intended to confer upon the tribunal implied jurisdiction to decide
questions of law arising under the challenged provision. Implied jurisdiction
must be discerned by looking at the statute as a whole. Relevant factors will
include the statutory mandate of the tribunal in issue and whether deciding
questions of law is necessary to fulfilling this mandate effectively; the
interaction of the tribunal in question with other elements of the
administrative system; whether the tribunal is adjudicative in nature; and
practical considerations, including the tribunal’s capacity to consider
questions of law. Practical considerations, however, cannot override a clear
implication from the statute itself, particularly when depriving the tribunal
of the power to decide questions of law would impair its capacity to fulfill
its intended mandate. As is the case for explicit jurisdiction, if the
tribunal is found to have implied jurisdiction to decide questions of law
arising under a legislative provision, this power will be presumed to include
jurisdiction to determine the constitutional validity of that provision.
42
Once this presumption has been raised, either by an explicit or implicit
grant of authority to decide questions of law, the second question that arises
is whether it has been rebutted. The burden of establishing this lies on the
party who alleges that the administrative body at issue lacks jurisdiction to
apply the Charter . In general terms, the presumption may only be
rebutted by an explicit withdrawal of authority to decide constitutional
questions or by a clear implication to the same effect, arising from the
statute itself rather than from external considerations. The question to be
asked is whether an examination of the statutory provisions clearly leads to
the conclusion that the legislature intended to exclude the Charter , or
more broadly, a category of questions of law encompassing the Charter ,
from the scope of the questions of law to be addressed by the tribunal. For
instance, an express conferral of jurisdiction to another administrative body
to consider Charter issues or certain complex questions of law deemed
too difficult or time-consuming for the initial decision maker, along with a
procedure allowing such issues to be efficiently redirected to such body, could
give rise to a clear implication that the initial decision maker was not
intended to decide constitutional questions.
43
As La Forest J. stated in Tétreault-Gadoury, supra, at p.
33, “the power to interpret law is not one which the legislature has conferred
lightly upon administrative tribunals”. When a legislature chooses to do so,
whether explicitly or by implication, the courts must assume that the
administrative body at issue was intended to be an appropriate forum for the
resolution of complex legal issues, including the interpretation and
application of the Charter . Thus, while, as noted above, considerations
concerning an administrative body’s practical capacity to address such issues
may be relevant in determining the scope of a tribunal’s implicit authority to
decide questions of law, they generally will not suffice on their own to rebut
the presumption that arises from such authority, whether explicit or implied,
once that presumption has been found to apply. In my view, lower court cases
which suggest otherwise, such as Bell Canada v. Canada (Human Rights
Commission), [2001] 2 F.C. 392 (T.D.), rev’d on other grounds, [2001] 3
F.C. 481 (C.A.), and Canada (Minister of Citizenship and Immigration) v.
Reynolds (1997), 139 F.T.R. 315, as well as the Court of Appeal’s
decision in the present case, are erroneous in this respect.
44
I refrain, however, from expressing any opinion as to the
constitutionality of a provision that would place procedural barriers in the
way of claimants seeking to assert their rights in a timely and effective
manner, for instance by removing Charter jurisdiction from a tribunal
without providing an effective alternative administrative route for Charter
claims.
45
In applying the approach set out above, there is in my view no need to
draw any distinction between “general” and “limited” questions of law, as was
admittedly done in Cooper, supra. An administrative body will
normally either have or not have the power to decide questions of law. As
stated above, administrative bodies that do have that power may presumptively
go beyond the bounds of their enabling statute and decide issues of common law
or statutory interpretation that arise in the course of a case properly before
them, subject to judicial review on the appropriate standard: see, e.g., McLeod
v. Egan, [1975] 1 S.C.R. 517; David Taylor & Son, Ltd.
v. Barnett, [1953] 1 All E.R. 843 (C.A.); Canadian
Broadcasting Corp. v. Canada (Labour Relations Board), [1995]
1 S.C.R. 157. Absent a clear expression or implication of contrary intent,
such administrative bodies will also have jurisdiction to subject the statutory
provisions over which they have jurisdiction to Charter scrutiny, while
those tribunals without power to decide questions of law will not.
46
In Cooper, supra, this Court considered the jurisdiction
of the Canadian Human Rights Commission or a tribunal appointed by it to consider
the validity of s. 15 (c) of the Canadian Human Rights Act
under s. 15(1) of the Charter . The challenged section provided that no
discrimination occurred when persons were forced to retire at the normal age
for employees working in similar positions in the same industry. La Forest J.
first noted the absence of any explicit grant of jurisdiction to consider
questions of law, which raised the need to determine whether such jurisdiction
was implied. Turning to an examination of the statutory scheme under the Canadian
Human Rights Act , he concluded that Parliament did not intend the
Commission to decide questions of law arising under s. 15 (c), but rather
to serve as a screening mechanism for a tribunal endowed with broader
jurisdiction to decide such questions as well as with greater capacity to do
so. In those specific circumstances, he concluded that a series of
well-circumscribed provisions allowing the Commission to consider other
questions of law necessary to the exercise of its limited statutory functions
as a screening body could not endow it with such power.
47
In my view, the result reached in Cooper could have been reached
under the current restated rules, given La Forest J.’s finding that the
Commission had no authority, either explicit or implicit, to decide questions
of law arising under s. 15 (c) of the Canadian Human Rights Act .
It is thus unnecessary at this time to revisit the holding in that case. To
the extent that it is incompatible with the present reasons, however, I am of
the view that the ratio of the majority judgment in Cooper is no
longer good law. This is particularly true insofar as it implies that the
distinction between general and limited questions of law is generally relevant
to the analysis of an administrative tribunal’s jurisdiction to apply the Charter ,
or that the adjudicative nature of the administrative body is a necessary (or
even preponderant) factor in the search for implicit jurisdiction. Likewise,
the views expressed by Lamer C.J. in his concurrence are at odds with the
current approach and should not be relied on.
48
The current, restated approach to the jurisdiction of administrative
tribunals to subject legislative provisions to Charter scrutiny can be
summarized as follows: (1) The first question is whether the
administrative tribunal has jurisdiction, explicit or implied, to decide
questions of law arising under the challenged provision. (2)(a) Explicit
jurisdiction must be found in the terms of the statutory grant of authority.
(b) Implied jurisdiction must be discerned by looking at the statute as a
whole. Relevant factors will include the statutory mandate of the tribunal in
issue and whether deciding questions of law is necessary to fulfilling this
mandate effectively; the interaction of the tribunal in question with other
elements of the administrative system; whether the tribunal is adjudicative in
nature; and practical considerations, including the tribunal’s capacity to
consider questions of law. Practical considerations, however, cannot override
a clear implication from the statute itself. (3) If the tribunal is found to
have jurisdiction to decide questions of law arising under a legislative
provision, this power will be presumed to include jurisdiction to determine
the constitutional validity of that provision under the Charter . (4)
The party alleging that the tribunal lacks jurisdiction to apply the Charter
may rebut the presumption by (a) pointing to an explicit withdrawal of
authority to consider the Charter ; or (b) convincing the court that an
examination of the statutory scheme clearly leads to the conclusion that the
legislature intended to exclude the Charter (or a category of questions
that would include the Charter , such as constitutional questions
generally) from the scope of the questions of law to be addressed by the
tribunal. Such an implication should generally arise from the statute itself,
rather than from external considerations.
3. Application to the Facts
49
In the case at bar, the jurisdiction of the Board is primarily
determined by s. 185(1) of the Act. That provision states that “[s]ubject to
the rights of appeal provided in this Act, the Board has exclusive jurisdiction
to inquire into, hear and determine all questions of fact and law arising
pursuant to this Part.” The right of appeal contemplated by this section is to
the Appeals Tribunal, which under s. 243 and s. 252(1) “may confirm, vary or
reverse the decision of a hearing officer”. It follows, then, that s. 185(1)
also confers upon the Appeals Tribunal jurisdiction to “determine all questions
of fact and law arising pursuant to this Part”. This provision is, of course,
almost identical to the one considered by this Court in Cuddy Chicks.
In addition, s. 256(1) allows for an appeal from the Appeals Tribunal to the
Nova Scotia Court of Appeal “on any question of law”, which suggests that the
Appeals Tribunal may deal initially with such questions.
50
Section 10B is found in Part I of the Act, and the FRP Regulations were
adopted under that Part. Thus, it is clear that the Act confers upon the
Appeals Tribunal explicit jurisdiction to decide questions of law arising under
the challenged provisions.
51
Given this conclusion, it is not strictly necessary to consider other
aspects of the statutory scheme or the practical considerations raised by the
respondents. Nevertheless, since much of the parties’ submissions relate to
considerations of this nature, and since I believe that an examination of the
statutory scheme as a whole supports the conclusion that the legislature
intended the Appeals Tribunal to decide questions of law, I will discuss this
question briefly. I repeat, however, that the explicit jurisdiction to
determine questions of law would alone have been determinative.
52
First, and most importantly, there can be no doubt that the power to
decide questions of law arising under the Act is necessary in order for the
Appeals Tribunal effectively to fulfill its mandate. Any conclusion to the
contrary would contradict the legislature’s clear intent to create a
comprehensive scheme for resolving workers’ compensation disputes, notably by
barring access to the courts in cases covered by the Act: see Pasiechnyk
v. Saskatchewan (Workers’ Compensation Board), [1997] 2 S.C.R. 890, at
paras. 23-29. Moreover, the Appeals Tribunal’s implied jurisdiction clearly
extends even beyond the Act itself, to other questions of statutory
interpretation or common law raised in the course of a dispute arising from the
operation of the workers’ compensation scheme. This conclusion is supported by
the common law presumption, alluded to above, that administrative tribunals can
interpret laws other than their enabling statute when necessary to resolve a
case over which they otherwise have jurisdiction, subject to judicial review.
It is also consistent with the practice of the Appeals Tribunal, which
regularly decides questions of law involving the interpretation of common law
principles and statutes other than the Act. These questions include the law of
contracts, evidence, causation, employment, corporate relationships, conflicts
of law, administration of foreign workers’ compensation schemes, and motor
vehicles, to name but a few. Denying the Appeals Tribunal the authority to
decide such questions would seriously impede its work and threaten the access
by injured workers to a forum capable of deciding all aspects of their case.
53
Second, the Appeals Tribunal is fully adjudicative in nature. It is
independent of the Board and is placed under the supervision of the Minister of
Justice, whereas the Board is supervised by the Minister of Labour. The
Appeals Tribunal establishes its own rules of procedure (s. 240(1)), can
consider all relevant evidence (s. 246(1)), and records any oral evidence for
future reference (s. 253(1)). Its members have the powers, privileges and
immunities of a commissioner appointed under the Public Inquiries Act,
R.S.N.S. 1989, c. 372 (s. 178(1)), including the power to summon witnesses,
compel testimony, require production of documents, and punish persons guilty of
contempt; they also have certain powers of entry (s. 180). Although the
Appeals Tribunal is normally required to render its decision within 60 days of
the hearing, or if there is no hearing, of the day on which all submissions
have been received (s. 246(3)), it may “at any time, extend any time limit
prescribed by this Part or the regulations where, in the opinion of the Appeals
Tribunal, an injustice would otherwise result” (s. 240(2)). This extension
power allows it to give proper consideration to the more intricate issues
raised by a Charter appeal, as was done in this case. While only the
Chief Appeal Commissioner is required to be a practising lawyer (s. 238(5) ), in
reality all appeal commissioners have been admitted to the bar. Moreover, this
Court has recognized that non-lawyers sitting on specialized tribunals can make
important contributions to Charter adjudication: Cuddy Chicks, supra,
at pp. 16-17. In my view, there is no reason to doubt that the Appeals
Tribunal is an adjudicative body fully capable of deciding Charter
issues, as demonstrated by its competent reasons on the s. 15(1) issue in the
case at bar.
54
I hasten to add, however, that while the presence of an adjudicative
process is an important factor in finding an implied power to decide questions
of law, its absence would not by itself be determinative. An examination of the
statutory scheme as a whole may lead to the conclusion that the legislature
intended a non-adjudicative body to consider and decide questions of law.
55
Third, under the Constitutional Questions Act, R.S.N.S. 1989, c.
89, and under s. 245(1)(d) of the Act, the Attorney General may be provided
with an opportunity to intervene in any proceedings involving a constitutional
question, as was done in this case. Such interventions diminish the relative
disadvantage of administrative tribunals as compared to courts by relieving
private parties or administrative agencies from the burden of defending the
validity of legislation: see Cuddy Chicks, supra, at pp. 17-18.
56
Finally, the Court of Appeal was wrong to take into consideration the
backlog of cases that had accumulated at the Appeals Tribunal prior to the 1999
amendments. Practical considerations of this nature, while they may in certain
circumstances be helpful to confirm the legislature’s intent, are of little
weight when faced with clear legislative intent, arising from the statutory
scheme as a whole, to confer upon an administrative body the power to consider
and decide questions of law. Such considerations “can never supplant the intention
of the legislature” (Cooper, supra, at para. 47). Moreover, as
the Appeals Tribunal itself argues in its submissions, the backlog has since
been completely eliminated. Counsel for the Appeals Tribunal informed us at
the hearing that Charter challenges were not the cause of the backlog
and would not significantly increase its workload or cause undue delay. Since
the Appeals Tribunal itself does not believe that deciding Charter cases
would aggravate matters, and in the absence of other evidence, I fail to see on
what basis the Court of Appeal could have reached such a conclusion. In
contrast, allowing the Appeals Tribunal to apply the Charter clearly
furthers the policy objectives outlined in the trilogy. It allows courts to
benefit from a full record established by a specialized tribunal fully apprised
of the policy and practical issues relevant to the Charter claim, and
permits workers to have their Charter rights recognized within the
relatively fast and inexpensive adjudicative scheme created by the Act, rather
than having to take separate proceedings in the courts in addition to their
compensation claim before the administrative tribunal.
57
These aspects of the legislative scheme all militate in favour of
allowing the Appeals Tribunal to apply the Charter , in conformity with
the legislature’s intent to create a comprehensive scheme for the treatment of
workers’ compensation claims and related disputes. Thus, even if there had
been no express provision endowing the Appeals Tribunal to consider and decide
questions of law arising under the Act, I would have found that it had implied
jurisdiction to do so. I have already noted that, in assessing implied
jurisdiction, the adjudicative or non-adjudicative character of a tribunal is
not dispositive. Given the rich variety of administrative schemes and enabling
statutes, I would not wish to suggest either that the other factors present in
this case are individually or collectively essential to finding implied
jurisdiction to decide questions of law. The question is, in each case, to be
decided by looking at the relevant statutory scheme as a whole.
58
The Appeals Tribunal’s jurisdiction to decide questions of law arising
under the challenged provisions is presumed to include the authority to consider
their constitutional validity. Is this presumption rebutted by other
provisions of the Act?
59
The respondents argue that the authority conferred upon the Chair of the
Board to direct certain issues from the Appeals Tribunal to the Board of
Directors is incompatible with the idea that the Appeals Tribunal was itself
intended by the legislature to decide Charter questions. Surely, it is
said, the legislature cannot have intended that Charter issues be
postponed to a policy-making executive body with no special expertise or powers
of ultimate disposition of the issue. I disagree with this description of the
procedure allowed by the Act. Section 248(1) provides that the Chair may
postpone or adjourn an appeal before the Appeals Tribunal when he or she is of
the opinion that the appeal raises “an issue of law and general policy that
should be reviewed by the Board of Directors pursuant to Section 183 ”. It is
s. 183 that grants the Board of Directors authority to adopt policies.
Pursuant to s. 202 (a), an adjournment to the Board of Directors lasts no longer
than three months or, “where the Board determines that exceptional
circumstances exist”, twelve months. If the Board of Directors issues a policy
with respect to the issue raised in the appeal or notifies the hearing officer
that it will not issue a policy, the postponement also comes to an end.
Section 248(3) provides that “where the Chair postpones or adjourns a hearing
pursuant to subsection (1), the Chief Appeal Commissioner shall ensure that the
final disposition of the appeal is left solely to the independent judgement of
the Appeals Tribunal”.
60
In my view, these provisions do no more than allow the Board of
Directors to respond to the issues of law and general policy raised by an appeal
by adopting a policy on the matter, enabling the Workers’ Compensation Board to
deal consistently with future similar cases on a principled basis. As s.
248(3) attests, this does not mean that the Board of Directors is entitled to
take over an appeal raising a Charter issue and decide the issue
itself. Rather, at most, the Board of Directors can suspend the appeal for up
to twelve months in order to adopt a policy that properly responds to the
general issues raised. For instance, the Board of Directors may recognize that
one of its policies is inconsistent with the Charter or the Act and
reformulate that policy, rather than litigating the Charter issue
further. If the Board of Directors declines to do so, or if the policy as
reformulated remains inconsistent with the Charter or the Act, the
Appeals Tribunal will have the authority to refuse to apply that policy when
the appeal is resumed. This is the effect of s. 183 (5A), which provides that
“a policy adopted by the Board is only binding on the Appeals Tribunal where
the policy is consistent with this Part or the regulations”. In addition, as
the Appeals Tribunal correctly pointed out, even taking into consideration the
additional delay that may be imposed by the Chair, the cost and length of an appeal
before the Appeals Tribunal would still compare favourably to those of a Charter
challenge before the courts.
61
Consequently, nothing in the Act produces the kind of clear implication
capable of rebutting the presumption that the Appeals Tribunal may consider the
constitutionality of the Act that it is called upon to interpret and apply.
The Appeals Tribunal could properly consider and decide the Charter
issue raised in this case because it could properly consider and decide
questions of law.
4. The Relationship
Between the Charter Jurisdictions of the Board and the Appeals Tribunal
62
The reasons outlined in the previous section establish that, even if s.
185(1) of the Act had not provided the Appeals Tribunal with explicit authority
to decide questions of law, an examination of the statutory scheme set out by
the Act would lead to the conclusion that it has implied authority to do so.
The determinative explicit conferral of jurisdiction in this case raises one
last question. Section 185(1) of the Act defines the jurisdiction of both the
Board and the Appeals Tribunal. Therefore, our holding that this section
confers explicit jurisdiction upon the Appeals Tribunal to decide questions of
law, including Charter issues, appears to lead to the conclusion that
such jurisdiction is also vested in the Board, despite the considerably
different characteristics of its claims adjudication process. In particular, I
note a distinction between the Appeals Tribunal and the Board. In its
submissions, the Appeals Tribunal argued confidently for its ability to apply
the Charter . In contrast, the Board itself argues that it does not
possess the resources or expertise to deal with numerous Charter cases,
and that doing so would compromise its efficiency and timeliness in handling
vast numbers of compensation cases.
63
Of course, as a matter of statutory interpretation, the Board’s own view
is not determinative of its jurisdiction. As La Forest J. noted in Cuddy
Chicks, referring to the Ontario Labour Relations Board (at p. 18):
At the end of the day, the legal process will be better served where
the Board makes an initial determination of the jurisdictional issue arising
from a constitutional challenge. In such circumstances, the Board not only
has the authority but a duty to ascertain the constitutional validity of s. 2(b)
of the Labour Relations Act. [Emphasis added.]
Likewise, in
the present appeals, the Act clearly contemplates that the Board will decide
questions of law. Practical considerations cannot override the clear
expression of legislative intent in s. 185(1). The legislature also seems to
have contemplated, however, that it may be preferable, as a matter of
administrative convenience, to refer Charter questions raised before the
Board to the Appeals Tribunal or to the courts. Thus, s. 199(1)(b) provides
that when a hearing officer “is of the opinion . . . that an appeal raises
important or novel questions or issues of general significance that should be
decided by the Appeals Tribunal pursuant to Part II, . . . the hearing officer
shall postpone or adjourn the appeal and refer the appeal to the Chair”. The
Chair may then, under s. 199(2) (b) and (c), refer the appeal to the Appeals
Tribunal or return it to the hearing officer. Likewise, under s. 200(1) (b),
when an appeal before a hearing officer raises such questions, the Chair “may
postpone or adjourn the appeal and direct that the appeal be . . . heard and
decided by the Appeals Tribunal”.
64
Under these provisions, it seems to be entirely within the Board’s
discretion to refer complex Charter cases to the Appeals Tribunal, either
on a case-by-case basis or as a matter of policy. As noted above, since an
administrative process which avoids parallel proceedings in the courts is
preserved, I believe that the Board would not infringe its duty to consider the
constitutionality of the Act by referring such cases to the Appeals Tribunal:
see generally Tétreault-Gadoury, supra, at pp. 35-36. Therefore,
I believe that the practical concerns raised by the respondents concerning the
Board’s capacity to handle complex Charter cases do not require a
conclusion that either the Board or the Appeals Tribunal lacks jurisdiction to
apply the Charter . On the contrary, they explain the choice made by the
legislature in providing a procedural mechanism to allow such complex issues to
be redirected from the Board to the Appeals Tribunal when the Chair of the
Board of Directors deems it appropriate.
5. Conclusion
65
I conclude that the Appeals Tribunal has explicit jurisdiction to decide
questions of law arising under the challenged provisions of the Act. It is
thus presumed to have jurisdiction to consider the validity of these provisions
under s. 15(1) of the Charter , and to disregard these provisions if it
finds them to be unconstitutional. This presumption is not rebutted by the
statute, either explicitly or by necessary implication. Since the remedy
requested arises from s. 52(1) of the Constitution Act, 1982 , it is not
necessary to determine whether the Appeals Tribunal is a “court of competent
jurisdiction” within the meaning of s. 24(1) of the Charter : see Douglas
College, supra, at pp. 594-95 and 605. However, as the Appeals
Tribunal’s decision on the constitutionality of the challenged provisions is to
be reviewed on a correctness standard, I now turn to the substantive Charter
questions.
B. Section
15(1) of the Charter
1. The Chronic Pain Regime Under the Act
66
The FRP Regulations and s. 10A of the Act define “chronic pain” as
“pain”
(a) continuing beyond the normal recovery time for
the type of personal injury that precipitated, triggered or otherwise predated
the pain; or
(b) disproportionate to the type of personal injury
that precipitated, triggered or otherwise predated the pain,
and includes chronic pain syndrome, fibromyalgia, myofascial pain
syndrome, and all other like or related conditions, but does not include pain
supported by significant, objective, physical findings at the site of the
injury which indicate that the injury has not healed.
67
The challenged provisions then go on to create a separate regime to deal
with injured workers suffering from chronic pain under the Act. The combined
effect of these provisions is (i) to preclude workers injured before March 23,
1990, from receiving any benefits in connection with chronic pain; (ii) to
entitle workers injured between March 23, 1990, and February 1, 1996, and who,
on November 25, 1998, were in receipt of temporary benefits or had a claim
under appeal, to receive uniform limited benefits for chronic pain as provided
by s. 10E; and (iii) to preclude workers injured after February 1, 1996, from
receiving any benefits for chronic pain except as provided by the FRP
Regulations. The chronic pain provisions also maintain the bar against suing
employers under s. 28 of the Act, so that no additional compensation may be
obtained through tort actions in the courts.
68
Section 3(2) of the FRP Regulations deems chronic pain always to have
been excluded from the operation of Part I of the Act, and provides that
no compensation other than that provided by the FRP Regulations is payable for
chronic pain with respect to injuries subsequent to February 1, 1996. The
benefits available under the FRP Regulations are not determined with regard to
the individual circumstances of each worker. Rather, the FRP Regulations
establish a limited Functional Restoration Program. No worker may participate
in the Functional Restoration Program if more than 12 months have elapsed since
his or her date of injury, and participation in the Functional Restoration
Program is limited to four weeks. No further benefits are available. Thus,
injured workers suffering from chronic pain cannot receive earning replacement
benefits (whether temporary or permanent), permanent impairment benefits,
retirement annuities, vocational rehabilitation services or medical aid beyond
the four-week Functional Restoration Program. They are also excluded from the
duties to re-employ and to accommodate imposed upon employers by ss. 90 and 91
of the Act.
69
Section 10E of the Act is a transitional measure that provides limited
permanent benefits to chronic pain sufferers who were receiving temporary
benefits or had a claim under appeal on November 25, 1998. These benefits are
based on a percentage of the permanent impairment benefits that would be
available if the worker were impaired by a condition other than chronic pain.
Neither Mr. Martin nor Ms. Laseur is subject to the application of s. 10E
and its constitutionality is not at issue in this case.
2. Application of Section 15(1) of the Charter
70
In Law v. Canada (Minister of Employment and
Immigration), [1999] 1 S.C.R. 497, at para. 39, Iacobucci J. summarized
this Court’s three-step approach to s. 15(1) of the Charter as follows:
First, does the impugned law (a) draw a formal distinction between the
claimant and others on the basis of one or more personal characteristics, or
(b) fail to take into account the claimant’s already disadvantaged position
within Canadian society resulting in substantively differential treatment
between the claimant and others on the basis of one or more personal
characteristics? If so, there is differential treatment for the purpose of s.
15(1) . Second, was the claimant subject to differential treatment on the basis
of one or more of the enumerated and analogous grounds? And third, does the
differential treatment discriminate in a substantive sense, bringing into play
the purpose of s. 15(1) of the Charter in remedying such ills as
prejudice, stereotyping, and historical disadvantage? The second and third
inquiries are concerned with whether the differential treatment constitutes
discrimination in the substantive sense intended by s. 15(1) . [Emphasis in
original.]
Following this
approach, I now turn to an analysis of the appellants’ claims based on the
three inquiries required by s. 15(1) .
(a) Differential Treatment
71
I agree with the Court of Appeal that the appropriate comparator group
for the s. 15(1) analysis in this case is the group of workers subject to the
Act who do not have chronic pain and are eligible for compensation for their
employment-related injuries. The appellants are unlike these workers. Mr.
Martin was deprived of temporary earnings loss and medical treatment benefits
to which he would be entitled were he suffering from a condition other than
chronic pain. Ms. Laseur, for her part, was denied access to an evaluation of
her permanent impairment rating. Although, under the current guidelines, Ms.
Laseur would be found to have a 0 percent impairment rating and would thus be
denied benefits anyway, this Court has previously held that deprivation of
access to an institution available to others, even though the individual
bringing the claim would not necessarily derive immediate benefits from such
access, constitutes differential treatment: see Egan, supra; Vriend,
supra; M. v. H., supra. More generally, while the Act
prevents all injured workers from obtaining compensation in court, the Act also
disentitles injured workers disabled by chronic pain to compensation and other
benefits beyond the four-week period, as well as to an individual assessment of
their condition and needs. Indeed, the respondents concede that chronic pain
sufferers are subject to differential treatment relative to other injured
workers subject to the Act.
72
In addition, the appellants argue that another relevant comparator group
is the group of persons suffering from chronic pain who are not subject to the
Act and can obtain damages for their condition through the application of
normal tort principles. I do not believe that this comparison is appropriate.
What distinguishes this group from the appellants is not mental or physical
disability — both suffer from chronic pain. Rather, the only difference between
them is that persons in the comparator group are not subject to the Act and
thus have access to the tort system, while the appellants have to rely on the
workers’ compensation system. In my view, the Court of Appeal correctly held
that a s. 15(1) analysis based on this distinction would amount to a challenge
to the entire workers’ compensation system, a challenge which this Court
unanimously rejected in Reference re Workers’ Compensation Act, 1983 (Nfld.),
[1989] 1 S.C.R. 922. Moreover, such a comparison would also be inappropriate
since compensation under the tort system normally requires the injured party to
establish that his or her injury was caused by the negligence of another.
Thus, even if the workers’ compensation system did not exist, not all injured
workers with chronic pain would have access to tort damages. Ms. Laseur and
Mr. Martin, for instance, do not allege that anyone’s negligence caused their
injuries.
73
Finally, the appellants submit that workers suffering from chronic pain
and eligible for s. 10E benefits constitute an appropriate comparator group.
Assuming without deciding that such workers do constitute an appropriate
comparator group, I do not think this approach advances the appellants’
argument. As the Court of Appeal indicated, the distinction between this group
and the appellants would be the date of their injury and the status of their
case before the Board, rather than the nature of their disability. Thus, in
any case, the second branch of the test would not be met.
74
Having found a distinction between the claimants and the comparator
group, it is necessary next to examine the basis for that distinction.
(b) Enumerated or Analogous Ground
75
The relevant potential ground of discrimination in this case is “physical
disability”, a ground expressly included in s. 15(1) . The question here is
whether the differential treatment of chronic pain sufferers is truly based on
this enumerated ground. While the Attorney General of Nova Scotia concedes
that it is, the Board argues that since both the claimants and the comparator
group suffer from physical disabilities, differential treatment of chronic pain
within the workers’ compensation scheme is not based on physical disability.
Rather, argues the Board, the differential treatment must derive from some
other basis.
76
In my view, this argument is without merit. This Court has long
recognized that differential treatment can occur on the basis of an enumerated
ground despite the fact that not all persons belonging to the relevant group
are equally mistreated. This issue first arose in the context of employment
discrimination claims under provincial human rights statutes. In Janzen
v. Platy Enterprises Ltd., [1989] 1 S.C.R. 1252, Dickson C.J.
held that sexual harassment in the workplace constituted sex discrimination.
He responded to the argument that, since harassers choose their targets on the
basis of physical attractiveness, a personal characteristic, rather than
gender, a group characteristic, sexual harassment did not amount to sex
discrimination. He stated, at pp. 1288-89, that:
While the concept of discrimination is rooted in the notion of treating
an individual as part of a group rather than on the basis of the individual’s
personal characteristics, discrimination does not require uniform treatment of
all members of a particular group. It is sufficient that ascribing to an
individual a group characteristic is one factor in the treatment of that
individual. If a finding of discrimination required that every individual in
the affected group be treated identically, legislative protection against
discrimination would be of little or no value. . . . To deny a finding of
discrimination in the circumstances of this appeal is to deny the existence of
discrimination in any situation where discriminatory practices are less than
perfectly inclusive.
Likewise, in Brooks
v. Canada Safeway Ltd., [1989] 1 S.C.R. 1219, the employer argued that
the exclusion of pregnancy from a group health insurance policy did not amount
to sex discrimination, because it did not affect all women but only those who
were pregnant. Dickson C.J. rejected this argument too, holding that, since
only women could become pregnant, distinctions based on pregnancy could be
nothing other than distinctions based on or related to sex. Thus, he
concluded, the exclusion of pregnancy from the list of compensable conditions
constituted sex discrimination.
77
The potential discriminatory character of distinctions drawn between
different disabilities was addressed in Gibbs, supra. In that
case, an employee became disabled as a result of a mental disorder. The
employer subscribed to an insurance policy which provided a replacement income
to employees who became unable to work because of a disability. The policy
provided, however, that in cases of mental illness, the income replacement
benefit would terminate after two years unless the former employee remained in
a mental institution. The employee challenged this provision under the Saskatchewan
Human Rights Code. The employer argued that the insurance plan was not
discriminatory, since the proper comparison was not between mentally disabled
persons and physically disabled persons, but between disabled persons generally
and able-bodied persons. Sopinka J. rejected this argument and held that a
comparison could properly be drawn between two groups, each of whose members
were affected by a disability. He stated, at paras. 27-28, that:
In my view, the Court of Appeal was correct, in the
circumstances of the present case, in finding discrimination on the basis of a
comparison between the insurance benefits offered to those unable to work
because of a physical disability and those unable to work because of a mental
disability. In concluding that a “mental disability/physical disability”
comparison is appropriate, I note first of all that in order to find
discrimination on the basis of disability, it is not necessary that all
disabled persons be mistreated equally. The case law has consistently held that
it is not fatal to a finding of discrimination based on a prohibited ground
that not all persons bearing the relevant characteristic have been
discriminated against.
.
. .
Thus, a finding of discrimination on the basis of disability, even
though only a subset of disabled employees is mistreated, is permissible
according to the case law. [Emphasis added.]
78
Sopinka J. went on to support the comparison between mental and physical
disability by noting that s. 15(1) of the Charter expressly contains
such a distinction, and that mentally disabled persons are subject to a
particular historical disadvantage. Admittedly, the alleged discrimination in
this appeal is between different physical disabilities, and therefore these
additional justifications may not apply directly. Nevertheless, I believe that
the Court of Appeal was correct in concluding that this Court’s previous
approach to discrimination on the basis of distinction within a protected
group, as dealt with by this Court in Janzen, Brooks and Gibbs,
while not determinative, indicates that the s. 15(1) claim under consideration
should turn on the presence or absence of substantive discrimination rather
than on the second branch of the Law test.
79
While the issue was not argued at length, Binnie J. in Granovsky,
supra, at para. 53, held that a legislative distinction between
temporary and permanent disability was based on the enumerated ground of
“physical disability” in s. 15(1) of the Charter . Likewise, in Winko
v. British Columbia (Forensic Psychiatric Institute), [1999] 2
S.C.R. 625, at para. 80, McLachlin J. held that the special treatment of the
not criminally responsible was founded “on the presence of a particular type
of mental disability at the time of commission of the criminal act”
(emphasis added). In my view, such reasoning is consistent with the general
principles underlying discrimination law and s. 15(1) , which prohibits
discrimination “based on” certain enumerated grounds, including “mental or
physical disability”.
80
For instance, there could be no doubt that a legislative distinction
favouring persons of Asian origin over those of African origin would be “based
on” race, ethnic origin or colour, or that a law imposing a disadvantage on
Buddhists relative to Muslims would draw a distinction “based on” religion. It
would be no answer for the legislator to say there is no discrimination because
both persons born in Asia and persons born in Africa have a non-Canadian
national origin, or that Muslims, like Buddhists, belong to a minority religion
in Canada. Likewise, in the present case, it is no answer to say that all
workers subject to the scheme are disabled. The second step of the Law
test does not ask whether the claimant and members of the comparator group
possess a certain characteristic. Rather, the inquiry is whether the basis of
the challenged differential treatment is an enumerated or analogous ground.
The distinction between the claimants and the comparator group was made on the
basis of the claimants’ chronic pain disability, i.e., on the basis of
disability. The fact that injured workers without chronic pain have their own
disability too is irrelevant. Distinguishing injured workers with chronic pain
from those without is still a disability-based distinction. Whether that
distinction is in fact discriminatory remains in each case to be determined
under the third branch of the Law test.
81
This approach to the analysis of distinctions drawn between various
disabilities allows the courts to take into account a fundamental and
distinctive characteristic of disabilities when compared to other enumerated
grounds of discrimination: their virtually infinite variety and the widely
divergent needs, characteristics and circumstances of persons affected by them:
see Eaton v. Brant County Board of Education, [1997] 1
S.C.R. 241, at para. 69; Granovsky, supra, at para. 27. Due
sensitivity to these differences is the key to achieving substantive equality
for persons with disabilities. In many cases, drawing a single line between
disabled persons and others is all but meaningless, as no single accommodation
or adaptation can serve the needs of all. Rather, persons with disabilities
encounter additional limits when confronted with systems and social situations
which assume or require a different set of abilities than the ones they
possess. The equal participation of persons with disabilities will require
changing these situations in many different ways, depending on the abilities of
the person. The question, in each case, will not be whether the state has
excluded all disabled persons or failed to respond to their needs in some
general sense, but rather whether it has been sufficiently responsive to the
needs and circumstances of each person with a disability. If a government
building is not accessible to persons using wheelchairs, it will be no answer
to a claim of discrimination to point out a TTY (teletypewriter) telephone for
the hearing impaired has been installed in the lobby.
82
Of course, government benefits or services cannot be fully customized.
As a practical matter, general solutions will often have to be adopted,
solutions which inevitably may not respond perfectly to the needs of every
individual. This is particularly true in the context of large-scale
compensation systems, such as the workers’ compensation scheme under
consideration. Such systems often need to classify various injuries and
illnesses based on available medical evidence and use the resulting
classifications to process the claims made by beneficiaries. This approach is
necessary, both for reasons of administrative efficiency and to ensure fairness
in processing large numbers of claims. In addition, the beneficiaries
themselves benefit from the reduced transaction costs and speed achieved
through such techniques, and without which large-scale compensation might well
be impossible. The state should therefore benefit from a certain margin of
appreciation in this exercise, but it cannot be exempted from the requirements
of s. 15(1) of the Charter . The distinction made will not be allowed to
stand when it, intentionally or not, violates the essential human dignity of
the individuals affected and thus constitutes discrimination.
83
Thus, I now turn to the third branch of the Law test, which asks
whether the differential treatment based on an enumerated or analogous ground
is discriminatory in a substantive sense. The substantive discrimination test,
however, is demanding, and the distinction drawn in this case, like many other
disability-based distinctions, will stand to survive or fail the s. 15(1)
analysis at this stage.
(c) Substantive Discrimination
84
A violation of s. 15(1) of the Charter will only be established
when, beyond the existence of differential treatment based on an enumerated or
analogous ground, the claimant proves that such differential treatment is truly
discriminatory. In Andrews v. Law Society of British Columbia,
[1989] 1 S.C.R. 143, at pp. 174-75, McIntyre J. described discrimination as
follows:
I would say then that discrimination may be described as a distinction,
whether intentional or not but based on grounds relating to personal
characteristics of the individual or group, which has the effect of imposing
burdens, obligations, or disadvantages on such individual or group not imposed
upon others, or which withholds or limits access to opportunities, benefits,
and advantages available to other members of society. Distinctions based on
personal characteristics attributed to an individual solely on the basis of
association with a group will rarely escape the charge of discrimination, while
those based on an individual’s merits and capacities will rarely be so classed.
85
Iacobucci J., writing for a unanimous Court in Law, supra,
stated at para. 51, that the substantive discrimination analysis must be
informed by the purpose of s. 15(1) , which is “to prevent the violation of
essential human dignity and freedom through the imposition of disadvantage,
stereotyping, or political or social prejudice, and to promote a society in
which all persons enjoy equal recognition at law as human beings or as members
of Canadian society, equally capable and equally deserving of concern, respect
and consideration”. Human dignity, in turn,
is harmed by unfair treatment premised upon personal traits or
circumstances which do not relate to individual needs, capacities, or merits.
It is enhanced by laws which are sensitive to the needs, capacities, and merits
of different individuals, taking into account the context underlying their
differences. Human dignity is harmed when individuals and groups are
marginalized, ignored, or devalued, and is enhanced when laws recognize the
full place of all individuals and groups within Canadian society. Human dignity
within the meaning of the equality guarantee does not relate to the status or
position of an individual in society per se, but rather concerns the
manner in which a person legitimately feels when confronted with a particular
law. Does the law treat him or her unfairly, taking into account all of the
circumstances regarding the individuals affected and excluded by the law?
(Law, at para. 53)
Iacobucci J.
went on to identify four contextual factors which may be referred to in order
to determine whether the challenged legislation demeans the essential human
dignity of the affected person or group. These factors are: (1) the presence
of pre-existing disadvantage, vulnerability, stereotyping or prejudice directed
at this person or group; (2) the correspondence, or lack thereof, between the
ground upon which the differential treatment is based and the actual needs,
characteristics and circumstances of the affected person or group; (3) the
ameliorative purpose or effect of the legislation upon a more disadvantaged
group; and (4) the nature of the interest affected by the legislation. This
list, of course, is not exhaustive, the goal of the analysis in each case being
to determine whether a reasonable and dispassionate person, fully apprised of
all the circumstances and possessed of similar attributes to the claimant,
would conclude that his or her essential dignity had been adversely affected by
the law. For the same reason, not all factors will be relevant in each case.
The enquiry always remains a contextual rather than a mechanical one: Lavoie
v. Canada, [2002] 1 S.C.R. 769, 2002 SCC 23, at para. 46.
(i) Pre-existing Disadvantage
86
The appellants allege that chronic pain sufferers have been subjected to
historical disadvantage as a result of stereotypes concerning the nature and
causes of their disability. As they describe it, “[t]he stereotypical
assumption is that chronic pain is caused by psychosocial factors, litigation
or secondary gain as opposed to employment related trauma” (appellants’ factum,
at para. 108). In other words, in the appellants’ submission, the particular
characteristics of chronic pain syndrome and related medical conditions, such
as their persistence beyond the normal healing time for the underlying injury
and the apparent lack of physical manifestations supporting the sufferer’s
complaint of continuing pain, have led to a common misconception, rising to the
level of an invidious social stereotype, that persons affected by chronic pain
do not suffer from a legitimate medical condition but are malingering,
frequently with a view to financial benefits, or that their pain stems from
weakness of character rather than from the injury itself.
87
The respondents, on the contrary, argue that, although chronic pain is a
legitimate medical condition, no such widespread invidious stereotypes against
chronic pain sufferers exist in society beyond the stereotypes associated with
all injured workers, who are sometimes erroneously suspected of malingering.
Thus, the respondents conclude, the appellants have failed to establish their
case under this first contextual factor, as it requires them to establish not
only that they are affected by the general pre-existing disadvantage or
stereotypes applicable to all injured workers, but also that they have been
subject to greater historical disadvantage or stereotypes.
88
In my view, this last part of the respondents’ argument is without
merit. They rely on Corbiere v. Canada (Minister of Indian
and Northern Affairs), [1999] 2 S.C.R. 203, for the proposition that the
appellants must demonstrate prejudice or stereotyping that is distinct from
that experienced by the comparator group. In Corbiere, this Court
considered a s. 15(1) challenge to a provision of the Indian Act, R.S.C.
1985, c. I-5 , which provided that only band members ordinarily resident on the
reserve were entitled to vote in band elections. While both McLachlin and
Bastarache JJ., writing for the majority, and L’Heureux-Dubé J., writing
for a minority of four, recognized that off-reserve Aboriginal band members had
been subject to particular historical disadvantage compared to those living on-reserve,
nowhere can the suggestion be found that such relative disadvantage is a
necessary condition for the first contextual factor to point towards
discrimination. This point was eloquently made by Iacobucci J. in Lovelace
v. Ontario, [2000] 1 S.C.R. 950, 2000 SCC 37, at para. 69, where
he stated that “this enquiry does not direct the appellants and respondents to
a ‘race to the bottom’, i.e., the claimants are not required to establish that
they are more disadvantaged than the comparator group”. See also Granovsky,
supra, at para. 67. Thus, while a finding of relative disadvantage may
in certain cases be helpful to the claimant, the absence of relative
disadvantage should in my view be seen as neutral when, as is the case here,
the claimants belong to a larger group — disabled persons — who have
experienced historical disadvantage or stereotypes.
89
But there is more. Sometimes, as in the case at bar, the lack of
correspondence between the differential treatment to which the claimants are
subject and their actual needs, capacities and circumstances is at the heart of
the s. 15(1) claim to such an extent as to make a relative disadvantage
analysis largely inappropriate. This is particularly true when distinctions
are drawn between various types of mental or physical disabilities, because, as
I noted above, the rationale underlying the prohibition of disability-based
discrimination is the imperative to recognize the needs, capacities and
circumstances of persons suffering from widely different disabilities in a vast
range of social contexts. It can be no answer to a charge of discrimination on
that basis to allege that the particular disability at issue is not subject to
particular historical disadvantage or stereotypes beyond those visited upon
other disabled persons. Indeed, the contrary position could potentially
relieve the state from its obligation to accommodate or otherwise recognize
many disabilities that, despite their severity, are not subject to widespread
stereotypes or particular historical disadvantage. Such a result would run
contrary to the very meaning of equality in that context and cannot be
condoned.
90
For these reasons, I do not find it necessary to determine, based on the
limited evidence before us, whether chronic pain sufferers have historically
been subject to disadvantage or stereotypes beyond those affecting other injured
workers. It will be sufficient to note that many elements seem to point in
that direction. Most importantly, the medical reports introduced as evidence
often mention the inaccurate negative assumptions towards chronic pain
sufferers widely held by employers, compensation officials and the medical
profession itself. They identify the correction of negative assumptions and
attitudes of this kind as a significant step in improving the treatment of
chronic pain. The troubling comments made by some case workers in the Laseur
file appear to betray such negative assumptions. Thus, statements that
Ms. Laseur had “fallen into the usual chronic pain picture” and that
“[t]his is basically a chronic pain problem, perhaps even a chronic pain
syndrome although she seems to be a very pleasant individual with not the usual
features of this type of problem” were clearly inappropriate and suggest that
Ms. Laseur’s claim may have been treated on the basis of presumed group
characteristics rather than on its own merits. Finally, the medical experts
recognize that chronic pain syndrome is partially psychological in nature,
resulting as it does from many factors both physical and mental. This Court
has consistently recognized that persons with mental disabilities have suffered
considerable historical disadvantage and stereotypes: Granovsky, supra,
at para. 68; R. v. Swain, [1991] 1 S.C.R. 933, at p. 994; Winko, supra,
at paras. 35 et seq. Although the parties have argued the s. 15(1) case
on the basis that chronic pain is a “physical disability”, the widespread
perception that it is primarily, or even entirely, psychosomatic may have
played a significant role in reinforcing negative assumptions concerning this
condition.
91
While all these indicia point to relative disadvantage, it is not
necessary to decide whether the evidence before us is sufficient to establish
that the negative assumptions associated with chronic pain are so harmful,
widespread or socially embedded as to rise to the level of “historical
disadvantage” or “invidious stereotype”. This is because, in my view, the
gravamen of the appellants’ s. 15 claim is the lack of correspondence between
the differential treatment imposed by the Act and the true needs and
circumstances of chronic pain sufferers: see generally Law, supra,
at paras. 64-65. I therefore turn to this question.
(ii) Correspondence with the Needs, Capacities
and Circumstances of the Claimants
92
The second contextual factor to be considered is the relationship
between the ground of distinction — here the presence of disability caused by
chronic pain — and the actual needs, capacities and circumstances of the group
to which the claimants belong. In other words, does the separate regime for
chronic pain under the Act and the FRP Regulations take into account the actual
needs, capacity or circumstances of workers suffering from chronic pain in a
manner that respects their value as human beings and as members of Canadian
society?
93
In answering this question, it is vital to keep in mind the rationale
underlying the prohibition of discrimination based on disability. As I stated
above, this rationale is to allow for the recognition of the special needs and
actual capacities of persons affected by a broad variety of different
disabilities in many different social contexts. In accordance with this
rationale, s. 15(1) requires a considerable degree of reasonable accommodation
and adaptation of state action to the circumstances of particular individuals
with disabilities. Of course, classification and standardization are in many
cases necessary evils, but they should always be implemented in such a way as
to preserve the essential human dignity of individuals.
94
Another vital consideration in a case such as this one is the overall
purpose of the legislative scheme at issue: see Gibbs, supra, at
para. 34; Granovsky, supra, at para. 62. A classification that
results in depriving a class from access to certain benefits is much more
likely to be discriminatory when it is not supported by the larger objectives
pursued by the challenged legislation. In the case at bar, the objectives of
the workers’ compensation scheme are clear. As explained in Pasiechnyk,
supra, the scheme embodies a historical trade-off between employers and
workers. While the former are protected by s. 28 of the Act against the
possibility of being sued in tort for work-related injuries, the latter are
guaranteed a reasonable amount of compensation for such injuries without being
subject to the costs, delays and uncertainties of an action before the courts.
In order to obtain compensation, employees must establish that their personal
injury was caused by an accident arising “out of and in the course of
employment” (s. 10(1)).
95
The challenged provisions, however, while maintaining the bar to tort
actions, exclude chronic pain from the purview of the general compensation
scheme provided for by the Act. Thus, no earning replacement benefits,
permanent impairment benefits, retirement annuities, vocational rehabilitation
services or medical aid can be provided with respect to chronic pain. Employers
are also exempt from the duties to re-employ them and accommodate their
disability, which are normally imposed by the Act. Instead, workers injured on
or after February 1, 1996, who suffer from chronic pain are entitled to a
four-week Functional Restoration Program, after which no further benefits are
available. In addition, if a chronic pain claim is not asserted within a year
of the accident taking place, no benefit will be provided at all. Workers
injured before March 23, 1990, are excluded from all benefits under the Act
with respect to chronic pain. Finally, workers injured in the interim period
are subject to transitional provisions whose constitutionality is not at issue
before us.
96
The respondents allege that this blanket exclusion of chronic pain
claims responds to the actual needs and circumstances of workers suffering from
chronic pain. In their submission, the combination of early medical
intervention through the Functional Restoration Program and an immediate
cut-off of benefits is the optimal strategy to favour early return to work,
which has been identified in medical studies as the most promising approach to
the treatment of chronic pain.
97
I am unable to agree that the challenged provisions are sufficiently
responsive to the needs and circumstances of chronic pain sufferers to satisfy
the second contextual factor. Although the medical evidence before us does
point to early intervention and return to work as the most promising treatment
for chronic pain, it also recognizes that, in many cases, even this approach
will fail. It is an unfortunate reality that, despite the best available
treatment, chronic pain frequently evolves into a permanent and debilitating
condition. Yet, under the Act and the FRP Regulations, injured workers who
develop such permanent impairment as a result of chronic pain may be left with
nothing: no medical aid, no permanent impairment or income replacement
benefits, and no capacity to earn a living on their own. This cannot be
consistent with the purpose of the Act or with the essential human dignity of
these workers.
98
Others, more fortunate, may only be partially incapacitated by chronic
pain, and it is natural that they be encouraged to rejoin the workforce.
Beyond simply cutting off all benefits, however, the Act does little to assist
their return to work. Workers unable to return to their previous physically
strenuous employment because of recurrent chronic pain are not eligible for
vocational rehabilitation training under the Act. Ms. Laseur, for instance,
had to finance her retraining out of her own savings and by borrowing from her
family, resources many injured workers likely will not have. Others, who need
some accommodation in the workplace in order to remain productive despite their
chronic pain, cannot request such accommodation under the Act, unlike workers
affected by virtually any other disability caused by a work-related accident.
Their employer will even be exempt from the duty to re-employ them.
99
In my view, it simply cannot be said that the regime as its stands
sufficiently corresponds to the needs and circumstances of injured workers
suffering from chronic pain for the second contextual factor to point away from
discrimination. The separate regime set up for chronic pain under the Act thus
stands in sharp contrast to the one upheld by this Court in Winko, supra.
In that appeal, this Court held that s. 672.54 of the Criminal Code,
R.S.C. 1985, c. C-46 , which provided that, following a verdict declaring an
accused not criminally responsible on account of mental disorder, a court or
Review Board could direct that the accused be discharged (with or without
conditions) or detained in a hospital, did not infringe the s. 15(1) rights of
mentally impaired criminal defendants. In that case, the key to the finding of
non-discrimination was the combination of individualized assessment and
adequate treatment provided by the Criminal Code . As McLachlin J.
stated, at paras. 88-89:
The essence of stereotyping, as mentioned above,
lies in making distinctions against an individual on the basis of personal
characteristics attributed to that person not on the basis of his or her true
situation, but on the basis of association with a group: Andrews, supra,
at pp. 174‑75; Law, supra, at para. 61. The question is
whether Part XX.1 in effect operates against individual NCR accused in this
way. In my view, it does not. At every stage, Part XX.1 treats the individual
NCR accused on the basis of his or her actual situation, not on the basis of
the group to which he or she is assigned. Before a person comes under Part
XX.1, there must be an individual assessment by a trial judge based on evidence
with full access to counsel and other constitutional safeguards. A person falls
under Part XX.1 only if the judge is satisfied that he or she was unable to
know the nature of the criminal act or that it was wrong. The assessment is
based on the individual’s situation. It does not admit of inferences based on
group association. More importantly, the disposition of the NCR accused is
similarly tailored to his or her individual situation and needs, and is subject
to the overriding rule that it must always be the least restrictive avenue
appropriate in the circumstances. Finally, the provision for an annual review
(at a minimum) of the individual’s status ensures that his or her actual
situation as it exists from time to time forms the basis of how he or she is to
be treated.
This individualized process is the antithesis of the logic of the stereotype,
the evil of which lies in prejudging the individual’s actual situation
and needs on the basis of the group to which he or she is assigned. [Emphasis
added.]
See also: British
Columbia (Superintendent of Motor Vehicles) v. British Columbia
(Council of Human Rights), [1999] 3 S.C.R. 868; British Columbia (Public
Service Employee Relations Commission) v. BCGSEU, [1999] 3 S.C.R. 3.
On the
contrary, the treatment of injured workers suffering from chronic pain under
the Act is not based on an evaluation of their individual situations, but
rather on the indefensible assumption that their needs are identical. In
effect, the Act stamps them all with the “chronic pain” label, deprives them of
a personalized evaluation of their needs and circumstances, and restricts the
benefits they can receive to a uniform and strictly limited program.
100
Finally, the chronic pain provisions of the Act also differ from the welfare
scheme that was challenged in Gosselin v. Quebec (Attorney
General), [2002] 4 S.C.R. 429, 2002 SCC 84. The impugned regulations in
that case required unemployed youth under 30 years of age to take part in
educational or training programmes as a condition for receiving the same level
of social assistance payment available to unemployed persons aged 30 or over.
The majority held that the requirement that youth participate in programs
intended to improve their employment prospects did not communicate stereotypes
or demeaning messages about young people. The majority also held that Ms.
Gosselin had not satisfied her burden of proof by establishing on a balance of
probabilities that she or other class members were effectively prevented from
participating in the programmes (see paras. 46-54). Since Ms. Gosselin and
class members did not show that they were effectively excluded from the
protection against extreme poverty afforded by the social security scheme and
since the conditions for receiving the basic social assistance did not force
young persons to do something that demeaned their dignity or human worth, the
majority concluded that the welfare scheme was not discriminatory (see para.
52).
101
In contrast to the scheme upheld in Gosselin, supra, the
chronic pain regime under the Act not only removes the appellants’ ability to
seek compensation in civil actions, but also excludes chronic pain sufferers
from the protection available to other injured workers. It also ignores the
real needs of workers who are permanently disabled by chronic pain by denying
them any long-term benefits and by excluding them from the duty imposed upon
employers to take back and accommodate injured workers. The Act thus sends a
clear message that chronic pain sufferers are not equally valued and deserving
of respect as members of Canadian society. In my view, the second contextual
factor clearly points towards discrimination.
(iii) Ameliorative Purpose
102
There can be no serious argument here that the differential treatment is
aimed at improving the circumstances of some other, more disadvantaged group.
While some individuals in the comparator group — injured workers without
chronic pain — may be more severely disabled than the appellants, there is no
evidence that the comparator group as a class is in a more disadvantaged
position than the group of injured workers suffering from chronic pain. In
addition, as discussed above, the challenged provisions are inconsistent with
the ameliorative purpose of the Act, as they exclude injured workers suffering
from chronic pain from the normal compensation system without regard for their
actual needs and circumstances, and deprive them of an opportunity to establish
the validity of their individual claim on a fair basis. While the
legislature’s concern to efficiently allocate resources within the workers’
compensation system so as to give priority to the most severe cases is
laudable, it cannot serve to shield an outright failure to recognize the actual
needs of an entire category of injured workers from Charter scrutiny.
As such, there is no ameliorative purpose upon which the respondents can rely.
(iv) Nature of the Interest Affected
103
The Court of Appeal accepted the respondents’ argument that the
disadvantage suffered by injured workers was solely economic in nature and that
the deprivation of benefits was relatively minor. First, I believe it is
important to clarify the status of economic interests in the substantive
discrimination context. While a s. 15(1) claim relating to an economic
interest should generally be accompanied by an explanation as to how the
dignity of the person is engaged, claimants need not rebut a presumption that
economic disadvantage is unrelated to human dignity. In many circumstances,
economic deprivation itself may lead to a loss of dignity. In other cases, it
may be symptomatic of widely held negative attitudes towards the claimants and
thus reinforce the assault on their dignity.
104
In my view, given the circumstances of injured workers, particularly
those who may be permanently impaired by chronic pain and have no source of
support other than the provincial compensation scheme, it cannot be said that
the loss of financial benefits here is a trivial matter. More importantly, I
cannot agree that the interest affected by the chronic pain provisions is
purely, or even primarily, economic. Beyond the financial benefits at stake,
injured workers suffering from chronic pain are also denied an opportunity to
access the compensation scheme available to other injured workers in the
province, on the basis of the nature of their disability. They are also
deprived of ameliorative benefits, such as vocational rehabilitation services,
medical aid and a right to accommodation, which would clearly assist them in
preserving and improving their dignity by returning to work when possible. Our
Court has consistently emphasized the crucial importance of work and employment
as elements of essential human dignity under s. 15(1) of the Charter .
Indeed, in the words of Bastarache J., “work is a fundamental aspect of a
person’s life” (Lavoie, supra, at para. 45).
105
Thus, far from dispelling the negative assumptions about chronic pain
sufferers, the scheme actually reinforces them by sending the message that this
condition is not “real”, in the sense that it does not warrant individual
assessment or adequate compensation. Chronic pain sufferers are thus deprived
of recognition of the reality of their pain and impairment, as well as of a
chance to establish their eligibility for benefits on an equal footing with
others. This message clearly indicates that, in the Nova Scotia legislature’s
eyes, chronic pain sufferers are not equally valued as members of Canadian society.
106
The contextual enquiry mandated by Law could hardly lead to a
clearer conclusion. I am of the view that a reasonable person in circumstances
similar to those of the appellants, fully apprised of all the relevant
circumstances and taking into account the above contextual factors, would
conclude that the challenged provisions have the effect of demeaning his or her
dignity. Section 10B of the Act, as well as the FRP Regulations in their
entirety, violate s. 15(1) of the Charter .
C. Section
1 of the Charter
107
The last question raised in these appeals is whether the challenged
provisions, although they violate the appellants’ right to equality under s.
15(1) of the Charter , can be saved as “reasonable limits prescribed by
law” that are “demonstrably justified in a free and democratic society” under
s. 1 . This question requires applying the four-step test elaborated in R.
v. Oakes, [1986] 1 S.C.R. 103, and summarized by Iacobucci J. in Egan,
supra, at para. 182, as follows:
A limitation to a constitutional guarantee will be sustained once two
conditions are met. First, the objective of the legislation must be pressing
and substantial. Second, the means chosen to attain this legislative end must
be reasonable and demonstrably justifiable in a free and democratic society. In
order to satisfy the second requirement, three criteria must be satisfied: (1)
the rights violation must be rationally connected to the aim of the
legislation; (2) the impugned provision must minimally impair the Charter
guarantee; and (3) there must be a proportionality between the effect of the
measure and its objective so that the attainment of the legislative goal is not
outweighed by the abridgement of the right. In all s. 1 cases the burden of
proof is with the government to show on a balance of probabilities that the
violation is justifiable.
(Cited with approval in Eldridge v. British Columbia (Attorney
General), [1997] 3 S.C.R. 624, at para. 84, and Vriend, supra,
at para. 108.)
Under s. 1,
the government must demonstrate that a limit imposed on a Charter right
is justified in a free and democratic society. Therefore, the proper focus of
enquiry under s. 1 is the limit itself. In the case at bar, the Nova Scotia
government has the burden of demonstrating that the exclusion of chronic pain
from the purview of the Act and the substitution of very limited, structured
benefits for those normally available under the workers’ compensation system,
is so justified.
108
The first difficulty to arise under s. 1 in this case is the ambiguity
of the respondents’ submissions with respect to the legislative objective
pursued by the challenged provisions. Four principal concerns or objectives
emerge from these submissions. The first concern is to maintain the viability
of the Accident Fund set up by the Act to compensate injured workers, which has
accumulated a considerable unfunded liability. Second is the need to develop a
consistent legislative response to the administrative challenges raised by the
processing of chronic pain claims. These challenges mostly arise from the
difficulties in establishing a causal link between a workplace accident and the
later development of chronic pain, as well as in assessing the degree of impairment
resulting from chronic pain in particular claimants. The third concern,
closely related to the first, is to avoid potential fraudulent claims based on
chronic pain, which would be difficult to detect under the normal compensation
system, given that no objective findings are available to support chronic pain
claims. This objective is referred to in the submissions of the Attorney
General of Nova Scotia, who rejects the choice made by other provinces to
process chronic pain claims under the normal system on the ground that “these
schemes are based on subjective findings and self-reporting which are
unreliable and difficult to verify” (AGNS factum, at para. 159). The fourth
and last objective is to implement early medical intervention and return to
work as the optimal treatment for chronic pain according to current scientific
knowledge, or, as the Attorney General of Nova Scotia puts it somewhat bluntly,
“to eradicate the dependency on benefits to motivate return to the workforce”
(AGNS factum, at para. 148).
109
The first concern, maintaining the financial viability of the Accident
Fund, may be dealt with swiftly. Budgetary considerations in and of themselves
cannot normally be invoked as a free-standing pressing and substantial
objective for the purposes of s. 1 of the Charter : see Reference re
Remuneration of Judges of the Provincial Court of Prince Edward Island,
[1997] 3 S.C.R. 3 (“P.E.I. Reference”), at para. 281; see also Schachter
v. Canada, [1992] 2 S.C.R. 679, at p. 709. It has been
suggested, however, that in certain circumstances, controlling expenditures may
constitute a pressing and substantial objective: see Eldridge, supra,
at para. 84. I find it unnecessary to decide this point for the purposes of
the case at bar. Nothing in the evidence establishes that the chronic pain
claims in and of themselves placed sufficient strain upon the Accident Fund to
threaten its viability, or that such claims significantly contributed to its
present unfunded liability. Admittedly, when a court finds the challenged
legislation to be supported by another, non-financial purpose, budgetary
considerations may become relevant to the minimal impairment test: see P.E.I.
Reference, at para. 283. But at the present stage of the analysis, such a
non-financial purpose remains to be identified.
110
Likewise, the second objective, developing a consistent legislative
response to chronic pain claims, could not stand on its own. Mere
administrative expediency or conceptual elegance cannot be sufficiently
pressing and substantial to override a Charter right. In my view, this
objective only becomes meaningful when examined with the third objective, i.e.,
avoiding fraudulent claims based on chronic pain. That objective is consistent
with the general objective of the Act, as avoiding such claims ensures that the
resources of the workers’ compensation scheme are properly directed to workers
who are genuinely unable to work by reason of a work-related accident. In my
view, it is clearly pressing and substantial. As I believe this is the
strongest s. 1 argument raised by the respondents, I will first apply the Oakes
test to this objective. I will then briefly consider the fourth and last
objective alleged by the respondents.
111
The challenged provisions of the Act and the FRP Regulations are
rationally connected to this objective. There can be no doubt that, by
excluding all claims connected to chronic pain from the purview of the Act and,
in the case of workers injured after February 1, 1996, providing strictly
limited benefits in the form of a four-week Functional Restoration Program, s.
10B of the Act and the FRP Regulations virtually eliminate the
possibility of fraudulent claims based on chronic pain for all other types of
benefits.
112
The same reasoning, however, makes it patently obvious that the
challenged provisions do not minimally impair the equality rights of chronic
pain sufferers. On the contrary, one is tempted to say that they solve the
potential problem of fraudulent claims by preemptively deeming all chronic pain
claims to be fraudulent. Despite the fact that chronic pain may become
sufficiently severe to produce genuine and long-lasting incapacity to work, the
provisions make no effort whatsoever to determine who is genuinely unable to
work and who is abusing the system. As the respondents correctly point out,
the government is entitled to a degree of deference in its weighing of
conflicting claims, complex scientific evidence and budgetary constraints,
especially given the large unfunded liability of the Accident Fund. In other
words, it is not sufficient that a judge, freed from all such constraints,
could imagine a less restrictive alternative. Rather, s. 1 requires that the
legislation limit the relevant Charter right “as little as is reasonably
possible” (R. v. Edwards Books and Art Ltd., [1986] 2
S.C.R. 713, at p. 772, per Dickson C.J.). However, even a brief
examination of the possible alternatives, including the chronic pain regimes
adopted in other provinces, clearly reveals that the wholesale exclusion of
chronic pain cannot conceivably be considered a minimum impairment of the
rights of injured workers suffering from this disability.
113
The general compensation scheme under the Act already provides that
benefits may be limited, suspended or discontinued if the worker fails to
mitigate losses, does not comply with medical advice, or fails to provide the
Board with full and accurate information regarding his or her claim (ss. 84 and
113 of the Act). The adaptability of the system is illustrated by the
approaches adopted by other provinces such as Alberta, British Columbia, Quebec
and Ontario. These provinces all provide compensation for chronic pain within
their respective workers’ compensation regimes, in some cases by adapting the
assessment method to the reality of chronic pain so as to evaluate accurately
each claimant’s level of impairment. This general approach is supported by
considerable scientific evidence commissioned by the relevant workers’
compensation boards and introduced in evidence before this Court. See Chronic
Pain Initiative: Report of the Chair of the Chronic Pain Panels (2000),
which concludes that “[i]t would be difficult to support, on the basis of the
existing scientific evidence, any limitation of benefits for chronic pain
disability” (p. 5). Difficulties in establishing a causal link between a
work-related injury and later development of chronic pain are also adequately
handled within the scope of the general compensation system in these provinces:
see Report of the Chair of the Chronic Pain Panels, supra; Dr. T.
J. Murray, Chronic Pain (1995), prepared for the Workers’
Compensation Board of Nova Scotia, App. B; Association of Workers’
Compensation Boards of Canada, Compensating for Chronic Pain — 2000
(2000). In addition, courts faced with tort claims for chronic pain have also
developed approaches that do not rely on blanket exclusion: see, e.g., White
v. Slawter (1996), 149 N.S.R. (2d) 321 (C.A.); Marinelli v.
Keigan (1999), 173 N.S.R. (2d) 56 (C.A.). Even recognizing the Nova
Scotia legislature’s constitutional entitlement to select from a range of
acceptable policy options, it is impossible to conclude that the blanket
exclusion it enacted was necessary to achieve a principled response to chronic
pain and avoid fraudulent claims.
114
Since I conclude that the challenged provisions cannot survive the third
stage of the Oakes test on the basis of this objective, it is
unnecessary to consider the general proportionality stage.
115
What of the last objective, which is to implement early medical
intervention and return to work as the optimal treatment for chronic pain?
First, a cautionary note. In my view, when a legislative provision that draws
a distinction based on disability is found not to correspond to the needs and
circumstances of the claimants to such a degree that it demeans their essential
human dignity, the government will face a steep evidentiary burden if it
chooses to allege that the provision is rationally connected to the objective
of providing the best available treatment to such claimants.
116
This being said, assuming, without deciding the point, that the
objective of early return to work is pressing and substantial and that the
challenged provisions are rationally connected to it, I am of the view that
they fail the minimum impairment and general proportionality tests. While the
report commissioned from Dr. T. J. Murray by the Board concludes that early
intervention and return to work together constitute the best available
treatment for work-related chronic pain, nowhere does that report recommend an
automatic cut-off of benefits such as the one adopted by the Nova Scotia
legislature. No other evidence indicates that an automatic cut-off of benefits
regardless of individual needs and circumstances is necessary to achieve the
stated goal. This is particularly true with respect to ameliorative benefits
which would actually facilitate return to work, such as vocational
rehabilitation, medical aid and the rights to re-employment and accommodation.
It cannot be seriously countenanced that the challenged measures are minimally
impairing of the s. 15(1) right. Moreover, as discussed above, the legislation
deprives workers whose chronic pain does not improve as a result of early
medical intervention and return to work from receiving any benefits beyond the
four-week Functional Restoration Program. Others, like Ms. Laseur, are not
even admissible to this program because of the date of their injuries. The
deleterious effects of the challenged provisions on these workers clearly
outweigh their potential beneficial effects.
117
I conclude that the challenged provisions are not reasonably justified
under s. 1 of the Charter .
VI. Conclusion
118
I would allow the appeals. Section 10B of the Act and the FRP
Regulations in their entirety infringe s. 15(1) of the Charter , and the
infringement is not justified under s. 1 . It follows that the challenged
provisions are inconsistent with the Constitution and are of no force or effect
by operation of s. 52(1) of the Constitution Act, 1982 . Since these
appeals have been funded by the Workers Advisers Program established under Part
III of the Workers’ Compensation Act, no order for costs has been
requested by the appellants.
119
As the appellants point out, the policies that used to provide for
individualized assessment of impairment in chronic pain cases have been
repealed following the enactment of the challenged provisions of the Act and
the FRP Regulations. Therefore, giving immediate effect to the
declaration of invalidity of these provisions could result in prejudice to
injured workers affected by chronic pain, as the Board would then have no
specific policies or provisions to rely on in such cases. While some default
or residuary provisions of the Act and of the FRP Regulations as well as
policies of the Board might apply, the results would likely be inconsistent,
given the considerable discretion which would be left to the Board in chronic pain
cases. The default rules might even prevent certain chronic pain sufferers
from receiving any benefits, as was the case for Ms. Laseur. Allowing the
challenged provisions to remain in force for a limited period of time would
preserve the limited benefits of the current program until an appropriate
legislative response to chronic pain can be implemented. Therefore, as the
appellants requested, it is reasonable to postpone the general declaration of
invalidity for six months from the date of this judgment: see Schachter,
supra.
120
This postponement, of course, does not affect the appellants’ cases.
Mr. Martin is clearly entitled to the benefits he has been claiming, as
the challenged provisions stood as the only obstacle to his claims. I would
thus reinstate the judgment rendered by the Appeals Tribunal in the Martin case
on January 31, 2000.
121
The Appeals Tribunal, however, refused to grant permanent impairment
benefits to Ms. Laseur because she did not challenge the constitutionality of
the applicable guidelines, which attributed a permanent impairment rating of 0
percent to her injuries. In my view, it is appropriate to return Ms. Laseur’s
case to the Board for reconsideration on the basis of the subsisting provisions
of the Act and the applicable regulations and policies. I note that, if Ms.
Laseur elects to raise the constitutionality of the permanent impairment
guidelines, the Board will be obliged to consider and decide the issue in
accordance with the present reasons.
122
I would answer the constitutional questions as follows:
1. Do s. 10B of the Workers’ Compensation
Act, S.N.S. 1994‑95, c. 10, as amended, and the Functional
Restoration (Multi‑Faceted Pain Services) Program Regulations, N.S.
Reg. 57/96, infringe the equality rights guaranteed by s. 15(1) of the Canadian
Charter of Rights and Freedoms ?
Yes.
2. If the answer to question # 1 is yes, does
such infringement constitute a reasonable limit prescribed by law and
demonstrably justified in a free and democratic society pursuant to s. 1 of the
Canadian Charter of Rights and Freedoms ?
No.
APPENDIX
Workers’
Compensation Act, S.N.S. 1994-95, c. 10
10A In this Act, “chronic pain” means pain
(a) continuing beyond the normal recovery time for
the type of personal injury that precipitated, triggered or otherwise predated
the pain; or
(b) disproportionate to the type of personal injury that
precipitated, triggered or otherwise predated the pain,
and includes chronic pain syndrome, fibromyalgia, myofascial pain
syndrome, and all other like or related conditions, but does not include pain
supported by significant, objective, physical findings at the site of the
injury which indicate that the injury has not healed.
10B Notwithstanding this Act, Chapter 508
of the Revised Statutes, 1989, or any of its predecessors, the
Interpretation Act or any other enactment,
(a) except for the purpose of Section 28, a personal
injury by accident that occurred on or after March 23, 1990, and before
February 1, 1996, is deemed never to have included chronic pain;
(b) a personal injury by accident that occurred
before February 1, 1996, is deemed never to have created a vested right to
receive compensation for chronic pain;
(c) no compensation is payable to a worker in
connection with chronic pain, except as provided in this Section or in Section
10E or 10G or, in the case of a worker injured on or after February 1, 1996, as
provided in the Functional Restoration (Multi-Faceted Pain Services) Program
Regulations contained in Order in Council 96-207 made on March 26, 1996, as
amended from time to time and, for greater certainty, those regulations are
deemed to have been validly made pursuant to this Act and to have been in full
force and effect on and after February 1, 1996.
10E Where a worker
(a) was injured on or after March 23, 1990, and
before February 1, 1996;
(b) has chronic pain that commenced following the
injury referred to in clause (a); and
(c) as of November 25, 1998, was in receipt of
temporary earnings-replacement benefits; or
(d) as of November 25, 1998, had a claim under appeal
(i) for reconsideration,
(ii) to a hearing officer,
(iii) to the Appeals Tribunal, or
(iv) to the Nova Scotia Court of Appeal,
or whose appeal period with respect to an appeal referred to in
subclauses (i) to (iv) had not expired,
the Board shall pay to the worker a permanent-impairment benefit based
on a permanent medical impairment award of twenty-five per cent multiplied by fifty
per cent, and an extended earnings replacement benefit, if payable pursuant to
Sections 37 to 49, multiplied by fifty per cent and any appeal referred to in
clause (d) is null and void regardless of the issue or issues on appeal.
185 (1) Subject to the rights of appeal
provided in this Act, the Board has exclusive jurisdiction to inquire into,
hear and determine all questions of fact and law arising pursuant to this Part,
and any decision, order or ruling of the Board on the question is final and
conclusive and is not subject to appeal, review or challenge in any court.
252 (1) The Appeals Tribunal may confirm,
vary or reverse the decision of a hearing officer.
Functional
Restoration (Multi-Faceted Pain Services) Program Regulations, N.S. Reg.
57/96
2 In these regulations,
.
. .
(b) “chronic pain” means pain
(i) continuing beyond the normal recovery time
for the type of personal injury that precipitated, triggered, or otherwise
predated the pain, or
(ii) disproportionate to the type of personal
injury that precipitated, triggered, or otherwise predated the pain;
and includes chronic pain syndrome, fibromyalgia, myofascial pain
syndrome, and all other like or related conditions, but does not include pain supported
by significant, objective, physical findings at the site of the injury which
indicate that the injury has not healed;
. . .
3 (1) Chronic pain is included in the
operation of Part I of the Act, subject to the terms and conditions set out in
these regulations.
(2) For greater certainty, except as
provided in these regulations, chronic pain is and is deemed always to have
been excluded from the operation of Part I of the Act, and no compensation is
payable in connection with chronic pain except in accordance with these
regulations.
4 There is hereby established a program
of the Board known as the Functional Restoration (Multi-Faceted Pain Services)
Program.
5 A worker may be designated by the Board
as a participant in the Functional Restoration (Multi-Faceted Pain Services)
Program if
(a) the worker is suffering from chronic pain;
and
(b) the worker has, at the time of designation,
a loss of earnings subsequent to a compensable injury and identifies pain and
pain-related symptoms as the reason for the loss of earnings.
6 No worker may be designated as a
participant in the Functional Restoration (Multi-Faceted Pain Services) Program
if more than twelve months have elapsed since the worker’s date of injury.
7 (1) Participation in the Functional
Restoration (Multi-Faceted Pain Services) Program is limited to four weeks.
(2) During a worker’s participation in
the Functional Restoration (Multi-Faceted Pain Services) Program, the worker
is eligible to receive a benefit equal to the amount of temporary
earnings-replacement benefits the worker would have received if the worker were
eligible for temporary earnings-replacement benefits.
8 (1) These regulations apply to all
decisions, orders or rulings made pursuant to the Act on or after February 1,
1996.
(2) For greater certainty, these
regulations apply to any decision, order or ruling made on or after February 1,
1996, concerning eligibility for compensation or the calculation or
re-calculation of an amount of compensation.
(3) Despite subsections (1) and (2),
where a decision, order or ruling was made by the Board or the Appeal Board
before February 1, 1996, finding that a worker has a permanent impairment in
connection with chronic pain but not fixing the worker’s permanent-impairment
rating, a rating shall be awarded pursuant to Section 34 and compensation may
be paid accordingly pursuant to Sections 226, 227 or 228 of the Act, as the
case may be.
(4) Despite subsections (1) and (2),
where a decision, order or ruling was made by the Board or the Appeal Board
before February 1, 1996, fixing a worker’s permanent-impairment rating, the
rating is deemed to be the rating to which the worker is entitled and
compensation shall be paid accordingly pursuant to Sections 226, 227 or 228 of
the Act, as the case may be.
Appeals allowed.
Solicitors for the appellants: Workers’ Advisers Program, Halifax.
Solicitors for the respondent the Workers’ Compensation Board of
Nova Scotia: Stewart McKelvey Stirling Scales, Halifax.
Solicitor for the respondent the Attorney General of Nova Scotia:
Attorney General of Nova Scotia, Halifax.
Solicitors for the intervener the Nova Scotia Workers’ Compensation
Appeals Tribunal: Merrick Holm, Halifax.
Solicitor for the intervener the Ontario Network of Injured Workers
Groups: Advocacy Resource Centre for the Handicapped, Toronto.
Solicitors for the intervener the Canadian Labour Congress: Sack
Goldblatt Mitchell, Toronto.
Solicitor for the intervener the Attorney General of Ontario: Attorney
General of Ontario, Toronto.
Solicitor for the intervener the Attorney General of British
Columbia: Attorney General of British Columbia, Victoria.
Solicitor for the intervener the Workers’ Compensation Board of
Alberta: Workers’ Compensation Board of Alberta, Edmonton.