Pritchard v. Ontario (Human Rights Commission), [2004] 1
S.C.R. 809, 2004 SCC 31
Colleen Pritchard Appellant
v.
Ontario Human Rights Commission Respondent
and
Attorney General of Canada,
Attorney General of Ontario,
Canadian Human Rights Commission and
Manitoba Human Rights Commission Interveners
Indexed as: Pritchard v.
Ontario (Human Rights Commission)
Neutral citation: 2004 SCC 31.
File No.: 29677.
Hearing and judgment: March 23, 2004.
Reasons delivered: May 14, 2004.
Present: Iacobucci, Major, Bastarache, Binnie, LeBel,
Deschamps and Fish JJ.
on appeal from the court of appeal for ontario
Barristers and solicitors — Solicitor-client
privilege — In-house counsel — Legal opinions — Whether legal opinion prepared
by in-house counsel for administrative board protected by solicitor-client
privilege.
Administrative law — Judicial review —
Solicitor-client privilege — In-house counsel — Legal opinions — Complainant
seeking production of legal opinion prepared by Human Rights Commission’s
in-house counsel — Whether legal opinions prepared by in-house counsel
protected by solicitor-client privilege.
Administrative law — Judicial review — Procedure —
Record of proceedings — Solicitor-client privilege — Decision-maker served with
notice of application for judicial review of its decision must file in court
for use in application record of proceedings in which decision was made —
Whether expression “record of the proceedings” in s. 10 of Ontario
Judicial Review Procedure Act abrogates solicitor-client privilege — Judicial
Review Procedure Act, R.S.O. 1990, c. J.1, s. 10.
The appellant filed a complaint with the Ontario Human
Rights Commission against her former employer. She later sought judicial
review of the Commission’s decision not to deal with most of her complaint.
When the Commission refused her request for the production of various
documents, including a legal opinion provided to the Commission by in-house
counsel, the appellant brought a motion before a judge of the Divisional Court
for the production of all documents that were before the Commission when it
made its decision, including the legal opinion. The motion was granted. On
appeal on the sole issue of the production of the legal opinion, a three-judge
panel of the Divisional Court upheld the motions judge’s decision. The Court
of Appeal set aside the orders pertaining to the legal opinion, holding that
the opinion was privileged.
Held: The appeal
should be dismissed.
Solicitor-client privilege applies to a broad range of
communications between lawyer and client and applies with equal force in the
context of advice given to an administrative board by in-house counsel as it
does to advice given in the realm of private law. If an in-house lawyer is
conveying advice that would be characterized as privileged, the fact that that
lawyer is “in-house” does not remove the privilege and does not change its
nature. Owing to the nature of the work of in-house counsel, often having both
legal and non-legal responsibilities, each situation must be assessed on a case‑by‑case
basis to determine if privilege arose in the circumstances. Here, the
communication between the Commission and its in-house counsel was a legal
opinion and protected by solicitor-client privilege.
Procedural fairness does not require the disclosure of
a privileged legal opinion and does not affect solicitor-client privilege.
Both may co-exist without being at the expense of each other. In this case, the
appellant was aware of the case to be met without production of the legal
opinion. Further, legislation purporting to limit or deny solicitor-client
privilege must be interpreted restrictively; this privilege cannot be abrogated
by inference. “[R]ecord of the proceedings” in s. 10 of the Ontario Judicial
Review Procedure Act does not include privileged communications from
in-house counsel. Section 10 does not clearly or unequivocally express an
intention to abrogate solicitor-client privilege and does not stipulate that
the “record” includes legal opinions. Finally, the common interest exception to
solicitor-client privilege does not apply to an administrative board with
respect to the parties before it.
Cases Cited
Considered: R. v.
Campbell, [1999] 1 S.C.R. 565; not followed: Melanson v. New
Brunswick (Workers’ Compensation Board) (1994), 146 N.B.R. (2d) 294; referred
to: Smith v. Jones, [1999] 1 S.C.R. 455; Solosky v. The Queen,
[1980] 1 S.C.R. 821; Descôteaux v. Mierzwinski, [1982]
1 S.C.R. 860; R. v. McClure, [2001] 1 S.C.R. 445,
2001 SCC 14; Lavallee, Rackel & Heintz v. Canada (Attorney General),
[2002] 3 S.C.R. 209, 2002 SCC 61; R. v. Dunbar (1982),
138 D.L.R. (3d) 221; Buttes Gas & Oil Co. v. Hammer (No. 3), [1980]
3 All E.R. 475.
Statutes and Regulations Cited
Canadian Charter of Rights and
Freedoms, ss. 7 , 15 .
Employment Standards Act, R.S.O. 1990, c. E.14.
Human Rights Code, R.S.O. 1990, c. H.19, ss. 34, 37, 39(6) [ad. 1994,
c. 27, s. 65(18); am. 2002, c. 18 , Sch. C, s. 1(12)].
Judicial Review Procedure Act, R.S.O. 1990, c. J.1, s. 10.
APPEAL from a judgment of the Ontario Court of Appeal
(2003), 63 O.R. (3d) 97, 167 O.A.C. 356, 223 D.L.R. (4th) 85, 22 C.C.E.L. (3d)
201, 27 C.P.C. (5th) 223, [2003] O.J. No. 215 (QL), setting aside a
judgment of the Divisional Court, [2002] O.J. No. 1169 (QL), ordering the
production of a legal opinion prepared by an in-house counsel of the Ontario
Human Rights Commission. Appeal dismissed.
Geri Sanson and Mark Hart,
for the appellant.
Anthony D. Griffin and Hart Schwartz, for the respondent.
Christopher M. Rupar, for the intervener Attorney General of Canada.
Leslie M. McIntosh,
for the intervener Attorney General of Ontario.
Andrea Wright and Monette Maillet,
for the intervener Canadian Human Rights Commission.
Aaron L. Berg,
for the intervener Manitoba Human Rights Commission.
The judgment of the Court was delivered by
Major J. —
I. Introduction
1
The appellant, Ms. Colleen Pritchard, filed a human rights complaint
with the respondent Ontario Human Rights Commission, against her former
employer Sears Canada Inc., alleging gender discrimination, sexual harassment
and reprisal. The Commission decided, pursuant to s. 34(1)(b) of the Ontario
Human Rights Code, R.S.O. 1990, c. H.19 (“Code”), not to deal with her
complaint. The appellant sought judicial review and brought a motion for
production of all documents that were before the Commission when it made its
decision, including a legal opinion provided to the Commission by in-house
counsel.
2
The motions judge, MacFarland J. of the Divisional Court, ordered
production and a three-judge panel of that court later upheld that decision.
The Ontario Court of Appeal overturned the decision, holding instead that the opinion
was privileged. The appeal was dismissed with reasons to follow.
II. Factual Background
3
The appellant’s employment with Sears was terminated on July 19, 1996.
In January 1997 she filed a human rights complaint alleging that she had been
subjected to gender discrimination, sexual harassment and reprisal. With
regard to reprisal, the complaint alleged that the appellant was denied
re-employment for an advertised position in December 1996 because of earlier
complaints she made to the Commission (in 1994) regarding sexual harassment and
discrimination, and Sears’ failure to deal with the issues she raised
appropriately.
4
On January 20, 1998, the Commission decided, pursuant to s. 34(1)(b) of
the Code, not to deal with most of the appellant’s complaint. The Commission
was of the view that the appellant had acted in bad faith in bringing the
complaint because she had previously signed a release which expressly released
Sears from any claims under the Code.
5
In particular, it stated that she released Sears from any claims
relating to her employment including “any claims for severance or termination
pay under the Employment Standards Act or claims under the Human
Rights Code”. In exchange for the release, the appellant was paid her
statutory entitlement under the Employment Standards Act, R.S.O. 1990,
c. E.14, plus two weeks salary.
6
On June 23, 1998, the Commission decided, pursuant to an application by
the appellant for reconsideration under s. 37 of the Code, not to deal with the
termination issues; in essence, they upheld the January 20 decision not to
address most of the complaint.
7
On October 28, 1998, the appellant commenced an application for judicial
review of the Commission’s decisions. The Commission did not defend the
application. Instead, it provided the court and the appellant with a letter
from its legal counsel setting out the reasons why it would not defend the
application and why the entire complaint should be remitted for investigation.
The Commission also offered to settle the matter, over the objections of
Sears. The Superior Court of Justice, Divisional Court, quashed the
Commission’s decisions, finding that the Commission had misinterpreted the
meaning of “bad faith”, and had applied the wrong criteria in its
reconsideration ((1999), 45 O.R. (3d) 97). The matter was remitted back to the
Commission for a redetermination under s. 34 of the Code. An appeal by Sears
was dismissed.
8
In its consideration of the complaint anew, the Commission again
exercised its discretion under s. 34(1)(b) of the Code not to deal with most of
the appellant’s complaint. On December 20, 2000, the Commission issued its
decision not to deal with it based on a set of reasons that were strikingly
similar to the first, again claiming that the appellant acted in bad faith. On
January 11, 2001, the appellant brought a second application for judicial
review. The notice sought to quash the Commission’s second decision on the
basis of jurisdictional error, including excess of jurisdiction, denial of
procedural fairness, and violations of ss. 7 and 15 of the Canadian Charter
of Rights and Freedoms .
9
In the context of this second judicial review application, the appellant
requested production of various documents including a legal opinion provided to
the Commissioners. The Commission refused the request for documents, and the
appellant brought a motion before MacFarland J. of the Superior Court of
Justice requesting “all information — both oral and written — which was placed
before the Commission for its consideration of her complaint which resulted in
the Commission’s decision under s. 34(1)(b) of the Code”.
III. Judicial History
10
On July 6, 2001, MacFarland J., of the Superior Court of Justice,
Divisional Court, granted the appellant’s motion and ordered production of all
the documents, including the legal opinion which had been prepared by in-house
counsel for the Commission ((2001), 148 O.A.C. 260). Six months later, on
January 10, 2002, a three-judge panel of the Divisional Court ([2002] O.J. No.
1169 (QL)) heard the expedited appeal on the sole issue of the production of
the legal opinion, and confirmed MacFarland J.’s order. Neither of the lower
courts was provided with a copy of the legal opinion at issue.
11
On January 29, 2003, the Ontario Court of Appeal allowed the appeal, set
aside the lower court orders pertaining to the legal opinion, and ordered that
the copies of the legal opinion which had been filed with the appellate court
be sealed ((2003), 63 O.R. (3d) 97).
IV. Relevant Statutory Provisions
12
While this appeal can be decided on the basis of case law alone, ss. 34,
37 and 39(6) of the Code provide the context in which the Commission made its
decisions. For convenience, these sections are reproduced below.
34.—(1) Where it appears to the Commission
that,
(a) the complaint is one that could or
should be more appropriately dealt with under an Act other than this Act;
(b) the subject-matter of the complaint is
trivial, frivolous, vexatious or made in bad faith;
(c) the complaint is not within the
jurisdiction of the Commission; or
(d) the facts upon which the complaint is
based occurred more than six months before the complaint was filed, unless the
Commission is satisfied that the delay was incurred in good faith and no
substantial prejudice will result to any person affected by the delay,
the Commission may, in its discretion, decide to not deal with the
complaint.
(2) Where the Commission decides to not deal with
a complaint, it shall advise the complainant in writing of the decision and the
reasons therefor and of the procedure under section 37 for having the decision
reconsidered.
37.—(1) Within a period of fifteen days of
the date of mailing the decision and reasons therefor mentioned in subsection
34(2) or subsection 36(2), or such longer period as the Commission may for
special reasons allow, a complainant may request the Commission to reconsider
its decision by filing an application for reconsideration containing a concise
statement of the material facts upon which the application is based.
(2) Upon receipt of an application for
reconsideration the Commission shall as soon as is practicable notify the
person complained against of the application and afford the person an
opportunity to make written submissions with respect thereto within such time
as the Commission specifies.
(3) Every decision of the Commission on
reconsideration together with the reasons therefor shall be recorded in writing
and promptly communicated to the complainant and the person complained against
and the decision shall be final.
39. . . .
(6) A member of the Tribunal hearing a complaint
must not have taken part in any investigation or consideration of the
subject-matter of the inquiry before the hearing and shall not communicate
directly or indirectly in relation to the subject-matter of the inquiry with
any person or with any party or any party’s representative except upon notice
to and opportunity for all parties to participate, but the Tribunal may seek
legal advice from an advisor independent of the parties and in such case the
nature of the advice shall be made known to the parties in order that they may
make submissions as to the law.
V. Issues
13
The sole issue in this appeal is whether the Court of Appeal erred in
overturning the decision of the motions judge ordering production of the legal
opinion. The question is whether a legal opinion, prepared for the Ontario
Human Rights Commission by its in-house counsel, is protected by
solicitor-client privilege in the same way as it is privileged if prepared by
outside counsel retained for that purpose.
VI. Analysis
A. Solicitor-Client Privilege Defined
14
Solicitor-client privilege describes the privilege that exists between a
client and his or her lawyer. Clients must feel free and protected to be frank
and candid with their lawyers with respect to their affairs so that the legal
system, as we have recognized it, may properly function: see Smith v. Jones,
[1999] 1 S.C.R. 455, at para. 46.
15
Dickson J. outlined the required criteria to establish solicitor-client
privilege in Solosky v. The Queen, [1980] 1 S.C.R. 821, at p.
837, as: “(i) a communication between solicitor and client; (ii) which entails
the seeking or giving of legal advice; and (iii) which is intended to be
confidential by the parties”. Though at one time restricted to communications
exchanged in the course of litigation, the privilege has been extended to cover
any consultation for legal advice, whether litigious or not: see Solosky,
at p. 834.
16
Generally, solicitor-client privilege will apply as long as the
communication falls within the usual and ordinary scope of the professional
relationship. The privilege, once established, is considerably broad and
all-encompassing. In Descôteaux v. Mierzwinski, [1982] 1 S.C.R. 860,
the scope of the privilege was described, at p. 893, as attaching “to all
communications made within the framework of the solicitor-client relationship,
which arises as soon as the potential client takes the first steps, and
consequently even before the formal retainer is established”. The scope of the
privilege does not extend to communications: (1) where legal advice is not
sought or offered; (2) where it is not intended to be confidential; or (3) that
have the purpose of furthering unlawful conduct: see Solosky, supra,
at p. 835.
17
As stated in R. v. McClure, [2001] 1 S.C.R. 445, 2001 SCC 14, at
para. 2:
Solicitor‑client privilege describes the
privilege that exists between a client and his or her lawyer. This privilege
is fundamental to the justice system in Canada. The law is a complex web of
interests, relationships and rules. The integrity of the administration of
justice depends upon the unique role of the solicitor who provides legal advice
to clients within this complex system. At the heart of this privilege lies the
concept that people must be able to speak candidly with their lawyers and so
enable their interests to be fully represented.
The privilege
is jealously guarded and should only be set aside in the most unusual
circumstances, such as a genuine risk of wrongful conviction.
18
In Lavallee, Rackel & Heintz v. Canada (Attorney General),
[2002] 3 S.C.R. 209, 2002 SCC 61, this Court confirmed that the privilege must
be nearly absolute and that exceptions to it will be rare. Speaking for the
Court on this point, Arbour J. reiterated what was stated in McClure:
. . . solicitor-client privilege must be as close to absolute as
possible to ensure public confidence and retain relevance. As such, it will
only yield in certain clearly defined circumstances, and does not involve a
balancing of interests on a case-by-case basis. [Emphasis in original.]
(Arbour J. in Lavallee, supra, at para. 36, citing Major
J. in McClure, at para. 35.)
19
Solicitor-client privilege has been held to arise when in-house
government lawyers provide legal advice to their client, a government agency:
see R. v. Campbell, [1999] 1 S.C.R. 565, at para. 49. In Campbell,
the appellant police officers sought access to the legal advice provided to
the RCMP by the Department of Justice and on which the RCMP claimed to have
placed good faith reliance. In identifying solicitor-client privilege as it
applies to government lawyers, Binnie J. compared the function of public
lawyers in government agencies with corporate in-house counsel. He explained
that where government lawyers give legal advice to a “client department” that
traditionally would engage solicitor-client privilege, and the privilege would
apply. However, like corporate lawyers who also may give advice in an
executive or non-legal capacity, where government lawyers give policy advice
outside the realm of their legal responsibilities, such advice is not protected
by the privilege.
20
Owing to the nature of the work of in-house counsel, often having both
legal and non-legal responsibilities, each situation must be assessed on a
case-by-case basis to determine if the circumstances were such that the
privilege arose. Whether or not the privilege will attach depends on the
nature of the relationship, the subject matter of the advice, and the
circumstances in which it is sought and rendered: Campbell, supra,
at para. 50.
21
Where solicitor-client privilege is found, it applies to a broad range
of communications between lawyer and client as outlined above. It will apply
with equal force in the context of advice given to an administrative board by
in-house counsel as it does to advice given in the realm of private law. If an
in-house lawyer is conveying advice that would be characterized as privileged,
the fact that he or she is “in-house” does not remove the privilege, or change
its nature.
B. The Common Interest Exception
22
The appellant submitted that solicitor-client privilege does not attach
to communications between a solicitor and client as against persons having a
“joint interest” with the client in the subject-matter of the communication.
This “common interest”, or “joint interest” exception does not apply to the
Commission because it does not share an interest with the parties before it.
The Commission is a disinterested gatekeeper for human rights complaints and,
by definition, does not have a stake in the outcome of any claim.
23
The common interest exception to solicitor-client privilege arose in the
context of two parties jointly consulting one solicitor. See R. v. Dunbar (1982),
138 D.L.R. (3d) 221 (Ont. C.A.), per Martin J.A., at p. 245:
The authorities are clear that where two or more persons, each having
an interest in some matter, jointly consult a solicitor, their confidential
communications with the solicitor, although known to each other, are privileged
against the outside world. However, as between themselves, each party is
expected to share in and be privy to all communications passing between each of
them and their solicitor. Consequently, should any controversy or dispute arise
between them, the privilege is inapplicable, and either party may demand
disclosure of the communication. . . .
24
The common interest exception originated in the context of parties
sharing a common goal or seeking a common outcome, a “selfsame interest” as
Lord Denning, M.R., described it in Buttes Gas & Oil Co. v. Hammer (No.
3), [1980] 3 All E.R. 475 (C.A.), at p. 483. It has since been narrowly
expanded to cover those situations in which a fiduciary or like duty has been
found to exist between the parties so as to create common interest. These
include trustee-beneficiary relations, fiduciary aspects of Crown-aboriginal
relations and certain types of contractual or agency relations, none of which
are at issue here.
25
The Commission neither has a trust relationship with, nor owes a
fiduciary duty to, the parties appearing before it. The Commission is a
statutory decision-maker. The cases relied on by the appellant related to
trusts, fiduciary duty, and contractual obligations. These cases are readily
distinguishable and do not support the position advanced by the appellant. The
common interest exception does not apply to an administrative board with
respect to the parties before it.
26
The appellant relied heavily on the decision of the New Brunswick Court
of Appeal in Melanson v. New Brunswick (Workers’ Compensation Board) (1994),
146 N.B.R. (2d) 294. In that case, the court ordered a new hearing based on a
failure by the Workers’ Compensation Board to observe procedural fairness in
the processing of the appellant’s claim. The court held that several
significant errors were made at the review committee level, negating the review
committee’s duty to act fairly. Among these errors were the failure to provide
the appellant with its first decision, the decision to turn the appellant’s
claim into a test case without her knowledge and partly at her expense, and the
introduction of new evidence not disclosed to the appellant. For these reasons
the court, in its ratio, concluded that “the taint at the intermediate
level of the Review Committee has irrevocably blemished the proceedings” (para.
31). Other comments made by the Court of Appeal, pertaining to the production
of legal opinions, were obiter dicta. The proper approach to legal
opinions is to determine if they are of such a kind as would fall into the
privileged class. If so, they are privileged. To the extent that Melanson
is otherwise relied on is error.
C. Application to the Case at Bar
27
As stated, the communication between the Commission and its in-house
counsel was protected by solicitor-client privilege.
28
The opinion provided to the Commission by staff counsel was a legal
opinion. It was provided to the Commission by in-house or “staff” counsel
to be considered or not considered at their discretion. It is a communication
that falls within the class of communications protected by solicitor-client
privilege. The fact that it was provided by in-house counsel does not alter
the nature of the communication or the privilege.
29
There is no applicable exception that can remove the communication from
the privileged class. There is no common interest between this Commission and
the parties before it that could justify disclosure; nor is this Court prepared
to create a new common law exception on these facts.
30
With respect, the motions judge erred in following the comments made by
the New Brunswick Court of Appeal in obiter dicta in Melanson
and in ordering production of the legal opinion.
31
Procedural fairness does not require the disclosure of a privileged
legal opinion. Procedural fairness is required both in the trial process and
in the administrative law context. In neither area does it affect
solicitor-client privilege; both may co-exist without being at the expense of
the other. In addition, the appellant was aware of the case to be met without
production of the legal opinion. The concept of fairness permeates all aspects
of the justice system, and important to it is the principle of solicitor-client
privilege.
32
Section 10 of the Judicial Review Procedure Act, R.S.O. 1990, c.
J.1, provides:
10. When notice of an application for
judicial review of a decision made in the exercise or purported exercise of a
statutory power of decision has been served on the person making the decision,
such person shall forthwith file in the court for use on the application the
record of the proceedings in which the decision was made.
33
Legislation purporting to limit or deny solicitor-client privilege will
be interpreted restrictively: see Lavallee, supra, at para. 18.
Solicitor-client privilege cannot be abrogated by inference. While
administrative boards have the delegated authority to determine their own
procedure, the exercise of that authority must be in accordance with natural
justice and the common law.
34
Where the legislature has mandated that the record must be provided in
whole to the parties in respect of a proceeding within its legislative
competence and it specifies that the “whole of the record” includes opinions
provided to the administrative board, then privilege will not arise as there is
no expectation of confidentiality. Beyond that, whether solicitor-client
privilege can be violated by the express intention of the legislature is a
controversial matter that does not arise in this appeal.
35
Section 10 of the Judicial Review Procedure Act, in any
event, does not clearly or unequivocally express an intention to abrogate
solicitor-client privilege, nor does it stipulate that the “record” includes
legal opinions. As such, “record of the proceedings” should not be read to
include privileged communications from Commission counsel to the Commission.
VII. Disposition
36
The communication between the Ontario Human Rights Commission and its
in-house counsel is protected by solicitor-client privilege. It was a
communication from a professional legal advisor, the Commission’s in-house
counsel, in her capacity as such, made in confidence to her client, the
Commission. Accordingly, this appeal is dismissed and the decision of the
Ontario Court of Appeal is confirmed. There is no order for costs as against
the parties before this Court. Any order of costs pertaining to the judicial
review should properly be considered by the Divisional Court undertaking the
review.
Appeal dismissed.
Solicitors for the appellant: Sanson & Hart, Toronto.
Solicitor for the respondent: Ontario Human Rights Commission,
Toronto.
Solicitor for the intervener the Attorney General of Canada: Deputy
Attorney General of Canada, Ottawa.
Solicitor for the intervener the Attorney General of Ontario:
Ministry of the Attorney General of Ontario, Toronto.
Solicitor for the intervener the Canadian Human Rights Commission:
Canadian Human Rights Commission, Ottawa.
Solicitor for the intervener the Manitoba Human Rights Commission:
Manitoba Human Rights Commission, Winnipeg.