Babcock v. Canada (Attorney General), [2002] 3 S.C.R. 3, 2002
SCC 57
The Attorney General of Canada on behalf of Her Majesty
the Queen in Right of Canada and in his capacity as Minister
of Justice, the Treasury Board of Canada and the Deputy
Minister of Justice Appellants
v.
Patricia Babcock, Linda Bell, Victoria Bryan, Lynn Burch, Karl
Burdak, George Carruthers, Gordon Carscadden, Margaret E.T. Clare,
Timothy W. Clarke, Moyra Dhaliwal, Mary Jane Dodge, Jonas Dubas,
S. David Frankel, Greg D. Franklin, Valerie Hartney, Bruce Hilchey,
John Kennedy, Digby Kier, Daniel L. Kiselbach, Ingeborg E. Lloyd,
Josephine Loncaric, John Loo, William Mah, Ian McKinnon, Robert
Moen, Nancy Oster, Michael Owens, Brent Paris, Darlene Patrick,
Paul Pelletier, David Prest, Brian Purdy, Christopher
Randall, Brian Sedgwick, Karen Shirley, Pamela Lindsay Smith,
Tim Stokes, Cory Stolte, Josée Tremblay, Karen A. Truscott, Max
Weder, Harry Wruck and Wendy Yoshida Respondents
and
The Attorney General of British Columbia, the Attorney General for
Alberta, the Information Commissioner of Canada
and the British Columbia Civil Liberties Association Interveners
and between
The Attorney General of Canada on behalf of Her Majesty
the Queen in Right of Canada and in his capacity as Minister
of Justice, the Treasury Board of Canada and the Deputy
Minister of Justice Appellants
v.
Rosemary Lutter and Emily Reid Respondents
and
The Attorney General of British Columbia, the Attorney General for
Alberta, the Information Commissioner of Canada
and the British Columbia Civil Liberties Association Interveners
Indexed as: Babcock v. Canada (Attorney General)
Neutral citation: 2002 SCC
57.
File No.: 28091.
2002: February 20; 2002: July 11.
Present: McLachlin C.J. and L’Heureux‑Dubé,
Gonthier, Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ.
on appeal from the court of appeal for british columbia
Evidence — Disclosure of government information —
Objection relating to a confidence of the Queen’s Privy Council — Government
claiming in litigation with staff lawyers that certain documents were Cabinet
confidences and consequently exempt from disclosure under s. 39 of Canada
Evidence Act — Processes by which Cabinet confidentiality may be claimed and
relinquished — Requirements for valid certification — Whether by releasing
some documents Crown has waived its right to invoke s. 39 over other
documents — Canada Evidence Act, R.S.C. 1985, c. C-5, s. 39 .
Constitutional law — Validity of legislation — Legislation
exempting Cabinet confidences from disclosure — Whether legislation
unconstitutional by reason of unwritten principles of Canadian Constitution —
Whether Parliament’s decision to limit superior courts from compelling
disclosure of Cabinet confidences impermissibly invades core jurisdiction of
superior courts — Canada Evidence Act, R.S.C. 1985, c. C-5, s. 39 —
Constitution Act, 1867 , preamble, s. 96 .
The respondents, who are staff lawyers with the
federal Department of Justice in Vancouver, sued the federal Crown for breach
of contract and breach of fiduciary duty when they failed to be paid the same
salary as staff lawyers in Toronto. Lists of documents were exchanged, in which
the government listed a number of documents as producible. In support of a
motion to have the action transferred to the Federal Court, which was
dismissed, the government filed the affidavit of an officer of the Treasury
Board Secretariat which set out the rationale for the pay raise for Toronto
lawyers. The government later changed its position on disclosure and delivered
a certificate of the Clerk of the Privy Council pursuant to s. 39(1) of the Canada
Evidence Act objecting to the disclosure of 51 documents and any
examination thereon, on the ground that they contain “information constituting
confidences of the Queen’s Privy Council for Canada”. The certificate claimed
protection for 12 government documents previously listed as producible (some of
which had already been disclosed), for five documents in the control or
possession of the respondents, and for 34 government documents and information
previously listed as not producible. The chambers judge dismissed the
respondents’ application to compel production of the documents for which the
government claimed protection. A majority of the Court of Appeal reversed this
decision and ordered production on the ground that the government had waived
its right to claim confidentiality by listing some of the documents as
producible and by disclosing selective information in the affidavit.
Held: The appeal should
be allowed in part. The documents certified but disclosed are no longer
protected and may be used in the litigation.
Per McLachlin C.J. and
Gonthier, Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ.:
Section 39 of the Canada Evidence Act is Canada’s response to the
need to provide a mechanism for the responsible exercise of the power to claim
Cabinet confidentiality in the context of judicial and quasi-judicial
proceedings. Certification by the Clerk of the Privy Council or by a minister
of the Crown is the trigger by which information becomes protected. Before
certifying information, however, the Clerk or minister must answer two
questions in the affirmative: first, is it a Cabinet confidence within the
meaning of ss. 39(1) and 39(2) ; and second, is it information which the
government should protect taking into account the competing interests in
disclosure and retaining confidentiality? Once certified, information gains greater
protection than at common law since the absolute language contained in
s. 39 goes beyond the common law approach of balancing the public
interest in protecting confidentiality and disclosure on judicial review. The
requirements for valid certification are as follows: (1) it must be done by
the Clerk or minister; (2) it must relate to information within s. 39(2) ;
(3) it must be done in a bona fide exercise of delegated power; (4) it
must be done to prevent disclosure of hitherto confidential information. If
there has been disclosure, s. 39 no longer applies, since its only purpose
is to prevent disclosure. The only timing limits are those found in
s. 39(4) . The protection of s. 39 continues indefinitely unless: (1)
the certificate is successfully challenged on the ground that it related to
information that does not fall under s. 39 ; (2) the power of certification
of the Clerk or minister has otherwise been improperly exercised; (3)
s. 39(4) is engaged; or (4) the Clerk or minister chooses to decertify the
information.
The concept of waiver in any ordinary sense of the
term does not apply on the facts of this case, and this is consistent with the
common law. By releasing some documents, the Crown has not waived its right to
invoke s. 39 over other documents. Moreover, the language of
s. 39(1) does not permit one to say that disclosure of some information
removes s. 39 protection from other, non-disclosed information.
The wording of s. 39(1) leaves little scope for
judicial review of a certification of Cabinet confidentiality. However, the
principle that official actions must flow from statutory authority clearly
granted and properly exercised still applies. The certification of the Clerk
or minister under s. 39(1) may be challenged where the information for
which immunity is claimed does not on its face fall within s. 39(1) , or
where it can be shown that the Clerk or minister has improperly exercised the
discretion conferred by s. 39(1) . It does not follow from the fact that
s. 39 makes it difficult to attack a certification that the procedure is
unlawful. All bodies expressly mentioned in s. 39 , not just superior
courts, are competent to inquire into the validity of s. 39 claims for
protection.
The s. 39 certification does not apply to the
documents already disclosed, nor does it apply to the five documents that were
in the respondents’ possession or control. Section 39 cannot be invoked
regarding the affidavit, since the government disclosed selective information
from it; therefore, the affidavit must be disclosed and the affiant may be
cross-examined on its contents. As to related information, if it has been
voluntarily disclosed in other documents, then s. 39 does not apply and
the documents must be produced. By contrast, the government is under no
obligation to disclose related information contained in documents that have
been properly certified under s. 39 , but runs the risk that refusal may
permit the court to draw an adverse inference. The remaining documents are
protected by s. 39 of the Act. These conclusions are made without
prejudice to future applications in this case.
Section 39 of the Act is constitutional. The
unwritten constitutional principles do not limit government actions in this
case. It is well within the power of the legislature to enact laws, as long as
it does not fundamentally alter or interfere with the relationship between the
courts and the other branches of government. Moreover, Parliament’s decision
to limit superior courts from compelling disclosure of Cabinet confidences does
not impermissibly invade the core jurisdiction of the superior courts.
Section 39 does not entirely exclude judicial review of the determination
by the Clerk that the information is a Cabinet confidence. It does not, in and
of itself, impede a court’s power to remedy abuses of process.
Per L’Heureux-Dubé J.:
There is substantial agreement with the majority’s reasons. Before certifying
information as confidential under s. 39(1) of the Canada Evidence Act ,
however, the Clerk or minister need not take into account the “competing
interests” in disclosure. The Clerk or minister must only answer two questions
before certifying, namely, (1) whether the document is a Cabinet confidence;
and (2) whether it is information that the government wishes to protect.
Cases Cited
By McLachlin C.J.
Referred to: Singh
v. Canada (Attorney General), [2000] 3 F.C. 185; Carey v. Ontario,
[1986] 2 S.C.R. 637; Roncarelli v. Duplessis, [1959] S.C.R. 121; Duncan
v. Cammell, Laird & Co., [1942] A.C. 624; Leeds v. Alberta (Minister
of the Environment) (1990), 69 D.L.R. (4th) 681; Sankey v. Whitlam
(1978), 142 C.L.R. 1; Makanjuola v. Commissioner of Police of the Metropolis,
[1992] 3 All E.R. 617; RJR-MacDonald Inc. v. Canada (Attorney General),
[1995] 3 S.C.R. 199; Commission des droits de la personne v. Attorney
General of Canada, [1982] 1 S.C.R. 215; Reference re Amendments to the
Residential Tenancies Act (N.S.), [1996] 1 S.C.R. 186; MacMillan Bloedel
Ltd. v. Simpson, [1995] 4 S.C.R. 725; R. v. Eldorado Nuclear Ltd.,
[1983] 2 S.C.R. 551.
Statutes and Regulations Cited
Canada Evidence Act, R.S.C. 1985, c. C-5, ss. 37 , 38 , 39 .
Constitution Act, 1867 , preamble, s. 96 .
Ombudsman Act, R.S.B.C. 1996, c. 340.
Authors Cited
Great Britain. Report of the
Committee of Privy Counsellors on Ministerial Memoirs. London: HMSO,
January 1976.
APPEAL from a judgment of the British Columbia Court
of Appeal (2000), 188 D.L.R. (4th) 678, 142 B.C.A.C. 161, 76 B.C.L.R. (3d) 35,
[2000] 6 W.W.R. 577, [2000] B.C.J. No. 1127 (QL), 2000 BCCA 348, allowing
the respondents’ appeal from a judgment of the British Columbia Supreme Court
(1999), 176 D.L.R. (4th) 417, 70 B.C.L.R. (3d) 128, [1999] B.C.J. No. 1777
(QL). Appeal allowed in part.
David Sgayias, Q.C.,
and Christopher Rupar, for the appellants.
Richard R. Sugden, Q.C.,
and Craig P. Dennis, for the respondents.
George H. Copley, Q.C.,
for the intervener the Attorney General of British Columbia.
James C. Robb, Q.C.,
for the intervener the Attorney General for Alberta.
Daniel Brunet, for the
intervener the Information Commissioner of Canada.
Joseph J. Arvay, Q.C.,
and Christopher Jones, for the intervener the British Columbia Civil
Liberties Association.
The judgment of McLachlin C.J. and Gonthier,
Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ. was delivered by
1
The Chief Justice — This
case raises the issue of when, if ever, Cabinet confidences must be disclosed
in litigation between the government and private citizens.
2
On June 6, 1990, the Treasury Board of Canada set the pay of Department
of Justice lawyers working in the Toronto Regional Office at a higher rate than
that of lawyers working elsewhere. Vancouver staff lawyers brought an action
in the Supreme Court of British Columbia, contending that by failing to pay
them the same salaries as Toronto lawyers the government breached their
contracts of employment and the fiduciary duty toward them.
3
The action proceeded, and the parties exchanged lists of relevant
documents in December 1996, as required by the B.C. Supreme Court Rules. A
supplemental list of documents was delivered by the government in June 1997.
The government listed a number of documents as producible.
4
The government then brought a motion to have the action transferred from
the Supreme Court of British Columbia to the Federal Court. In support of its
application, it filed an affidavit by Joan McCoy, an officer of the Treasury
Board Secretariat. The affidavit stated that the rationale for the
Order-in-Council authorizing the pay raise for Toronto lawyers was that
lawyers in Toronto generally commanded higher salaries than lawyers in other
parts of the country. The affidavit also disclosed the date of the Treasury
Board’s decision.
5
The government’s motion to transfer the action was denied and the action
continued in the Supreme Court of British Columbia. The government, nearly two
years after it delivered the first list of documents, changed its position on
disclosure of documents. It delivered a certificate of the Clerk of the Privy
Council pursuant to s. 39(1) of the Canada Evidence Act, R.S.C. 1985,
c. C-5 , objecting to the disclosure of 51 documents and any examination
thereon, on the ground that they contain “information constituting confidences
of the Queen’s Privy Council for Canada”. The certificate claimed protection
for 12 government documents previously listed as producible (some of which had
already been disclosed), for five documents in the control or possession of the
plaintiffs, and for 34 government documents and information previously listed
as not producible.
6
The plaintiffs (respondents) brought an application to compel production
of the documents for which the government claimed protection. The chambers
judge, Edwards J., ruled against them, holding that s. 39 of the Canada
Evidence Act was constitutional and clear. If the Clerk of the Privy
Council filed a certificate, that was the end of the matter, and the courts had
no power to set the certificate aside. A majority of the Court of Appeal
reversed this decision and ordered production of the documents on the ground
that the government had waived its right to claim confidentiality by listing
some of the documents as producible and by disclosing selective information in
the McCoy affidavit. The government appeals this decision to this Court.
I. Legislation
7
Canada Evidence Act, R.S.C. 1985, c. C-5
39. (1) Where a minister of the Crown or
the Clerk of the Privy Council objects to the disclosure of information before
a court, person or body with jurisdiction to compel the production of
information by certifying in writing that the information constitutes a confidence
of the Queen’s Privy Council for Canada, disclosure of the information shall be
refused without examination or hearing of the information by the court, person
or body.
(2) For the purpose of subsection (1), “a confidence of the
Queen’s Privy Council for Canada” includes, without restricting the generality
thereof, information contained in
(a) a memorandum the purpose of which is to present proposals or
recommendations to Council;
(b) a discussion paper the purpose of which is to present
background explanations, analyses of problems or policy options to Council for
consideration by Council in making decisions;
(c) an agendum of Council or a record recording deliberations or
decisions of Council;
(d) a record used for or reflecting communications or
discussions between ministers of the Crown on matters relating to the making of
government decisions or the formulation of government policy;
(e) a record the purpose of which is to brief Ministers of the
Crown in relation to matters that are brought before, or are proposed to be
brought before, Council or that are the subject of communications or
discussions referred to in paragraph (d); and
(f) draft legislation.
(3) For the purposes of subsection (2), “Council” means the
Queen’s Privy Council for Canada, committees of the Queen’s Privy Council for
Canada, Cabinet and committees of Cabinet.
(4) Subsection (1) does not apply in respect of
(a) a confidence of the Queen’s Privy Council for Canada that
has been in existence for more than twenty years; or
(b) a discussion paper described in paragraph (2)(b)
(i) if the decisions to which the discussion paper relates have been
made public, or
(ii) where the decisions have not been made public, if four years have
passed since the decisions were made.
II. Decisions
A. British
Columbia Supreme Court (1999), 176 D.L.R. (4th) 417
8
The chambers judge dismissed the plaintiffs’ application for production
and upheld the government’s claim to confidentiality in its entirety. He held
that certification by the Clerk of the Privy Council or a minister of the Crown
under s. 39 creates absolute protection, which reflects the importance of
protecting the confidentiality of the Cabinet process. Since the remuneration
of employees was exclusively within competence of the federal government, the
Clerk’s decision to certify the documents and information as confidential could
not be challenged. Neither the listing of documents as producible nor the
disclosure of information in the McCoy affidavit constituted waiver. Edwards J.
found that barring very exceptional circumstances, prior disclosure does not
waive s. 39 . Finally, Edwards J. rejected the argument that confidentiality
unconstitutionally trenched on the core jurisdiction of the superior courts
protected by s. 96 of the Constitution Act, 1867 , given the long
recognition of cabinet privilege as a legitimate exercise of Parliament’s
power.
B. British
Columbia Court of Appeal (2000), 188 D.L.R. (4th) 678, 2000 BCCA 348
9
The majority of the Court of Appeal held that Edwards J. erred in
rejecting the claim that the government had waived protection to the documents
and information. The Crown, as a public representative, must be able to waive
privilege; otherwise, any litigant opposing the Crown would be in the untenable
position of being unable to rely on the government’s production of documents,
regardless of how essential the documents were to their case or how late the
Crown’s application for immunity. While there might be a need for “extreme
curtailment” of a litigant’s rights to full discovery for documents concerned
with sensitive matters like state defence, internal security or diplomatic
relations, the government must be permitted to waive protection in appropriate
cases.
10
Applying this principle, the majority held that the government waived
immunity for the 17 documents previously identified as producible. Protection
was also waived for the information in the McCoy affidavit which outlined the
government’s rationale for the salary differential at the heart of the
litigation. Any claim for privilege thereafter would be selective, requiring
that claims for confidentiality on all related information be treated as
waived. With respect to the remaining 34 documents, the majority held that s.
39 confers class immunity rather than selective immunity; it followed that
waiver operates on a class basis. Thus, waiver of immunity for 17 of the
documents covered by the s. 39 certificate waived the immunity for all of the
relevant documents within the class. In view of this conclusion, it was not
necessary to consider whether s. 39 was constitutional.
11
Southin J.A. dissented. In her view, it is “not appropriate for the
judiciary to intermeddle in the business of the Cabinet and its committees and
it is not at all clear to me . . . that the judiciary must regain its
control over this whole field of the law, a proposition which to me has a
distasteful ring of judicial arrogance” (para. 52). This said, s. 39 is
limited to papers that are actually put before the Cabinet or a Cabinet
committee and the Clerk must exercise her powers properly. She must properly
describe the documents, bringing them within the ambit of the section, and if
it can be shown, either from internal or external evidence, that the Clerk has
exceeded the power conferred upon her, the court can require disclosure of all
documents not within the section.
12
Southin J.A. held that only an act of the Clerk or of a minister of the
Crown can effect waiver. Otherwise, junior functionaries having no conception
of the importance of Cabinet confidentiality would be able to waive it, to the
detriment of the national interest.
13
Newbury J.A concurred with MacKenzie J.A. with respect to the waiver of
privilege in this case. However, she went on to state that had waiver not
occurred, she would have agreed with Southin J.A.’s findings concerning the
requirements of particularity on the part of the Clerk in claiming the
privilege.
III. Issues
14
1. What is the nature of Cabinet confidentiality and the processes by
which it may be claimed and relinquished?
2. Is s. 39
of the Canada Evidence Act constitutional?
IV. Discussion
A. The
Principles
15
Cabinet confidentiality is essential to good government. The right to
pursue justice in the courts is also of primary importance in our society, as
is the rule of law, accountability of the executive, and the principle that
official actions must flow from statutory authority clearly granted and
properly exercised. Yet sometimes these fundamental principles conflict. How
are such conflicts to be resolved? That is the question posed by this appeal.
16
The answer to the question lies in our understanding of Cabinet
confidentiality. What is its purpose? What does it apply to? What is the
process for claiming it? Once claimed, can it be relinquished or lost, and if
so, how? These questions find their answers in an understanding of Cabinet
confidentiality and the ambit and effect of s. 39 of the Canada Evidence Act
that protects it.
(1) The Function of Section 39 of the Canada Evidence Act
17
Sections 37 , 38 and 39 of the Canada Evidence Act deal with
objections to the disclosure of protected information held by the federal
government. Section 37 relates to all claims for Crown privilege, except
Cabinet confidences, or confidences of the Queen’s Privy Council; s. 38
pertains to objections related to international relations or national defence;
and s. 39 deals with Cabinet confidences. Under ss. 37 and 38, a judge balances
the competing public interests in protection and disclosure of information.
Under s. 39, by contrast, the Clerk or minister balances the competing
interests. If the Clerk or minister validly certifies information as
confidential, a judge or tribunal must refuse any application for disclosure,
without examining the information.
18
The British democratic tradition which informs the Canadian tradition
has long affirmed the confidentiality of what is said in the Cabinet room, and
documents and papers prepared for Cabinet discussions. The reasons are
obvious. Those charged with the heavy responsibility of making government
decisions must be free to discuss all aspects of the problems that come before
them and to express all manner of views, without fear that what they read, say
or act on will later be subject to public scrutiny: see Singh v. Canada
(Attorney General), [2000] 3 F.C. 185 (C.A.), at paras. 21-22. If
Cabinet members’ statements were subject to disclosure, Cabinet members might
censor their words, consciously or unconsciously. They might shy away from
stating unpopular positions, or from making comments that might be considered
politically incorrect. The rationale for recognizing and protecting Cabinet
confidences is well summarized by the views of Lord Salisbury in the Report
of the Committee of Privy Counsellors on Ministerial Memoirs (January
1976), at p. 13:
A Cabinet discussion was not the occasion for the deliverance of
considered judgements but an opportunity for the pursuit of practical
conclusions. It could only be made completely effective for this purpose if
the flow of suggestions which accompanied it attained the freedom and fulness
which belong to private conversations — members must feel themselves
untrammelled by any consideration of consistency with the past or
self-justification in the future. . . . The first rule of Cabinet
conduct, he used to declare, was that no member should ever “Hansardise”
another, — ever compare his present contribution to the common fund of counsel
with a previously expressed opinion. . . .
The process of
democratic governance works best when Cabinet members charged with government
policy and decision-making are free to express themselves around the Cabinet
table unreservedly. In addition to ensuring candour in Cabinet discussions,
this Court in Carey v. Ontario, [1986] 2 S.C.R. 637, at p. 659,
recognized another important reason for protecting Cabinet documents, namely to
avoid “creat[ing] or fan[ning] ill-informed or captious public or political
criticism”. Thus, ministers undertake by oath as Privy Councillors to maintain
the secrecy of Cabinet deliberations and the House of Commons and the courts
respect the confidentiality of Cabinet decision-making.
19
At one time, the common law viewed Cabinet confidentiality as absolute.
However, over time the common law has come to recognize that the public
interest in Cabinet confidences must be balanced against the public interest in
disclosure, to which it might sometimes be required to yield: see Carey,
supra. Courts began to weigh the need to protect confidentiality in
government against the public interest in disclosure, for example, preserving the
integrity of the judicial system. It follows that there must be some way of
determining that the information for which confidentiality is claimed truly
relates to Cabinet deliberations and that it is properly withheld. At common
law, the courts did this, applying a test that balanced the public interest in
maintaining confidentiality against the public interest in disclosure: see Carey,
supra.
20
In addition, many jurisdictions have enacted laws that modify the common
law and provide a statutory process for determining what documents are
protected and how claims to confidentiality may be challenged: see, for
example, the Ombudsman Act, R.S.B.C. 1996, c. 340. The exercise of this
statutory power is subject to the well-established rule that official actions
must flow from statutory authority clearly granted and properly exercised: Roncarelli
v. Duplessis, [1959] S.C.R. 121. The courts have the power and the
responsibility, when called upon, to determine whether the certifying official
has exercised his or her statutory power in accordance with the law.
21
Section 39 of the Canada Evidence Act is Canada’s response to the
need to provide a mechanism for the responsible exercise of the power to claim
Cabinet confidentiality in the context of judicial and quasi-judicial
proceedings. It sets up a process for bringing information within the
protection of the Act. Certification by the Clerk of the Privy Council or by a
minister of the Crown, is the trigger by which information becomes protected.
The Clerk must certify that the “information constitutes a confidence of the
Queen’s Privy Council for Canada”. For more particularity, s. 39(2) sets out
categories of information that falls within its scope.
22
Section 39(1) permits the Clerk to certify information as confidential.
It does not restrain voluntary disclosure of confidential information. This is
made clear from the French enactment of s. 39(1) which states that s. 39
protection arises only “dans les cas où” (in the cases where) the Clerk
or minister opposes disclosure of information. Therefore, the Clerk must
answer two questions before certifying information: first, is it a Cabinet
confidence within the meaning of ss. 39(1) and 39(2) ; and second, is it
information which the government should protect taking into account the
competing interests in disclosure and retaining confidentiality? If, and only
if, the Clerk or minister answers these two questions positively and certifies
the information, do the protections of s. 39(1) come into play. More
particularly, the provision that “disclosure of the information shall be
refused without examination or hearing of the information by the court, person
or body” is only triggered when there is a valid certification.
23
If the Clerk or minister chooses to certify a confidence, it
gains the protection of s. 39. Once certified, information gains greater
protection than at common law. If s. 39 is engaged, the “court, person or body
with jurisdiction” hearing the matter must refuse disclosure;
“disclosure of the information shall be refused”. Moreover, this must be done
“without examination or hearing of the information by the court, person or
body”. This absolute language goes beyond the common law approach of balancing
the public interest in protecting confidentiality and disclosure on judicial
review. Once information has been validly certified, the common law no longer
applies to that information.
24
This raises the issue of what constitutes valid certification. Two
requirements are plain on the face of the legislation. First, it must be done
by the Clerk of the Privy Council or a minister of the Crown. Second, the
information must fall within the categories described in s. 39(2).
25
A third requirement arises from the general principle applicable to all
government acts, namely, that the power exercised must flow from the statute
and must be issued for the bona fide purpose of protecting Cabinet
confidences in the broader public interest. The function of the Clerk under
the Act is to protect Cabinet confidences, and this alone. It is not to
thwart public inquiry nor is it to gain tactical advantage in litigation. If
it can be shown from the evidence or the circumstances that the power of
certification was exercised for purposes outside those contemplated by s. 39,
the certification may be set aside as an unauthorized exercise of executive
power: see Roncarelli, supra.
26
A fourth requirement for valid certification flows from the fact that s.
39 applies to disclosure of the documents. Where a document has already
been disclosed, s. 39 no longer applies. There is no longer a need to seek
disclosure since disclosure has already occurred. Where s. 39 does not apply,
there may be other bases upon which the government may seek protection against
further disclosure at common law: Duncan v. Cammell, Laird & Co.,
[1942] A.C. 624 (H.L.), at p. 630; Leeds v. Alberta (Minister of the
Environment) (1990), 69 D.L.R. (4th) 681 (Alta. Q.B.); Sankey v. Whitlam
(1978), 142 C.L.R. 1 (Austl. H.C.), at p. 45. However, that issue does not
arise on this appeal. Similarly, the issue of inadvertent disclosure does not
arise here because the Crown deliberately disclosed certain documents during
the course of litigation.
27
On the basis of these principles, I conclude that certification is
generally valid if: (1) it is done by the Clerk or minister; (2) it relates to
information within s. 39(2); (3) it is done in a bona fide exercise of
delegated power; (4) it is done to prevent disclosure of hitherto confidential
information.
28
It may be useful to comment on the formal aspects of certification. As
noted, the Clerk must determine two things: (1) that the information is a
Cabinet confidence within s. 39; and (2) that it is desirable that
confidentiality be retained taking into account the competing interests in
disclosure and retaining confidentiality. What formal certification
requirements flow from this? The second, discretionary element may be taken as
satisfied by the act of certification. However, the first element of the
Clerk’s decision requires that her certificate bring the information within the
ambit of the Act. This means that the Clerk or minister must provide a
description of the information sufficient to establish on its face that the
information is a Cabinet confidence and that it falls within the categories of
s. 39(2) or an analogous category; the possibility of analogous categories
flows from the general language of the introductory portion of s. 39(2). This
follows from the principle that the Clerk or minister must exercise her
statutory power properly in accordance with the statute. The kind of
description required for claims of solicitor-client privilege under the civil
rules of court will generally suffice. The date, title, author and recipient of
the document containing the information should normally be disclosed. If
confidentiality concerns prevent disclosure of any of these preliminary indicia
of identification, then the onus falls on the government to establish this,
should a challenge ensue. On the other hand, if the documents containing the
information are properly identified, a person seeking production and the court
must accept the Clerk’s determination. The only argument that can be made is
that, on the description, they do not fall within s. 39, or that the Clerk
has otherwise exceeded the powers conferred upon her.
29
As to the timing of certification, the only limits are those found in s.
39(4). Subject to these outer limits, it seems that information that falls
within s. 39(2) may be certified long after the date the confidence existed or
arose in Cabinet. At the same time, as discussed, if there has been
disclosure, s. 39 no longer applies, since its only purpose is to prevent
disclosure.
30
It may be that the Clerk or minister can withdraw a certification of
Cabinet confidence under s. 39 of the Canada Evidence Act , on the theory
that the power to certify must also include a power to decertify, as suggested
by Southin J.A.; and that where a certification is made in error, for example,
the Clerk or minister should be able to correct the matter. However, that
issue does not arise here.
(2) Waiver
31
On the facts of this case, the concept of waiver in any ordinary sense
of the term finds no place. As discussed, the Clerk or minister is not
compelled to certify Cabinet confidences and invoke the protection of s.
39(1) . However, if the Clerk or minister chooses to do so, the protection of
s. 39 automatically follows. That protection continues indefinitely, unless:
(i) the certificate is successfully challenged on the ground that it related
to information that does not fall under s. 39 ; (ii) the power of certification
of the Clerk or minister has otherwise been improperly exercised; (iii) s.
39(4) is engaged; or (iv) the Clerk or minister chooses to decertify the
information. The clear language of s. 39(1) permits no other conclusion.
32
This is consistent with the fact that waiver does not apply at common
law. A claim for confidentiality at common law cannot be contested on the
ground that the government has waived its right to claim confidentiality. As
Bingham L.J. observed in Makanjuola v. Commissioner of Police of the
Metropolis, [1992] 3 All E.R. 617 (C.A.), at p. 623, “[p]ublic
interest immunity is not a trump card vouchsafed to certain privileged players
to play when and as they wish”. Consequently, “public interest immunity cannot
in any ordinary sense be waived” (p. 623). Issues of production pursuant to s.
39 of the Canada Evidence Act fall to be resolved by the Clerk or
minister responsible for balancing the public interests. If a certificate is
not properly filed, and documents are released, the Crown is precluded from
claiming s. 39 protection. However, by releasing some documents, the Crown has
not waived its right to invoke s. 39 over other documents.
33
It is argued that unless the broad power of waiver envisioned by the
majority of the Court of Appeal is recognized, litigants opposing the Crown
will be placed in the untenable position of being unable to rely on the Crown’s
production of documents, no matter how essential such documents are to their
case or how late the Crown makes its claim to immunity. This concern is
alleviated by the fact that s. 39(1) cannot be applied retroactively to
documents that have already been produced in litigation; it applies only to
compel disclosure.
34
The conclusion that waiver does not apply here makes it unnecessary to
consider the issue of class waiver — whether disclosure of one document removes
protection from all documents in the same class. However, the related issue of
class disclosure of information must be addressed.
35
Section 39 protects “information” from disclosure. It may be that some
information on a particular matter has been disclosed, while other information
on the matter has not been disclosed. The language of s. 39(1) does not permit
one to say that disclosure of some information removes s. 39 protection from
other, non-disclosed information. If the related information has been
disclosed in other documents, then s. 39 does not apply and the documents containing
the information must be produced. If the related information is contained in
documents that have been properly certified under s. 39 , the government is
under no obligation to disclose the related information.
36
This raises the concern that selective disclosure of documents or
information may be used unfairly as a litigation tactic. The fear is that the
Crown could choose to disclose only those documents which are favourable to its
position and certify those documents which are detrimental. Selective
disclosure designed to prevent getting at the truth would not be a proper
exercise of the Clerk’s or minister’s s. 39 powers: Roncarelli, supra.
Moreover, the ordinary rules of litigation offer protection from abuse. First,
government witnesses may be cross-examined on the information produced.
Second, the refusal to disclose information may permit a court to draw an
adverse inference. For example, in RJR-MacDonald Inc. v. Canada (Attorney
General), [1995] 3 S.C.R. 199, the Attorney General’s refusal to disclose
information relating to an advertising ban on tobacco, led to the inference
that the results of the studies must undercut the government’s claim that a
less invasive ban would not have produced an equally salutary result (para.
166, per McLachlin J.).
(3) Judicial Review
37
Judicial review under s. 39 arises when “a court, person or body with
jurisdiction to compel the production of information” is presented with an
application to order disclosure of information which the Clerk or a minister
has certified as a Cabinet confidence under s. 39(1) . Section 39 is directed to
whether a document is protected from disclosure.
38
Section 39(1) leaves little scope for judicial review of a certification
of Cabinet confidentiality. It states flatly that “disclosure of the
information shall be refused” (emphasis added). Furthermore, it must be
refused “without examination or hearing of the information by the court, person
or body”.
39
As discussed, even language this draconian cannot oust the principle
that official actions must flow from statutory authority clearly granted and
properly exercised: Roncarelli, supra. It follows from this
principle that the certification of the Clerk or minister under s. 39(1) may be
challenged where the information for which immunity is claimed does not on its
face fall within s. 39(1) , or where it can be shown that the Clerk or minister
has improperly exercised the discretion conferred by s. 39(1) . “[T]he Court
may entertain a proceeding for judicial review of the issuance of a certificate
although it may not review the factual correctness of the certificate if it is
otherwise in proper form”: Singh, supra, at para. 43. The
appropriate way to raise an argument that the Clerk has exercised her decision
improperly is “by way of judicial review of the Clerk’s certificate” (para.
50). The party challenging the decision may present evidence of “improper
motives in the issue of the certificate” (para. 50), or otherwise present
evidence to support the claim of improper issuance.
40
The court, person or body reviewing the issuance of a s. 39 certificate
works under the difficulty of not being able to examine the challenged
information. A challenge on the basis that the information is not a Cabinet
confidence within s. 39 thus will be generally confined to reviewing the
sufficiency of the list and evidence of disclosure. A challenge based on
wrongful exercise of power is similarly confined to information on the face of
the certificate and such external evidence as the challenger may be able to
provide. Doubtless these limitations may have the practical effect of making
it difficult to set aside a s. 39 certification.
41
However, it does not follow from the fact that s. 39 makes it difficult
to attack a certification that the procedure is unlawful. As pointed out in Singh,
supra, at para. 50, the restrictions in s. 39(1) amount to a privative
clause — an unusual privative clause perhaps, but one nevertheless open to
Parliament to prescribe. Courts are not unfamiliar with privative clauses that
preclude them from making certain findings of fact. Provided they are within
Parliament’s constitutional power, they will apply. This does not, however,
prevent the tribunal from drawing inferences as to the motives of the Clerk or
minister from all the surrounding evidence in determining whether the statutory
power to certify has been properly exercised: see Roncarelli, supra,
where the majority of the Court drew the inference of illegitimate exercise of
power from circumstantial evidence.
42
One issue remains: what tribunals are competent to decide whether a s.
39 certificate’s claim to protection should be set aside on grounds that the
information, as described, does not fall within s. 39 or that the certification
power has been improperly exercised? The wording of s. 39(1) refers to
“information before a court, person or body with jurisdiction to compel the
production of information” and directs the relevant tribunal to refuse
disclosure. It would seem to follow that the same bodies are competent to make
orders for disclosure for improperly claimed s. 39 protection. This view is
reinforced by the fact that s. 39(1) is essentially an evidentiary provision;
questions of the admissibility of evidence normally fall to be decided by the
tribunal seized of the matter in which the admissibility issue arises.
43
The Federal Court of Appeal in Singh, supra, at para. 44,
however, suggested that only judicial bodies, like the Federal Court, could
review a s. 39 certificate: the R.C.M.P. Public Complaints Commission could not
do so because it “is essentially an agency of the Executive and draws such
powers as it has solely from an Act of the same Parliament that enacted the Canada
Evidence Act ”. It is not apparent why this should be so, however. It
seems open to Parliament to confer on a court, person or body with jurisdiction
the power to determine whether acts of other public officials are valid. While
the issue need not be decided in this case, I see no reason why all bodies
expressly mentioned in s. 39 should not have the power to inquire into the
validity of s. 39 claims for protection. The same would seem to apply for
reviews at common law, given that the matter is essentially one of
admissibility of evidence in a proceeding. The common law does not restrict
review of claims for public immunity to superior courts.
44
Against this may be put the concern that to permit a proliferation of
tribunals to set aside s. 39 certificates risks undue disclosure of important
Cabinet confidences. However, s. 39 review is limited by the condition that
the tribunal cannot inspect the documents, undermining the concern of
improvident disclosure. Moreover, the government may appeal the tribunal’s
decision. Ultimately, I am not persuaded that permitting tribunals other than
superior courts to determine s. 39 issues will illegitimately undermine s. 39
claims to protection.
B. Application
of the Principles
(1) The Documents
45
The government issued a s. 39 certificate for 51 documents. Twelve of
these had been identified in its list of documents under “Part I: Documents to
which there is no objection to production”. Of these 12, a number appear to
have been not only listed, but actually disclosed to the plaintiffs. The
certificate also claimed confidentiality for five documents which were in the
plaintiffs’ possession or control and which the plaintiffs had listed as
producible.
46
On the record before us, s. 39 certification applies to the 34 documents
listed as not producible.
47
As discussed, s. 39 of the Canada Evidence Act does not apply to
the government documents already disclosed. Nor does s. 39 apply to the five
certified documents that were in the plaintiffs’ possession or control. The
documents were disclosed by the government in the context of litigation. The
disclosure provisions of s. 39 therefore do not apply and these documents
should be produced.
(2) Information in the McCoy Affidavit
48
The government claims protection from disclosure for the information
contained in the affidavit of Joan McCoy, which was filed in support of the
government’s unsuccessful motion to transfer the plaintiffs’ case from the
Supreme Court of British Columbia to the Federal Court.
49
Of particular importance is Ms. McCoy’s statement in para. 21 that: “The
rationale for the Treasury Board’s decision to increase rates for legal
officers in the Toronto Regional Office was the rise in private sector salaries
to levels well above those paid in the public sector during a period of rapid
economic growth in the late 1980s”. According to the McCoy affidavit, “[t]he
escalation of external pay rates, matched to a large degree by increases for
provincial lawyers as well, had impaired the ability of the Department of
Justice to attract candidates for positions in the Law group in the Toronto
Regional Office. It had also led to an increase in resignations from the
federal Public Service as experienced legal officers, attracted by higher
salaries, left for employment in the provincial government and the private
sector in the Toronto area. The viability of the regional operation was
imperilled by these losses and immediate action was required to stem the flow”
(para. 21 of McCoy affidavit).
50
The plaintiffs take issue with this rationale and seek to cross-examine
Ms. McCoy on her statement. The government refuses to permit the
statement to be used in evidence and denies the right to cross-examine on the
information contained in it.
51
When it filed the McCoy affidavit, the government chose to disclose the
reason for the decision to pay the Toronto Law group more than other Law
groups. The government disclosed that information to support the motion that
the B.C. Supreme Court was not the appropriate forum for the case. Therefore,
s. 39 cannot be invoked. The affidavit must be disclosed and Ms. McCoy may be
cross-examined on its contents.
52
As to related information, if it has been voluntarily disclosed in other
documents, then s. 39 does not apply and the documents must be produced. By
contrast, the government is under no obligation to disclose related information
contained in documents that have been properly certified under s. 39, but runs
the risk that refusal may permit the court to draw an adverse inference.
C. The
Constitutionality of Section 39
53
Because s. 39 applies to the undisclosed documents, it is necessary to
consider the constitutional questions in this case. The respondents argue that
s. 39 of the Canada Evidence Act is of no force or effect by reason of
one or both of the preamble to the Constitution Act, 1867 and s. 96 of
the Constitution Act, 1867 .
(1) The Preamble to the Constitution Act, 1867
54
The respondents in this case challenge the constitutionality of s. 39
and argue that the provision is ultra vires Parliament because of the
unwritten principles of the Canadian Constitution: the rule of law, the
independence of the judiciary, and the separation of powers. Although the
unwritten constitutional principles are capable of limiting government actions,
I find that they do not do so in this case.
55
The unwritten principles must be balanced against the principle of
Parliamentary sovereignty. In Commission des droits de la personne v.
Attorney General of Canada, [1982] 1 S.C.R. 215, this Court upheld as
constitutional s. 41(2) of the Federal Court Act , the predecessor to s.
39 , which permitted the government to claim absolute privilege over a broader
class of confidences.
56
Recently, the Federal Court of Appeal considered the constitutional
validity of s. 39 of the Canada Evidence Act in Singh, supra.
On the basis of a thorough and compelling review of the principle of
parliamentary sovereignty in the context of unwritten constitutional
principles, Strayer J.A. held that federal Crown privilege is part of valid
federal law over which Parliament had the power to legislate. Strayer J.A.
concluded at para. 36:
. . . the rule of law cannot be taken to invalidate a statute which has
the effect of allowing representatives of the Crown to identify certain
documents as beyond disclosure: that is, the rule of law does not preclude a
special law with a special result dealing with a special class of documents
which, for long standing reasons based on constitutional principles such as
responsible government, have been treated differently from private documents in
a commercial law suit.
57
I share the view of the Federal Court of Appeal that s. 39 does not
offend the rule of law or the doctrines of separation of powers and the
independence of the judiciary. It is well within the power of the legislature
to enact laws, even laws which some would consider draconian, as long as it
does not fundamentally alter or interfere with the relationship between the
courts and the other branches of government.
(2) Section 96 of the Constitution Act,
1867
58
A second constitutional question must be considered: whether
Parliament’s decision to limit superior courts from compelling disclosure of
Cabinet confidences impermissibly invades the core jurisdiction of the superior
courts?
59
There is no clear test for defining what is considered to be the “core
jurisdiction” of a s. 96 court. In Reference re Amendments to the
Residential Tenancies Act (N.S.), [1996] 1 S.C.R. 186, Lamer C.J. stated at
para. 56:
Section 96 ’s “core” jurisdiction is a very narrow one which includes
only critically important jurisdictions which are essential to the existence of
a superior court of inherent jurisdiction and to the preservation of its
foundational role within our legal system.
Citing MacMillan
Bloedel Ltd. v. Simpson, [1995] 4 S.C.R. 725, the respondents argue that s.
39 impermissibly infringes on the core jurisdiction of a superior court because
it interferes with courts’ ability to control their own process. First,
because the section operates to prevent a superior court from remedying an
abuse of process, and second, because it denies evidence centrally relevant to
the core factual questions in the litigation. The respondents contend that s.
39 deprives the judiciary of its role of review, a power which a superior court
possesses under the common law of public interest.
60
As previously stated, there is a long common law tradition of protecting
Cabinet confidences. In Canada, superior courts operated since
pre-Confederation without the power to compel Cabinet confidences. Indeed, at
the time of Confederation, no court had any jurisdiction regarding actions
against the Sovereign: see R. v. Eldorado Nuclear Ltd., [1983] 2 S.C.R.
551. Further, s. 39 has not substantially altered the role of the judiciary
from their function under the common law regime. The provision does not
entirely exclude judicial review of the determination by the Clerk that the
information is a Cabinet confidence. A court may review the certificate to
determine whether it is a confidence within the meaning provided in
s. 39(2) or analogous categories, or to determine if the certificate was
issued in bad faith. Section 39 does not, in and of itself, impede a court’s
power to remedy abuses of process.
61
I therefore conclude that there is no basis upon which to find that s.
39 of the Canada Evidence Act is unconstitutional.
V. Conclusion
62
I would allow the appeal in part, with costs to the respondents.
63
On the record before us, the documents certified but disclosed,
including the McCoy affidavit, are no longer protected and may be used in the
litigation. The plaintiffs may cross-examine on the McCoy affidavit. The
remaining documents are protected by s. 39 of the Canada Evidence Act .
These conclusions are made without prejudice to future applications in this
case.
The following are the reasons delivered by
64
L’Heureux-Dubé J. — While
I agree substantially with the reasons of the Chief Justice and the result she
reaches, I cannot agree with her view as reflected in paras. 17, 22 and 28 of
her reasons that “competing interests” in disclosure must be taken into
account.
65
In my view, the unequivocal language of the statute does not mandate
consideration of the public interest in disclosure; I believe the Clerk or the
minister must only answer two questions before certifying, namely, whether (1)
the document is a Cabinet confidence; and (2) it is information that the
government wishes to protect.
Appeal allowed in part with costs to the respondents.
Solicitor for the appellants: The Deputy Attorney General
of Canada, Ottawa.
Solicitors for the respondents: Sugden, McFee & Roos,
Vancouver.
Solicitor for the intervener the Attorney General of British
Columbia: The Attorney General of British Columbia, Victoria.
Solicitor for the intervener the Attorney General for Alberta: The
Attorney General for Alberta, Edmonton.
Solicitor for the intervener the Information Commissioner of
Canada: The Information Commissioner of Canada, Ottawa.
Solicitors for the intervener the British Columbia Civil Liberties
Association: Arvay Finlay, Victoria.