Date: 20090702
Dockets: A-375-08
A-383-08
Citation: 2009 FCA 223
CORAM: EVANS
J.A.
PELLETIER J.A.
LAYDEN-STEVENSON
J.A.
Docket: A-375-08
BETWEEN:
PUBLIC SERVICE ALLIANCE OF CANADA
Applicant
and
CANADIAN FEDERAL
PILOTS ASSOCIATION and
ATTORNEY GENERAL OF CANADA
Respondents
Docket: A-383-08
AND
BETWEEN:
ATTORNEY GENERAL OF CANADA
Applicant
and
CANADIAN FEDERAL
PILOTS ASSOCIATION and
PUBLIC SERVICE ALLIANCE
OF CANADA
Respondents
REASONS FOR JUDGMENT
EVANS J.A.
A. INTRODUCTION
[1]
The Public
Service Alliance of Canada (“PSAC”) and the Attorney General of Canada have made
applications for judicial review under section 28 of the Federal Courts Act,
R.S.C. 1985, c. F‑7, to set aside a decision of the Public Service
Labour Relations Board (2008 PSLRB 42). They say that the Board exceeded its
jurisdiction when, on an application by the Canadian Federal Pilots Association
(“CFPA”), the respondent to the applications for judicial review, it allocated
three positions in the federal public service to the bargaining unit comprising
the Aircraft Operations (“AO”) occupational group.
[2]
The
applicants submit that the Board’s decision should be set aside under paragraph
18.1(4)(a) of the Federal Courts Act, on the ground that the
Board exceeded its jurisdiction because the definition of the AO group and its
bargaining unit expressly excludes positions that do not require a pilot’s
licence and experience as a pilot (“piloting qualifications”). The possession
of piloting qualifications, they say, is not mandatory for the incumbents of
the three positions in dispute.
[3]
The
applicants argue that the Board’s power under section 58 of the Public
Service Labour Relations Act, S.C. 2003, c. 22 (“PSLRA”) to
determine whether an employee is included in a bargaining unit approved by the
Board does not authorize it to allocate an employee to a bargaining unit comprising
an occupational group from which he or she is specifically excluded. They
submit that it is a fundamental principle of the labour relations scheme
governing the federal public service that, save in exceptional circumstances, bargaining
units should be co-extensive with occupational groups created by the employer.
[4]
I do not
agree. In my view, the Board did not exceed its jurisdiction when it allocated
the positions in question in this case to the AO group’s bargaining unit, whose
members’ duties were similar to those of the incumbents of the disputed
positions. The Board did not base its decision on an incorrect interpretation
of a provision in the PSLRA which is reviewable on a standard of
correctness, nor on an unreasonable interpretation of the relevant provision.
Accordingly, I would dismiss the applications for judicial review.
[5]
The
applications for judicial review were heard together since they concern the
same Board decision and raise identical issues. These reasons deal with both
applications and a copy will be inserted in both Court files (A-375-08 and A-383-08).
B. FACTUAL BACKGROUND
[6]
The
dispute originated with the employer’s revision of the job descriptions of three
positions which removed references to flying an aircraft. The positions in
question are within Transport Canada. They are: Manager, Civil
Aviation Contingency Operations (“position 1”); Superintendent, Enforcement
Investigations (“position 2”); and Superintendent, Aerodrome Safety (“position
3”).
[7]
Before the
job descriptions were re-written and their classifications altered, the three
positions had been included in the AO occupational group because 10% of their duties
had included flying aircraft. While these descriptions did not expressly
specify that piloting qualifications were mandatory for incumbents of the
positions, this was necessarily inferred from the fact that the duties included
flying. The amended work descriptions, which removed flying duties, were also
silent on the need for piloting qualifications.
[8]
Following
the amendment of the work descriptions for the positions in question, the
employer allocated position 1 from the bargaining unit for the AO group to that
representing the Program and Administrative Services (“PAS”) occupational group.
Positions 2 and 3 were allocated from the AO group to the Technical Services
(“TC”) occupational group’s bargaining unit. CFPA is the certified bargaining
agent for the AO group’s bargaining unit, and PSAC is the certified bargaining agent
for the PAS and TC groups’ bargaining units.
[9]
The basis
of the re-allocation was that the re-classified positions no longer required
the incumbents to have piloting qualifications and, as such, were specifically
excluded from the definition of the AO group’s bargaining unit.
[10]
The
definition of the AO group and its bargaining unit (see Aircraft Operations
Group Association v. Treasury Board, 2001 PSSRB 2, para. 4) contained two
exclusions. First, positions were excluded if their primary purposes were included
in the definition of another occupational group. Second, and of particular
importance for present purposes:
Also excluded
are positions in which experience as an aircraft pilot and a valid pilot’s
licence are not mandatory.
The word “Also” suggests that positions for which piloting
qualifications are not mandatory are excluded from the AO group, even though
their primary purposes are not included in another group.
[11]
Some years
after the re-classifications and the allocation of the positions to the PAS and
TC groups’ bargaining units, CFPA applied to the Board under section 58 to
request that the three positions be allocated back to the AO group’s bargaining
unit, on the ground that the duties attached to the positions were a better fit
with those of the AO group than with those of the PAS and TC groups. CFPA had
not challenged the accuracy of the work descriptions of these positions.
C. DECISION OF THE BOARD
[12]
The Board,
comprising a single Member, noted that, while CFPA had made its section 58
application in May 2006, position 1 had been re-classified in March 2003, and
position 2 had been re-classified early in 2001. However, no issue was raised
over these delays. The Board also stated that, as the applicant under section
58, CFPA had the burden of establishing that the primary duties and purposes of
the positions were found within the AO group. The parties did not challenge
this either.
[13]
The Board
acknowledged that the employer had the right to classify positions, that the
classifications of the three positions were current and accurate, and that they
could not be questioned in a section 58 application.
[14]
The Board
saw its task (at para. 9) on this section 58 application as being to “determine
the best fit in order to place these positions into their proper bargaining
units, and not necessarily a perfect fit.” In comparing the work descriptions
for the positions with the duties included in the AO group on the one hand, and
with those of the PAS and TC groups on the other, the Board stated that it had
to pay particular attention to the primary duties attached to the
positions in dispute and those to which they were being compared.
[15]
In response
to the objection that CFPA’s application should be dismissed on the basis of
the exclusion from the AO occupational group’s bargaining unit of positions for
which piloting qualifications were not mandatory, the Board stated (at para.
11):
Surely that is too simplistic
an approach. One that would preclude the [Board] from fulfilling one of its
statutory obligations, which is to oversee and ultimately to decide the proper
composition of bargaining units.
[16]
While
holding that a specific exclusion from an occupational group did not
automatically exclude a position from the bargaining unit comprising that
group, the Board stated that the exclusion was one of the factors to be taken
into account in assessing the overall “best fit” for collective bargaining
purposes. The Board concluded that, although not perfect, the best fit was with
the AO group and, accordingly, re-allocated the positions to that group and
granted CFPA’s section 58 application.
[17]
The
applicants seek judicial review of this decision and request that it be set
aside. They argue that the Board committed a jurisdictional error in failing to
regard the elimination of piloting qualifications from the descriptions of the
re-classified positions as automatically excluding them from the AO group
because of the specific exclusion from that group, and hence from its bargaining
unit, of positions for which piloting qualifications are not mandatory.
D. LEGISLATIVE FRAMEWORK
[18]
The
following provisions of the PSLRA are relevant to these applications for
judicial review. Section 51 contains a strong preclusive clause which, as
applied to the facts of this case, limits the grounds of judicial review to
jurisdictional error.
51. (1) Subject to this Part, every order or decision of
the Board is final and may not be questioned or reviewed in any court, except
in accordance with the Federal Courts Act on the grounds referred to
in paragraph 18.1(4)(a), (b)
or (e) of that Act.
…
(3) Except as
permitted by subsection (1), no order, decision or proceeding of the Board
made or carried on under or purporting to be made or carried on under this
Part may, on any ground, including the ground that the order, decision or
proceeding is beyond the jurisdiction of the Board to make or carry on or
that, in the course of any proceeding, the Board for any reason exceeded or
lost its jurisdiction,
(a) be questioned,
reviewed, prohibited or restrained; or
(b) be made the subject
of any proceedings in or any process of any court, whether by way of
injunction, certiorari, prohibition, quo warranto or otherwise.
|
51. (1)
Sous réserve des autres dispositions de la présente partie, les ordonnances
et les décisions de la Commission sont définitives et ne sont susceptibles de
contestation ou de révision par voie judiciaire qu’en conformité avec la Loi
sur les Cours fédérales et pour les motifs visés aux alinéas 18.1(4) a), b) ou e) de cette loi.
[…]
(3) Sauf
exception prévue au paragraphe (1), l’action — décision, ordonnance ou
procédure — de la Commission, dans la mesure où elle est censée s’exercer
dans le cadre de la présente partie, ne peut, pour quelque motif, notamment
celui de l’excès de pouvoir ou de l’incompétence à une étape quelconque de la
procédure :
a) être contestée, révisée, empêchée ou
limitée;
b) faire l’objet d’un recours judiciaire,
notamment par voie d’injonction, de certiorari, de prohibition ou de quo warranto.
|
[19]
The ground
of judicial review provided in the Federal Courts Act relevant to this application
is as follows.
18.1
(4) The Federal Court may grant relief under subsection
(3) if it is satisfied that the federal board, commission or other tribunal
(a) acted without
jurisdiction, acted beyond its jurisdiction or refused to exercise its jurisdiction;
|
18.1
4) Les mesures prévues au paragraphe (3) sont prises si
la Cour fédérale est convaincue que l’office fédéral, selon le cas :
a) a agi sans compétence, outrepassé celle-ci ou refusé de l’exercer;
|
[20]
The Board’s
decision was rendered in response to an application by CFPA under section 58 of
the PSLRA. However, section 57, which deals with the certification of
bargaining units, is also relevant, as is section 70, which deals with post-certification
reviews of the appropriateness of the bargaining units previously approved by
the Board. Sections 57 and 70 are relevant because the applicants argue that
the Board erred by amending the bargaining units, rather than simply
deciding in which of the existing units the three positions were included.
57.
(1) When an application for certification is made under section 54, the Board
must determine the group of employees that constitutes a unit appropriate for
collective bargaining.
(2) In determining whether a group of employees constitutes a unit appropriate
for collective bargaining, the Board must have regard to the employer’s
classification of persons and positions, including the occupational groups or
subgroups established by the employer.
(3) The Board must establish bargaining units that are co-extensive
with the occupational groups or subgroups established by the employer,
unless doing so would not permit satisfactory representation of the
employees to be included in a particular bargaining unit and, for that
reason, such a unit would not be appropriate for collective bargaining.
(4) For the purposes of this Part, a unit of employees may be determined
by the Board to constitute a unit appropriate for collective bargaining
whether or not its composition is identical with the group of employees in
respect of which the application for certification was made.
|
57. Saisie d’une demande d’accréditation
conforme à l’article 54, la Commission définit le groupe de fonctionnaires
qui constitue une unité habile à négocier collectivement.
(2) Pour décider si le groupe de
fonctionnaires constitue une unité habile à négocier collectivement, la
Commission tient compte de la classification des postes établis par
l’employeur et des personnes qu’il emploie, notamment des groupes ou
sous-groupes professionnels qu’il a établis.
(3) La Commission est tenue de définir des unités correspondant aux
groupes et sous-groupes professionnels établis par l’employeur,
sauf dans le cas où elles ne constitueraient pas des unités habiles à
négocier collectivement au motif qu’elles ne permettraient pas une
représentation adéquate des fonctionnaires qui en font partie.
(4) L’unité de négociation définie par la Commission ne coïncide pas
nécessairement avec le groupe de fonctionnaires visé par la demande
d’accréditation.
|
58. On
application by the employer or the employee organization affected, the Board
must determine every question that arises as to whether any employee or class
of employees is included in a bargaining unit determined by the Board to
constitute a unit appropriate for collective bargaining, or is included in
any other unit.
|
58. À la demande de l’employeur ou de
l’organisation syndicale concernée, la Commission se prononce sur
l’appartenance de tout fonctionnaire ou de toute catégorie de fonctionnaires à
une unité de négociation qu’elle a définie, ou sur leur appartenance à toute
autre unité.
|
[21]
Finally,
the following provisions govern the review of certified bargaining units.
43. (1) Subject
to subsection (2), the Board may review, rescind or amend any of its orders
or decisions, or may re-hear any application before making an order in
respect of the application.
…
|
43. (1) La
Commission peut réexaminer, annuler ou modifier ses décisions ou ordonnances
ou réentendre toute demande avant de rendre une ordonnance à son sujet.
[…]
|
70. (1) If the
Board reviews the structure of one or more bargaining units, it must, in
determining whether a group of employees constitutes a unit appropriate for
collective bargaining, have regard to the employer’s classification of
persons and positions, including the occupational groups or subgroups
established by the employer.
Unit
co-extensive with occupational groups
(2) The Board
must establish bargaining units that are co-extensive with the occupational
groups or subgroups established by the employer, unless doing so would not
permit satisfactory representation of the employees to be included in a
particular bargaining unit and, for that reason, such a unit would not be
appropriate for collective bargaining.
|
70. (1) Dans les
cas où elle révise la structure des unités de négociation, la Commission
tient compte, pour décider si le groupe de fonctionnaires constitue une unité
habile à négocier collectivement, de la classification des postes établis par
l’employeur et des personnes qu’il emploie, notamment des groupes ou
sous-groupes professionnels qu’il a établis.
Unités
correspondant aux groupes professionnels
(2) La
Commission est tenue de définir des unités correspondant aux groupes ou
sous-groupes professionnels établis par l’employeur, sauf dans le cas où
elles ne constitueraient pas des unités habiles à négocier collectivement au
motif qu’elles ne permettraient pas une représentation adéquate des
fonctionnaires qui en font partie.
|
E. ISSUES AND ANALYSIS
Issue 1: Were piloting
qualifications still mandatory after the changes to the work descriptions of the
three positions?
[22]
At the
oral hearing, counsel for CFPA argued that the re-classification of the three
positions did not in fact eliminate the requirements that the incumbents
possess a pilot’s licence and have recent flying experience. He pointed out
that neither the previous, nor the current, work descriptions explicitly
mentioned piloting qualifications. However, a requirement that incumbents must
possess them had been inferred from the fact that some items of their previous
work description involved flying an aircraft.
[23]
Counsel
argued that it was wrong to infer from the elimination of these duties that
piloting qualifications were no longer required for the re-classified
positions. This was, he said, because a number of the specific duties that were
still included were similar to those contained in the list of the activities of
the AO group, for the performance of which “recent experience in piloting an
aircraft is required”. He submitted that this latter requirement was equally
applicable to the same activities listed in the new work description, and that
therefore piloting qualifications implicitly continued to be required by the
new job descriptions.
[24]
I do not
agree. The Board did not find that the new descriptions of the three positions
impliedly required that the incumbents possess a pilot’s licence and recent
flying experience. Indeed, two of the incumbents were not so qualified to fly
an aircraft. The Board went no further than saying that the possession of piloting
qualifications for position 2 would “enhance the performance of the duties or
to quote [a witness] ‘it would help.’”
[25]
Indeed,
the central thrust of the Board’s reasons is that, even though the
re-classified positions were excluded from the AO group as a result of the elimination
of duties for which piloting qualifications were “mandatory”, they could still
be allocated to the AO bargaining unit because the principal duties of the
positions in dispute were similar to those of the AO occupational group.
[26]
Like the
Board, I shall proceed on the basis that the effect of the changes to the work
descriptions for the three positions removed the requirement that their
incumbents possess piloting qualifications and that, accordingly, the
definition of the AO group excluded them from it.
Issue 2: Did the Board exceed its
jurisdiction by allocating the positions to the AO bargaining unit?
[27]
The
applicants argue that the Board exceeded its jurisdiction when, on a section 58
application, it allocated an employee to a bargaining unit comprising an
occupational group from which the position held by the employee was
specifically excluded. They say that this amounts to a change to the certified
bargaining units, something which the Board only has the legal authority to do
in accordance with section 70.
[28]
They
submit that whether section 58 enables the Board to, in effect, amend the
definition of a bargaining unit is a jurisdictional question and therefore must
be decided correctly: Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R.
190, at paras. 30, 31 and 59 (“Dunsmuir”).
[29]
In the
alternative, they say, the Board’s interpretation of section 58 as enabling
them to include positions in a bargaining unit from which the definition
specifically excluded them was unreasonable, because it violated a basic
principle of collective bargaining in the federal public service, namely that bargaining
units must be coextensive with occupational groups.
[30]
Jurisdictional
error (Federal Courts Act, paragraph 18.1(4)(a)) is the only ground
of review available to the applicants on the facts of this case. The preclusive
clause in section 51 ousts the Court’s power to review the decisions of federal
tribunals for “mere” error of law under paragraph 18.1(4)(c). In the
absence of any indication to the contrary, the references in paragraph 18.1(4)(a)
to the wrongful assumption or declining of jurisdiction should be understood to
connote the concept of jurisdictional error in the common law of judicial
review of administrative action: Canada (Minister of Immigration and Citizenship) v. Khosa, 2009 SCC 12, especially at
para. 19 (“Khosa”).
[31]
Paragraph
18.1(4)(a) does not prescribe a standard of review for
determining whether a federal tribunal has exceeded its jurisdiction. As
Justice Binnie said in Khosa (at para. 42) of paragraph 18.1(4)(a):
No standard
of review is specified. Dunsmuir says that jurisdictional issues
command a correctness standard (majority at para. 59).
However, it is important to emphasize that a tribunal may
exceed its jurisdiction in one of two ways.
[32]
First, a
tribunal will have “acted beyond its jurisdiction” if it had decided
incorrectly a legal question for which correctness is the applicable standard
of review. Such questions have been labelled “jurisdictional questions” or, to
adopt the terminology of Justice Binnie referred to above, “jurisdictional
issues”. They may include provisions of a tribunal’s enabling statute.
[33]
Second, even
if the question decided by a tribunal is not “jurisdictional” in this sense, but
is a “mere” question of law, the Court may nonetheless intervene on an
application for judicial review if the tribunal’s decision is unreasonable.
[34]
Thus, the
Board will have “acted beyond its jurisdiction” if the Court concludes that the
Board had to be correct in deciding whether the discretion conferred by section
58 authorized it to include a position in a bargaining unit when the definition
of the unit specifically excluded it, and the Court disagrees with the Board’s
conclusion.
[35]
Even if its
interpretation of section 58 is not subject to review for correctness, the
Board will nonetheless have “acted beyond its jurisdiction” if its
interpretation is unreasonable. Like other administrative tribunals, the Board
is not authorized by Parliament to make a decision that is based on an
unreasonable interpretation of its enabling legislation. Fidelity to the rule
of law requires that individuals be afforded this minimum protection from the
arbitrary exercise of public power by administrative decision-makers, whether
or not they are protected by a preclusive clause: Khosa at para. 42.
(i) Correctness review and
“jurisdictional questions”
[36]
Recent decisions
of the Supreme Court of Canada have clarified many aspects of the standard of
review applicable to the decisions of adjudicative administrative tribunals,
like the Board. Of particular importance in the context of the present case is
the Court’s enunciation of a presumption that tribunals’ interpretation of their
enabling legislation is normally reviewable on a standard of unreasonableness: Dunsmuir
at paras. 54-55;
Association des courtiers et agents immobiliers du Québec v. Proprio Direct
Inc., 2008 SCC 32, [2008] 2 S.C.R. 195, at para. 21; Khosa at para. 25.
[37]
However,
the Court’s retention in Dunsmuir (at para. 59) of a category of “questions
of pure jurisdiction or vires” reviewable on a standard of correctness
is apt to cause confusion if such questions are to be identified independently
of a standard of review analysis.
[38]
It would
be difficult, in my view, to reconcile the Court’s well-established pragmatic
and functional approach to the standard of review (as now streamlined and
renamed by Dunsmuir) with the abstract approach inherent in the concept
of a jurisdictional question. In particular, if a standard of review analysis
indicates that a tribunal’s interpretation of a particular provision in its
enabling statute is reviewable for unreasonableness, on what basis could it be
characterized as a “jurisdictional issue” and thus reviewable for correctness?
[39]
I well
appreciate why correctness is the appropriate standard of review for the
interpretation of a statutory provision which demarcates the authority of
competing different administrative regimes: Dunsmuir at para. 61.
However, I can see no justification in contemporary approaches to the roles of
specialist tribunals and generalist courts in administrative law for
characterizing as a “jurisdictional issue”, and thus reviewable on a standard
of correctness, the interpretation of other provisions in a tribunal’s enabling
statute that do not raise a “question of law that is of ‘central importance to
the legal system … and outside the … specialized area of expertise’ of the
administrative decision maker” (Dunsmuir at para. 55).
[40]
In my
view, the analytical emptiness of the concept of a “jurisdictional issue” was
deftly exposed by Justice Bastarache in Pushpanathan v. Canada (Minister of Citizenship and
Immigration),
[1998] 1 S.C.R. 982 at para. 28 when he said:
…
“jurisdictional error” is simply an error on an issue with respect to which,
according to the outcome of the pragmatic and functional analysis, the tribunal
must make a correct interpretation and to which no deference will be shown.
Indeed, the Court in Dunsmuir seems to have been
thinking along the same lines when Justices Bastarache and LeBel, writing for
the majority, said (at para. 29):
Thus, when a
reviewing court considers the scope of a decision-making power or the
jurisdiction conferred by a statute, the standard of review analysis strives to
determine what authority was intended to be given to the body in relation to
the subject matter.
[41]
To the
extent that the Court in Dunsmuir has retained the concept of a jurisdictional
question to identify the provisions of an enabling statute which the
administrative decision maker must decide correctly, it has done so in a very
limited way. I say this for the following three reasons.
[42]
First, it
is clear from the reasons in Dunsmuir (at para. 59) that the Supreme
Court did not intend to turn back the clock to the days before 1979 when
virtually any question of law decided by a tribunal could be, and routinely
was, characterized as a jurisdictional issue, and thus subject to de novo
judicial review, notwithstanding the presence of a strong preclusive clause.
Thus, the Court repeated with approval (at para. 35) the warning of Justice
Dickson (as he then was) that “courts … should not be alert to brand as
jurisdictional, and therefore subject to broader curial review, that which may
be doubtfully so”: C.U.P.E., Local 963 v. New Brunswick Liquor Corporation,
[1979] 2 S.C.R. 227 at 233.
[43]
In a
similar vein, Justice Abella had noted in Council of Canadians With
Disabilities v. VIA Rail Canada Inc., 2007 SCC 15, [2007] 1 S.C.R. 650, at
para. 88, that invoking “preliminary jurisdictional questions” as a basis for
subjecting a tribunal’s interpretation of its enabling legislation to review
for correctness
… has the capacity to
unravel the essence of the decision and undermine the very characteristic of
the Agency which entitles it to the highest level of deference
from a court — its
specialized expertise.
[44]
Second,
the Court indicated the limited range of issues that it had in mind when it
stated (at para. 59) that jurisdictional questions are to be limited to “true
questions of jurisdiction or vires” (my emphasis):
“Jurisdiction”
is intended in the narrow sense of whether or not the tribunal had the
authority to make the inquiry. In other words, true jurisdiction questions
arise where the tribunal must explicitly determine whether its statutory grant
of power gives it the authority to decide a particular matter.
[45]
Despite
the vagueness of the phrases “the authority to make the inquiry” and “the
authority to decide a particular matter”, and the similar phrases used in the pre-New
Brunswick Liquor jurisprudence, I am satisfied
that the Court in Dunsmuir did not intend to return the law to that era.
This is apparent, not only from the passages quoted earlier where the Court
expressly disavowed such an intention, but also from the manner in which the
Court disposed of the question before it.
[46]
The issue
in contention in Dunsmuir was whether a labour adjudicator had exceeded
his jurisdiction by going behind the terms of the letter terminating Mr
Dunsmuir’s employment and considering whether he was in fact being dismissed
for disciplinary reasons. On the basis of the four-factor standard of review
analysis (at paras. 66-71), the Court concluded that the standard of review was
unreasonableness. It went on to find that the adjudicator’s interpretation of
the relevant provisions of the enabling statute was unreasonable and that, despite
the privative clause, he had thereby exceeded his jurisdiction.
[47]
Significantly,
in my view, the Court did not say that, since the adjudicator had no
authority to inquire into the “real reason” for the employee’s dismissal, he had
exceeded his jurisdiction because he had no authority to make that inquiry or
to decide that question. Indeed, having found that the standard of review
analysis indicated that unreasonableness was the applicable standard of review,
the Court did not canvass the possibility that the interpretation of the
statutory provision in question might raise a “jurisdictional issue”. Similarly,
there is no consideration in the Court’s important post-Dunsmuir
standard of review decisions, Proprio Direct and Khosa, of the
possibility that the interpretation of the statutory provisions in question in
those cases involved a “jurisdictional issue”.
[48]
Third, the
only example given by the Court in Dunsmuir of a “true question of
jurisdiction or vires” is its decision in United Taxi Drivers’
Fellowship of Southern Alberta v. Calgary (City), 2004 SCC 19, [2004] 1
S.C.R. 485. The issue in that case was whether a resolution by the City
of Calgary was within the legal
authority delegated to it by the Municipal Act. Writing for the Court,
Justice Bastarache said (at para. 5):
Municipalities
do not possess any greater institutional competence or expertise than the
courts in delineating their jurisdiction. Such a question will always be
reviewed on a standard of correctness: Nanaimo (City) v.
Rascal Trucking Ltd., [2000] 1 S.C.R. 342, 2000 SCC 13, at para. 29.
There is no need to engage in the pragmatic and functional approach in a review
for vires; such an inquiry is only required where a municipality’s
adjudicative or policy-making function is being exercised.
[49]
In my
view, this suggests that a standard of review analysis is required when
an adjudicative administrative tribunal is said to have exceeded its
jurisdiction because it has misinterpreted a provision of its enabling statute.
This is because Justice Bastarache only excluded the need for “a pragmatic and
functional approach” (now, a standard of review analysis) on “a review for vires”
when a municipality’s delegated legislation is being challenged, but not when the
exercise of its “adjudicative or policy-making function” is in issue.
[50]
To
conclude, in order to establish that the Board has exceeded its jurisdiction by
misinterpreting a provision in its enabling statute, which neither raises a
question of law of central importance to the legal system nor demarcates its
authority vis-à-vis another tribunal, an applicant must demonstrate that
the Board’s interpretation was unreasonable.
[51]
The only
qualification that I would add is that the tribunal must have the legal
authority to interpret and apply the disputed provision of its enabling
legislation. However, administrative tribunals performing adjudicative
functions, such as the Board, normally have explicit or implied authority to
decide all questions of law, including the interpretation of its enabling
statute, necessary for disposing of the matter before it: Nova Scotia (Workers’
Compensation Board) v. Martin, 2003 SCC 54, [2003] 2 S.C.R. 504, at paras. 40-41.
[52]
In my
view, it is too late in the development of administrative law in Canada for an applicant to invoke
the ghost of jurisdiction past to inveigle the Court into reviewing for
correctness a tribunal’s interpretation of a provision in its enabling statute,
without subjecting it to a standard of review analysis. It would, in my view,
make no sense to apply a correctness standard when the tribunal has the authority
to interpret and apply the provision to the facts, and a standard of review
analysis indicates that the legislature intended the tribunal’s interpretation
to be reviewed only for unreasonableness.
(ii) Is correctness the appropriate
standard of review of the Board’s interpretation of section 58?
[53]
On the
basis of the above analysis, the first question is whether the Board had the
legal authority to interpret and apply section 58 to the facts before it. In my
view, Parliament’s direction to the Board to “determine every question that arises”
from an application to decide whether an employee is included in a bargaining
unit approved by the Board is an express conferral of power on the Board to
interpret section 58 in order to dispose of a section 58 application.
[54]
Having
concluded that the Board has the legal authority to interpret section 58, I
must now consider the standard of review applicable to its interpretation.
Since counsel did not direct us to any previous judicial authority determining
this question, I must apply the standard of review analysis.
In my view, the four elements of the standard of review
analysis identified in Dunsmuir (at para. 64) all indicate that the
Board’s decision is entitled to curial deference.
[55]
First,
section 51 of the PSLRA contains a strong preclusive clause. Second,
like other labour relations legislation, the purpose of the PSLRA is to
facilitate the resolution of labour
disputes expeditiously, inexpensively and with relatively little formality: Dunsmuir at paras. 62, 68-9. Third, the question in dispute
is the interpretation of a provision of the PSLRA, the Board’s “home”
statute and does not involve a question “‘of central importance to the legal
system … and outside the … specialized area of expertise’” of the Board (Dunsmuir
at para. 55). Fourth, the Board is an independent tribunal with a specialized
jurisdiction in labour relations within the federal public service. The
question of law at issue calls for an understanding of the nature and
significance of occupational classifications, and their relationship to
bargaining units within the statutory scheme administered by the Board. It is
thus within the Board’s labour relations expertise.
[56]
Hence,
since the Board has the legal authority to interpret section 58 in the course
of deciding a section 58 application (the “inquiry” or “matter” before the
Board), and a standard of review analysis indicates that curial deference is
due to the Board’s interpretation of it, the Court cannot review it for
correctness as a question concerning “the scope of … the jurisdiction
conferred” on the Board by statute.
[57]
Whether the Board is
absolutely bound by a specific exclusion from an occupational classification
when making decisions under section 58 is no more a “jurisdictional issue” than
the question in dispute in Dunsmuir, namely, whether the adjudicator
could inquire into an employer’s reason for an employee’s dismissal with notice
or pay in lieu (at paras. 66-71). Like the question in Dunsmuir, the
question that the Board had to decide in the course of determining this section
58 application was simply one of the interpretation of its home statute and, as
such, presumptively reviewable for unreasonableness.
(iii)
Unreasonableness review
[58]
A tribunal
may also exceed its jurisdiction by basing the decision under review on an
unreasonable interpretation of any provision of its enabling
legislation. Such decisions are not protected by even the strongest preclusive
clause. The rule of law imposes on the courts responsibility for ensuring that
individual rights are protected from tribunal decisions that lack any rational
support in the law.
[59]
The
applicants say that the Board’s decision in the present case to allocate the
three positions to the AO group was unreasonable because it amended the
definition of the certified bargaining unit when no application had been made
for a review under section 70. Further, they argue, the Board departed from a
basic principle of labour relations in the federal public service, namely, that
bargaining units must nearly always be co-extensive with the employer’s
occupational classifications.
(a) content of the standard
[60]
Dunsmuir collapsed the former the
standards of patent unreasonableness and unreasonableness simpliciter
into a single standard of unreasonableness: paras. 44-45. Nonetheless, this
does not signal a more intrusive role for the judicial review of questions
decided by a tribunal on which it is entitled to deference: Dunsmuir at para.
48. Moreover, while unreasonableness is a single standard, it “takes its colour
from the context” in which it is being applied: Khosa at para. 59.
[61]
The
“context” in our case includes: the presence of the strong preclusive clause in
section 51; the absence of any statutory directions to the Board in section 58 as
to the basis for determining whether an employee is included in a particular
bargaining unit; and the Board’s expertise in federal public service labour
relations and the relevance of that expertise to the matter to be decided in
the application.
[62]
In my
opinion, these factors indicate that the Board’s decision is entitled to a “high
degree of deference” (Khosa at para. 46) from the Court when determining
whether it falls “within the range of acceptable and rational solutions” open
to the Board on the facts and the law (Dunsmuir at para. 47). If it
does, the Board has not exceeded its jurisdiction and its decision cannot be
set aside under paragraph 18.1(4)(a) of the Federal Courts Act.
[63]
In
deciding whether the decision under review satisfies the reasonableness standard,
the Court must focus primarily on the Board’s reasons, but must also consider
the outcome. As the Court said in Dunsmuir (at para. 47):
In judicial review,
reasonableness is concerned mostly with the existence of justification,
transparency and intelligibility within the decision-making process. But it is
also concerned with whether the decision falls within a range of possible,
acceptable outcomes which are defensible in respect of the facts and the law.
(b) application of the
standard
[64]
The text
of section 58 contains no explicit direction about the basis on which the Board
“must determine every question that arises as to whether an employee … is
included in a bargaining unit determined by the Board to constitute a unit
appropriate for collective bargaining”.
[65]
In
contrast, when the Board is initially establishing appropriate bargaining units
under section 57, or is subsequently reviewing their appropriateness under
section 70, it must ensure that bargaining units “are co-extensive with the
occupational groups established by the employer”, unless that “would not permit
satisfactory representation of the employees to be included in a particular
bargaining unit”: subsections 57(3) and 70(2).
[66]
In order for
the applicants in this case to succeed, they must establish that the Board’s
interpretation of section 58 was unreasonable because it did not read into it
the above direction contained in subsection 57(3) and 70(2). I appreciate that
there may be “tensions between a ‘reclassification’ and a ‘bargaining unit review’”:
Christopher Rootham, Labour and Employment Law in the Federal Public Service
(Toronto: Irwin Law Inc., 2007) at 171
(“Rootham”). Nonetheless, a decision made under section 58 is primarily
focussed on whether an employee or class of employees is included in a bargaining
unit, not on a comprehensive review of the appropriateness for collective
bargaining purposes of an established unit. Hence, it would not seem
unreasonable for the Board to decline to read into section 58 the statutory directions
that the Board must follow when establishing or reviewing bargaining units
under sections 57 and 70. It is always open to PSAC or the employer, or both,
to apply to the Board under section 43 for a section 70 bargaining unit review.
[67]
I turn now
to the reasons of the Board to see if they provide that degree of “justification,
transparency and intelligibility” to render its decision reasonable. I would
emphasize the following four points.
[68]
First, the
Board clearly addressed the principle relied on by the applicants, namely that a
position should not be included in a bargaining unit for an occupational group
from which it is excluded by the definition of the group. In the absence of an
explicit statutory direction, the Board concluded that, while it would take the
specific exclusion into account, it could not be determinative and thus override
its statutory responsibility “to oversee and ultimately decide the proper
composition of bargaining units.”
[69]
Second, the
Board noted that the definitions of the groups excluded positions, the primary
duties of which were included in another occupational group. The Board was not
persuaded that, if the primary duties of the three positions fell within the AO
group, it should automatically give priority to the specific exclusion in the
AO group definition and allocate the positions to the PAS and TC bargaining
units, even though the definitions of those groups excluded positions, the primary
duties of which were included in another occupational group. In my opinion, it
was not unreasonable for the Board to have considered the group definitions as
a whole, that is, their inclusive and their exclusive elements. As the Board
found, it was not possible to allocate the positions to a group without running
foul of some aspect of the definitions.
[70]
Third, in
these circumstances, the Board resorted to its established methodology for
resolving these kinds of dispute: assign the position to the bargaining unit
comprising the occupational group, the principal duties of which are most
similar to those of the disputed position. The applicants do not challenge the
Board’s conclusion that the AO group’s principal duties were a “better fit”
with those of the disputed positions than those of the PAS or TC groups.
Rather, they say that the Board exceeded its jurisdiction by considering this
question.
[71]
Fourth, in
noting (at para. 42) the absence of evidence that the inclusion of the
positions in the AO group would “not provide satisfactory representation for
the incumbent” or that “the positions do not enjoy a community of interest”,
the Board indicated that it was not overlooking the labour relations
implications of its decision.
[72]
I
appreciate that combining different occupational groups in a single bargaining
unit may pose problems for both the bargaining agent and the employer. However,
this concern does not seem to have been the main reason for the adoption of the
principle that bargaining units in the federal public service should normally be
co-extensive with occupational groups. When collective bargaining was introduced
into the federal public service, it was considered unfair that
different public service
employees, employed in the same occupational group and working side by side
(but in different bargaining units) might earn different rates of pay. (Rootham
at 157).
Such discrepancies could cause serious morale problems in
the workforce (Rootham at 171) and complicate negotiations.
[73]
In any
event, as noted above, the parties in the present case can always return to the
Board for a bargaining unit review if serious problems arise from including the
three positions in the AO group’s bargaining unit.
[74]
In my view,
neither the reasoning of the Board, nor the decision itself, demonstrates that
the Board’s disposition of CFPA’s section 58 application was unreasonable. In
concluding that the Court ought not to interfere in this case, I have kept in
mind the following observations of Justice Binnie in Khosa (at para.
59):
Where the
reasonableness standard applies, it requires deference. Reviewing courts cannot
substitute their own appreciation of the appropriate solution, but must rather
determine if the outcome falls within “a range of possible, acceptable outcomes
which are defensible in respect of the facts and law” (Dunsmuir, at
para. 47). There might be more than one reasonable outcome. However, as long as
the process and the outcome fit comfortably with the principles of
justification, transparency and intelligibility, it is not open to a reviewing
court to substitute its own view of a preferable outcome.
F. CONCLUSIONS
[75]
For these reasons, I
would dismiss the applications for judicial review with costs.
“John M. Evans”
“I
agree
Carolyn Layden-Stevenson J.A.”
PELLETIER
J.A. (Dissenting Reasons)
[76]
I have read in draft my colleague’s reasons. For
the following reasons, I am unable to agree with his conclusion that the
Board’s decision is reasonable. I would therefore allow the application for
judicial review.
[77]
I agree with my colleague’s description of the
facts of the case and so, for the sake of brevity, I will not repeat them here.
[78]
The application before the Board in this case
was made under section 58 of the Public Service Labour Relations Act,
S.C. 2003, c. 22 (the “Act”), reproduced below for ease of reference:
58. On application by the employer or the employee organization
affected, the Board must determine every question that arises as to whether
any employee or class of employees is included in a bargaining unit
determined by the Board to constitute a unit appropriate for collective
bargaining, or is included in any other unit.
|
58. À la demande de l’employeur ou de l’organisation syndicale
concernée, la Commission se prononce sur l’appartenance de tout fonctionnaire
ou de toute catégorie de fonctionnaires à une unité de négociation qu’elle a
définie, ou sur leur appartenance à toute autre unité.
|
[79]
This section presumes the existence of defined
bargaining units. The question before the Board on an application brought under
section 58 is simply one of applying the existing bargaining unit definitions.
This is apparent from the terms of section 58 itself, which requires the Board
to decide whether “any employee or class of employees is included in a
bargaining unit determined by the Board to constitute a unit appropriate
for collective bargaining...” [emphasis added].
[80]
In defining the bargaining units, a task
conferred upon it by section 57 of the Act, the Board must take into account
various factors, including the employer’s occupational groups. I reproduce
section 57 below for the sake of convenience:
57.
(1) When an application for
certification is made under section 54, the Board must determine the group of
employees that constitutes a unit appropriate for collective bargaining.
(2) In determining whether a group of employees
constitutes a unit appropriate for collective bargaining, the Board must have
regard to the employer’s classification of persons and positions, including
the occupational groups or subgroups established by the employer.
(3) The
Board must establish bargaining units that are co-extensive with the
occupational groups or subgroups established by the employer, unless doing so
would not permit satisfactory representation of the employees to be included
in a particular bargaining unit and, for that reason, such a unit would not
be appropriate for collective bargaining.
(4) For the
purposes of this Part, a unit of employees may be determined by the Board to
constitute a unit appropriate for collective bargaining whether or not its
composition is identical with the group of employees in respect of which the
application for certification was made.
|
57. (1) Saisie d’une
demande d’accréditation conforme à l’article 54, la Commission définit le
groupe de fonctionnaires qui constitue une unité habile à négocier
collectivement.
(2) Pour
décider si le groupe de fonctionnaires constitue une unité habile à négocier
collectivement, la Commission tient compte de la classification des postes
établis par l’employeur et des personnes qu’il emploie, notamment des groupes
ou sous-groupes professionnels qu’il a établis.
(3) La
Commission est tenue de définir des unités correspondant aux groupes et
sous-groupes professionnels établis par l’employeur, sauf dans le cas où
elles ne constitueraient pas des unités habiles à négocier collectivement au
motif qu’elles ne permettraient pas une représentation adéquate des
fonctionnaires qui en font partie.
(4) L’unité de négociation définie
par la Commission ne coïncide pas nécessairement avec le groupe de
fonctionnaires visé par la demande d’accréditation.
|
[81]
By virtue of its mandate pursuant to section 57,
the Board must determine whether a group “constitutes a unit appropriate for
collective bargaining”. In deciding whether a group is an appropriate unit, the
Board must have regard to the employer’s classification scheme, including the
occupational groups or subgroups, and must establish bargaining units which are
co-extensive with them, unless doing so would not permit satisfactory
representation of employees for bargaining purposes.
[82]
In order to fulfill its mandate, the Board is
entitled to define a bargaining unit in terms other than those contained in the
application: see subsection 57(4). In other words, the Board is not limited to
giving a “yes/no” response to the application before it, but may craft a
bargaining unit according to its view of the appropriate bargaining
relationships. All of this to say that the weighing of competing interests, the
employer’s classification system as against the most appropriate groupings for
collective bargaining, takes place at the point at which the bargaining units
are defined. Once they are defined, they can only be restructured by means of
an application under section 70 of the Act.
[83]
In this case, the bargaining unit definition
includes two exclusions. The first is “[p]ositions excluded from the Aircraft
Operations Group are those whose primary purpose is included in the definition
of any other group.” This exclusion appears in every other occupational group
description and therefore, I assume, in every other bargaining unit definition.
It is the basis of the “best fit” approach which the Board purported to apply
in this case. In a classification environment in which descriptions are
necessarily general and perhaps ambiguous, this exclusion is intended to create
mutually exclusive categories. It is, in effect, a tie-breaker rule for use in
those cases where a position or a group might fit within more than one
occupational group.
[84]
The second exclusion is “[a]lso excluded are
positions in which experience as an aircraft pilot and a valid pilot's licence
are not mandatory.” This exclusion was presumably designed to create or
recognize either an occupational qualification or a community of interest. The
Board had the discretion to delete this requirement, which appears in the
occupational group description, from the bargaining unit definition if it
thought that doing so would remove an impediment to satisfactory
representation. It did not do so.
[85]
The use of exclusions in the definition of
occupational groups or subgroups is a frequent occurrence. By way of example
only, the Technical Services Group Definition includes the following
exclusions:
Positions
excluded from the Technical Services Group are those whose primary purpose is
included in the definition of any other group or those in which one or more of
the following activities is of primary importance:
1. the planning,
conduct or evaluation of control, mapping or charting surveys, and the planning
or conduct or legal surveys of real property;
2. the planning,
design, construction or maintenance of physical or chemical processes, systems,
structures or equipment; and the development or application of engineering
standards or procedures;
3. the
performance of manual tasks such as cleaning laboratory equipment, assisting in
morgue and autopsy tasks, and the care and feeding of laboratory animals;
4. the
performance of administrative activities such as program, human resoureces or
financial management and planning that do not require the application of
principles outlined in the inclusions; and the administrative management of
buildings, grounds and associated facilities;
5. the conduct
of experimental, investigative or research and development work in the field of
electronics;
6. the
leadership of activities related to maintenance and repair functions not
requiring knowledge identified in the inclusions;
7. the operation
of duplicating or reproduction machines, motion picture projection machines and
accessories and process cameras in support of an offset printing or duplicating
process;
8. the planning,
development, installation and maintenance of information technology and
processing systems to manage, administer or support government programs and
activities; and
9. the
application of electronics technology to the design, construction,
installation, inspection, maintenance and repair of electronic and associated
equipment, systems and facilities and the development and enforcement of
regulations and standards governing the use of such equipment
Also excluded
are positions in which experience as an aircraft pilot and a valid pilot’s
licence are mandatory.
[86]
It is clear from this lengthy list, that
exclusions are as significant as inclusions in the definition of occupational
groups. It is also clear that many of the exclusions are couched in general
language, which may require the Board, when applying the bargaining unit
definitions under section 58, to interpret the terms of the exclusion in order
to arrive at a proper bargaining unit designation. But, as this case
illustrates, there are also exclusions that are unambiguous. Furthermore, such
exclusions may have mirror image exclusions in other occupational groups, such
as the exclusion from the Technical Services Group Definition of positions in
which experience as an aircraft pilot and a valid pilot’s licence are
mandatory.
[87]
To recapitulate, it is the Board’s function to
define the appropriate bargaining units in light of the employer’s occupational
groups and the requirements of collective bargaining. Once those bargaining
units have been defined, the task of the Board under section 58 is to apply
those definitions to the facts of a given position or a given group. Nothing in
section 58 would permit the Board to embark on a fresh consideration of the
appropriateness of the bargaining unit definition. That task can only be
undertaken, upon application, under section 70 of the Act.
[88]
In this case, the Board member fundamentally
misconstrued his statutory duty when, in the course of rejecting the argument
that the exclusion with respect to a valid pilot’s licence was conclusive of
the application before him, he said, at paragraph 11 of his reasons:
Surely that is
too simplistic an approach. One that would preclude the Public Service Labour
Relations Board…from fulfilling one of its statutory obligations, which is to
oversee and ultimately to decide the proper composition of bargaining units.
[89]
It is true that one of the Board’s statutory
obligations is to decide the proper composition of the bargaining units. That
duty is articulated in sections 57 and 70 of the Act. The Board has a further
duty, and it is spelled out in section 58 of the Act. It must resolve questions
of inclusion or exclusion from the bargaining units it has defined. In other
words, it must apply the bargaining unit descriptions it has formulated under
section 57 to a new position or group, or to an old position or group whose
characteristics have changed. That task must necessarily take as a given the
terms of the bargaining unit definitions formulated under section 57, since
nothing under section 58 gives the Board any mandate to redefine the bargaining
unit definitions. In this case, the Board member erred in treating the task
before him under section 58 of the Act as though he were called upon to define
an appropriate bargaining unit under section 57.
[90]
The flaw in the Board’s reasoning is that it
failed to distinguish between formal and functional criteria. For the most
part, occupational group definitions are based on functional criteria (i.e. the
duties and responsibilities of members of the group). It is, however, possible
to include or exclude members from such a group by requiring certain formal
criteria (e.g. the possession a valid pilot’s licence). There is no necessary
correlation between functional and formal characteristics.
[91]
The “primary purpose” exclusion calls for a
comparison between the functional characteristics of a position or group and
those of a bargaining unit. Where there is a high degree of congruency between
the two, an exclusion based on formal criteria will never be determinative
because it does not speak to the question of purpose or function. The result
will invariably be that the exclusion based on formal criteria will be
subordinated to the comparison of functional elements.
[92]
In order for an exclusion based on formal
characteristics to have any effect, it must be considered independently of any
functional comparison. The analysis as to whether a position or group is
included in a bargaining unit definition must begin with a determination of the
presence or absence of the specified formal criteria. In this case, the
question is whether experience as a pilot and possession of a valid pilot’s
licence are a mandatory element of the position or group description. If they
are not, the position or group is excluded from the Aircraft Operations bargaining
unit. In this case, those criteria were not mandatory and, by the terms of the
bargaining unit definition, the positions were excluded from the Aircraft
Operations bargaining unit. It is unreasonable to conclude that they could be
brought back into that bargaining unit by reference to functional criteria
which operate independently of the formal exclusion. Put another way, it is
outside the range of reasonable outcomes to conclude that a position can be
included in a bargaining unit from which it is specifically excluded.
[93]
Consequently, I am of the view that it was
unreasonable for the Board to include in the Aircraft Operations bargaining
unit positions which were explicitly excluded from that bargaining unit. One
cannot be included in a group from which one is specifically excluded. As a
result, I would allow the application for judicial review, set aside the Board
member’s decision, and remit the matter to the Board for a fresh determination
on a basis consistent with these reasons.
“J.D. Denis Pelletier”