[2]
In making
his decision Justice Kelen found, and both parties agreed, that the application
raised “questions of general importance with respect to the refoulement,
or removal from Canada, of refugees who have been found to be persons inadmissible
on grounds of organized criminality” (at paragraph 2 of the Reasons for
Judgment). He therefore certified the following two questions:
1.
If, in the
preparation of an opinion under paragraph 115(2)(b) of the Immigration
and Refugee Protection Act, the Minister finds that a refugee who is
inadmissible on grounds of organized criminality does not face a risk of
persecution, torture, cruel and unusual punishment or treatment upon return to
his country of origin, does such a finding render unnecessary the Minister's
consideration of the “nature and severity of acts committed” under paragraph
115(2)(b)?
2.
If the lack of risk
identified in question #1 is not determinative, is paragraph 115(2)(b)
of the Immigration and Refugee Protection Act to be applied “on the
basis of the nature and severity of acts committed” by the criminal
organization of which the person is a member, or of acts committed by the
person being considered for removal (including acts of the criminal
organization in which the person was complicit)?
Preliminary matter
[3]
The
Minister of Public Safety and Emergency Preparedness is incorrectly named as
the respondent in the style of cause. Upon the parties’ consent, I hereby
order that the style of cause be changed so as to replace the Minister of Public
Safety and Emergency Preparedness with the Minister of Citizenship and
Immigration as the proper respondent.
Background
[4]
The
appellant is a Sri Lankan Tamil who came to Canada in 1994. He was granted Convention
refugee status in 1995 and permanent resident status in 1997.
[5]
On August
24, 2001, the Minister issued a report under the former Immigration Act,
R.S.C. 1985, c. I-2 (the former Act) alleging that the appellant was
inadmissible to Canada on grounds of organized
criminality. In issuing this report, a primary consideration of the Minister
was the appellant’s involvement with a Tamil gang known as the A.K. Kannan.
[6]
In October
2001, the appellant was arrested and detained by immigration authorities on the
basis that he represented a danger to the public and was unlikely to appear for
his admissibility hearing or other immigration proceedings. Although the
Immigration Division of the Immigration and Refugee Board (the Board) later
ruled that the appellant should be released on certain terms and conditions,
that Order was subsequently set aside by Justice O’Keefe on December 17, 2004 (cited
as 2004 FC 1757).
[7]
On May 28,
2003, having found the appellant inadmissible to Canada for organized criminality pursuant to
paragraph 37(1)(a) of the Act, the Board ordered that he be deported. An
application by the appellant for the judicial review of this decision was later
dismissed by Justice Heneghan on October 12, 2004 (cited as 2004 FC 1397).
[8]
On July 5,
2003, the appellant was notified that a determination would be made under
paragraph 115(2)(b) of the Act as to whether he should not be allowed to
remain in Canada based on the “nature and
severity of acts committed.” The appellant provided submissions and evidence
under cover letters dated August 8, 2003 and November 11, 2003.
[9]
On July 20, 2004, the respondent sent the
appellant a “Request for Minister’s Opinion” dated July 13, 2004. Accordingly
the appellant provided further submissions in regards to the material
disclosed.
[10]
On October
4, 2005, the Opinion of the Minister pursuant to paragraph 115(2)(b) was
issued, subsequently being upheld by the Federal Court on February 28, 2007. Hence,
the present appeal.
Legislation
[11]
The
relevant provisions from the Act are as follows:
Organized criminality
37.
(1) A permanent resident or a foreign national is inadmissible on grounds of
organized criminality for
(a) being a member of an organization that is
believed on reasonable grounds to be or to have been engaged in activity that
is part of a pattern of criminal activity planned and organized by a number
of persons acting in concert in furtherance of the commission of an offence
punishable under an Act of Parliament by way of indictment, or in furtherance
of the commission of an offence outside Canada that, if committed in Canada,
would constitute such an offence, or engaging in activity that is part of
such a pattern; or
Exclusion – Refugee Convention
98. A person referred to in section E
or F of Article 1 of the Refugee Convention is not a Convention refugee or a
person in need of protection.
Protection
115. (1) A protected person or a person who
is recognized as a Convention refugee by another country to which the person
may be returned shall not be removed from Canada to a country where they
would be at risk of persecution for reasons of race, religion, nationality,
membership in a particular social group or political opinion or at risk of
torture or cruel and unusual treatment or punishment.
Exceptions
(2)
Subsection (1) does not apply in the case of a person
(a) who is inadmissible on grounds of serious
criminality and who constitutes, in the opinion of the Minister, a danger to
the public in Canada; or
(b) who is inadmissible on grounds of security,
violating human or international rights or organized criminality if, in the
opinion of the Minister, the person should not be allowed to remain in Canada on
the basis of the nature and severity of acts committed or of danger to the
security of Canada.
Removal of refugee
(3)
A person, after a determination under paragraph 101(1)(e) that the
person’s claim is ineligible, is to be sent to the country from which the
person came to Canada, but may be sent to another country if that country is
designated under subsection 102(1) or if the country from which the person
came to Canada has rejected their claim for refugee protection.
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Activités de criminalité organisée
37. (1) Emportent interdiction de territoire pour criminalité organisée
les faits suivants :
(a) être membre d’une organisation dont il y a des
motifs raisonnables de croire qu’elle se livre ou s’est livrée à des
activités faisant partie d’un plan d’activités criminelles organisées par
plusieurs personnes agissant de concert en vue de la perpétration d’une
infraction à une loi fédérale punissable par mise en accusation ou de la
perpétration, hors du Canada, d’une infraction qui, commise au Canada,
constituerait une telle infraction, ou se livrer à des activités faisant
partie d’un tel plan;
Exclusion par application de la Convention sur les réfugiés
98. La personne visée aux sections E ou F de l’article premier de la
Convention sur les réfugiés ne peut avoir la qualité de réfugié ni de
personne à protéger.
Principe
115. (1) Ne peut être renvoyée dans un pays où elle risque la persécution du
fait de sa race, de sa religion, de sa nationalité, de son appartenance à un
groupe social ou de ses opinions politiques, la torture ou des traitements ou
peines cruels et inusités, la personne protégée ou la personne dont il est
statué que la qualité de réfugié lui a été reconnue par un autre pays vers
lequel elle peut être renvoyée.
Exclusion
(2) Le paragraphe (1) ne s’applique pas à l’interdit de territoire:
(a) pour grande criminalité
qui, selon le ministre, constitue un danger pour le public au Canada;
(b) pour raison de sécurité ou
pour atteinte aux droits humains ou internationaux ou criminalité organisée
si, selon le ministre, il ne devrait pas être présent au Canada en raison
soit de la nature et de la gravité de ses actes passés, soit du danger qu’il
constitue pour la sécurité du Canada.
Renvoi de réfugié
(3) Une personne ne peut, après prononcé d’irrecevabilité au titre de
l’alinéa 101(1)e), être renvoyée que vers le pays d’où elle est
arrivée au Canada sauf si le pays vers lequel elle sera renvoyée a été
désigné au titre du paragraphe 102(1) ou que sa demande d’asile a été rejetée
dans le pays d’où elle est arrivée au Canada.
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[12]
The
relevant provisions of the Convention Relating to the Status of Refugees,
July 28, 1951, [1969] Can. T.S. No. 6 (the Convention) are as follows:
Article 1.
- Definition of the term “refugee”
…
F. The
provisions of this Convention shall not apply to any person with respect to
whom there are serious reasons for considering that.
(a)
He has committed a crime against peace, a war crime, or a crime against
humanity, as defined in the international instruments drawn up to make
provision in respect of such crimes;
(b)
He has committed a serious non-political crime outside the country of refuge
prior to his admission to that country as a refugee;
(c)
He has been guilty of acts contrary to the purposes and principles of the
United Nations.
Article
33. - Prohibition of expulsion or return ("refoulement")
1. No Contracting
State shall expel or return ("refouler") a refugee in any manner
whatsoever to the frontiers of territories where his life or freedom would be
threatened on account of his race, religion, nationality, membership of a
particular social group or political opinion.
2. The benefit of the
present provision may not, however, be claimed by a refugee whom there are
reasonable grounds for regarding as a danger to the security of the country
in which he is, or who, having been convicted by a final judgement of a
particularly serious crime, constitutes a danger to the community of that
country.
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Article 1. -
Définition du terme “réfugié”
[…]
F. Les
dispositions de cette Convention ne seront pas applicables aux personnes dont
on aura des raisons sérieuses de penser:
(a)
Qu'elles ont commis un crime contre la paix, un crime de guerre ou un rime
contre l'humanité, au sens des instruments internationaux élaborés pour
prévoir des dispositions relatives à ces crimes;
(b)
Qu'elles ont commis un crime grave de droit commun en dehors du pays
d'accueil avant d'y être admises comme réfugiés;
(c)
Qu'elles se sont rendues coupables d'agissements contraires aux buts et aux
principes des Nations Unies.
Article 33.
- Défense d'expulsion et de refoulement
1. Aucun des États
contractants n'expulsera ou ne refoulera, de quelque manière que ce soit, un
réfugié sur les frontières des territoires où sa vie ou sa liberté serait
menacée en raison de sa race, de sa religion, de sa nationalité, de son
appartenance à un certain groupe social ou de ses opinions politiques.
2. Le bénéfice de la
présente disposition ne pourra toutefois être invoqué par un réfugié qu'il y
aura des raisons sérieuses de considérer comme un danger pour la sécurité du
pays où il se trouve ou qui, ayant été l'objet d'une condamnation définitive
pour un crime ou délit particulièrement grave, constitue une menace pour la
communauté dudit pays.
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The Opinion of the Minister’s Delegate
[13]
On October
4, 2005, the Minister’s Delegate, G.G. Alldridge (the Delegate), issued an
opinion pursuant to paragraph 115(2)(b) of the Act that the appellant
should not be allowed to remain in Canada based on the nature and severity of
acts committed (AB 1, Tab 3, p. 001) (the Opinion).
[14]
In deciding
whether subsection 115(2) applied to the appellant, the Delegate analyzed the
following:
a. the nature and severity of
acts committed;
b. the risk to the appellant’s
life or of cruel and unusual punishment should he be returned to his country;
and
c. whether there were sufficient
humanitarian and compassionate reasons to warrant a favourable consideration.
a. Nature and severity of the acts committed
[15]
In
addressing the first point of analysis, the Delegate placed particular emphasis
on evidence supporting the appellant’s membership and involvement in the criminal
activities of the A.K. Kannan. From a report prepared by the Toronto Police Street Violence Task
Force, the Delegate noted that this gang was responsible for a variety of
criminal acts including “murders, attempted murders, serious assaults,
extortions, kidnappings, frauds, drugs and weapons offences” (at paragraph 19
of the Opinion). The Delegate further concluded that two shooting incidents
where the appellant and his family had been targeted were not random acts of
violence, but rather retaliatory actions brought about by the appellant’s
status as an enforcer within the A.K. Kannan (at paragraph 28 of the Opinion).
[16]
The
Delegate also addressed the criminal activity of the appellant specifically. To
this end, the Delegate observed that the appellant had incurred relatively few
criminal convictions with two of these convictions resulting in imprisonment
for short periods of time between September 25, 2000 and January 25, 2001 (at
paragraph 27 of the Opinion). Moreover, it was observed that between 1997 and
2000 the appellant had been criminally charged for possession and concealment
of a weapon (a meat clever), threatening bodily harm and intimidation, fraud,
assault with a weapon and breach of probation.
[17]
Consequently,
the Delegate concluded that:
Following
from the evidence noted above, including Mr. Nagalingam’s membership and
involvement in the A.K. Kannan, in my view, the nature and the severity of
the acts committed by the A.K. Kannan are serious and significant, and as such
Mr. Nagalingam should not be allowed to remain in Canada (at paragraph 29
of the Opinion).
[Emphasis
added]
b. Risk to the appellant’s life or of cruel and unusual
punishment
[18]
The
appellant claimed that if returned to Sri Lanka
he would face a substantial risk of torture, or a risk to life or to cruel and
unusual treatment or punishment. This claim was dismissed by the Delegate.
[19]
While the Delegate
acknowledged the appellant’s status as a Convention refugee, he also noted that
the conditions in Sri
Lanka had
undergone “a significant change in circumstances.” As a result, the Delegate
concluded that there was insufficient evidence to support a finding that it is
more likely than not that the appellant would face a substantial risk of
torture, or a risk to life or to cruel and unusual treatment or punishment upon
his return to that country.
c. Humanitarian and compassionate considerations
[20]
Despite
the presence in Canada of the appellant’s common law
spouse, their Canadian born child, and other family members, the Delegate
concluded that the appellant did not warrant favourable consideration on humanitarian and compassionate
grounds. He
writes:
51. …There
is nothing in the material before me that would indicate that the child has
suffered adversely from separation from his father while he’s been incarcerated
and in detention for the past four years (and I make the same observation with
respect to Mr. Nagalingam’s other family members – including his common law
spouse ...)
53. …There is no
indication in the material before me that there is a prohibition against Mr.
Nagalingam’s family from either living in or visiting him in Sri Lanka. While
mindful that Mr. Nagalingam has a Canadian spouse and child who would be
adversely affected by any enforced separation due to his removal from Canada as
well as considering the period of adjustment that Mr. Nagalingam will face at
having to start over in a strange country, which he left when he was 21 years
of age, I find that Mr. Nagalingam’s involvement in the organized crime milieu,
leads me to conclude that this is not an appropriate case warranting favourable
consideration on humanitarian and compassionate grounds.
[21]
Proceeding
on this basis, the Delegate opined that he “…need not undertake a balancing
exercise whereby the risk, the nature and severity of acts committed, and the
humanitarian considerations are weighed against each other in accordance with
the legal principles enunciated by the Supreme Court of Canada, as this simply
does not arise in this case” (at paragraph 55 of the Opinion). Accordingly, the
Delegate concluded that the appellant should not be allowed to remain in Canada.
The Decision of the Federal Court
[22]
The
appellant sought judicial review of the Delegate’s decision on October 25, 2005.
In doing so, the appellant filed applications for a stay of the execution of
his removal order with the Federal Court and the Ontario Superior Court of
Justice on November 16, 2005 and December 4, 2005 respectively. As each of
these applications was dismissed in due course, the appellant was consequently
removed from Canada in December 2005.
[23]
In dismissing
the application which forms the basis of the appeal before this Court, Justice
Kelen addressed four issues beginning with the question of whether the Delegate
had erred in concluding that the appellant’s removal to Sri Lanka would not expose him to a
substantial risk of torture or a risk to life or to cruel treatment or
punishment. On this point, Justice Kelen rejected the notion that the Delegate
had failed to consider the appellant’s status as a Convention refugee or any
other relevant evidence in determining that he be removed from Canada. The Delegate’s ruling on
this issue was approved (at paragraph 39 of the Reasons for Judgement).
[24]
The second
issue required an answer to the following question:
Having determined that
the appellant, who is inadmissible on grounds of organized criminality, does
not face a risk, was it necessary for the Delegate to consider the “nature and
severity of acts committed” under paragraph 115(2)(b) of the Act?
In Justice Kelen’s view, given that the Delegate had
reasonably concluded that there was no risk of harm, the non-refoulement
provisions under subsection 115(1) did not apply and as such there was no need
to “balance” the competing interests under subsection 115(2). Justice Kelen
decided that unless the Delegate’s conclusions on risk were found to be
patently unreasonable, there was no basis for the court to review the
Delegate’s assessment of the nature and severity of acts committed or to engage
in a balancing of that assessment against the risk of harm upon the appellant’s
removal (Ibid. at paragraph 47).
[25]
In light
of this finding, Justice Kelen stated that it was no longer necessary to
address the issue of complicity and whether one should consider the “nature and
severity of the acts committed” by the criminal organization rather than the
appellant personally. Moreover, it was equally unnecessary to consider whether
the Delegate had erred in failing to account for the appellant’s risk of
persecution or the general constitutionality of the impugned provision. Nonetheless,
recognizing that he could be wrong, Justice Kelen continued his analysis on
these points (Ibid. at paragraph 52).
[26]
On the issue
of complicity and its relationship to the application of paragraph 115(2)(b),
Justice Kelen concluded that the Delegate’s assessment should rest on the
nature and severity of the subject’s personal acts rather than the acts of the
group with which he or she is associated. In his view, the acts of the group
would only gain relevance if it was demonstrated that the subject was a
personal and knowing participant in such acts, i.e. complicit (Ibid. at
paragraph 65). In the case at bar, Justice Kelen held that the Delegate had erred
by basing his opinion on the criminal acts committed by the A.K. Kannan without
ever making an express finding that the appellant was actually “complicit” in
those acts (Ibid. at paragraph 68). He went on to state that if it were
not for his approval of the Delegate’s earlier authoritative conclusion on
risk, he would have no choice but to refer the matter back to another Delegate
to determine if the appellant was complicit in the serious criminal acts of the
gang for the purposes of paragraph 115(2)(b) of the Act (Ibid. at
paragraph 68).
[27]
Finally,
Justice Kelen rejected the arguments that the Delegate had failed to consider
the appellant’s risk of persecution or the constitutionality of paragraph
115(2)(b). Specifically, Justice Kelen held that the Delegate had
adequately canvassed the issue of persecution throughout his decision and that
due to the absence of risk in that regard, the appellant’s Charter rights under
section 7 were not engaged (Ibid. at paragraph 74).
[28]
Consequently,
Justice Kelen dismissed the application for judicial review and certified the
questions which are stated above at paragraph [2] and form the basis for our analysis, outlined as follows:
OUTLINE
Analysis
A. Standard of review.................................................................... paras. 29-35
B. Certified Question #1................................................................ paras.
36-45
C. Certified Question #2................................................................ paras.
46-76
(1) Standard of proof.................................................. paras. 47-50
(2) Acts committed....................................................... paras. 51-68
(3) Nature and severity of the acts.............................. paras.
69-76
D. Application to the Delegate’s findings...................................... paras. 77-80
E. Remedies sought........................................................................ paras.
81-82
Conclusions.................................................................................. paras.
83-84
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Analysis
A.
Standard of Review
[29]
Pursuant to paragraph 74(d) of the Act,
a decision of the Federal Court on an application for judicial review may be
appealed to this Court only if a question is certified by the Federal Court
judge. The certification of a “question of general importance” is the trigger
by which an appeal is justified. However, the object of the appeal is still the
judgment itself, not merely the certified question (Pushpanathan v. Canada
(Minister of Citizenship and Immigration), [1998] 1 S.C.R. 982 at paragraph
25). Therefore, I propose to address all the issues raised by this appeal (Baker v. Canada (Minister of Citizenship and
Immigration), [1999] 2 S.C.R. 817 at paragraph 12 [Baker]).
[30]
As it arises from a decision of a judge sitting
in judicial review, the principles outlined in Housen v. Nikolaisen,
2002 SCC 33 apply: the selection of the proper standard of review constitutes a
question of law and is reviewable on a standard of correctness
(Dr Q v.
College of Physicians and Surgeons of British Columbia, 2003 SCC 19 at
paragraph 43 [Dr Q]). Ultimately, should this Court
identify an error at this stage of the analysis, it will become necessary “to
correct the error, substitute the appropriate standard of review, and assess or
remit the [Delegate's] decision on that basis” (Lai v. Canada (Minister of Citizenship and Immigration), 2005 FCA 125 at paragraph 19; See also Dr Q, supra
at paragraph 43).
[31]
On March 7, 2008
the Supreme Court of Canada issued its long awaited decision in Dunsmuir v. New Brunswick, 2008 SCC 9 where it revisited the
approach to be taken in the judicial review of decisions of administrative
tribunals. Among the most salient features was the Supreme Court’s decision to
reduce the available standards of review from three to two, collapsing the
standard of reasonableness and patent unreasonableness into “a single form of
‘reasonableness’ review” (Ibid. at paragraph 45). In determining which
of the remaining two standards would be appropriate in a given set of
circumstances, the Supreme Court proposed a two-step process:
First, courts ascertain whether the jurisprudence has already determined
in a satisfactory manner the degree of [deference] to be accorded with regard
to a particular category of question. Second, where the first inquiry proves
unfruitful, courts must proceed to an analysis of the factors making it
possible to identify the proper standard of review (Ibid. at paragraph
62).
[32]
In this case, drawing on the Supreme Court’s
decision in Suresh v. Canada (Minister of Citizenship and Immigration), 2002 SCC 1 at paragraph 41 [Suresh], Justice Kelen determined
that the factual findings of the Delegate required a reviewable standard of
patent unreasonableness (at paragraph 18 of the Reasons for Judgment). In light
of Suresh, and more recently Dunsmuir, I agree with Justice Kelen
that a high degree of deference is to be afforded to the Delegate’s factual
findings such that the appropriate standard of review is reasonableness.
[33]
As
for questions of law, Justice Kelen applied a standard of correctness (at
paragraph 19 of the Reasons for Judgment). In Dunsmuir, the Supreme
Court indicated that questions of law could at points attract either standard
of review. To this end, Justice Bastarache and Justice Lebel, on behalf of the
majority explained:
55 A consideration of the following factors will lead
to the conclusion that the decision maker should be given deference and a
reasonableness test applied:
- A privative clause: this is a statutory direction from
Parliament or a legislature indicating the need for deference.
- A discrete and special administrative regime in which the
decision maker has special expertise (labour relations for instance).
- The nature of the question of law. 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 will
always attract a correctness standard (Toronto (City) v. C.U.P.E., at para. 62). On the other hand, a question of law that
does not rise to this level may be compatible with a reasonableness standard
where the two above factors so indicate.
[34]
In
the case at bar, I note that there is no privative clause in the Act, rather the
right to judicial review before the Federal Court is expressly provided so long
as leave is granted (sections 72 to 75). Additionally, the questions of law in
this appeal demand the interpretation and application of general common law and
international law principles for which the Delegate does not have more
expertise than the Court. As a result, I conclude that Justice Kelen applied the
proper standard of review to the questions of law raised in this application
for judicial review, i.e. correctness.
[35]
Therefore, as no error was committed by Justice
Kelen in the determination of the proper standards of review, I turn my
attention to the first certified question.
B. Certified Question #1
[36]
Both
certified questions call for a proper understanding of the international legal
principle of non-refoulement, found at Article 33(1) of the Convention
and incorporated into Canadian law by subsection 115(1) of the Act. Subsection
115(1) prohibits the return of Convention refugees and protected persons to any
country where they would be at risk of persecution for reasons of race,
religion, nationality, membership in a particular social group or political
opinion, or at risk of torture or cruel and unusual treatment or punishment.
[37]
While it
is acknowledged that this rule forms the cornerstone of asylum in international
refugee law, its protection is not absolute. Indeed, subsection 115(2), which
in turn incorporates Article 33(2) of the Convention into Canadian law, expressly
allows derogation from this principle where the subject is (a) found
inadmissible on grounds of serious criminality and constitutes, in the opinion
of the Minister, a danger to the public in Canada or (b) found inadmissible on
grounds of security, violating human or international rights or organized
criminality if, in the opinion of the Minister, the person should not be
allowed to remain in Canada on the basis of the nature and severity of acts
committed or of danger to the security of Canada.
[38]
Applying this principle to the first question at issue, I agree with the
parties that Justice Kelen erred when he held that an analysis of the nature
and severity of acts committed by the appellant under subsection 115(2) of the
Act became unnecessary in the absence of risk to the appellant upon his removal
from Canada (at paragraph 40 of the Reasons for Judgment).
[39]
In Ragupathy v. Canada (Minister of
Citizenship and Immigration), 2006 FCA 151 [Ragupathy]
this Court set out a logical sequence of analysis when discussing the elements
of a ‘danger opinion’ issued under paragraph 115(2)(a). Specifically, this
Court held that once the protected person has been found inadmissible on
grounds of serious criminality, the next logical step is to assess whether the
individual poses a danger to the public (at paragraph 17). The Court continued:
18. If the delegate is of the opinion that the presence of the protected
person does not present a danger to the public that is the end of the
subsection 115(2) inquiry. He or she does not fall within the exception to the
prohibition in subsection 115(1) against the refoulement of protected persons
and may not be deported. If, on the other hand, the delegate is of the opinion
that the person is a danger to the public, the delegate must then assess
whether, and to what extent, the person would be at risk of persecution,
torture or other inhuman punishment or treatment if he was removed. At this
stage, the delegate must determine how much of a danger the person's continuing
presence presents, in order to balance the risk and, apparently, other
humanitarian and compassionate circumstances, against the magnitude of the
danger to the public if he remains.
[40]
While Justice Kelen correctly noted that the Delegate had first assessed
the nature and severity of acts committed and second, determined that that the
risk of harm upon removal was non-existent, he erred when declaring that
pursuant to Ragupathy, the Delegate could reverse his order of analysis (at
paragraph 46 of the Reasons for Judgment). In
Justice Kelen’s view, the need to assess the nature and severity of acts
committed became inconsequential as there was no risk of harm upon the
subject’s return. That being the case, the principle of non-refoulement
as outlined in subsection 115(1) of the Act was of no application in this
instance (at paragraph 43 of the Reasons for Judgment).
[41]
Respectfully, I find that Justice Kelen ignored the structure of section
115, as well as Canada’s overall responsibilities with regards to the
Convention, when finding that the absence of risk for the appellant, if
returned to Sri Lanka, was determinative of his right to non-refoulement.
[42]
The scope of section 115 is such that the principle of non-refoulement
continually applies to a protected person or a Convention refugee until one of
the two exceptions listed therein is engaged. Thus, to determine that the
principle of non-refoulement no longer applies simply because the
conditions in the protected person’s or the Convention refugee’s country of
origin have improved is to short-circuit the process.
[43]
The approach of Justice Kelen essentially forces the Delegate to act
beyond his jurisdiction, ruling on the appellant’s status as a Convention
refugee, rather than whether the nature and severity of the acts committed
deprive him of the benefits associated with that status (i.e. not to be refouled).
To this end, I agree with the respondent that the Ragupathy approach
ensures that the Delegate maintains his jurisdiction as his role is not in any
way to remove or alter the subject’s status as Convention refugee (respondent’s
memorandum at paragraph 71). Proceeding in this manner guarantees that the
Delegate’s function will not usurp the role of the Refugee Protection Division
on a cessation determination pursuant to subsection 108(2) of the Act.
[44]
By way of summary then, the principles applicable to a delegate’s
decision under paragraph 115(2)(b) of the Act and the steps leading to
that decision are as follows:
(1)
A
protected person or a Convention refugee benefits from the principle of non-refoulement
recognized by subsection 115(1) of the Act, unless the exception provided by
paragraph 115(2)(b) applies;
(2)
For
paragraph 115(2)(b) to apply, the individual must be inadmissible on
grounds of security (section 34 of the Act), violating human or international
rights (section 35 of the Act) or organized criminality (section 37 of the
Act);
(3)
If the
individual is inadmissible on such grounds, the delegate must determine whether
the person should not be allowed to remain in Canada on the basis of the nature and severity
of acts committed or of danger to the security of Canada;
(4)
Once such a
determination is made, the delegate must proceed to a section 7 of the Charter
analysis. To this end, the Delegate must assess whether the individual, if
removed to his country of origin, will personally face a risk to life, security
or liberty, on a balance of probabilities. This assessment must be made
contemporaneously; the Convention refugee or protected person cannot rely on
his or her status to trigger the application of section 7 of the Charter (Suresh,
supra at paragraph 127).
(5)
Continuing
his analysis, the Delegate must balance the nature and severity of the acts
committed or of the danger to the security of Canada against the degree of risk, as well as against
any other humanitarian and compassionate considerations (Suresh, supra
at paragraphs 76-79; Ragupathy, supra at paragraph 19).
[45]
That being
said, I propose to answer “no” to the first certified question as the Delegate
failed to follow the steps suggested above in forming his opinion.
C. Certified Question #2:
[46]
In
addressing the second certified question, I propose to discuss the following:
(1)
the
standard of proof required to bring the appellant under the exception of
paragraph 115(2)(b);
(2) the question of whether the
acts to be considered under paragraph 115(2)(b) are the acts committed
by the criminal organization of which the person is a
member, or the acts committed in the context of organized criminality by the
individual, either directly or through complicity;
(3) the appropriate threshold that must be met before an act is
considered of such nature and severity that the perpetrator should no longer be
allowed to stay in Canada.
(1) Standard of proof under
paragraph 115(2)(b) of the Act: reasonable grounds
[47]
The determination of
the proper standard of proof required to bring the appellant under the
exceptions of paragraph 115(2)(b) is important, as an error on the
standard would undeniably permeate the interpretation of the law and the review
of the evidence.
[48]
As noted
above, subsections 115(1) and (2) of the Act incorporate the principle of non-refoulement
along with its exceptions into Canadian law.
[49]
Although subsection
115(2) does not explicitly re-state the evidentiary threshold of “reasonable
grounds” found at Article 33(2) of the Convention, it does confer to the
Minister a discretionary power to decide “if, in (his) opinion, the person
should not be allowed to remain in Canada.”
In my view, this discretionary power, examined within the structure of section
115 of the Act, is consistent with a standard of reasonable grounds. Discretionary
decisions will generally be afforded considerable deference. However, I hasten
to add “that discretion must be exercised in accordance with the boundaries
imposed in the statute, the principles of the rule of law, the principles of
administrative law, the fundamental values of Canadian society, and the
principles of the Charter” (Baker,
supra at
paragraph 56).
[50]
I
therefore conclude that the proper standard for a determination under
subsection 115(2) of the Act is reasonable grounds. In doing so, I note that
this standard has previously been articulated as being:
…a
standard of proof that, while falling short of a balance of probabilities,
nonetheless connotes "a bona fide belief in a serious possibility based on
credible evidence." See Attorney General of Canada v. Jolly, [1975] F.C. 216
(F.C.A.).
(2) The acts committed by
the appellant in the context of organized criminality: Complicity
[51]
I
agree with Justice Kelen that the “acts committed” which are relevant under
paragraph 115(2)(b) are those committed personally by the appellant.
This proposition is supported by a basic reading of the French version of the
provision and namely its use of the phrase “ses actes passés” (literally
translated by “his past acts”). As Justice Kelen noted, this passage is plain,
unambiguous and best reflects the intention of Parliament that the acts to be
considered are those committed personally by the appellant (at paragraphs 59, 60
of Reasons for Judgment). That said, I further agree that such a finding does
not negate the possibility of relying on the acts committed by the criminal
organization as a whole, so long as it is established that the appellant was
complicit in the commission of those acts.
[52]
However,
I do not agree with Justice Kelen when he relies on Ramirez v. Canada
(Minister of Employment and Immigration), [1992] 2 F.C. 306
(C.A.), [Ramirez], to define complicity in the context of
organized criminality. The definition he adopts, usually referred to as
“complicity by association”, has been recognized as a method of perpetrating an
offence in respect of certain international crimes covered by Article 1F(a)
of the Convention (crimes against peace, war crimes and crimes
against humanity), and by analogy in the case of acts contrary to the
international purposes and principles contemplated by Article 1F(c) of
the Convention (Zrig v. Canada (Minister of Citizenship and Immigration),
2003 FCA 178, at paragraph 137 by Décary J. (concurring)).
[53]
He
states in his reasons:
[64] This
test for complicity under the Act has been settled by the Court with respect to
crimes against humanity. Such crimes are also part of paragraph 115(2)(b), and
this is a reasonable one for the purposes of establishing complicity under
paragraph 115(2)(b). See my decision in Catal v. Canada (Minister of
Citizenship and Immigration), [2005] F.C.J. No. 1875 at paragraphs 8 and 9.
[54]
“Complicity
by association” has been applied in Canadian immigration law in the context of
section 98 (subsection 2(1) of the former Immigration Act) as well as
section 35 of the Act (Ramirez, supra; Sivakumar v.
Canada (Minister of Citizenship and Immigration), [1994] 1 F.C. 433 (C.A.);
Zazai v. Canada
(Minister of Citizenship and Immigration), 2005 FCA 303; Lennikov v. Canada
(Minister of Citizenship and Immigration), 2007 FC 43).
[55]
In Ramirez,
supra, the most controversial legal issue dealt with the extent to which
accomplices as well as principal actors in international crimes should be
excluded from Convention refugee status. To this end, Justice MacGuigan writes:
12. The Convention provision [1F(a)] refers to "the international
instruments drawn up to make provisions in respect of such crimes." One of
these instruments is the London Charter of the International Military Tribunal,
Article 6 of which provides in part (reproduced by Grahl-Madsen, at page 274):
Leaders,
organisers, instigators and accomplices participating in the formulation or
execution of a common plan or conspiracy to commit any of the foregoing crimes
are responsible for all acts performed by any persons in execution of such
plan.
I
believe this evidence is decisive of the inclusion of accomplices as well as
principal actors, but leaves to be answered the very large question as to the
extent of participation required for inclusion as an "accomplice".
13.
It was common ground to both parties during argument that
it is not open to this Court to interpret the "liability" of
accomplices under this Convention exclusively in the light of section 21 of the
Canadian Criminal Code [R.S.C., 1985, c. C-46], which deals with parties to an
offence, since that provision stems from the traditional common law approach to
"aiding" and "abetting."4 An international convention cannot
be read in the light of only one of the world's legal systems.
[56]
Article 1F(a)
of the Convention refers to international instruments and section 98 of the Act incorporates Article 1F into
Canadian law. It is in that context that the traditional common law approach to
complicity was excluded.
[57]
While I
concede that the approach taken by Justice Kelen would apply to a determination
under paragraph 115(2)(b) where a person has been found inadmissible
under section 35 (human or international rights violation), I do not think that
the same can be said for a person declared inadmissible pursuant to section 37
(organized criminality). In terms of the later provision, Parliament has chosen
to define ‘organized criminality’ by referring to “criminal activity planned and
organized by a number of persons acting in concert in furtherance of the
commission of an offence punishable under an Act of Parliament”
(Emphasis added).
[58]
I
would suggest that this wording constitutes a clear invitation to apply our
domestic laws to determine whether a person is complicit in the commission of
certain acts within organized criminality. Unlike in Ramirez, I can find
no reason in the case of organized criminality to conclude otherwise.
[59]
Section
21 of the Criminal Code, R.S.C. 1985, c. C-46 (Criminal Code or
Cr.C.) sets
out the liability of principals and parties to an offence. It will most often
apply when dealing with complicity. It reads as follows:
21. (1) Every one is a party to an offence who
(a) actually commits it;
(b) does or omits to do anything for the purpose of
aiding any person to commit it; or
(c) abets any person in committing it.
(2) Where two or more
persons form an intention in common to carry out an unlawful purpose and to
assist each other therein and any one of them, in carrying out the common
purpose, commits an offence, each of them who knew or ought to have known
that the commission of the offence would be a probable consequence of
carrying out the common purpose is a party to that offence.
|
21. (1) Participent à une
infraction :
a) quiconque la commet réellement;
b) quiconque accomplit ou omet
d’accomplir quelque chose en vue d’aider quelqu’un à la commettre;
c) quiconque encourage quelqu’un à la
commettre.
(2) Quand deux ou
plusieurs personnes forment ensemble le projet de poursuivre une fin illégale
et de s’y entraider et que l’une d’entre elles commet une infraction en
réalisant cette fin commune, chacune d’elles qui savait ou devait savoir que
la réalisation de l’intention commune aurait pour conséquence probable la
perpétration de l’infraction, participe à cette infraction.
|
[60]
Paragraph
21(1)(a) holds an accused liable for the role as principal if he or she
committed that offence.
[61]
Paragraph 21(1)(b)
makes an accused liable as a party for acts or omissions which are done for the
purpose of aiding a principal to commit an offence while paragraph
21(1)(c) makes the accused similarly liable if he or she abetted
the principal.
[62]
Although the terms aiding and abetting are
commonly associated, the two concepts are not the same. To aid under paragraph
21(1)(b) means to assist or help the perpetrator while to abet, within
the meaning of paragraph 21(1)(c), includes encouraging, instigating,
promoting or procuring the crime to be committed: R. v. Greyeyes, [1997] 2 S.C.R. 825 at paragraph 26;
also cited in: R. v. Smith, 2007
NSCA 19 at paragraph 148; Zrig
v. Canada (Minister of Citizenship and Immigration), 2003 FCA 178
at
paragraph 166 by Décary J. (concurring).
[63]
In elucidating the meaning of aiding and abetting, Justice Dickson
in R. v. Dunlop, [1979] 2 S.C.R. 881, at pages 891, 896,
writes:
Mere
presence at the scene of a crime is not sufficient to ground culpability.
Something more is needed: encouragement of the principal offender; an act which
facilitates the commission of the offence, such as keeping watch or enticing
the victim away, or an act which tends to prevent or hinder interference with
accomplishment of the criminal act, such as preventing the intended victim from
escaping or being ready to assist the prime culprit.
…
[However] presence at the commission of an offence can
be evidence of aiding and abetting if accompanied by other factors, such as
prior knowledge of the principal offender's intention to commit the offence or
attendance for the purpose of encouragement.
[64]
Complicity
in Canadian law is however not limited to this concept of aiding and abetting.
For example, subsection 21(2) of the Cr.C. extends the liability of the
principal and parties beyond the wrongful act originally intended. In the
absence of aiding and abetting, a person may even become a party to an offence
committed by another which he knew or ought to have known was a probable
consequence of carrying out the unlawful purpose:
R. v. Simpson, [1988]
1 S.C.R. 3 at paragraph 14.
[65]
Our
Criminal Code also contains provisions relating to (a) other forms of liability
such as sections 23 and 463, accessory after the fact; section 465, conspiracy;
and (b) liability of a secondary party such as section 146, assisting escape
and section 240, accessory after the fact to murder, to name a few that appear
more relevant in the context of organized criminality.
[66]
However,
it is not necessary nor is it appropriate for this appeal to address all the
provisions that might apply to a particular situation. Suffice to say that, in
the context of paragraph 115(2)(b) of the Act, when a person has been
found inadmissible for organized criminality, one has to refer to Canadian law
and not international law, in order to establish if the person was a party to
an act of such nature and severity as to warrant his or her removal. One must
also note that section 37 of the Act contains its own definition of organised
criminality distinct from that of subsection 467.1(1) of the Criminal Code (on
subsection 467.1(1) of the Cr.C., see R. v. Terezakis, 2007 BCCA 384,
leave to appeal to the S.C.C. dismissed: [2007] S.C.C.A. No. 487).
[67]
Before
concluding on that issue, I make two further comments. First, while it is
understood that the provisions of the Criminal Code will play an important role
in a determination of complicity in the context cited above, (especially when
we consider subsection 34(2) of the Interpretation Act, R.S.C. 1985, c. I-21), it is not excluded that other
Acts of Parliament may apply to a particular situation on a finding of
complicity (see subsection 4(4) of the Cr.C).
Second, reference to criminal law in the context of immigration matters has to
be made with circumspection and with the required adaptations, especially since
the proper standard of proof applicable to subsection 115(2) of the Act is
reasonable grounds and not beyond reasonable doubt.
[68]
That
being said, I have reached the view that when applying paragraph 115(2)(b)
in relation to an individual found inadmissible for reasons of organized
criminality (section 37 of the Act), there must be reasonable grounds to
believe that the person committed, himself or through complicity, as defined in
our criminal legal system, acts of organized criminality.
(3) Nature and severity of
the acts: a high threshold
[69]
In addressing
my final point of analysis on the second certified question, I accept the
appellant’s argument that the “fundamental character of the prohibition of refoulement
and the humanitarian essence of the … Convention more generally, must be taken as
establishing a high threshold for the operation of exceptions” (Lauterpacht,
sir E. and D. Bethlehem, “The scope and content of the principle of
non-refoulement” in Refugee Protection in International Law (Cambridge: E. Feller, V. Turk and F.
Nicholson, 2003) at paragraph 169).
[70]
This idea
of a “high threshold for the operation of exceptions” is supported by the
wording of the Act itself and the choices made by Parliament. Specifically, I
note that paragraph 115(2)(a) applies where the person has been found
inadmissible for serious criminality, as defined by subsection 36(1) of
the Act, that is, for convictions relating to “an offence under an Act of
Parliament punishable by a maximum term of imprisonment of at least 10 years,
or of an offence under an Act of Parliament for which a term of imprisonment of
more than six months has been imposed.” Conversely, inadmissibility for criminality
pursuant to subsection 36(2) does not fall within the exceptions of paragraph
115(2)(a) or (b), thereby indicating that minor offences were not
contemplated as meeting this particular threshold. This is even more so when we
consider that, for paragraph 115(2)(a) to apply, the individual has to
be found, in the opinion of the Minister, to be “a danger to the public in Canada”.
[71]
Indeed,
as Lauterpacht and Bethlehem note:
186. The text
of Article 33(2) makes it clear that it is only convictions for crimes of a
particularly serious nature that will come within the purview of the exception.
This double qualification-particularly and serious- is consistent
with the restrictive scope of the exception and emphasizes that refoulement
may be contemplated pursuant to this provision only in the most exceptional of
circumstances. Commentators have suggested that the kinds of crimes that will
come within the purview of the exception will include crimes such as murder,
rape, armed robbery, arson, etc.
[References
omitted]
[72]
This same
restrictive approach applies to paragraph 115(2)(b). I note that, under
this paragraph, inadmissibility on grounds of organised criminality is treated
with the same importance as inadmissibility on security grounds (section 34) or
inadmissibility for violating human or international rights (section 35). Under
those two sections, a person is inadmissible for, among other things:
•
Engaging
in an act of espionage or an act of subversion against a democratic government,
institution or process as they are understood in Canada (34(1)(a));
•
Engaging
in terrorism (34(1)(c));
•
Committing
an act outside Canada that constitutes an offence referred to in sections 4 to
7 of the Crimes against Humanity and War Crimes Act (35(1)(a)).
[73]
Despite
the critical nature of these infractions, Parliament has nonetheless given the
Minister the discretion to assess the nature and severity of the acts before
determining if the subject should be refouled under paragraph 115(2)(b).
This, to me, suggests that paragraph 115(2)(b) will only be triggered
where the acts committed are of substantial gravity.
[74]
Consequently,
I endorse the ruling of Justice Kelen that “the logical reason to examine the
nature and gravity of the personal acts committed by the refugee is that the
refugee should not be refouled only because he is a member of a criminal
organization unless the acts in which he was involved warrant removal”(Emphasis
added) (at paragraph 61 of Reasons for Judgment). The high threshold lies in
the nature and severity of the acts committed.
[75]
Therefore,
I propose to answer the second certified question as follows:
The exception of paragraph
115(2)(b) regarding organized criminality will apply to a Convention
refugee or a protected person if, in the opinion of the Minister, that person
should not be allowed to remain in Canada on the basis of the nature and
substantial gravity of acts committed (in the context of organized criminality)
personally or through complicity, as defined by our domestic laws, but
established on a standard of reasonable grounds.
[76]
Therefore, the Delegate had to reasonably
link the appellant to the acts of the organization in which he was a member,
taking into consideration, if applicable, his role and responsibilities within
the criminal organization.
In doing so, the Delegate
had to caution himself that it is only in exceptional cases that a Convention
refugee or a protected person will lose the benefit of subsection 115(1). Thus,
only acts which are of substantial gravity will meet this high threshold.
D. Application to the
Delegate’s findings
[77]
Justice
Kelen found that the Delegate failed to “make an express finding that the applicant
was complicit in the serious and significant criminal acts of the gang.” (at
paragraph 68 of the Reasons for Judgment). I agree in part. The Delegate failed
to conduct an adequate analysis leading to a finding of complicity. However, an
express finding is not required (Sittampalam v. Canada (M.C.I. and
M.P.S.E.P.), 2007 FC 687 at paragraph 43).
[78]
In
this case, the Delegate found that the A.K. Kannan was a criminal organization
generally involved in severe criminal acts, and that the appellant was an
active member in that group. This is not sufficient to meet the threshold of
paragraph 115(2)(b) of the Act. On this point, I note that the
specific rank of the appellant within the A.K. Kannan criminal organization is
unclear. In the Request for Minister’s Opinion, supra, the appellant is
said to be a “leader” by a source “confirmed [to be] reliable” (at paragraph
24), whereas in the Delegate’s Opinion, he is referred to as an “enforcer” on
the basis of a witness’ statement who later disowned his prior declaration to
that effect.
[79]
While
this general approach used by the Delegate would be consistent with a
determination under paragraph 37(1)(a) of the Act, it falls short of
meeting the personalized fact-driven inquiry dictated by paragraph 115(2)(b)
of the same Act. Ultimately, not having to make an express finding of
complicity does not mean that the Delegate was not required to conclude, on
reasonable grounds, that the evidence pointed to the appellant as being
complicit in the acts of organized criminality committed by the organization, acts
that were of such nature and severity as to warrant his removal. The Delegate
failed to do so.
[80]
To
that effect, I propose to remit the matter back to the Minister for
reconsideration in accordance with the law. Considering that conclusion, it is
therefore not appropriate
to address the issue of risk assessment.
E. Remedies Sought
[81]
The
appellant requests, among other remedies, that this Court compels the
respondent to assist him to return to Canada on an urgent basis so that he may
remain in Canada while his case is being reconsidered (appellant’s memorandum
at paragraph 76).
[82]
The record
indicates no special circumstances for this Court to compel the Minister to act
in a particular fashion. Despite the legal errors committed by the Delegate
during the examination of the appellant’s file, his rights to a fair process
were never breached. Indeed such an issue was never raised in argument.
Furthermore, the Minister is acutely aware of his obligations under the Act and
this Court has no reason to intervene, or to presume that these obligations
will not be met.
Conclusions
[83]
In light
of the foregoing, I would allow the appeal without costs, set aside the
decision of the Federal Court, allow the application for judicial review and
remit the matter back to the Delegate for re-determination in accordance with
the present reasons.
[84]
I propose,
as well, to answer the certified questions as follows:
Question 1
If, in the preparation of an opinion under paragraph 115(2)(b)
of the Immigration and Refugee Protection Act , the Minister finds that
a refugee who is inadmissible on grounds of organized criminality does not face
a risk of persecution, torture, cruel and unusual punishment or treatment upon
return to his country of origin, does such a finding render unnecessary the
Minister’s consideration of the “nature and severity of acts committed” under
paragraph 115(2)(b)?
Answer: No
Question 2
If the lack of risk
identified in question #1 is not determinative, is paragraph 115(2)(b) of
the Immigration and Refugee Protection Act to be applied “on the basis
of the nature and severity of acts committed” by the criminal organization of
which the person is a member, or of acts committed by the person being
considered for removal (including acts of the criminal organization in which
the person was complicit)?
Answer: The exception of paragraph 115(2)(b) regarding
organized criminality will apply to a Convention refugee or a protected person
if, in the opinion of the Minister, that person should not be allowed to remain
in Canada on the basis of the nature and substantial gravity of acts committed
(in the context of organized criminality) personally or through complicity, as
defined by our domestic laws, but established on a standard of reasonable
grounds.
“Johanne
Trudel”
“I agree
Robert Décary J.A.”
“I agree
M. Nadon J.A.”