Date: 20160623
Dockets: A-437-14 (lead file), A-56-14, A-59-14,
A-63-14,
A-64-14; A-67-14, A-439-14,
A-440-14,
A-442-14, A-443-14, A-445-14,
A-446-14,
A-447-14, A-448-14, A-514-14,
A-517-14,
A-520-14, A-522-14
Citation: 2016 FCA 187
CORAM:
|
DAWSON J.A.
STRATAS J.A.
RYER J.A.
|
BETWEEN:
|
GITXAALA NATION, GITGA’AT FIRST NATION,
HAISLA NATION, THE COUNCIL OF THE HAIDA NATION
and PETER LANTIN suing on his own behalf and
on
behalf of all citizens of the Haida Nation,
KITASOO XAI'XAIS BAND COUNCIL on behalf of
all members of the Kitasoo Xai’Xais Nation and
HEILTSUK TRIBAL COUNCIL on behalf of all
members of the Heiltsuk Nation, MARTIN LOUIE,
on his own behalf, and on behalf of Nadleh
Whut’en and on
behalf of the Nadleh Whut’en Band, FRED SAM,
on his
own behalf, on behalf of all Nak’azdli
Whut’en, and on
behalf of the Nak’azdli Band, UNIFOR,
FORESTETHICS
ADVOCACY ASSOCIATION, LIVING OCEANS SOCIETY,
RAINCOAST CONSERVATION FOUNDATION,
FEDERATION OF BRITISH COLUMBIA NATURALISTS
carrying on business as BC NATURE
|
Applicants and
Appellants
|
and
|
HER MAJESTY THE QUEEN, ATTORNEY GENERAL
OF CANADA, MINISTER OF THE ENVIRONMENT,
NORTHERN GATEWAY PIPELINES INC.,
NORTHERN GATEWAY PIPELINES LIMITED PARTNERSHIP
and NATIONAL ENERGY BOARD
|
Respondents
|
and
|
THE ATTORNEY GENERAL OF BRITISH COLUMBIA,
AMNESTY INTERNATIONAL and THE CANADIAN
ASSOCIATION OF PETROLEUM PRODUCERS
|
Interveners
|
REASONS FOR JUDGMENT
DAWSON and
STRATAS JJ.A.
[1]
Before the Court are nine applications for
judicial review of Order in Council P.C. 2014-809. That Order required the
National Energy Board to issue two Certificates of Public Convenience and
Necessity, on certain conditions, concerning the Northern Gateway Project. That
Project, proposed by Northern Gateway Pipelines Inc. and Northern Gateway
Pipelines Limited Partnership, consists of two pipelines transporting oil and
condensate, and related facilities.
[2]
Also before the Court are five applications for
judicial review of a Report issued by a review panel, known as the Joint Review
Panel, acting under the Canadian Environmental Assessment Act, 2012,
S.C. 2012, c. 19, section 52 and the National Energy Board Act, R.S.C.
1985, c. N-7, as amended. The Governor in Council considered the Joint
Review Panel’s Report when making its Order in Council.
[3]
And also before the Court are four appeals of
the Certificates issued by the National Energy Board.
[4]
All of these proceedings have been consolidated.
These are our reasons for judgment in the consolidated proceedings. In
conformity with the order consolidating the proceedings, the original of these
reasons will be placed in the lead file, file A-437-14, and a copy will be
placed in each of the other files.
[5]
As seen above, three administrative acts—the
Order in Council, the Report and the Certificates—are all subject to challenge.
But, as explained below, for our purposes, the Order in Council is legally the
decision under review and is the focus of our analysis.
[6]
Applying the principles of administrative law,
we find that the Order in Council is acceptable and defensible on the facts and
the law and is reasonable. The Order in Council was within the margin of
appreciation of the Governor in Council, a margin of appreciation that, as we
shall explain, in these circumstances is broad.
[7]
However, the Governor in Council could not make
the Order in Council unless Canada has also fulfilled the duty to consult owed
to Aboriginal peoples.
[8]
When considering whether that duty has been
fulfilled—i.e., the adequacy of consultation—we are not to insist on a
standard of perfection; rather, only reasonable satisfaction is required.
Bearing in mind that standard, we conclude that Canada has not fulfilled its
duty to consult. While Canada exercised good faith and designed a good framework
to fulfil its duty to consult, execution of that framework—in particular, one
critical part of that framework known as Phase IV—fell well short of the mark.
A summary of our reasons in support of this conclusion can be found at
paragraphs 325-332, below.
[9]
In reaching this conclusion, we rely to a large
extent on facts not in dispute, including Canada’s own factual assessments and
its own officials’ words. Further, in reaching this conclusion, we have not extended
any existing legal principles or fashioned new ones. Our conclusion follows
from the application of legal principles previously settled by the Supreme
Court of Canada to the undisputed facts of this case.
[10]
Thus, for the following reasons, we would quash
the Order in Council and the Certificates that were issued under them. We would
remit the matter back to the Governor in Council for prompt redetermination.
[11]
For the convenience of the reader, we offer an
index to these reasons:
A. The Project
|
[12]
|
B. The parties
|
[17]
|
C. The approval process for the Project
|
[19]
|
(1) Introduction
|
[19]
|
(2) The beginning
|
[21]
|
(3) The process gets underway
|
[33]
|
(4) The parties’ participation in the
approval process
|
[48]
|
(5) The Report of the Joint Review Panel
|
[50]
|
(6) Consultation with Aboriginal groups:
Phase IV
|
[54]
|
(7) The Order and the Certificates
|
[59]
|
(8) Future regulatory processes
|
[67]
|
D. Legal proceedings
|
[68]
|
E. Reviewing the administrative
decisions following administrative law principles
|
[74]
|
(1) Introduction
|
[74]
|
(2) Preliminary issues
|
[82]
|
(a) The standing of certain parties
|
[82]
|
(b) The admissibility of affidavits
|
[88]
|
(3) ...... The legislative scheme in detail
|
[92]
|
(a) The report stage: the National
Energy Board Act requirements
|
[102]
|
(b) The report stage: the Canadian
Environmental Assessment Act, 2012 requirements
|
[108]
|
(c) Consideration by the Governor in
Council
|
[112]
|
(4) Characterization of the legislative
scheme
|
[119]
|
(5) Standard of review
|
[128]
|
(6) The Governor in Council’s decision
was reasonable under administrative law principles
|
[156]
|
F. The duty to consult Aboriginal
peoples
|
[170]
|
(1) Legal principles
|
[170]
|
(2) The standard to which Canada is to
be held in fulfilling the duty
|
[182]
|
(3) The consultation process
|
[187]
|
(4) ...... The alleged flaws in the
consultation process
|
[191]
|
(a) The Governor in
Council prejudged the approval of the Project
|
[192]
|
(b) The framework of the
consultation process was unilaterally imposed upon the First Nations
|
[201]
|
(c) Inadequate funding for participation
in the Joint Review Panel and consultation processes
|
[209]
|
(d) The consultation process was
over-delegated
|
[211]
|
(e) Canada either failed to conduct or
failed to share with affected First Nations its legal assessment of the
strength of their claims to Aboriginal rights or title
|
[218]
|
(f) The Crown consultation did not
reflect the terms, spirit and intent of the Haida Agreements
|
[226]
|
(g) The Joint Review Panel Report left
too many issues affecting First Nations to be decided after the Project was
approved
|
[230]
|
(h) The consultation process was too
generic: Canada and the Joint Review Panel looked at First Nations as a whole
and failed to address adequately the specific concerns of particular First
Nations
|
[230]
|
(i) After the Report of the Joint
Review Panel was finalized, Canada failed to consult adequately with First
Nations about their concerns and failed to give adequate reasons
|
[230]
|
(j) Canada did not assess or discuss
title or governance rights and the impact on those rights
|
[230]
|
(5) Conclusion
|
[325]
|
G. Remedy
|
[333]
|
H. Proposed disposition
|
[342]
|
A.
The Project
[12]
The Northern Gateway Project consists of two
1,178 kilometer pipelines and associated facilities. One pipeline is intended
to transport oil from Bruderheim, Alberta to Kitimat, British Columbia. At
Kitimat, the oil would be loaded onto tankers for delivery to export markets.
The other pipeline would carry condensate removed from tankers at Kitimat to
Bruderheim, for distribution to Alberta markets.
[13]
The associated facilities include both tank and
marine terminals in Kitimat consisting of a number of oil storage tanks, condensate
storage tanks, tanker berths and a utility berth. Kitimat would be a much
busier place, with 190-250 tanker calls a year, some tankers up to 320,000 tons
deadweight in size.
[14]
If built, the Project could operate for 50 years
or more.
[15]
Behind the Project are Northern Gateway
Pipelines Limited Partnership and Northern Gateway Pipelines Inc. For the
purposes of these reasons, it is not necessary to distinguish between the two
and so the term “Northern Gateway” shall be used throughout for both or either.
[16]
Northern Gateway is not alone behind the
Project. It has 26 Aboriginal equity partners representing almost 60% of the
Aboriginal communities along the pipelines’ right-of-way, representing 60% of
the area’s First Nations’ population and 80% of the area’s combined First
Nations and Métis population. Northern Gateway continues to discuss long term
partnerships with a number of Aboriginal groups and expects that the number of
equity partners will increase.
B.
The parties
[17]
The Project significantly affects a number of
the First Nations who are parties to these proceedings. In no particular order,
these parties are as follows:
•
Gitxaala Nation. Portions of the oil and condensate tanker
routes for the Project are located within the Gitxaala’s asserted traditional
territory. The Gitxaala maintain that the tanker traffic resulting from the
Project would affect its Aboriginal rights, including title and self-governance
rights. Its main community, Lach Klan, is roughly 10 kilometres from the tanker
routes. Also near the tanker routes are fifteen of its reserves, several
harvesting areas, traditional village sites, and spiritual sites.
•
Haisla Nation. A portion of the pipelines, the entire Kitimat
terminal and a portion of the tanker route are within territory claimed by the
Haisla upon which they assert rights to hunt, fish, trap, gather, use timber
resources and govern. Canada accepted the Haisla’s comprehensive claim for
negotiations decades ago and twenty years ago, Canada entered into a framework
agreement with the Haisla for treaty negotiations.
•
Gitga’at First Nation. All ships coming or going from the Kitimat
terminal must pass through the Gitga’at’s asserted territory. They have fourteen
reserves along the proposed shipping route; indeed, the route is just two
kilometres from the main Gitga’at community at Hartley Bay, British Columbia.
•
Kitasoo Xai’Xais Band
Council. This party is the body
that governs the Kitasoo Xai’Xais Nation, a band of Aboriginal peoples
comprised of the Tsimshian Kitasoo people and Heiltsuk language speaking
Xai’Xais people. Their asserted territory includes a number of coastal islands
and surrounding waters and mainland territory next to inlets and fjords.
Tankers will cross their territory.
•
Heiltsuk Tribal Council. This party governs the Heiltsuk Nation. The
Heiltsuk Nation is a band of Aboriginal peoples amalgamated from five tribal
groups located on the central coast of British Columbia. They assert a claim to
16,658 square kilometres of land and nearshore and offshore waters on the
central coast of British Columbia. Their main community is Bella Bella, on
Campbell Island. Tankers approaching Kitimat from the southern approach will
travel through the Heiltsuk’s asserted territory.
•
Nadleh Whut’en and
Nak’azdli Whut’en. They are
part of the Yinka Dene or Dakelh people. Yinka Dene means “people of the earth” or “people for the land.” Dakelh means “travellers on water.” They have a governance system founded in ancestral laws,
key elements of which include the affiliation of Dakelh people with clans that
include hereditary leaders, land and resource management territories known as “keyoh” or “keyah,” and a system of governance known as “bahlats” as an institution to govern the keyoh/keyah and clans. The
pipelines would cross approximately 50 kilometres of the Nadleh’s asserted
territory and cross 86 watercourses on their land, 21 of which are fish-bearing
waters. The pipelines would cross approximately 110 kilometres of the Nak’azdli’s
asserted territory and cross 167 watercourses on their land, 60 of which are
fish-bearing waters. A pumping station would also be located on the Nak’azdli’s
asserted territory. The Nadleh and the Nak’azdli are members of the Carrier
Sekani Tribal Council, whose comprehensive claim has been accepted by Canada
for negotiation.
•
Haida Nation. The Haida Nation is the Indigenous Peoples of
Haida Gwaii. Haida Gwaii means “islands
of the people,” and is an archipelago
of more than 150 islands, extending roughly 250 kilometres, with roughly 4,700
kilometres of shoreline. No place is further than 20 kilometres from the sea.
All proposed tanker routes go through or are next to the marine portion of the
territory asserted by the Haida. In the southern portion of Haida Gwaii is
Gwaii Haanas, a Haida protected area and national park reserve that contains a
UNESCO World Heritage Site called “sGan gwaay” or “nansdins.” Northern Gateway identified nine ecosections and twelve
oceanographic areas of significance for the Project and a number of these surround
Haida Gwaii.
[18]
Other parties before the Court claim a strong
interest in the Project:
•
ForestEthics Advocacy
Association. This non-profit
environmental protection society has a long history of advocating for changes
in the extraction of natural resources, protecting endangered forests and wild
places, educating and informing the public and working with governments and
others in pursuit of these objectives.
•
Living Oceans Society. This non-profit society advances science-based
policy recommendations to achieve the conservation of oceans and the
communities that depend upon them. It has been involved in researching and
proposing policy for oil and gas development as it affects the marine
environment.
•
Raincoast Conservation
Foundation. This is a group of
conservationists and scientists dedicated to protecting the lands, waters and
wildlife of coastal British Columbia through peer-reviewed science and
grassroots advocacy and the use of a full-time university lab, a research
station and a research vessel.
•
B.C. Nature. This is a federation of naturalists and
naturalist clubs representing more than 5,000 people. It wishes to maintain the
integrity of British Columbia’s ecosystems and rich biodiversity. To this end,
it engages in public education and coordinates a science-based program that
identifies, conserves and monitors a network of habitats for bird populations.
•
Unifor. This is a labour union that represents many
energy and fisheries workers in Canada. The energy workers it represents are
employed in oil and gas exploration, transportation, refining and conservation
in petrochemical and plastics industries. A number of its members work in
production and refining facilities in Alberta and British Columbia that are to
be served by the Project. The fisheries workers are located across Canada. On
the west coast, Unifor represents commercial fishers and fish plant workers who
rely on healthy fish stocks and fish habitats.
C.
The approval process for the Project
(1)
Introduction
[19]
The challenges associated with the approval
process for the Project were immense. Massive in size and affecting so many
diverse groups and geographic habitats in so many different ways, the Project
had to be assessed in a sensitive, structured, efficient, yet inclusive manner.
[20]
By and large—with the exception of certain
aspects of Canada’s execution of the duty to consult, to which we return later
in these reasons—the assessment and approval process was set up well and operated
well. Given the challenges, this was no small achievement.
(2)
The beginning
[21]
In late 2005, Northern Gateway Pipeline
submitted a preliminary information package to the National Energy Board and
the Canadian Environmental Assessment Agency.
[22]
In early 2006, the Board, after consulting with
various federal authorities, recommended that the Minister of the Environment
refer the Project to a review panel. In the autumn, the Minister of the
Environment referred the Project to a review panel to be conducted jointly
under the National Energy Board Act and the Canadian Environmental
Assessment Act. That review panel was known as the Joint Review Panel
because it had two tasks. First, it was to prepare a report under section 52 of
the National Energy Board Act for the consideration of the Governor in
Council. Second, owing to the fact that the Project was a “designated project” within the meaning of section 2
of the Canadian Environmental Assessment Act, the Joint Review Panel was
to conduct an environmental assessment of the Project and provide
recommendations to the Governor in Council under section 30 of the Canadian
Environmental Assessment Act.
[23]
The terms of reference for the Joint Review
Panel needed to be settled. Those terms of reference were to appear in an
agreement between the National Energy Board and the Minister of the
Environment. In September 2006, the Canadian Environmental Assessment Agency
released a draft of that agreement for comment. This was an opportunity for the
public and, specifically, Aboriginal groups, to provide their views.
[24]
The review process was paused in late 2006 at
the request of Northern Gateway which wanted time to complete various
commercially necessary tasks. Those tasks were completed by mid-2008 when
Northern Gateway requested the review process resume. In particular, it
requested that the draft agreement setting the terms for the Joint Review Panel
be finalized.
[25]
Throughout this time, Aboriginal groups
continued to have an opportunity to comment on the draft agreement. And in late
2008-early 2009, the Canadian Environmental Assessment Agency specifically
contacted Aboriginal groups to advise them about the Project and to inform them
of opportunities to participate in proceedings before the Joint Review Panel
and the related process of consultation with the Crown. Much more on this will
be discussed below.
[26]
In February 2009, the Agency released the
Government of Canada’s framework for consulting with Aboriginal groups
regarding the Project. This framework, found in a document entitled Approach
to Crown Consultation for the Northern Gateway Project, outlined a
comprehensive five phase consultation process:
•
Phase I: Preliminary
Phase. During this Phase, there
would be consultation on the draft Joint Review Panel agreement and information
would be provided to Aboriginal Groups on the mandates of the National Energy
Board and the Canadian Environmental Agency and the Joint Review Panel process.
•
Phase II: Pre-hearing
Phase. Information would be
given to Aboriginal groups concerning the Joint Review Panel process and groups
would be encouraged to participate in the process.
•
Phase III: The Hearing
Phase. During this time, the
Joint Review Panel would hold its hearings. Aboriginal groups would be encouraged
to participate and to provide information to help the Joint Review Panel in its
process and deliberations. During this phase, the Crown was to participate and
to facilitate the process by providing expert scientific and regulatory advice.
•
Phase IV: The Post-Report
Phase. Following the release of
the Report of the Joint Review Panel, the Crown was to engage in consultation
concerning the Report and on any project-related concerns that were outside of
the Joint Review Panel’s mandate. For this purpose, the Canadian Environmental
Assessment Agency was to be the contact point. This was to take place before
the Governor in Council’s decision whether certificates for the Project should
be issued under section 54 of the National Energy Board Act.
•
Phase V: The
Regulatory/Permitting Phase.
During this phase, further consultation was contemplated concerning permits and
authorizations to be granted for the Project, if approved.
[27]
In February 2009, the Canadian Environmental
Assessment Agency also released a new draft Joint Review Panel agreement,
amended to respond to concerns raised during the initial comment period. A
public comment period regarding the new draft agreement followed. Although the
public comment period closed in mid-April 2009, submissions and comments from
Aboriginal groups continued to be accepted until August 2009. During this time,
the Crown offered to meet with Aboriginal groups to discuss the draft Joint
Review Panel agreement and how consultation with them would be carried out. In
particular, the Gitga’at, the Gitxaala and the Haisla met with the Crown.
[28]
Near the end of 2009, the mandate of the Joint
Review Panel and the process for the assessment of the Project began to be
finalized. The National Energy Board and all federal “responsible
authorities” within the meaning of the Canadian Environment
Assessment Act signed an agreement entitled Project Agreement for the
Northern Gateway Pipelines Project in Alberta and British Columbia. The
Canadian Environmental Assessment Agency issued a document entitled Scope of
the Factors – Northern Gateway Pipeline Project, Guidance for the assessment of
the environmental effects of the Northern Gateway Project. Finally, the
Agency issued letters to certain Aboriginal groups providing all of these
documents and a table setting out the consideration given to comments made by
Aboriginal groups.
[29]
Shortly afterward, the Canadian Environmental
Assessment Agency and the National Energy Board issued the Agreement Between
the National Energy Board and the Minister of the Environment concerning the
Joint Review of the Northern Gateway Pipeline Project. In this agreement,
Canada committed to a “whole of government”
approach to Aboriginal engagement and consultation, including reliance, to the
extent possible, on the consultation efforts of Northern Gateway and the Joint
Review Panel.
[30]
Also appended to this agreement as an appendix
were the terms of reference for the Joint Review Panel. These terms of
reference included process requirements for the Joint Review Panel to follow
during its review of the Project. And in January 2010, in accordance with that
agreement, the Minister of the Environment and the Chair of the National Energy
Board appointed three persons to serve on the Joint Review Panel.
[31]
The National Energy Board also established a
Joint Review Panel Secretariat working in concert with the Canadian
Environmental Assessment Agency to provide support to the Joint Review Panel.
[32]
The Canadian Environmental Assessment Agency
acted as Canada’s “Crown Consultation Coordinator”
for the Project.
(3)
The process gets underway
[33]
With these preliminary matters completed, the
approval process formally began.
[34]
In May 2010, Northern Gateway filed an
application requesting certificates from the National Energy Board for the
Project, an order under Part IV of the National Energy Board Act
approving the toll principles for service on the pipelines and such further
relief as required.
[35]
In July 2010, the Joint Review Panel issued its
first procedural direction. It sought comment from the public, including
Aboriginal groups, concerning a draft list of issues, the information that
Northern Gateway should be required to file over and above that submitted with
its application, and locations for the Joint Review Panel’s oral hearings. To
this end, the Joint Review Panel received written comments and received oral
comments at hearings held at three locations.
[36]
The Joint Review Panel considered what it had
heard and decided certain things. It required Northern Gateway to file
additional information to address certain issues specific to the Project and
certain risks posed by the Project. The Joint Review Panel stated that this information
had to be provided before it could issue a hearing order. It also revised the
list of issues and commented on the locations for its hearings.
[37]
Staff for the Joint Review Panel conducted
public information sessions between 2010 and July 2011 and online workshops
from November 2011 to April 2013. By March 31, 2011, Northern Gateway submitted
additional information in response to the Joint Review Panel’s decision.
[38]
In May 2011, the Joint Review Panel issued a
hearing order. In that order, it described the procedures to be followed in the
joint review process and gave notice that the hearings would start on January
10, 2012.
[39]
Around the same time, the Crown consulted with
representatives of some of the Aboriginal groups who are applicants/appellants
in these proceedings, including the Gitga’at, the Gitxaala, the Haida, the Haisla
and the Heiltsuk. Also in 2011, a number of Aboriginal groups, including most
of the Aboriginal groups who are parties to these proceedings, and a number of
public interest groups registered to intervene in the proceedings before the
Joint Review Panel.
[40]
A number of government agencies—Natural
Resources Canada, Aboriginal Affairs and Northern Development Canada, Fisheries
and Oceans Canada, the Canadian Coast Guard, Transport Canada, and Environment
Canada—also registered as government participants in the proceedings. All
interveners and government agencies had to file written evidence with the Joint
Review Panel by one week before the start date for the hearings.
[41]
Through its Participant Funding Program, the
Canadian Environmental Assessment Agency provided funding to certain public and
Aboriginal groups to facilitate their participation in the Joint Review Panel
process and Crown consultation activities.
[42]
As scheduled, on January 10, 2012, the Joint
Review Panel’s hearings began. The first set of hearings was known as the “community hearings.” The Joint Review Panel travelled
to many local communities and received letters of comment and oral statements,
including statements from representatives of Aboriginal groups. At one point,
the Joint Review Panel and other interveners accompanied representatives of the
Gitxaala on a boat tour of a portion of their asserted traditional territory.
[43]
Around this time, the
Joint Review Panel received a report setting out a technical review of marine
aspects of the Project. Initiated in 2004 at the request of Northern Gateway,
this technical review, known as the Technical Review Process of Marine Terminal
Systems and Transshipment Sites or “TERMPOL”, was conducted by a review committee chaired by Transport
Canada, staffed by representatives of other federal departments and, among
other things, assisted by a technical consultant acting on behalf of the Haisla
and the Kitimat Village Council.
[44]
Also around this time,
there were some legislative changes. Originally, the environmental assessment
was to be conducted in accordance with the Canadian Environmental Assessment
Act that was introduced in 1992. But in mid-2012, the Jobs, Growth and
Long-Term Prosperity Act, S.C. 2012, c. 19 became law, repealing the 1992
version of the Canadian Environmental Assessment Act, enacting the Canadian
Environmental Assessment Act, 2012, and amending the National Energy
Board Act. The joint review process for the Project, already underway, was
continued under these amended provisions. Hereafter, in these reasons, unless
otherwise noted, references to the Canadian Environmental Assessment Act, 2012
and the National Energy Board Act refer to the 2012 versions
of these statutes.
[45]
A month after those statutory amendments became law, and in
accordance with those amendments, the Minister of the Environment and the Chair
of the National Energy Board directed that the Joint Review Panel submit its
environmental assessment as part of the recommendation report under section 52
of the National Energy Board Act no later than December 31, 2013. They
also finalized amendments to some of the agreements discussed above and the
terms of reference of the Joint Review Panel.
[46]
Proceeding under the
2012 legislation, the Joint Review Panel had two main tasks. First, it had to
provide a report under section 52 of the National Energy Board Act. Second,
in that report it was also to include recommendations flowing from the
environmental assessment conducted under Canadian Environment Assessment
Act, 2012: subsection 29(1). Overall, the report was to:
•
recommend whether the
requested certificates should be issued;
•
outline the terms and
conditions that should be attached to any certificates issued by the Board for
the Project;
•
present recommendations
based on the environmental assessment.
[47]
In September 2012, the
Joint Review Panel conducted what it called “final
hearings.” This last phase of the hearing
process ended in June 2013. During this stage, the parties asked questions,
filed written argument and made oral argument.
(4)
The parties’ participation in the approval
process
[48]
Overall, the parties
had ample opportunity to participate in the Joint Review Panel process and generally
availed themselves of it:
•
Gitxaala Nation. The Gitxaala participated in all parts of the
Joint Review Panel process, including making information requests, submitting
technical reports, written and oral Aboriginal evidence, and attending hearings
in many localities. Overall, the Gitxaala submitted 7,400 pages of written
material, oral testimony from 27 community members and 11 expert reports on
various subjects, including Northern Gateway’s risk assessment methodology, oil
spill modelling, and the fate and behaviour of spilled diluted bitumen. Among
other things, the Gitxaala expressed deep concern about the specific effects
the Project could have on asserted rights and title.
•
Haisla Nation. The Haisla also participated in all parts of
the Joint Review Panel process, including submitting technical and Aboriginal
evidence, oral traditional evidence, attending hearings, and participating
extensively in the final round of submissions. During the process, the Haisla filed
a traditional use study that describes their culture, property ownership system
and laws and how the Project will interfere with their use and occupation of their
lands, water and resources. The Haisla also submitted a historic and
ethnographic report and an archaeological site summary supporting their claim
to exclusive use and occupation of their asserted lands. The Haisla also
tendered statements and oral histories from hereditary and elected chiefs and
elders outlining the Haisla’s history, their use and occupation of their asserted
lands, and their efforts to protect their lands, waters and resources for the
benefit of future generations. The Haisla also expressed their concerns about
the Project.
•
Kitasoo Xai’Xais Band
Council. The Kitasoo submitted
brief written evidence, oral evidence at a community hearing and filed final
written argument.
•
Heiltsuk Tribal Council. The Heiltsuk submitted written evidence,
answered an information request, gave oral evidence at a community hearing,
conducted some cross-examination of witnesses for Northern Gateway and Canada,
and submitted final argument.
•
Nadleh Whut’en and
Nak’azdli Whut’en. These
parties made submissions to the Crown regarding the draft joint review
agreement and the manner in which Canada was engaging in consultation during
Phase I of the consultation process. The Yinka Dene Alliance, of which the
Nadleh and the Nak’azdli were a part, elected not to intervene before the Joint
Review Panel, but a keyoh within the Nak’azdli Whut’en system of governance did
intervene.
•
Haida Nation. The Haida participated in all parts of the
Joint Review Panel process. They made information requests, submitted written
technical and Aboriginal evidence, provided oral Aboriginal evidence, attended
hearings to question Northern Gateway witnesses, submitted a final written
argument with comments on proposed conditions, and made oral reply argument. They
submitted a 336-page Marine Traditional Knowledge Study describing traditional
harvesting activities, both historically and currently, locations of
harvesting, and the time of year that harvesting is undertaken for various
species throughout Haida Gwaii. The Haida and Canada collaborated on Living
Marine Legacy Reports over six years culminating in 2006. These reports, totalling
1,247 pages, provide baseline inventories of marine plants, invertebrates,
birds and mammals along the coastline of Haida Gwaii.
•
ForestEthics Advocacy
Association, Living Oceans Society and Raincoast Conservation Foundation (hereafter, the “Coalition”). The
Coalition participated in the Joint Review Panel process as interveners,
providing written evidence and written responses to information requests
regarding that evidence, submitting written information requests to other
parties, offering witnesses, questioning other parties’ witnesses and making
submissions.
•
B.C. Nature. B.C. Nature participated in the Joint Review
Panel process as a joint intervener with Nature Canada. It tendered written
evidence, provided written responses to information requests regarding that
evidence, questioned the witnesses of other parties, provided late written
evidence, offered witnesses on that evidence, filed several motions and made
submissions.
•
Unifor. The predecessor unions of this national union
participated in the Joint Review Panel process as interveners. They adduced
expert evidence, exchanged information requests and responses, presented
witnesses for questioning, and offered final argument.
[49]
Needless to say, the
involvement of Northern Gateway and Canada throughout the Joint Review Panel
process was massive. In Canada’s case, as mentioned above, a number of
departments and agencies registered with the Joint Review Panel process as
government participants. They filed written evidence, information requests and responses
to information requests. They also offered witnesses for questioning on the
evidence provided.
(5)
The Report of the Joint Review Panel
[50]
On December 19, 2013,
the Joint Review Panel issued a two volume report: Connections: Report of
the Joint Review Panel for the Enbridge Northern Gateway Project, vol. 1
and Considerations: Report of the Joint Review Panel for the Enbridge
Northern Gateway Project, vol. 2.
[51]
The Joint Review Panel
found that the Project was in the public interest. It recommended that the
applied-for certificates be issued subject to 209 conditions. The conditions
require a number of plans, studies and assessments to be considered and
assessed by the National Energy Board and other regulators in the future. The
209 conditions include requirements that Northern Gateway provide ongoing and
enduring opportunities for affected Aboriginal groups to have input into the
continuing planning, construction and operation of the Project through a
variety of plans, programs and benefits. A number of the conditions were
offered by Northern Gateway during the process. Along with those 209
conditions, Northern Gateway made over 450 voluntary commitments.
[52]
The conditions deal
with such matters as environmental management and monitoring, emergency
preparedness and response, and the delivery of economic benefits. Northern
Gateway says that these conditions represent an investment of $2 billion on its
part. Aboriginal groups, including the First Nations parties in these
proceedings will continue to have opportunities to provide input and
participate in fulfilment of these conditions.
[53]
The Joint Review Panel
also recommended that the Governor in Council conclude that:
•
potential adverse environmental
effects from the Project alone are not likely to be significant;
•
adverse effects of the
Project, in combination with effects of past, present and reasonably
foreseeable activities or actions are likely to be significant for certain
woodland caribou herds and grizzly bear populations; and
•
the significant adverse
cumulative effects in relation to the caribou and grizzly bear populations are
justified in the circumstances.
(6)
Consultation with Aboriginal groups: Phase IV
[54]
Following the release
of the Report of the Joint Review Panel, the process of consultation with
Aboriginal groups entered Phase IV of the consultation framework. A detailed
description of what happened during this phase is set out below.
[55]
For present purposes,
Phase IV began with the Crown sending letters to representatives of Aboriginal
groups in December 2013, seeking input on how the Joint Review Panel’s
recommendations and conclusions addressed their concerns. Officials from the
Canadian Environmental Assessment Agency and other federal departments held
meetings with representatives from Aboriginal groups to discuss concerns. Federal
representatives met with a number of Aboriginal groups including the Gitga’at, the
Gitxaala, the Haida, the Haisla, the Heiltsuk, the Kitasoo and the Yinka Dene
Alliance (which includes the Nak’azdli and the Nadleh).
[56]
Following these
meetings and discussions, on May 22, 2014, Canada issued a report concerning
its consultation: Report on Aboriginal Consultation Associated with the
Environmental Assessment.
[57]
At this point, it is
perhaps appropriate to note that this is not a case where the proponent of the
Project, Northern Gateway, declined to work with Aboriginal groups. Far from
it. Once the pipeline corridor for the Project was defined in 2005, Northern
Gateway engaged with all Aboriginal groups, both First Nations and Métis, with communities
located within 80 kilometres of the Project corridor and the marine terminal.
Northern Gateway engaged with other Aboriginal groups beyond that area to the
extent that they self-identified as having an interest because the corridor crossed
their traditional territory.
[58]
In all, Northern
Gateway engaged with over 80 different Aboriginal Groups across various regions
of Alberta and British Columbia. It employed many methods of engagement, giving
$10.8 million in capacity funding to interested Aboriginal groups. It also
implemented an Aboriginal Traditional Knowledge program, spending $5 million to
fund studies in that area.
(7)
The Order and the Certificates
[59]
The Governor in Council had before it the Report of the Joint
Review Panel. It also had other material before it that was not
disclosed in these proceedings. Canada asserted privilege over that material
under section 39 of the Canada Evidence Act, R.S.C. 1985, c. C-5.
[60]
On June 17, 2014, the
Governor in Council issued Order in Council P.C. 2014-809. On June 28, 2014, the
Order in Council was published in the Canada Gazette.
[61]
Balancing all of the
competing considerations before it, the Governor in Council accepted “the [Joint Review] Panel’s finding that the Project, if
constructed and operated in full compliance with the conditions set out in
Appendix 1 of Volume 2 of the [Joint Review Panel’s] Report, is and will be
required by the present and future public convenience and necessity.” It “accept[ed] the Panel’s
recommendation.” It added that “the Project would diversify Canada’s energy export markets
and would contribute to Canada’s long-term economic prosperity.”
[62]
As for matters raised
by the environmental assessment, the Governor in Council found that, taking
into account the implementation of mitigation measures, “the Project is not likely to cause significant environmental
effects” within the meaning of subsection 5(1)
of the Canadian Environmental Assessment Act, 2012. However, the Project
would cause significant adverse environmental effects to certain populations of
woodland caribou and grizzly bear within the meaning of subsection 5(2) of the Canadian
Environmental Assessment Act, 2012 but these effects were “justified in the circumstances.” Exercising its authority under subsections 53(1) and 53(2)
of the Canadian Environmental Assessment Act, 2012, the Governor in
Council established conditions with which Northern Gateway must comply, which
conditions were set out in Appendix 1 of Considerations: Report of the Joint
Review Panel for the Enbridge Northern Gateway Project, vol. 2.
[63]
In light of the
foregoing, exercising its power under section 54 of the National Energy
Board Act, the Governor in Council directed the National Energy Board to
issue Certificates of Public Convenience and Necessity to Northern Gateway for
the Project in accordance with the terms and conditions set out in the Joint
Review Panel’s Report.
[64]
On the same day, at
the behest of the Governor in Council, the National Energy Board issued a
decision statement under subsection 54(1) of the National Energy Board Act.
The Decision Statement summarized what the Governor in Council had decided on
the Joint Review Panel’s recommendations made as a result of the environmental
assessment. The Decision Statement reads as follows:
The Governor in
Council has decided, after considering the [Joint Review Panel’s] report
together with the conditions proposed in it, that the [Project] is not likely
to cause significant adverse environmental effects referred to in subsection
5(1) of [the Canadian Environmental Assessment Act], but it is likely to
cause significant environmental effects referred to in subsection 5(2) of [the Canadian
Environmental Assessment Act] to certain populations of woodland caribou
and grizzly bear as described in the [Joint Review Panel’s] report.
The Governor in Council has also decided
that, pursuant to subsection 52(4) of [the Canadian Environmental Assessment
Act], the significant adverse environmental effects that the [Project] is
likely to cause to certain populations of woodland caribou and grizzly bear are
justified in the circumstances.
The Governor in Council has established the
209 conditions set out by the [Joint Review Panel] in its report as the
conditions in relation to the environmental effects referred to in subsections
53(1) and (2) of [the Canadian Environmental Assessment Act] with
which [Northern Gateway] must comply.
[65]
A day later, on June 18, 2014, following the direction of the
Governor in Council, the National Energy Board issued to Northern Gateway two
certificates: Certificate OC-060 for the oil pipeline and associated facilities
and Certificate OC-061 for the condensate pipeline and associated facilities.
[66]
In July 2014, a month
after the Governor in Council made its Order in Council and the Board issued
its two Certificates, as part of Phase IV of the consultation framework, the
Crown wrote a number of Aboriginal groups, including some of the parties to
these proceedings, offering explanations concerning the comments they had made
and the Governor in Council’s Order in Council. To the same effect was an
earlier letter written in June 2014, just before the Governor in Council made
its Order in Council approving the Project. We will consider these letters,
along with other facts concerning what took place during Phase IV, in more
detail below.
(8)
Future regulatory processes
[67]
The issuance of the
Certificates by the National Energy Board is not the final step before
construction of the Project starts. Further regulatory processes will have to
be pursued. Northern Gateway must obtain:
•
Routing approval. Northern Gateway must apply for and receive
approval from the National Energy Board for the detailed route of the Project.
Owners of land and those whose interests may be adversely affected will have an
opportunity to file objections. In approving a route, the National Energy Board
must take into account all representations made to it at a public hearing and
consider the most appropriate methods of construction and its timing. The
National Energy Board has the power to attach conditions to its approval. See
generally sections 33-40 of the National Energy Board Act.
•
Acquisition of land
rights. Northern Gateway must
acquire land rights for the Project in Alberta and British Columbia from
private landowners or provincial Crowns by voluntary agreements, right-of-entry
orders or Governor-in-Council consent. In some instances, it must pay
compensation for acquisition of or damage to land. See generally sections 75,
77, 84, 87-103 of the National Energy Board Act.
•
Approval to start construction. Northern Gateway must apply for and receive
leave from the National Energy Board to start construction of the Project.
Under this process, Northern Gateway must satisfy all of the pre-construction
conditions contained in the Certificates granted by the National Energy Board.
As a practical matter, during this process, the detailed design and operation
of the Project will be refined. Out of the 209 conditions attached to the
Certificates, roughly 120 involve the preparation and filing of further
information with the Board before construction can begin. Some of the
conditions require Northern Gateway to report on its consultations with
Aboriginal groups as part of its application for approval submitted to the
National Energy Board.
•
Approval to start
operations. Before the Project
can be operated, Northern Gateway must apply to the National Energy Board for
approval. Among other things, it must satisfy the National Energy Board that
the pipelines can be opened safely for transmission.
•
Other approvals under
federal and provincial legislation. Northern Gateway will also have to apply for these. The
application process may involve the need for further consultation with
Aboriginal groups. Much of this may take place under Phase V of the
consultation framework.
D.
Legal proceedings
[68]
The following notices
of application for judicial review challenge the Report of the Joint Review
Panel:
•
Federation of British
Columbia Naturalists d.b.a. BC Nature v. Attorney General of Canada et al. (A-59-14);
•
ForestEthics Advocacy
Association et al. v. Attorney General of Canada et al. (A-56-14);
•
Gitxaała Nation v.
Minister of the Environment et al. (A-64-14);
•
Haisla Nation v. Canada
(Minister of Environment) et al.
(A-63-14) (later amended);
•
Gitga'at First Nation v.
Attorney General of Canada et al.
(A-67-14).
[69]
The following notices
of application for judicial review challenge the decision of the Governor in
Council, namely Order in Council P.C. 2014-809:
•
Gitxaala Nation v.
Attorney General of Canada et al.
(A-437-14);
•
Federation of British
Columbia Naturalists d.b.a. BC Nature v. Attorney General of Canada et al. (A-443-14);
•
ForestEthics Advocacy
Association et al. v. Attorney General of Canada et al. (A-440-14);
•
Gitga'at First Nation v.
Attorney General of Canada et al.
(A-445-14);
•
The Council of the Haida
Nation et al. v. Attorney General of Canada et al. (A-446-14);
•
Haisla Nation v. Attorney
General of Canada et al.
(A-447-14);
•
Kitasoo Xai'Xais Band
Council et al. v. Her Majesty the Queen et al. (A-448-14);
•
Nadleh Whut’en Band et
al. v. Attorney General of Canada et al. (A-439-14);
•
Unifor v. Attorney
General of Canada et al. (A-442-14).
[70]
The following notices
of appeal were filed against the National Energy Board’s decision to issue the
Certificates (Certificate OC-060 and Certificate OC-061):
•
ForestEthics Advocacy
Association et al. v. Northern Gateway Pipelines et al. (A-514-14);
•
Gitxaala Nation v.
Attorney General of Canada et al.
(A-520-14);
•
Haisla Nation v. Attorney
General of Canada et al.
(A-522-14);
•
Unifor v. Attorney
General of Canada et al.
(A-517-14).
[71]
As mentioned above,
these proceedings were all consolidated. This consolidated matter was one of
the largest proceedings ever prosecuted in this Court, with approximately
250,000 documents and multiple parties before the Court. Seven months after the
proceedings were consolidated and after several motions to resolve minor
disputes, the consolidated proceedings were ready for hearing. This Court
wishes to express its appreciation to the parties for their exemplary conduct
in prosecuting the consolidated proceedings in an efficient and expeditious
manner.
[72]
Broadly speaking, the
consolidated proceedings, taken together, seek an order quashing the
administrative decisions in this case because, under administrative law
principles, they are unreasonable or incorrect. They also seek an order
quashing the Order in Council and the Certificates because Canada has not
fulfilled its duty to consult with Aboriginal peoples concerning the Project.
[73]
Thus, we shall review
the administrative decisions following administrative law principles and then assess
whether Canada fulfilled its duty to consult with Aboriginal peoples.
E.
Reviewing the administrative decisions following
administrative law principles
(1)
Introduction
[74]
This is a complicated
case, with appeals and judicial reviews concerning three different administrative
decisions: the Report of the Joint Review Panel, the Order in Council made by
the Governor in Council and the Certificates made by the National Energy Board.
[75]
In complicated cases
such as this, it is prudent to have front of mind the proper methodology for
reviewing administrative decisions.
[76]
Some of the
administrative decisions have been challenged by way of appeal, others by way
of application for judicial review. Regardless of how they have been
challenged, we are to review them in the same way, namely the way we proceed
when considering applications for judicial review: Canada (Citizenship and
Immigration) v. Khosa, 2009 SCC 12, [2009] 1 S.C.R. 339.
[77]
Broadly speaking, in
judicial reviews, we deal with any preliminary issues, determine the standard
of review, use that standard of review to assess the administrative decisions to
see if the court should interfere, and then, if we consider interference to be warranted,
decide what remedy, if any, should be granted. See generally Canada
(Attorney General) v. Boogaard, 2015 FCA 150, 87 Admin. L.R. (5th) 175, at paragraphs
35-37; Delios v. Canada (Attorney General), 2015 FCA 117, 472 N.R. 171,
at paragraph 26; Budlakoti v. Canada (Citizenship and Immigration), 2015
FCA 139, 473 N.R. 283, at paragraphs 27-28.
[78]
However, in
complicated cases with many moving parts like this one, often it is useful to
begin at a more basic level. What exactly is being reviewed?
[79]
In this case, we have
a statutory scheme for the approval of projects, such as the Project in this
case, involving the participation of a Joint Review Panel, the Governor in
Council, and the National Energy Board. As part of their participation, each
makes a decision of sorts. But in the end, are there really three decisions for
the purposes of review?
[80]
Before pursuing the
methodology of review, it is often useful to characterize the decision or
decisions in issue in light of the legislative scheme within which they rest.
After all, the legislative scheme is the law of the land. Absent constitutional
objection, the legislative scheme must always bind us and guide the analysis.
[81]
Therefore, we shall
examine certain preliminary issues raised by the parties. Then we shall analyze
the legislative regime with a view to understanding the nature of the
administrative decisions made here. Then we shall proceed to the substance of
review and, if necessary, proceed to remedy.
(2)
Preliminary issues
(a)
The standing of certain parties
[82]
Northern Gateway
challenges the standing of the Coalition, BC Nature and Unifor to maintain
their proceedings.
[83]
To have direct
standing in a proceeding challenging an administrative decision, a party must
show that the decision affects its legal rights, imposes legal obligations upon
it, or prejudicially affects it in some way: League for Human Rights of
B'Nai Brith Canada v. Odynsky, 2010 FCA 307, 409 N.R. 298; Rothmans of
Pall Mall Canada Ltd. v. Canada (M.N.R.), [1976] 2 F.C. 500 (C.A.); Irving
Shipbuilding Inc. v. Canada (A.G.), 2009 FCA 116, [2010] 2 F.C.R. 488.
[84]
On the evidence before
us, we are persuaded that the legal or practical interests of these parties are
sufficient to maintain proceedings. Above, at paragraph 18, we have set out
these parties’ interests. We also note that they were all active interveners
before the Joint Review Panel, participating in much of its process. In our
view, these parties have direct standing to maintain their proceedings.
[85]
In support of its submission that these parties did not have
standing, Northern Gateway invokes this Court’s decision in Forest Ethics
Advocacy Association v. Canada (National Energy Board), 2014 FCA 245,
[2015] 4 F.C.R. 75.
[86]
In that case, this
Court held that ForestEthics did not have standing to apply for judicial review
of interlocutory National Energy Board decisions concerning who could participate
in its hearing, the relevancy of certain issues, and the participation of an
individual in the hearing. In the circumstances of that case, the National
Energy Board’s decisions did not affect ForestEthics’ rights, impose legal
obligations upon it, or prejudicially affect it in any way and so it did not
have direct standing. Nor did it have standing as a public interest litigant
under Canada (Attorney General) v. Downtown Eastside Sex Workers United
Against Violence Society, 2012 SCC 45, [2012] 2 S.C.R. 524. Instead, it was
a classic “busybody” as that term is understood in the jurisprudence (at
paragraph 33):
ForestEthics asks
this Court to review an administrative decision it had nothing to do with. It
did not ask for any relief from the Board. It did not seek any status from the
Board. It did not make any representations on any issue before the Board. In
particular, it did not make any representations to the Board concerning the
three interlocutory decisions.
[87]
The circumstances are
completely different in the case at bar. Therefore, we reject Northern
Gateway’s challenge to the standing of the Coalition, BC Nature and Unifor to
maintain proceedings.
(b)
The admissibility of affidavits
[88]
In their memoranda, the
Heiltsuk and the Kitasoo submit that the affidavits of Northern Gateway are “substantially submissions in affidavit form, and the whole
of each…or alternatively the offending parts of each should be struck out.” The Gitxaala have adopted these submissions.
[89]
Under Rule 81 of the Federal
Courts Rules, S.O.R./98-106, affidavits offered in support of proceedings
are to be “confined to facts within the
deponent’s personal knowledge.”
[90]
We agree that some
portions of the affidavits filed by Northern Gateway smack of submissions that
should appear in a memorandum of fact and law, not an affidavit. In considering
this consolidated proceeding, we disregarded the offending portions of Northern
Gateway’s affidavits. Northern Gateway’s affidavits do contain admissible
evidence that we have considered.
[91]
Northern Gateway also
submitted that there were argumentative portions in other affidavits filed with
the Court, such as the Affidavit of Chief Councillor Ellis and most of the
exhibits to the Affidavit of Acting Chief Clarence Innis. We agree. Again, in
determining this matter, we disregarded argumentative portions in the evidence,
and this did not affect our determination.
(3)
The legislative scheme in detail
[92]
This is the first case
to consider this legislative scheme, one that integrates elements from the National
Energy Board Act and the Canadian Environmental Assessment Act, 2012
and culminates in substantial decision-making by the Governor in Council. It is
unique; there is no analogue in the statute book. Accordingly, cases that have
considered other legislative schemes are not relevant to our analysis.
[93]
We must assess this
legislative scheme on its own terms in light of the legislative text, the
surrounding context, and Parliament’s purpose in enacting the legislation: Re
Rizzo & Rizzo Shoes, [1998] 1 S.C.R. 27, 154 D.L.R. (4th) 193; Bell
ExpressVu Limited Partnership v. Rex, 2002 SCC 42, [2002] 2 S.C.R. 559.
Where the legislative text is clear, as it is here, it will predominate in the
analysis: Canada Trustco Mortgage Co. v. Canada, 2005 SCC 54, [2005] 2
S.C.R. 601.
[94]
Broadly speaking,
under this legislative scheme, the proponent of a project applies for a
certificate approving the project.
[95]
In response to the application, information is gathered, evaluations
are made, an environmental assessment is conducted and recommendations are
prepared and presented to the Governor in Council in a report. Overall, on the
basis of everything put before it, the Governor in Council decides whether or
not the certificate should be issued.
[96]
If the Governor in Council decides that a certificate may be
issued, the Governor in Council may also cause the Board to issue a decision
statement setting out conditions relating to the mitigation of environmental
effects and follow-up measures. The decision statement becomes part of the
certificate, i.e., the mitigation and follow-up measures must be
complied with.
[97]
In cases of
uncertainty, the Governor in Council may remit the matter back for
reconsideration of the recommendations. After reconsideration, recommendations
are sent back to the Governor in Council for decision.
[98]
We turn now to a more
detailed analysis of the legislative scheme.
[99]
In this case, the decision-making process under the National
Energy Board Act was triggered by Northern Gateway applying for
certificates for the Project.
[100]
In response to an application, there are two stages: a report stage
and a decision stage. During the former, a report is prepared under the National
Energy Board Act. In cases like this involving a “designated project” within
the meaning of the Canadian Environmental Assessment Act, 2012, the
report must include a report of an environmental assessment prepared under the
Act. In short, in a case such as this, the report stage requires fulfilment of
requirements under the National Energy Board Act and the Canadian
Environmental Assessment Act, 2012.
[101]
Under this legislative
scheme, the National Energy Board is assigned many responsibilities,
particularly at the report stage. In this case, as mentioned, a Joint Review
Panel was established. It was a “review panel” for the purposes of the Canadian Environmental
Assessment Act, 2012 and stood in the shoes of the National Energy Board
for the purposes of the report stage under the National Energy Board Act.
So in this case, references in the legislation to the Board should be seen as
references to the Joint Review Panel for the purposes of the report stage.
(a)
The report stage: the National Energy Board
Act requirements
[102]
First, under
subsection 52(1) of the National Energy Board Act, a report has to be
prepared and submitted to a coordinating Minister for transmission to the
Governor in Council. Subsection 52(1) provides that the report is to set out a
recommendation as to whether the certificates should be granted and, if so,
what conditions, if any, ought to be attached to the certificates:
52. (1) If the Board [here the Joint
Review Panel] is of the opinion that an application for a certificate in
respect of a pipeline is complete, it shall prepare and submit to the
Minister, and make public, a report setting out
|
52. (1) S’il estime qu’une demande de
certificat visant un pipeline est complète, l’Office établit et présente au
ministre un rapport, qu’il doit rendre public, où figurent :
|
(a) its
recommendation as to whether or not the certificate should be issued for all
or any portion of the pipeline, taking into account whether the pipeline is
and will be required by the present and future public convenience and
necessity, and the reasons for that recommendation; and
|
a) sa
recommandation motivée à savoir si le certificat devrait être délivré ou non
relativement à tout ou partie du pipeline, compte tenu du caractère d’utilité
publique, tant pour le présent que pour le futur, du pipeline;
|
(b) regardless of the recommendation that the Board
[here the Joint Review Panel] makes, all the terms and conditions that it
considers necessary or desirable in the public interest to which the
certificate will be subject if the Governor in Council were to direct the
Board to issue the certificate, including terms or conditions relating to
when the certificate or portions or provisions of it are to come into force.
|
b) quelle
que soit sa recommandation, toutes les conditions qu’il estime utiles, dans
l’intérêt public, de rattacher au certificat si le gouverneur en conseil
donne instruction à l’Office de le délivrer, notamment des conditions quant à
la prise d’effet de tout ou partie du certificat.
|
[103] Under subsection 52(2), the recommendation
of the Board (here the Joint Review Panel) contained in its report must be
based on certain criteria:
52. (2) In making its recommendation,
the Board [here the Joint Review Panel] shall have regard to all
considerations that appear to it to be directly related to the pipeline and
to be relevant, and may have regard to the following:
|
52. (2) En faisant sa recommandation, l’Office
tient compte de tous les facteurs qu’il estime directement liés au pipeline
et pertinents, et peut tenir compte de ce qui suit :
|
(a) the
availability of oil, gas or any other commodity to the pipeline;
|
a) l’approvisionnement
du pipeline en pétrole, gaz ou autre produit;
|
(b) the
existence of markets, actual or potential;
|
b) l’existence
de marchés, réels ou potentiels;
|
(c) the
economic feasibility of the pipeline;
|
c) la
faisabilité économique du pipeline;
|
(d) the
financial responsibility and financial structure of the applicant, the
methods of financing the pipeline and the extent to which Canadians will have
an opportunity to participate in the financing, engineering and construction
of the pipeline; and
|
d) la
responsabilité et la structure financières du demandeur et les méthodes de
financement du pipeline ainsi que la mesure dans laquelle les Canadiens
auront la possibilité de participer au financement, à l’ingénierie ainsi qu’à
la construction du pipeline;
|
(e) any public interest that in the Board’s opinion
may be affected by the issuance of the certificate or the dismissal of the
application.
|
e) les
conséquences sur l’intérêt public que peut, à son avis, avoir la délivrance
du certificat ou le rejet de la demande.
|
[104] Subsections 52(4) to 54(10) place the
Board (here the Joint Review Panel) on a strict time line to issue its report:
(4) The report must be submitted to the Minister within the time
limit specified by the Chairperson. The specified time limit must be no
longer than 15 months after the day on which the applicant has, in the
Board’s opinion, provided a complete application. The Board shall make the
time limit public.
|
(4) Le rapport est présenté dans le délai fixé par le président.
Ce délai ne peut excéder quinze mois suivant la date où le demandeur a, de
l’avis de l’Office, complété la demande. Le délai est rendu public par
l’Office.
|
(5) If the Board
requires the applicant to provide information or undertake a study with
respect to the pipeline and the Board, with the Chairperson’s approval,
states publicly that this subsection applies, the period that is taken by the
applicant to comply with the requirement is not included in the calculation
of the time limit.
|
(5) Si l’Office exige du demandeur, relativement au pipeline, la
communication de renseignements ou la réalisation d’études et déclare
publiquement, avec l’approbation du président, que le présent paragraphe
s’applique, la période prise par le demandeur pour remplir l’exigence n’est
pas comprise dans le calcul du délai.
|
(6) The Board shall make public the dates of the beginning and
ending of the period referred to in subsection (5) as soon as each of them is
known.
|
(6) L’Office rend
publiques, sans délai, la date où commence la période visée au paragraphe (5)
et celle où elle se termine.
|
(7) The Minister may, by order, extend the time limit by a maximum
of three months. The Governor in Council may, on the recommendation of the
Minister, by order, further extend the time limit by any additional period or
periods of time.
|
(7) Le ministre
peut, par arrêté, proroger le délai pour un maximum de trois mois. Le
gouverneur en conseil peut, par décret pris sur la recommandation du
ministre, accorder une ou plusieurs prorogations supplémentaires.
|
(8) To ensure that the report is prepared and submitted in a
timely manner, the Minister may, by order, issue a directive to the
Chairperson that requires the Chairperson to
|
(8) Afin que le
rapport soit établi et présenté en temps opportun, le ministre peut, par
arrêté, donner au président instruction :
|
(a) specify under subsection (4) a time limit that is
the same as the one specified by the Minister in the order;
|
a) de fixer, en vertu du paragraphe
(4), un délai identique à celui indiqué dans l’arrêté;
|
(b) issue a directive under
subsection 6(2.1), or take any measure under subsection 6(2.2), that is set
out in the order; or
|
b) de
donner, en vertu du paragraphe 6(2.1), les instructions qui figurent dans
l’arrêté, ou de prendre, en vertu du paragraphe 6(2.2), les mesures qui
figurent dans l’arrêté;
|
(c) issue
a directive under subsection 6(2.1) that addresses a matter set out in the
order.
|
c) de
donner, en vertu du paragraphe 6(2.1), des instructions portant sur une
question précisée dans l’arrêté.
|
(9) Orders made under subsection (7) are binding on the Board and
those made under subsection (8) are binding on the Chairperson.
|
(9) Les décrets
et arrêtés pris en vertu du paragraphe (7) lient l’Office et les arrêtés pris
en vertu du paragraphe (8) lient le président.
|
(10) A copy of
each order made under subsection (8) must be published in the Canada Gazette
within 15 days after it is made.
|
(10) Une copie de
l’arrêté pris en vertu du paragraphe (8) est publiée dans la Gazette du
Canada dans les quinze jours de sa prise.
|
[105]
In this case, as noted above, the Joint Review Panel was under an
order requiring it to finish its report by December 31, 2013.
[106]
As subsection 52(1) of the National Energy Board Act makes clear,
the report is submitted to the “Minister,” who is defined in section 2 of the National Energy Board
Act as “such member of the Queen’s Privy
Council for Canada as is designated by the Governor in Council as the Minister
for the purposes of this Act.” The role of
that coordinating Minister is to place the report before the Governor in
Council for its consideration under sections 53 and 54.
[107]
Once made, the report
is “final and conclusive” but this is “[s]ubject to
sections 53 and 54” of the National Energy
Board Act. These sections empower the Governor in Council to consider the
report and decide what to do with it: subsection 52(11) of the National
Energy Board Act.
(b)
The report stage: the Canadian Environmental
Assessment Act, 2012 requirements
[108]
The second thing that
happened after Northern Gateway applied for the certificates was an
environmental assessment process. In this case, this was required. The Project
was a “designated project” within the meaning of section 2 of the Canadian
Environmental Assessment Act, 2012. Accordingly, under subsection 52(3),
the report also had to set out an environmental assessment conducted under that
Act:
52. (3) If the application relates to a designated project within the
meaning of section 2 of the Canadian Environmental Assessment Act,
2012, the report must also set out the Board’s environmental assessment
prepared under that Act in respect of that project.
|
52. (3) Si la demande vise un projet désigné
au sens de l’article 2 de la Loi canadienne sur l’évaluation
environnementale (2012), le rapport contient aussi l’évaluation
environnementale de ce projet établi par l’Office sous le régime de cette
loi.
|
[109]
Environmental
assessments are to include assessments of the matters set out in sections 5 and
19 of the Canadian Environmental Assessment Act, 2012. For present
purposes, we need only offer a general summary of these matters. They include
changes caused to the air, land or sea and the lifeforms that inhabit those
areas. They also include consideration of matters specific to the Project and
its specific effects on the environment and lifeforms who inhabit it. And they
include the effects upon Aboriginal peoples’ health and socio-economic
conditions, physical and cultural heritage, the use of lands and resources for
traditional purposes, and any structures, sites or things that are of
historical, archaeological, palaeontological, or architectural significance.
[110]
What is submitted to
the Governor in Council is not the whole environmental assessment but rather
only a report of it. Under section 29 of the Canadian Environmental
Assessment Act, 2012, the report must offer recommendations concerning the
subject matter found in paragraph 31(1)(a) of the Canadian
Environmental Assessment Act, 2012—i.e., the existence of
significant adverse environmental effects and whether or not those effects can
be justified.
[111] Section 29 of the Canadian
Environmental Assessment Act, 2012 provides as follows:
29. (1) If the carrying out
of a designated project requires that a certificate be issued in accordance
with an order made under section 54 of the National Energy Board Act,
the responsible authority with respect to the designated project must ensure
that the report concerning the environmental assessment of the designated
project sets out
|
29. (1)
Si la réalisation d’un projet désigné requiert la délivrance d’un certificat
au titre d’un décret pris en vertu de l’article 54 de la Loi sur l’Office
national de l’énergie, l’autorité responsable à l’égard du projet veille
à ce que figure dans le rapport d’évaluation environnementale relatif au
projet :
|
(a) its
recommendation with respect to the decision that may be made under paragraph
31(1)(a) in relation to the designated project, taking into account
the implementation of any mitigation measures that it set out in the report;
and
|
a) sa
recommandation quant à la décision pouvant être prise au titre de l’alinéa
31(1)a) relativement au projet, compte tenu de l’application des
mesures d’atténuation qu’elle précise dans le rapport;
|
(b) its recommendation with respect to the follow-up
program that is to be implemented in respect of the designated project.
|
b) sa
recommandation quant au programme de suivi devant être mis en oeuvre
relativement au projet.
|
(2) The responsible authority submits its report to the Minister
within the meaning of section 2 of the National Energy Board Act at
the same time as it submits the report referred to in subsection 52(1) of
that Act.
|
(2) Elle présente son rapport au ministre au sens de l’article 2
de la Loi sur l’Office national de l’énergie au même moment où elle
lui présente le rapport visé au paragraphe 52(1) de cette loi.
|
(3) Subject to sections 30 and 31, the report with respect to the
environmental assessment is final and conclusive.
|
(3) Sous réserve des articles 30 et 31, le rapport d’évaluation
environnementale est définitif et sans appel.
|
(c)
Consideration by the Governor in Council
[112]
Armed with the report
prepared in accordance with the foregoing provisions of the National Energy
Board Act and Canadian Environmental Assessment Act, 2012, the
Governor in Council may make its decision concerning the application for the
certificate by the proponent, here Northern Gateway.
[113] Overall, the Governor in Council has three
options:
(1)
It can “direct the Board to issue a certificate in
respect of the pipeline or any part of it and to make the certificate subject
to the terms and conditions set out in the report”: paragraph 54(1)(a) of the National
Energy Board Act. If this option is pursued, the Board has no discretion.
It must grant the certificates within seven days: subsection 54(5) of the National
Energy Board Act.
As part of its consideration, the
Governor in Council must consider whether significant adverse environmental
effects will be caused and, if so, whether the effects “can be justified in the circumstances.” Depending on its decision, it may have to
impose conditions that must be complied with: section 53 of the Canadian
Environmental Assessment Act, 2012. It does this through the mechanism of a
“decision statement” it can cause the Board to issue: section 31 of
the Canadian Environmental Assessment Act, 2012. The Board must issue
the decision statement within seven days and it forms part of the certificate:
subsection 31(5) of the Canadian Environmental Assessment Act, 2012.
(2)
It can “direct the Board to dismiss the application
for a certificate”:
paragraph 54(1)(b) of the National Energy Board Act. If this
option is pursued, the Board has no discretion. It must dismiss the
certificates within seven days: subsection 54(5) of the National Energy
Board Act.
(3)
It can ask the Board to
reconsider its recommendations in its report or any terms and conditions, or
both: subsection 53(1) of the National Energy Board Act; subsection
30(1) of the Canadian Environmental Assessment Act, 2012. It can specify
exactly what issue or issues are to be reconsidered and specify a time limit
for the reconsideration: subsection 53(2) of the National Energy Board Act;
subsection 30(2) of the Canadian Environmental Assessment Act, 2012.
After its reconsideration is completed, the Board submits its reconsideration
report. Then the Governor in Council considers the reconsideration report and
decides again among these three options.
[114]
By law, the Governor
in Council must choose one of these options within three months and only can
take longer if it passes a specific order to that effect: subsection 54(3) of
the National Energy Board Act.
[115] For reference, section 31 of the Canadian
Environmental Assessment Act, 2012, referred to above, provides as follows:
31. (1) After the responsible
authority with respect to a designated project has submitted its report with
respect to the environmental assessment or its reconsideration report under
section 29 or 30, the Governor in Council may, by order made under subsection
54(1) of the National Energy Board Act
|
31. (1)
Une fois que l’autorité responsable à l’égard d’un projet désigné a présenté
son rapport d’évaluation environnementale ou son rapport de réexamen en
application des articles 29 ou 30, le gouverneur en conseil peut, par décret
pris en vertu du paragraphe 54(1) de la Loi sur l’Office national de
l’énergie :
|
(a) decide,
taking into account the implementation of any mitigation measures specified
in the report with respect to the environmental assessment or in the
reconsideration report, if there is one, that the designated project
|
a) décider,
compte tenu de l’application des mesures d’atténuation précisées dans le
rapport d’évaluation environnementale ou, s’il y en a un, le rapport de
réexamen, que la réalisation du projet, selon le cas :
|
(i) is not likely to cause
significant adverse environmental effects,
|
(i) n’est pas susceptible d’entraîner des effets
environnementaux négatifs et importants,
|
(ii) is likely to cause significant adverse environmental
effects that can be justified in the circumstances, or
|
(ii) est
susceptible d’entraîner des effets environnementaux négatifs et importants
qui sont justifiables dans les circonstances,
|
(iii) is likely to cause significant adverse environmental
effects that cannot be justified in the circumstances; and
|
(iii) est
susceptible d’entraîner des effets environnementaux négatifs et importants
qui ne sont pas justifiables dans les circonstances;
|
(b) direct the responsible authority to issue a
decision statement to the proponent of the designated project that
|
b) donner à l’autorité responsable
instruction de faire une déclaration qu’elle remet au promoteur du projet
dans laquelle :
|
(i) informs the proponent of the decision made under
paragraph (a) with respect to the designated project and,
|
(i) elle
donne avis de la décision prise par le gouverneur en conseil en vertu de
l’alinéa a) relativement au projet,
|
(ii) if
the decision is referred to in subparagraph (a)(i) or (ii), sets out
conditions — which are the implementation of the mitigation measures and the
follow-up program set out in the report with respect to the environmental assessment
or the reconsideration report, if there is one — that must be complied with
by the proponent in relation to the designated project.
|
(ii) si cette décision est celle visée aux sous-alinéas a)(i)
ou (ii), elle énonce les conditions que le promoteur est tenu de respecter
relativement au projet, à savoir la mise en oeuvre des mesures d’atténuation
et du programme de suivi précisés dans le rapport d’évaluation
environnementale ou, s’il y en a un, le rapport de réexamen.
|
(2) The conditions that are included in
the decision statement regarding the environmental effects referred to in
subsection 5(2), that are directly linked or necessarily incidental to the
exercise of a power or performance of a duty or function by a federal
authority and that would permit the designated project to be carried out, in
whole or in part, take effect only if the federal authority exercises the
power or performs the duty or function.
|
(2) Les conditions énoncées dans la déclaration qui sont relatives
aux effets environnementaux visés au paragraphe 5(2) et qui sont directement
liées ou nécessairement accessoires aux attributions qu’une autorité fédérale
doit exercer pour permettre la réalisation en tout ou en partie du projet
désigné sont subordonnées à l’exercice par l’autorité fédérale des
attributions en cause.
|
(3) The responsible authority must issue to the proponent of the
designated project the decision statement that is required in accordance with
the order relating to the designated project within seven days after the day on
which that order is made.
|
(3) Dans les sept
jours suivant la prise du décret, l’autorité responsable fait la déclaration
exigée aux termes de celui-ci relativement au projet désigné et la remet au
promoteur du projet.
|
(4) The responsible authority must ensure
that the decision statement is posted on the Internet site.
|
(4) Elle veille à ce que la déclaration soit affichée sur le site
Internet.
|
(5) The decision
statement issued in relation to the designated project under subsection (3)
is considered to be a part of the certificate issued in accordance with the
order made under section 54 of the National Energy Board Act in
relation to the designated project.
|
(5) La
déclaration faite au titre du paragraphe (3) relativement au projet désigné
est réputée faire partie du certificat délivré au titre du décret pris en
vertu de l’article 54 de la Loi sur l’Office national de l’énergie
relativement au projet.
|
[116] For reference, section 54 of the National
Energy Board Act, referred to above, provides as follows:
54. (1) After the Board has submitted
its report under section 52 or 53, the Governor in Council may, by order,
|
54. (1) Une fois que l’Office a présenté son
rapport en application des articles 52 ou 53, le gouverneur en conseil peut,
par décret :
|
(a)
direct the Board to issue a certificate in respect of the pipeline or any
part of it and to make the certificate subject to the terms and conditions
set out in the report; or
|
a)
donner à l’Office instruction de délivrer un certificat à l’égard du pipeline
ou d’une partie de celui-ci et de l’assortir des conditions figurant dans le
rapport;
|
(b) direct the Board to dismiss the application for a
certificate.
|
b) donner à l’Office instruction de rejeter
la demande de certificat.
|
(2) The order must set out the reasons for making the order.
|
(2) Le gouverneur
en conseil énonce, dans le décret, les motifs de celui-ci.
|
(3) The order must be made within three months after the Board’s
report under section 52 is submitted to the Minister. The Governor in
Council may, on the recommendation of the Minister, by order, extend that
time limit by any additional period or periods of time. If the Governor in
Council makes an order under subsection 53(1) or (9), the period that is
taken by the Board to complete its reconsideration and to report to the
Minister is not to be included in the calculation of the time limit.
|
(3) Le décret est
pris dans les trois mois suivant la remise, au titre de l’article 52, du
rapport au ministre. Le gouverneur en conseil peut, par décret pris sur la
recommandation du ministre, proroger ce délai une ou plusieurs fois. Dans le
cas où le gouverneur en conseil prend un décret en vertu des paragraphes
53(1) ou (9), la période que prend l’Office pour effectuer le réexamen et
faire rapport n’est pas comprise dans le calcul du délai imposé pour prendre
le décret.
|
(4) Every order made under subsection (1) or (3) is final and
conclusive and is binding on the Board.
|
(4) Les décrets
pris en vertu des paragraphes (1) ou (3) sont définitifs et sans appel et
lient l’Office.
|
(5) The Board shall comply with the order made under subsection
(1) within seven days after the day on which it is made.
|
(5) L’Office est
tenu de se conformer au décret pris en vertu du paragraphe (1) dans les sept
jours suivant sa prise.
|
(6) A copy of the
order made under subsection (1) must be published in the Canada Gazette
within 15 days after it is made.
|
(6) Une copie du
décret pris en vertu du paragraphe (1) est publiée dans la Gazette du Canada
dans les quinze jours de sa prise.
|
[117] For reference, section 30 of the Canadian
Environmental Assessment Act, 2012, referred to above, which provides for
consideration of the environmental recommendations set out in the report,
provides as follows:
30. (1) After the
responsible authority with respect to a designated project has submitted its
report with respect to the environmental assessment under section 29, the
Governor in Council may, by order made under section 53 of the National
Energy Board Act, refer any of the responsible authority’s recommendations
set out in the report back to the responsible authority for reconsideration.
|
30. (1) Une fois que l’autorité responsable à
l’égard d’un projet désigné a présenté son rapport d’évaluation
environnementale en vertu de l’article 29, le gouverneur en conseil peut, par
décret pris en vertu de l’article 53 de la Loi sur l’Office national de
l’énergie, renvoyer toute recommandation figurant au rapport à l’autorité
responsable pour réexamen.
|
(2) The order may direct the responsible authority to conduct
the reconsideration taking into account any factor specified in the order and
it may specify a time limit within which the responsible authority must
complete its reconsideration.
|
(2) Le décret
peut préciser tout facteur dont l’autorité responsable doit tenir compte dans
le cadre du réexamen ainsi que le délai pour l’effectuer.
|
(3) The responsible authority must,
before the expiry of the time limit specified in the order, if one was
specified, reconsider any recommendation specified in the order and prepare
and submit to the Minister within the meaning of section 2 of the National
Energy Board Act a report on its reconsideration.
|
(3) L’autorité responsable, dans le délai précisé — le cas échéant
— dans le décret, réexamine toute recommandation visée par le décret, établit
un rapport de réexamen et le présente au ministre au sens de l’article 2 de
la Loi sur l’Office national de l’énergie.
|
(4) In the reconsideration report, the responsible authority
must
|
(4) Dans son
rapport de réexamen, l’autorité responsable :
|
(a) if
the order refers to the recommendation referred to in paragraph 29(1)(a)
|
a) si
le décret vise la recommandation prévue à l’alinéa 29(1)a) :
|
(i) confirm
the recommendation or set out a different one with respect to the decision
that may be made under paragraph 31(1)(a) in relation to the
designated project, and
|
(i) d’une part, confirme celle-ci ou formule une autre
recommandation quant à la décision pouvant être prise au titre de l’alinéa
31(1)a) relativement au projet,
|
(ii) confirm,
modify or replace the mitigation measures set out in the report with respect
to the environmental assessment; and
|
(ii) d’autre part, confirme, modifie ou remplace les mesures
d’atténuation précisées dans le rapport d’évaluation environnementale;
|
(b) if
the order refers to the recommendation referred to in paragraph 29(1)(b),
confirm the recommendation or set out a different one with respect to the
follow-up program that is to be implemented in respect of the designated
project.
|
b) si
le décret vise la recommandation prévue à l’alinéa 29(1)b), confirme
celle-ci ou formule une autre recommandation quant au programme de suivi
devant être mis en oeuvre relativement au projet.
|
(5) Subject to section 31, the responsible authority
reconsideration report is final and conclusive.
|
(5) Sous réserve
de l’article 31, le rapport de réexamen est définitif et sans appel.
|
(6) After
the responsible authority has submitted its report under subsection (3), the
Governor in Council may, by order made under section 53 of the National
Energy Board Act, refer any of the responsible authority’s
recommendations set out in the report back to the responsible authority for
reconsideration. If it does so, subsections (2) to (5) apply. However, in
subparagraph (4)(a)(ii), the reference to the mitigation measures set
out in the report with respect to the environmental assessment is to be read
as a reference to the mitigation measures set out in the reconsideration
report.
|
(6) Une fois que
l’autorité responsable a présenté son rapport de réexamen en vertu du paragraphe
(3), le gouverneur en conseil peut, par décret pris en vertu de l’article 53
de la Loi sur l’Office national de l’énergie, renvoyer toute
recommandation figurant au rapport à l’autorité responsable pour réexamen.
Les paragraphes (2) à (5) s’appliquent alors mais, au sous-alinéa (4)a)(ii),
la mention des mesures d’atténuation précisées dans le rapport d’évaluation
environnementale vaut mention des mesures d’atténuation précisées dans le
rapport de réexamen.
|
[118] And, finally, for reference, here is the
reconsideration power under section 53 of the National Energy Board Act,
referred to above:
53. (1) After the Board has submitted
its report under section 52, the Governor in Council may, by order, refer the
recommendation, or any of the terms and conditions, set out in the report
back to the Board for reconsideration.
|
53. (1)
Une fois que l’Office a présenté son rapport en vertu de l’ article 52, le
gouverneur en conseil peut, par décret, renvoyer la recommandation ou toute
condition figurant au rapport à l’Office pour réexamen.
|
(2) The order may direct the Board to conduct the reconsideration
taking into account any factor specified in the order and it may specify a
time limit within which the Board shall complete its reconsideration.
|
(2) Le décret
peut préciser tout facteur dont l’Office doit tenir compte dans le cadre du
réexamen ainsi que le délai pour l’effectuer.
|
(3) The order is binding on the Board.
|
(3) Le décret lie
l’Office.
|
(4) A copy of the order must be published in the Canada Gazette
within 15 days after it is made.
|
(4) Une copie du
décret est publiée dans la Gazette du Canada dans les quinze jours de sa
prise.
|
(5) The Board shall, before the expiry of
the time limit specified in the order, if one was specified, reconsider its
recommendation or any term or condition referred back to it, as the case may
be, and prepare and submit to the Minister a report on its reconsideration.
|
(5) L’Office, dans le délai précisé — le cas échéant — dans le
décret, réexamine la recommandation ou toute condition visée par le décret,
établit un rapport de réexamen et le présente au ministre.
|
(6) In the reconsideration report, the Board shall
|
(6) Dans son
rapport de réexamen, l’Office :
|
(a) if
its recommendation was referred back, either confirm the recommendation or
set out a different recommendation; and
|
a) si
le décret vise la recommandation, confirme celle-ci ou en formule une autre;
|
(b) if a
term or condition was referred back, confirm the term or condition, state
that it no longer supports it or replace it with another one.
|
b) si le décret vise une condition,
confirme la condition visée par le décret, déclare qu’il ne la propose plus
ou la remplace par une autre.
|
(7) Regardless of what the Board sets out in the reconsideration
report, the Board shall also set out in the report all the terms and
conditions, that it considers necessary or desirable in the public interest,
to which the certificate would be subject if the Governor in Council were to
direct the Board to issue the certificate.
|
(7) Peu importe
ce qu’il mentionne dans le rapport de réexamen, l’Office y mentionne aussi
toutes les conditions qu’il estime utiles, dans l’intérêt public, de
rattacher au certificat si le gouverneur en conseil donne instruction à
l’Office de délivrer le certificat.
|
(8) Subject to section 54, the Board’s reconsideration report is
final and conclusive.
|
(8) Sous réserve de l’article 54, le rapport de réexamen est
définitif et sans appel.
|
(9) After the
Board has submitted its report under subsection (5), the Governor in Council
may, by order, refer the Board’s recommendation, or any of the terms or
conditions, set out in the report, back to the Board for reconsideration. If
it does so, subsections (2) to (8) apply.
|
(9) Une fois que l’Office a présenté son rapport au titre du paragraphe
(5), le gouverneur en conseil peut, par décret, renvoyer la recommandation ou
toute condition figurant au rapport à l’Office pour réexamen. Les paragraphes
(2) à (8) s’appliquent alors.
|
(4)
Characterization of the legislative scheme
[119]
This legislative
scheme is a complete code for decision-making regarding certificate applications.
Other statutory regimes are not relevant unless they are specifically
incorporated into this code, and then only to the extent they are incorporated
into the code.
[120]
The legislative scheme
shows that for the purposes of review the only meaningful decision-maker is the
Governor in Council.
[121]
Before the Governor in
Council decides, others assemble information, analyze, assess and study it, and
prepare a report that makes recommendations for the Governor in Council to
review and decide upon. In this scheme, no one but the Governor in Council
decides anything.
[122]
In particular, the environmental assessment under the Canadian
Environmental Assessment Act, 2012 plays no role other than assisting in
the development of recommendations submitted to the Governor in Council so it
can consider the content of any decision statement and whether, overall, it
should direct that a certificate approving the project be issued.
[123]
This is a different role—a
much attenuated role—from the role played by environmental assessments under
other federal decision-making regimes. It is not for us to opine on the
appropriateness of the policy expressed and implemented in this legislative
scheme. Rather, we are to read legislation as it is written.
[124]
Under this legislative
scheme, the Governor in Council alone is to determine whether the process of
assembling, analyzing, assessing and studying is so deficient that the report
submitted does not qualify as a “report” within the meaning of the legislation:
•
In the case of the report or
portion of the report setting out the environmental assessment, subsection
29(3) of the Canadian Environmental Assessment Act, 2012 provides that
it is “final and conclusive,” but this is “[s]ubject to sections 30 and 31.” Sections 30 and 31 provide for review of the report by the
Governor in Council and, if the Governor in Council so directs, reconsideration
and submission of a reconsideration report by the Governor in Council.
•
In the case of the report
under section 52 of the National Energy Board Act, subsection 52(11) of
the National Energy Board Act provides that it too is “final and conclusive,” but this is “[s]ubject to sections 53 and 54.” These sections empower the Governor in Council to consider
the report and decide what to do with it.
[125]
In the matter before us, several parties brought applications for
judicial review against the Report of the Joint Review Panel. Within this
legislative scheme, those applications for judicial review did not lie. No
decisions about legal or practical interests had been made. Under this
legislative scheme, as set out above, any deficiency in the Report of the Joint
Review Panel was to be considered only by the Governor in Council, not this
Court. It follows that these applications for judicial review should be
dismissed.
[126]
Under this legislative
scheme, the National Energy Board also does not really decide anything, except
in a formal sense. After the Governor in Council decides that a proposed
project should be approved, it directs the National Energy Board to issue a
certificate, with or without a decision statement. The National Energy Board
does not have an independent discretion to exercise or an independent decision
to make after the Governor in Council has decided the matter. It simply does
what the Governor in Council has directed in its Order in Council.
[127]
In the matter before
us, some parties filed notices of appeal against the Certificates issued by the
National Energy Board. They, along with others, filed notices of application
against the Governor in Council’s Order in Council directing the National
Energy Board to grant the Certificates. In our view, under this legislative
regime, the primary attack must be against the Governor in Council’s Order in
Council, as it prompts the automatic issuance of the Certificates. If the
Governor in Council’s Order in Council falls, then in our view the Certificates
issued by the National Energy Board automatically fall as a consequence. As
mentioned at the start of these reasons, since we would quash the Order in
Council, the Certificates issued as a result of the Order in Council must also
be quashed.
(5)
Standard of review
[128]
With a full
appreciation of the legislative scheme and our conclusion that the Governor in
Council’s Order in Council is the decision that is to be reviewed, we can now
consider the standard of review.
[129]
Some of the parties
before us submitted that the standard of review of the Order in Council made by
the Governor in Council in this case has already been determined by this Court:
Council of the Innu of Ekuanitshit v. Canada (Attorney General), 2014
FCA 189, 376 D.L.R. (4th) 348.
[130]
In Innu of Ekuanitshit, the Governor in Council made an order in
council approving a governmental response to a joint review panel established
under the 1992 version of the Canadian Environmental Assessment Act.
Among other things, this Court found that a failure to properly follow the
earlier processes under the Canadian Environmental Assessment Act could
invalidate the later order in council.
[131]
Many of the applicant/appellant
First Nations argue that the processes under the Canadian Environmental
Assessment Act, 2012 in this case were not properly followed and so, on the
authority of Innu of Ekuanitshit, the Order in Council in this case should
be quashed.
[132]
On the surface, Innu of
Ekuanitshit seems analogous to the case before us. In both cases, an order
in council was made after a process under federal environmental assessment
legislation had been followed. However, a closer inspection reveals that, in
fact, Innu of Ekuanitshit was based on a fundamentally different
statutory framework. To understand the differences, Innu of Ekuanitshit
must be examined more closely.
[133]
In Innu of Ekuanitshit,
this Court considered a decision made by three federal departments and a later
order made by the Governor in Council approving the decision. The order and the
decision came after an environmental assessment process had been followed
concerning a hydroelectric project.
[134]
The Governor in Council’s
order in council approved the federal government’s response to a report of a
joint review panel established under the 1992 version of the Canadian
Environmental Assessment Act. The order in council was made under section
37 of that legislation.
[135]
In considering the Governor
in Council’s order in council, this Court asked itself whether the Governor in
Council and the departments “had
respected the requirements of the [1992 version of the Canadian Environmental
Assessment Act] before making their decisions” (at paragraph 39). It held (at paragraphs 40-41) that it
could interfere with the Governor in Council’s order only if it found that the
legislative process was not properly followed before it made its decision, it
made its decision without regard for the purposes of the Act or its decision
had no basis in fact.
[136]
Of course, we are bound by
this Court’s decision in Ekuanitshit. However, in our view, it does not
set out a standard of review that must be applied to the Governor in Council’s
decision under the different and unique legislative scheme in this case.
[137]
In assessing the standard of
review, we cannot adopt a one-size-fits-all approach to a particular administrative
decision-maker. Instead, in assessing the standard of review, it is necessary
to understand the specific decision made in light of the provision authorizing
it, the structure of the legislation and the overall purposes of the
legislation.
[138]
The standard of review of
the decision of the Governor in Council in Ekuanitshit may make sense
where this Court is reviewing a decision by the Governor in Council to approve
a decision made by others based on an environmental assessment. The Governor in
Council’s decision is based largely on the environmental assessment. A broader
range of policy and other diffuse considerations do not bear significantly in
the decision.
[139]
In the case at bar, however,
the Governor in Council’s decision—the Order in Council—is the product of its
consideration of recommendations made to it in the report. The decision is not
simply a consideration of an environmental assessment. And the recommendations
made to the Governor in Council cover much more than matters disclosed by the
environmental assessment—instead, a number of matters of a polycentric and
diffuse kind.
[140]
In conducting its
assessment, the Governor in Council has to balance a broad variety of matters,
most of which are more properly within the realm of the executive, such as
economic, social, cultural, environmental and political matters. It will be
recalled that under subsection 52(2), matters such as these must be included in
the report that is reviewed by the Governor in Council.
[141]
The amorphous nature and the
breadth of the discretion that the Governor in Council must exercise is shown
by the fact that the section 52 report it receives can include “any public interest that in the National
Energy Board’s opinion may be affected by the issuance of the certificate or
the dismissal of the application”: subsection 52(2) of the National Energy Board Act.
[142]
In assessing the scope of an
administrative decision-maker’s discretion, it is sometimes helpful to consider
the nature of the body that is exercising the discretion: Odynsky, above,
at paragraph 76. In section 54 of the National Energy Board Act and in
section 30 of the Canadian Environmental Assessment Act, 2012,
Parliament has designated the Governor in Council as the body to receive and
consider the section 52 report. The Governor in Council is the Governor General, acting on the advice of the Prime Minister and
the Cabinet. (For that reason, throughout these reasons, we have referred to the
Governor in Council as “it,” in recognition of
its practical status as a body of persons.) In Canada, executive authority is
vested in the Crown—the Crown also being subject to the duty to consult
Aboriginal peoples—and the Governor in Council is the
advisory body, some might say the real initiator, for the exercise of much of
that executive authority. See generally A. O’Brien and M. Bosc, House of
Commons Procedure and Practice, 2d ed. (Cowansville: Éditions Yvon Blais,
2009) at pages 18-23 and 28-32; Constitution Act, 1867, sections 9, 10
and 13.
[143]
In Odynsky, this
Court described the practical nature of the Governor in Council as follows (at
paragraph 77):
The Governor in Council is the “Governor
General of Canada acting by and with the advice of, or by and with the advice
and consent of, or in conjunction with the Queen’s Privy Council for Canada”: Interpretation
Act, R.S.C. 1985, c. I-23, subsection 35(1), and see also the Constitution
Act, 1867, sections 11 and 13. All the Ministers of the Crown, not just the
Minister, are active members of the Queen’s Privy Council for Canada. They meet
in a body known as Cabinet. Cabinet is “to a unique degree the grand
co-ordinating body for the divergent provincial, sectional, religious, racial
and other interests throughout the nation” and, by convention, it attempts to
represent different geographic, linguistic, religious, and ethnic groups:
Norman Ward, Dawson’s The Government of Canada, 6th ed., (Toronto:
University of Toronto Press,1987) at pages 203-204; Richard French, “The Privy
Council Office: Support for Cabinet Decision Making” in Richard Schultz, Orest
M. Kruhlak and John C. Terry, eds., The Canadian Political Process, 3rd
ed. (Toronto: Holt Rinehart and Winston of Canada, 1979) at pages 363-394.
[144]
In the case before us, by
vesting decision-making in the Governor in Council, Parliament implicated the
decision-making of Cabinet, a body of diverse policy perspectives representing
all constituencies within government. And by defining broadly what can go into
the report upon which it is to make its decision—literally anything relevant to
the public interest—Parliament must be taken to have intended that the decision
in issue here be made on the broadest possible basis, a basis that can include
the broadest considerations of public policy.
[145]
The standard of review for
decisions such as this—discretionary decisions founded upon the widest
considerations of policy and public interest—is reasonableness: Dunsmuir v.
New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190, at paragraph 53.
[146]
Reasonableness has been
described as a range of acceptable and defensible decisions on the facts and
the law or a margin of appreciation over the problem before it: Dunsmuir,
at paragraph 47. The notion of a range or margin suggests that different decisions,
by their nature, will admit of a larger or smaller number of acceptable and
defensible solutions: Catalyst Paper Corp. v. North Cowichan (District),
2012 SCC 2, [2012] 1 S.C.R. 5 at paragraphs 17-18 and 23; Khosa, at
paragraph 59; McLean v. British Columbia (Securities Commission), 2013
SCC 67, [2013] 3 S.C.R. 895, at paragraphs 37-41. For example, an issue of
statutory interpretation where the statutory language is precise admits of
fewer acceptable or defensible solutions than one where the language is wider
and more amorphous, where policy may inform the proper interpretation to a
larger extent.
[147]
Similarly, some decisions
made by administrative decision-makers lie more within the expertise and
experience of the executive rather than the courts. On these, courts must
afford administrative decision-makers a greater margin of appreciation: see, e.g.,
Delios, at paragraph 21; Boogaard, at paragraph 62; Forest
Ethics, at paragraph 82.
[148]
Recently, this Court
usefully contrasted two types of administrative decisions, the former inviting
courts to review decision-making intensely, the latter less so:
For present
purposes, one might usefully contrast two types of administrative proceedings.
At one end are matters where an administrative decision-maker assesses the
conduct of an individual or known group of individuals against concrete
criteria, the potential effects upon the legal or practical interests of the
individual(s) are large, and the matters lie somewhat within the ken of the
courts. A good example is a professional disciplinary proceeding where an
individual is charged with violations of a disciplinary code and the individual
faces serious legal or practical consequences such as restrictions,
prohibitions or penalties. At the other end are matters where an administrative
decision-maker assesses something broader and more diffuse, using polycentric,
subjective or fuzzy criteria to decide the matter, criteria that are more
typically within the ken of the executive and less so the courts.
(Canada v. Kabul Farms Inc., 2016 FCA
143, at paragraph 25)
[149]
To similar effect, a
majority of this Court recently said the following:
[W]here the
decision is clear-cut or constrained by judge-made law or clear statutory
standards, the margin of appreciation is narrow: see, e.g., [McLean
v. British Columbia (Securities Commission), 2013 SCC 67, [2013] 3 S.C.R.
895]; Canada (Attorney General) v. Abraham, 2012 FCA 266, 440 N.R. 201; Canada
(Attorney General) v. Almon Equipment Limited, 2010 FCA 193, [2011] 4 F.C.
203; Canada (Public Safety and Emergency Preparedness) v. Huang, 2014
FCA 228, 464 N.R. 112….On the other hand, where the decision is suffused with
subjective judgment calls, policy considerations and regulatory experience or
is a matter uniquely within the ken of the executive, the margin of
appreciation will be broader: see, e.g., [Canada (Minister of
Transport, Infrastructure and Communities) v. Farwaha, 2014 FCA 56, [2015]
2 F.C.R. 1006]; Rotherham Metropolitan Borough Council v. Secretary of State
for Business Innovation and Skills, 2015 UKSC 6.
(Paradis Honey Ltd. v. Canada, 2015
FCA 89, 382 D.L.R. (4th) 720, at paragraph 136.)
[150] Although the legislative scheme in this case is
unique, some administrative decision-makers, like the Governor in Council here,
are empowered to make decisions on the basis of broad public interest
considerations, along with economic and policy considerations, and weigh them
against detrimental effects. A good example is the decision of the Alberta
Utilities Commission in FortisAlberta Inc v. Alberta (Utilities Commission),
2015 ABCA 295, 389 D.L.R. (4th) 1. In words apposite to this case, the Alberta
Court of Appeal upheld the Commission’s decision, giving it a very broad margin
of appreciation (at paragraphs 171-172):
The legislature has entrusted the Commission
with a policy-laden role, which includes a strong public interest mandate: see,
for example, ss. 16(1) and 17(1) of the Alberta Utilities Commission Act.
Its mandate includes the creation of a balanced and predictable application of
principles to the relationship between revenues, expenses and assets (both
depreciable and non-depreciable) of utilities on the one hand, and the
reasonable expectations of the ratepayers who receive and pay for services on
the other. The treatment of stranded assets is, at its foundation, a policy
issue informed by public interest considerations. The Commission’s policy
choice, as expressed in the [decision], is a legitimate and defensible one, and
well within its legislated power.
One must also bear in mind that the
questions raised have political and economic aspects. Courts are poorly
positioned to opine on such matters. Judicial review considers the scope or
breadth of jurisdiction, but by legislative design the selection of a policy
choice from among a range of options lies with the Commission empowered and
mandated to make that selection.
(See also Trinity Western University v.
The Law Society of Upper Canada, 2015 ONSC 4250, 126 O.R. (3d) 1, at
paragraph 37; Odynsky, above, at paragraphs 81-82 and 86.)
[151]
The Supreme Court itself has
recognized that “[a]s a general
principle, increased deference is called for where legislation is intended to
resolve and balance competing policy objectives or the interests of various
constituencies.” In
its view, “[a] statutory purpose that requires a
tribunal to select from a range of remedial options or administrative
responses, is concerned with the protection of the public, engages policy
issues, or involves the balancing of multiple sets of interests or
considerations will demand greater deference from a reviewing court.” See Dr. Q. v. College of Physicians and Surgeons of
British Columbia, 2003 SCC 19, [2003] 1 S.C.R. 226, at paragraphs 30-31.
[152]
The words of all these
courts are apposite here: the Governor in Council is entitled to a very broad
margin of appreciation in making its discretionary decision upon the widest
considerations of policy and public interest under sections 53 and 54 of the National
Energy Board Act.
[153]
We acknowledge that on some
occasions, the Governor in Council makes decisions that have some legal
content. On these occasions, signalled by specific legislative language, the
margin of appreciation courts afford to the Governor in Council will be narrow:
see, e.g., Canadian National Railway Co. v. Canada (Attorney General),
2014 SCC 40, [2014] 2 S.C.R. 135; Globalive Wireless Management Corp. v.
Public Mobile Inc., 2011 FCA 194, [2011] 3 F.C.R. 344.
[154]
But in this case, the
Governor in Council’s discretionary decision was based on the widest
considerations of policy and public interest assessed on the basis of polycentric,
subjective or indistinct criteria and shaped by its view of economics, cultural
considerations, environmental considerations, and the broader public interest.
[155]
Does the economic benefit
associated with the construction and operation of a transportation system that
will help to unlock Alberta’s oil resources and make those resources more
readily available worldwide outweigh the detrimental effects, actual or
potential, including those effects on the environment and, in particular, the
matters under the Canadian Environmental Assessment Act, 2012? To what
extent will the conditions that Northern Gateway must satisfy—many concerning
technical matters that can be evaluated and weighed only with
expertise—alleviate those concerns? And in light of all of these
considerations, was there enough high-quality information for the Governor in
Council to balance all the considerations and properly assess the matter? These
are the sorts of questions this legislative scheme remits to the Governor in
Council. Under the authorities set out above that are binding upon us, we must give
the Governor in Council the widest margin of appreciation over these questions.
(6)
The Governor in Council’s decision was
reasonable under administrative law principles
[156]
In our view, for the
foregoing reasons and based on the record before the Governor in Council, we
are not persuaded that the Governor in Council’s decision was unreasonable on
the basis of administrative law principles.
[157]
The Governor in Council was
entitled to assess the sufficiency of the information and recommendations it
had received, balance all the considerations—economic, cultural, environmental
and otherwise—and come to the conclusion it did. To rule otherwise would be to
second-guess the Governor in Council’s appreciation of the facts, its choice of
policy, its access to scientific expertise and its evaluation and weighing of
competing public interest considerations, matters very much outside of the ken
of the courts.
[158]
This conclusion, however,
does not end the analysis.
[159]
Before us, all parties
accepted that Canada owes a duty of consultation to Aboriginal peoples
concerning the Project. All parties accepted that if that duty were not
fulfilled, the Order in Council cannot stand. In our view, these concessions
are appropriate.
[160]
Section 54 of the National
Energy Board Act does not refer to the duty to consult. However, in 2012,
when Parliament enacted section 54 in its current form, the duty to consult was
well-established in our law. As all parties before us recognized, it is
inconceivable that section 54 could operate in a manner that ousts the duty to
consult. Very express language would be required to bring about that effect.
And if that express language were present in section 54, tenable arguments could
be made that section 54 is inconsistent with the recognition and affirmation of
Aboriginal rights under subsection 35(1) of the Constitution Act, 1982
and, thus, invalid. A number of the First Nations before us were prepared, if
necessary, to assert those arguments and they filed Notices of Constitutional
Question to that effect.
[161]
It is a well-recognized
principle of statutory interpretation that statutory provisions that are
capable of multiple meanings should be interpreted in a manner that preserves
their constitutionality: Eldridge v. British Columbia (Attorney General),
[1997] 3 S.C.R. 624, 151 D.L.R. (4th) 577, at paragraph 32; R. v. Clarke,
2014 SCC 28, [2014] 1 S.C.R. 612, at paragraphs 14-15. Parliament is presumed
to wish its legislation to be valid and have force; it does not intend to
legislate provisions that are invalid and of no force.
[162]
Further, it is a
well-recognized principle of statutory interpretation that interpretations that
lead to absurd or inequitable results should be avoided: Ontario v. Canadian
Pacific Ltd., [1995] 2 S.C.R. 1031, 125 D.L.R. (4th) 385, at paragraph 65.
[163]
Section 54 of the National
Energy Board Act and the associated sections constituting the legislative scheme
we have described above can be interpreted in such a way as to respect Canada’s
duty to consult and to remain valid. We interpret these sections in that way.
[164]
Under section 52 of the National
Energy Board Act, the National Energy Board, or here the Joint Review
Panel, submits its report to a coordinating Minister who brings the report
before the Governor in Council, along with any other memoranda or information.
There is nothing that prevents that coordinating Minister, or any other
Minister who is assigned responsibility for the matter, from bringing to the
Governor in Council information necessary for it to satisfy itself that the
duty to consult has been fulfilled, to recommend that further conditions be
added to any certificate for the project issued under section 54 to accommodate
Aboriginal peoples or to ask the National Energy Board to redetermine the
matter and consider making further conditions under section 53.
[165] Here, subsection 31(2) of the Interpretation
Act, R.S.C. 1985, I-21 is relevant. It provides that where a statute gives
to a public official the power to do a thing, all powers necessary to allow
that person to do the thing are also given. Subsection 31(2) provides as
follows:
31. (2) Where power is given to a person, officer or functionary to
do or enforce the doing of any act or thing, all such powers as are necessary
to enable the person, officer or functionary to do or enforce the doing of
the act or thing are deemed to be also given.
|
31. (2) Le pouvoir donné à quiconque,
notamment à un agent ou fonctionnaire, de prendre des mesures ou de les faire
exécuter comporte les pouvoirs nécessaires à l’exercice de celui-ci.
|
[166]
The Governor in Council’s
ability to consider whether Canada has fulfilled its duty to consult and to
impose conditions is a power necessary for the Governor in Council to exercise its
power under sections 53 and 54 of the National Energy Board Act.
Similarly, the activities of the coordinating Minister and other Ministers concerning
the duty to consult are necessary matters that they can exercise in accordance
with subsection 31(2) of the Interpretation Act.
[167]
We are fortified in this
conclusion by the relationship between the Crown and the Governor in Council. The
duty to consult is imposed upon the Crown. As explained in paragraph 142,
above, the Governor in Council is frequently the initiator of the Crown’s
exercise of executive authority. Given the Governor in Council’s relationship
with the Crown, it stands to reason that Parliament gave the Governor in
Council the necessary power in section 54 of the National Energy Board Act
to consider whether the Crown has fulfilled its duty to consult and, if
necessary, to impose conditions.
[168]
Thus, we are satisfied that under
this legislative scheme the Governor in Council, when considering a project under
the National Energy Board Act, must consider whether Canada has
fulfilled its duty to consult. Further, in order to accommodate Aboriginal
concerns as part of its duty to consult, the Governor in Council must
necessarily have the power to impose conditions on any certificate it directs
the National Energy Board to issue.
[169]
While the parties did not
seriously dispute whether the duty to consult could co-exist and be
accommodated under the National Energy Board Act, they did dispute
whether Canada has fulfilled its duty to consult on the facts of this case. We
turn to this issue now.
F.
The duty to consult Aboriginal peoples
(1)
Legal principles
[170]
At this point, it is helpful
to discuss briefly the existing jurisprudence which has considered the scope
and content of the duty to consult. As mentioned at the outset of these
reasons, insofar as that jurisprudence applies to these proceedings, it is not
in dispute.
[171]
The duty to consult is
grounded in the honour of the Crown. The duties of consultation and, if
required, accommodation form part of the process of reconciliation and fair
dealing: Haida Nation v. British Columbia (Minister of Forests), 2004
SCC 73, [2004] 3 S.C.R. 511, at paragraph 32.
[172]
The duty arises when the
Crown has actual or constructive knowledge of the potential existence of
Aboriginal rights or title and contemplates conduct that might adversely affect
those rights or title: Haida Nation, at paragraph 35.
[173]
The extent or content of the
duty of consultation is fact specific. The depth or richness of the required
consultation increases with the strength of the prima facie Aboriginal
claim and the seriousness of the potentially adverse effect upon the claimed
right or title: Haida Nation, at paragraph 39; Rio Tinto Alcan
Inc. v. Carrier Sekani Tribal Council, 2010 SCC 43, [2010] 2 S.C.R. 650, at
paragraph 36.
[174]
When the claim to title is
weak, the Aboriginal interest is limited or the potential infringement is
minor, the duty of consultation lies at the low end of the consultation
spectrum. In such a case, the Crown may be required only to give notice of the
contemplated conduct, disclose relevant information and discuss any issues
raised in response to the notice: Haida Nation, at
paragraph 43. When a strong prima facie case for the
claim is established, the right and potential infringement is of high
significance to the Aboriginal peoples, and the risk of non-compensable damage
is high, the duty of consultation lies at the high end of the spectrum. While
the precise requirements will vary with the circumstances, in this type of case
a deep consultative process might entail: the opportunity to make submissions;
formal participation in the decision-making process; and, the provision of
written reasons to show that Aboriginal concerns were considered and how those
concerns were factored into the decision: Haida Nation, at paragraph 44.
[175]
It is now settled law that
Parliament may choose to delegate procedural aspects of the duty to consult to
a tribunal. Tribunals that consider resource issues that impinge on Aboriginal
interests may be given: the duty to consult; the duty to determine whether
adequate consultation has taken place; both duties; or, no duty at all. In
order to determine the mandate of any particular tribunal, it is relevant to
consider the powers conferred on the Tribunal by its constituent legislation,
whether the tribunal is empowered to consider questions of law and what
remedial powers the tribunal possesses: Rio Tinto, at paragraphs 55 to
65.
[176] Thus, for example in Taku River Tlingit First Nation v. British
Columbia (Project Assessment Director), 2004 SCC 74, [2004] 3 S.C.R. 550,
the Supreme Court accepted that an environmental assessment process was
sufficient to satisfy the procedural requirements of the duty to consult. At
paragraph 40 of the Court’s reasons, the Chief Justice wrote that the province did
not have to develop special consultation measures to address the First Nation’s
concerns “outside of the process provided for by
the [B.C. environmental legislation], which specifically set out a scheme that
required consultation with affected Aboriginal peoples.” Subsequently,
in Beckman v. Little Salmon/Carmacks First Nation, 2010 SCC 53, [2010]
3 S.C.R. 103, at paragraph 39, the Supreme Court interpreted Taku River
as saying that participation in a forum created for other purposes may satisfy
the duty to consult “if in substance an
appropriate level of consultation is provided” [emphasis in original].
[177]
In Taku River, the
Supreme Court also recognized that project approval is “simply one stage in the process by which
the development moves forward”: at paragraph 45. Thus, outstanding First Nation concerns could be more
effectively considered at later stages of the development process. It was expected
that throughout the permitting, approval and licensing process, as well as in
the development of a land use strategy, the Crown would continue to fulfil its
duty to consult, and if required, accommodate.
[178]
When the Crown relies on a
regulatory or environmental assessment process to fulfil the duty to consult,
such reliance is not delegation of the Crown’s duty. Rather, it is a means by
which the Crown can be satisfied that Aboriginal concerns have been heard and,
where appropriate, accommodated: Haida Nation, at paragraph 53.
[179]
The consultation process
does not dictate a particular substantive outcome. Thus, the consultation
process does not give Aboriginal groups a veto over what can be done with land
pending final proof of their claim. Nor does consultation equate to a duty to
agree; rather, what is required is a commitment to a meaningful process of
consultation. Put another way, perfect satisfaction is not required. The
question to be answered is whether the regulatory scheme, when viewed as a
whole, accommodates the Aboriginal right in question: Haida Nation, at
paragraphs 42, 48 and 62.
[180]
Good faith consultation may
reveal a duty to accommodate. Where there is a strong prima facie case
establishing the claim and the consequence of proposed conduct may adversely
affect the claim in a significant way, the honour of the Crown may require
steps to avoid irreparable harm or to minimize the effects of infringement: Haida
Nation, at paragraph 47.
[181]
Good faith is required on
both sides in the consultative process: “The common thread on the Crown’s part must be ‘the intention of
substantially addressing [Aboriginal] concerns’ as they are raised […] through
a meaningful process of consultation”: Haida Nation, at paragraph 42. At the same
time, Aboriginal claimants must not frustrate the Crown’s reasonable good faith
attempts, nor should they take unreasonable positions to thwart the government
from making decisions or acting in cases where, despite meaningful
consultation, agreement is not reached: Haida Nation, at paragraph 42.
(2)
The standard to which Canada is to be held in
fulfilling the duty
[182]
Canada is not to be held to
a standard of perfection in fulfilling its duty to consult. In this case, the
subjects on which consultation was required were numerous, complex and dynamic,
involving many parties. Sometimes in attempting to fulfil the duty there can be
omissions, misunderstandings, accidents and mistakes. In attempting to fulfil
the duty, there will be difficult judgment calls on which reasonable minds will
differ.
[183]
In determining whether the
duty to consult has been fulfilled, “perfect satisfaction is not required,” just reasonable satisfaction: Ahousaht v.
Canada (Minister of Fisheries and Oceans), 2008 FCA 212, 297 D.L.R. (4th)
722, at paragraph 54; Canada v. Long Plain First Nation, 2015 FCA 177,
388 D.L.R. (4th) 209, at paragraph 133; Yellowknives Dene First Nation v.
Canada (Minister of Aboriginal Affairs and Northern Development), 2015 FCA
148, 474 N.R. 350, at paragraph 56; Clyde River (Hamlet) v. TGS-NOPEC Geophysical
Co. ASA, 2015 FCA 179, 474 N.R. 96, at paragraph 47.
[184]
The Supreme Court of Canada has
expressed it this way:
Perfect
satisfaction is not required; the question is whether the regulatory scheme or
government action “viewed as a whole, accommodates the collective aboriginal
right in question”: [R. v. Gladstone, [1996] 2 S.C.R. 723, 137
D.L.R. (4th) 648, at paragraph 170]. What is required is not perfection, but
reasonableness. As stated in [R. v. Nikal, [1996] 1 S.C.R. 1013, 133
D.L.R. (4th) 658, at paragraph 110], “in . . . information and consultation the
concept of reasonableness must come into play. . . . So long as every
reasonable effort is made to inform and to consult, such efforts would
suffice.” The government is required to make reasonable efforts to inform and
consult. This suffices to discharge the duty.
(Haida Nation, at paragraph 62.)
[185]
Therefore, the question is
whether “reasonable efforts to
inform and consult” were
made. In applying this standard, we have been careful not to hold Canada to
anything approaching a standard of perfection.
[186]
But here, in executing Phase
IV of its consultation framework, Canada failed to make reasonable efforts to
inform and consult. It fell well short of the mark.
(3)
The consultation process
[187]
As explained above, from the
outset of the Project, Canada acknowledged its duty to engage in deep
consultation with the First Nations potentially affected by the Project owing
to the significance of the rights and interests affected. Canada submits that,
consistent with its duty, it offered a deep, consultation process consisting of
five phases to more than 80 Aboriginal groups, including all of the First
Nations in this proceeding.
[188]
The First Nations agree that
Canada was obliged to provide deep consultation. However, they assert a number
of flaws in the consultation process that rendered it inadequate. In this
section of the reasons, we will review the nature of the consultation process,
briefly describe the most salient concerns expressed about the process, and
consider whether Canada fulfilled its duty to consult.
[189]
Canada describes the
consultation process to include:
•
Direct engagement by Canada
with affected Aboriginal groups, both before and after the Joint Review Panel
process. This consultation included consideration of the mandate of the Joint
Review Panel.
•
Participation by Canada in the
Joint Review Panel process in order to effectively and meaningfully:
i.
gather, distribute and
assess information concerning the Project’s potential adverse impacts on
Aboriginal rights and interests;
ii.
address adverse impacts to
Aboriginal rights and interests by assessing potential environmental effects
and identifying mitigation and avoidance measures; and
iii.
ensure, to the extent
possible, that specific Aboriginal concerns were heard and, where appropriate,
accommodated.
•
The provision of almost
$4,000,000 in participant funding by Canada to 46 Aboriginal groups to assist
their involvement in the Joint Review Panel process and related Crown
consultations.
•
The provision of written
reasons to Aboriginal groups explaining how their concerns were considered and
addressed.
[190]
As noted above, and to
reiterate, Canada’s framework for consultation had five distinct phases:
1.
Phase I provided for
Canada’s direct engagement with Aboriginal groups before the Joint Review Panel
process, including consultation on the draft Joint Review Panel Agreement and
the mandate of the Joint Review Panel.
2.
Phase II required Canada to
provide information to Aboriginal groups about the pending Joint Review Panel
process.
3.
Phase III provided for
participation in the Joint Review Panel process by Canada and Aboriginal
groups.
4.
Phase IV provided for
additional, direct consultations between Canada and Aboriginal groups after the
Joint Review Panel process, but before the Governor in Council considered the Project.
5.
Phase V would provide
additional consultation on permits or authorizations that Canada might be
requested to issue after the Governor in Council’s decision on the Project.
(4)
The alleged flaws in the consultation process
[191]
Briefly, the most salient
concerns about the nature of the consultation asserted by the applicant/appellant
First Nations are:
(a)
The Governor in Council
prejudged the approval of the Project.
(b)
Canada’s consultation
framework was unilaterally imposed on the First Nations; there was no
consultation on it.
(c)
Canada provided inadequate
funding to facilitate the participation of First Nations in the Joint Review
Panel process and other consultation processes.
(d)
The consultation process was
over-delegated: the Joint Review Panel was not a legitimate forum for
consultation and it did not allow for discussions between Canada and affected
First Nations.
(e)
Canada either failed to
conduct or failed to share its assessment of the strength of the First Nations’
claims to Aboriginal rights or title.
(f)
The Crown consultation did
not reflect the terms, spirit and intent of certain agreements between Canada
and the Haida.
(g)
The Report of the Joint
Review Panel left too many issues affecting First Nations to be decided after
the Project was approved.
(h)
The consultation process was
too generic. Canada and the Joint Review Panel looked at First Nations as a
whole and failed to address adequately the specific concerns of particular
First Nations.
(i)
After the Report of the
Joint Review Panel was finalized, Canada failed to consult adequately with
First Nations about their concerns; it also failed to give reasons showing that
Canada considered and factored them into the Governor in Council’s decision to
approve the Project.
(j)
Canada did not assess or
discuss First Nations’ title or governance rights, nor was the impact on those
rights factored into the Governor in Council’s decision to approve the Project.
We shall examine each of these in turn.
(a)
The Governor in Council prejudged the approval
of the Project
[192]
The Gitxaala argue that
Canada did not consult in good faith and one manifestation of this is that the
outcome of the approval process was pre-ordained. In support of this submission,
the Gitxaala point to:
•
Statements made by the then
Minister of Natural Resources reported in the Globe and Mail in July,
2011 that the Project “is in
the national interest” and
that discussions among Ministers will touch on ways of “improving the regulatory system so it is
less duplicative, so it is more fair, transparent and independent—but takes
into account the need for expeditious review.”
•
The adoption of a process
that excluded real consideration of title and governance rights.
•
The legislative change in
2012 after the review process had begun that modified the powers of the National
Energy Board, giving the Governor in Council the final decision-making power.
[193]
The Haida adopt this
submission.
[194]
In our view, the second and
third concerns raised by the Gitxaala do not support its submission that Canada
had prejudged the outcome. This is so because there are many possible
explanations as to why the process was adopted and the powers of the National
Energy Board were modified; many of those possible explanations do not lead to
the conclusion that results were predetermined. Equivocal evidence cannot
support an assertion of bias.
[195]
Of greater concern are the
remarks attributed to the then Minister of Natural Resources. Notwithstanding
the concern, the remarks are insufficient to establish bias.
[196]
In Imperial Oil Ltd. v.
Quebec (Minister of the Environment), 2003 SCC 58, [2003] 2 S.C.R. 624, the
Supreme Court observed that the content of the duty of impartiality varies
according to the decision-maker’s activities and the nature of the question it
must decide.
[197]
In the present case, the
decision-maker is the Governor in Council and the decision whether to approve
the Project is politically charged, involving an appreciation of many,
sometimes conflicting, considerations of policy and the public interest. The
decision is not judicial or quasi-judicial.
[198]
In this circumstance, we
accept that the duty of impartiality owed by the Governor in Council is not
co-extensive with that imposed upon judicial or quasi-judicial decision-makers.
[199]
Thus, statements by
individual members of Cabinet will not establish bias unless the person
alleging such bias demonstrates that the statements are the expression of a
final opinion on the question at issue. Put another way, it must be shown that
the decision-maker’s mind was closed such that representations to the contrary would
be futile: Old St. Boniface Residents Association Inc. v. Winnipeg (City),
[1990] 3 S.C.R. 1170, 75 D.L.R. (4th) 385.
[200]
The evidence of one
Minister’s comment made years before the decision at issue is insufficient to
establish that the outcome of the Governor in Council’s decision was
predetermined.
(b)
The framework of the consultation process was
unilaterally imposed upon the First Nations
[201]
The Haisla argue that while it
was given the opportunity to comment on the draft Joint Review Panel Agreement,
it was not consulted on the Crown consultation process itself. Instead, they
argue, Canada unilaterally chose to integrate consultation into the Joint
Review Panel process. The Haida adopt this submission.
[202]
The Kitasoo and the Heiltsuk
argue that the Crown failed to consult with them about the five-phase review
process, the impact of using a hearing process to engage in consultation, and
the timing or scope of Canada’s consultation in Phase IV of the consultation
framework.
[203]
We disagree that the initial
engagement with affected First Nations and the subsequent consultation on the
draft Joint Review Panel Agreement (i.e., Phase I) were flawed or
unreasonable. As a matter of law, the Crown has discretion as to how it
structures the consultation process and how the duty to consult is met: Cold
Lake First Nations v. Alberta (Tourism, Parks & Recreation), 2013 ABCA
443, 556 A.R. 259, at paragraph 39. What is required is a reasonable process,
not perfect consultation: Haida Nation, at paragraph 62.
[204]
Phase I consultation
included the following steps:
•
Following receipt of a
preliminary information package submitted by Northern Gateway, the National
Energy Board, in consultation with other responsible federal authorities,
requested that the then Minister of the Environment refer the Project to a
review panel. On September 29, 2006, the Minister referred the Project to a
review panel and released the draft Joint Review Panel agreement for a 60-day
comment period. A number of comments were received from Aboriginal groups. Thereafter,
Northern Gateway put the Project on hold.
•
Following resubmission of
the Project by Northern Gateway, Canada, through the Canadian Environmental
Assessment Agency, contacted over 80 Aboriginal groups to advise them of the
Project and of opportunities to participate in the Joint Review Panel process
and the related Crown consultation process. The Agency provided information to
groups for whom Canada had a duty to consult. Other Aboriginal groups
subsequently contacted the Agency expressing interest in the Project and were
provided with information. Some Aboriginal groups were contacted but chose not
to participate in the Joint Review Panel or Crown consultation process. The
Agency communicated with Aboriginal groups throughout the consultation process.
It requested input on the draft Joint Review Panel Agreement, provided
information on opportunities for participation in the Joint Review Panel and
subsequent consultation on the Report of the Joint Review Panel, advised on the
availability of participant funding and met with Aboriginal groups to provide
further clarification. Canada’s approach to consultation was outlined in a
document entitled “Aboriginal
Consultation Framework,”
which was made available to Aboriginal groups in November 2009.
•
Canada significantly
modified the Joint Review Panel process in response to concerns expressed by
affected Aboriginal groups. Examples of such modifications include:
o in response to concerns raised by the Haisla and
the Gitga’at that the Project’s marine components, including marine shipping,
were not within the mandate of the Joint Review Panel, Canada changed the scope
of its review to include the marine transportation of oil and condensate;
o in response to concerns raised by the Haisla
respecting the capacity and expertise of the Joint Review Panel to undertake
the environmental assessment review, Canada modified the Joint Review Panel
selection process to ensure that the Joint Review Panel could retain expert
consultants or special advisors if required; and
o in response to concerns raised by the Haisla, the
Nak’azdli, the Gitga’at, the Gitxaala and the Nadleh about Aboriginal
involvement in the Joint Review Panel process, Canada modified the Joint Review
Panel Agreement so as to include provisions requiring that the Joint Review
Panel conduct its review to facilitate the participation of Aboriginal peoples
and that Northern Gateway provide evidence setting out the concerns of
Aboriginal groups.
[205]
The final Joint Review Panel
Agreement required the Joint Review Panel to:
•
consider and address all
Project-related Aboriginal issues and concerns within its mandate;
•
conduct its review in a
manner that facilitated the participation of Aboriginal peoples;
•
receive evidence from
Northern Gateway regarding the concerns of Aboriginal groups;
•
receive information from
Aboriginal peoples related to the nature and scope of potentially affected
Aboriginal and treaty rights; and
•
include recommendations in
its report for appropriate measures to avoid or mitigate potential adverse
impacts or infringements on Aboriginal and treaty rights and interests.
[206]
Finally, Canada communicated
with all of the Aboriginal applicants/appellants in this proceeding in November
and December 2009 so as to ensure that they were aware of the modifications
made to the Joint Review Panel process, the ongoing consultation activities and
the ongoing availability of funding.
[207]
In our view, the evidence
establishes that from the outset Canada acknowledged its duty of deep
consultation with all affected First Nations. In Phase I, it provided
information about the Project to affected First Nations, sought and obtained
comments on the proposed consultation process as initially outlined in the
draft Joint Review Panel Agreement, and reasonably addressed concerns expressed
by First Nations by incorporating significant revisions into the Joint Review
Panel Agreement.
[208]
We will address in more
detail below the submission that the Joint Review Panel was not a legitimate
forum for consultation. However, we are satisfied that there was consultation
about Canada’s framework for consultation. It was not unilaterally imposed. It
was reasonable.
(c)
Inadequate funding for participation in the
Joint Review Panel and consultation processes
[209]
The Kitasoo and the Heiltsuk
argue that the process required significant legal assistance and significant
travel expenses because the Joint Review Panel hearings were held in Prince
Rupert and Terrace, British Columbia. They point to the fact that even though
approximately 35 Aboriginal communities registered as interveners, only 12
First Nations cross-examined witness panels and only two First Nations
substantially participated in the cross-examination hearings. The Kitasoo and the
Heiltsuk say they could not afford to provide expert reports or retain experts
to review the Proponent’s extensive data. The Heiltsuk sought funding of
$421,877 for all phases, but received $96,000. In Phase IV, the Kitasoo sought
funding of $110,410 but received $14,000.
[210]
We have carefully reviewed
the second affidavits of Douglas Neasloss and Marilyn Slett, which contain the
evidence filed in support of the submissions. Without doubt, the level of
funding provided constrained participation in the Joint Review Panel process.
However, the affidavits do not explain how the amounts sought were calculated,
or detail any financial resources available to the First Nations outside of
that provided by Canada. As such, the evidence fails to demonstrate that the
funding available was so inadequate as to render the consultation process
unreasonable.
(d)
The consultation process was over-delegated
[211]
The Haisla point to many
asserted flaws flowing from the Crown’s reliance on the Joint Review Panel
process to discharge, at least in part, its duty to consult. The Haisla submit
that:
•
meaningful consultation requires
a two-way dialogue whereas the Joint Review Panel process was a quasi-judicial
process in which the Crown and Haisla had no direct engagement; and
•
the Joint Review Panel did
not assess the nature and strength of each First Nation’s claimed Aboriginal rights
and it did not assess the potential infringement of Aboriginal rights by the
Project.
[212]
To this, the Heiltsuk add
that the formalities of the quasi-judicial tribunal process led to friction
between them and the Joint Review Panel and restrictions on the Heiltsuk’s
ability to provide all of the information they wished to provide for
consultation purposes.
[213]
We have not been persuaded
that the consultation process was over-delegated or that it was unreasonable
for Canada to integrate the Joint Review Panel process into the Crown
consultation process for the following reasons.
[214]
First, in Rio Tinto,
at paragraph 56, the Supreme Court confirmed that participation by affected
First Nations in a forum created for other purposes, such as an environmental
assessment, can fulfil the Crown’s duty to consult. The issue to be decided in
every case is whether an appropriate level of consultation is provided through
the totality of measures the Crown brings to bear on its duty of consultation.
[215]
In the present case, we are satisfied
that Canada did not inappropriately delegate its obligation to consult to the
Joint Review Panel – as evidenced by the existence of Phase IV of the
consultation process in which there was to be direct consultation between
Canada and affected Aboriginal groups following the Joint Review Panel process
and before the Governor in Council considered the Project.
[216]
The Joint Review Panel
process provided affected Aboriginal groups with the opportunity to learn in
detail about the nature of the Project and its potential impact on their
interests, while at the same time affording an opportunity to Aboriginal groups
to voice their concerns. As noted above, the Joint Review Panel Agreement gave
the Panel the mandate to receive information regarding potential impacts of the
Project on Aboriginal rights and title, consider mitigation where appropriate
and report on information received directly from Aboriginal groups about
impacts upon their rights.
[217]
Additionally, we accept the
submission of the Attorney General that the Joint Review Panel had the
experience and statutory mandate to address mitigation, avoidance and
environmental issues relating to the Project.
(e)
Canada either failed to
conduct or failed to share with affected First Nations its legal assessment of
the strength of their claims to Aboriginal rights or title
[218]
In this section of the
reasons, we consider the assertion that Canada failed to conduct an assessment
of the strength of the applicant/appellant First Nations’ claims to Aboriginal
rights and title. We also consider the assertion that Canada was obliged to
disclose the analysis that led to its assessment of the strength of each First
Nation’s claim.
[219]
For example, the Gitxaala
state that despite repeated requests, government officials responsible for consultation
did not assess the strength of their claims to governance and title rights. Nor
did they ever receive Canada’s assessment of the strength of its claims. They
submit this is an error of law that wholly undermined the consultation process.
This argument is echoed by the Gitga’at and the Haisla.
[220]
The Haisla make the
additional point that by letter dated April 18, 2012, the then Minister of the
Environment advised their counsel that:
Based
on the significant evidence filed by the Haisla Nation in the joint review
panel process, the federal government is currently updating its strength of
claim and depth of consultation assessment and will provide a description of
this analysis to the Haisla Nation once this work is completed and ready to be
released. The results of this updated assessment will be shared with
potentially affected groups prior to consultation on the Panel's environmental
assessment report (Phase IV of the consultation process). [Emphasis added]
[221]
Canada never provided the
Haisla with a copy of its updated strength of claim and depth of consultation
analysis and assessment.
[222]
However, as set out in the
portion of the letter extracted above, the Minister made no commitment to
provide the actual legal analysis to the Haisla. He committed to providing only
a description of the analysis, which we construe to be an informational
component. In Phase IV, the Haisla were advised only in
a general sense of the informational component. They were told that the preliminary strength of claim assessment “supports the Haisla Nation as having strong prime [sic]
facie claim to both Aboriginal rights and title within lands claimed as
part of the Haisla traditional territory”:
Exhibit H to the affidavit of Ellis Ross, at page 152 of Haisla’s Compendium.
[223]
We reject the assertion that
Canada failed to assess the strength of the First Nations’ claims. The
assertion is unsupported by the evidence.
[224]
We also conclude that Canada
was not obliged to share its legal assessment of the strength of claim.
In Halalt First Nation v. British Columbia, 2012 BCCA 472, [2013] 1
W.W.R. 791, at paragraph 123, the British Columbia Court of Appeal observed
that, inherently, a legal assessment of the strength of a claim is subject to
solicitor-client privilege.
[225]
It is to be remembered that
the strength of claim plays an important role in the nature and content of the
duty to consult. Canada must disclose information on this and discuss it with
affected First Nations. On this, Canada fell short. We say more about this
below. But for present purposes we do not accept that Canada was obligated to
share its legal analyses.
(f)
The Crown consultation did not reflect the
terms, spirit and intent of the Haida Agreements
[226]
The Haida have concluded a
number of agreements with Canada and British Columbia to establish
collaborative management of all of the terrestrial and portions of the marine
area in Haida Gwaii. These agreements are:
•
the 1993 Gwaii Haanas
Agreement;
•
the 2010 Gwaii Haanas Marine
Agreement;
•
the 2007 Strategic Land Use
Plan Agreement;
•
the 2009 Kunst’aa
Guu-Kunst’aayah Reconciliation Protocol;
•
the Memoranda of
Understanding with Canada for cooperative management and planning of the sGaan
Kinghlas (Bowie Seamount).
[227]
The Haida argue that these
agreements reinforce and individualize Canada’s obligation to engage in a deep and
specific level of consultation and accommodation with it. They submit that
Canada followed only a “generic” consultation process, with the result that the
Governor in Council’s decision to approve the Project failed to respect the
Haida Agreements.
[228]
In our view, Canada
correctly acknowledged its obligation to consult deeply with the applicant/appellant
First Nations, including the Haida. This deep consultation required the highest
level of consultation possible, short of consent. The Haida Agreements do not,
in our view, modify or add to that obligation.
[229]
There are four more concerns
expressed by the applicant/appellant First Nations. We view these as
overlapping and interrelated. They all focus primarily on Canada’s execution of
Phase IV of the consultation framework. Therefore, it is convenient to deal
with them together.
(g)
The Joint Review Panel Report left too many
issues affecting First Nations to be decided after the Project was approved
(h)
The consultation process was too generic: Canada
and the Joint Review Panel looked at First Nations as a whole and failed to
address adequately the specific concerns of particular First Nations
(i)
After the Report of the Joint Review Panel was
finalized, Canada failed to consult adequately with First Nations about their
concerns and failed to give adequate reasons
(j)
Canada did not assess or discuss title or
governance rights and the impact on those rights
[230]
To this point we have
rejected the arguments advanced by the applicant/appellant First Nations that Canada’s
execution of the consultation process was unacceptable or unreasonable.
However, for the reasons developed below, Canada’s execution of the Phase IV
consultation process was unacceptably flawed and fell well short of the mark. Canada’s
execution of Phase IV failed to maintain the honour of the Crown.
[231]
We begin our analysis on
this point by briefly setting forth some of the relevant legal principles that
speak to what constitutes a meaningful process of consultation.
[232]
As explained above, the duty
to consult is a procedural duty grounded in the honour of the Crown. The “common thread on the Crown’s part must be
‘the intention of substantially addressing [Aboriginal] concerns as they are
raised … through a meaningful process of consultation”: Haida Nation, at paragraph 42. The “controlling question in all situations is
what is required to maintain the honour of the Crown and to effect
reconciliation between the Crown and the Aboriginal peoples with respect to the
interests at stake”: Haida
Nation, at paragraph 45.
[233]
Meaningful consultation is
not intended simply to allow Aboriginal peoples “to blow off steam”
before the Crown proceeds to do what it always intended to do. Consultation is
meaningless when it excludes from the outset any form of accommodation: Mikisew
Cree First Nation v. Canada (Minister of Canadian Heritage), 2005 SCC 69,
[2005] 3 S.C.R. 388, at paragraph 54.
[234]
As the Supreme Court
observed in Haida Nation at paragraph 46, meaningful consultation is not
just a process of exchanging information. Meaningful consultation “entails testing and being prepared to amend
policy proposals in the light of information received, and providing feedback.” As submitted by Kitasoo and Heiltsuk, where
deep consultation is required, a dialogue must ensue that “leads to a demonstrably serious
consideration of accommodation (as manifested by the Crown’s
consultation-related duty to provide written reasons)…” [Emphasis added].
[235]
Further, the Crown is
obliged to inform itself of the impact the proposed project will have on an
affected First Nation and communicate its findings to the First Nation: Mikisew
Cree First Nation, at paragraph 55.
[236]
Two final points are to be
made. First, where the Crown knows, or ought to know, that its conduct may
adversely affect the Aboriginal right or title of more than one First Nation,
each First Nation is entitled to consultation based upon the unique facts and
circumstances pertinent to it.
[237]
Second, where the duty to
consult arises in a project like this, the duty to consult must be fulfilled
before the Governor in Council gives its approval for the issuance of a certificate
by the National Energy Board. This is because the Governor in Council’s decision
is a high-level strategic decision that sets into motion risks to the applicant/appellant
First Nations’ Aboriginal rights: Haida, at paragraph 76. Further,
future consultation, as contemplated by the Joint Review Panel conditions,
would not involve the Crown and future decision-making lies with the National
Energy Board. Canada advised in the consultation process that the National
Energy Board does not consult with First Nations at the leave to open stage.
[238]
Against this legal
framework, we turn to the execution of Phase IV of the consultation process. We
begin with a general comment about the importance of consultation at the
beginning of Phase IV and the status of the consultation process at that time.
[239]
Phase IV was a very
important part of the overall consultation framework. It began as soon as the
Joint Review Panel released its Report. That Report set out specific
evaluations on matters of great interest and effect upon Aboriginal peoples,
for example matters involving their traditional culture, the environment around
them, and, in some cases, their livelihoods. Specific evaluations call for
specific responses and due consideration of those responses by Canada. Specific
feedback regarding specific matters dealt with in the Report may be more
important than earlier opinions offered in the abstract.
[240]
Further, the Report of the
Joint Review Panel covers only some of the subjects on which consultation was
required. Its terms of reference were narrower than the scope of Canada’s duty
to consult. One example of this is the fact that Aboriginal subjects that, by
virtue of section 5 of the Canadian Environmental Assessment Act, 2012,
must be considered in an environmental assessment are a small subset of the
subjects that make up Canada’s duty to consult.
[241]
In addition, in the Joint
Review Panel’s process:
•
The proponent, Northern
Gateway, made no assessment of the Project’s impact on Aboriginal title: Cross-examination
of Enbridge witness, Haisla Compendium, at pages 973, 975 and 976.
•
Similarly, the Joint Review
Panel made no determination regarding Aboriginal rights or the strength of an
Aboriginal group’s claim to an Aboriginal right or title: Report of the Joint
Review Panel, at page 47.
•
Northern Gateway confined
its assessment of the Project’s impact on Aboriginal and treaty rights to an
assessment of the potential impacts upon the rights to harvest and use land and
resources: Cross-examination of Enbridge witness, transcript, v. 149, line
22890; Report of the Joint Review Panel, at page 42.
•
In assessing the various
rights that Aboriginal peoples enjoy, including hunting, fishing and gathering
rights, Northern Gateway did not look specifically at a single community’s
right. Rather it looked at rights “generally speaking”: Cross-examination of Enbridge witness, transcript, v. 112, lines
9990-9993.
•
The Joint Review Panel
accepted this approach and relied upon it to conclude that the Project would
not significantly adversely affect the interests of Aboriginal groups that use
lands, waters or resources in the Project area: Report of the Joint Review
Panel, at pages 49-50.
[242]
As for the status of the
consultation process at the start of Phase IV, this was Canada’s first
opportunity—and its last opportunity before the Governor in Council’s
decision—to engage in direct consultation and dialogue with affected First
Nations on matters of substance, not procedure, concerning the Project: Crown
Consultation Report, Exhibit A to the affidavit of Jim Clarke (the Director
General, Operations of the Major Project Management Office, Natural Resources
Canada).
[243]
It is in this context that
Canada entered Phase IV of the consultation process. Its goal was stated, in
Canada’s Aboriginal Consultation Framework, to be to:
…seek to establish
whether all concerns about potential project impacts on potential or
established Aboriginal and treaty rights have been characterized accurately. It
will also consult on the manner and extent to which any recommended mitigation
measures might serve to accommodate these concerns, and whether there remain
any outstanding issues.
[244]
We turn now to consider
Canada’s execution of the process of consultation under Phase IV—a process we
would characterize as falling well short of the minimum standards prescribed by
the Supreme Court in its jurisprudence.
[245]
Canada initiated Phase IV
shortly before the Joint Review Panel issued its Report. In a letter dated
December 5, 2013, Canada advised that:
•
consultation meetings would
begin shortly after the release of the Report of the Joint Review Panel;
•
45 days was allotted to meet
with all affected Aboriginal groups;
•
the Report of the Joint
Review Panel and a Crown Consultation Report would be used to inform the
Governor in Council about whether to order the National Energy Board to issue a
Certificate;
•
affected First Nations were
given 45 days to advise Canada in writing of their concerns by responding to
the following three questions:
o
Does the Panel Report
appropriately characterize the concerns you raised during the Joint Review Panel
process?
o
Do the recommendations and
conditions in the Panel Report address some/all of your concerns?
o
Are there any “outstanding” concerns that are not addressed in the Panel Report? If
so, do you have recommendations (i.e., proposed accommodation
measures) on how to address them?
•
Such responses “must not exceed 2-3 pages in length and
must be received by April 16, 2014.”
[246]
The First Nations responded
that the timelines were arbitrarily short and insufficient to provide for
meaningful consultation: see, for example, the Haisla’s letter of December 12,
2013, Exhibit H to the affidavit of Chief Councillor Ellis Ross, at page 787.
[247]
At consultation meetings,
the First Nations requested that the timelines for consultation be extended. Evidence
illustrating this is found in the affidavit of Chief Ellis Ross of the Haisla:
107. During
the March Meeting, the Haisla Nation asked the Crown representatives to extend
the timeline for consultation. Mr. Clarke advised that the timelines were
driven by legislation which they themselves were not authorized to extend. We
pointed out that the relevant legislation provided the Crown with an ability to
extend the timelines. Mr. Clarke conceded that this was correct. The Haisla
Nation therefore asked the Crown representatives to ask the Minister to extend
the timelines for the Decision to allow meaningful consultation. Mr. Clarke
agreed to do so.
108. During the April Meeting, Mr.
Clarke told us that he had communicated the Haisla Nation’s request to extend
the deadlines to the Minister of Natural Resources, but the Minister had
failed to respond to this request. In our May 7, 2014 letter we requested
again that a decision on the Project be delayed to allow meaningful
consultation to take place. The Crown refused. [Emphasis added]
[248]
The Haisla Phase IV
consultation meeting notes of March 3, 2014 and April 8-9, 2014 are consistent
with this evidence.
[249]
As the Haisla observed at
their consultation meeting, no explanation “from anyone at all” was ever provided for the rush “and that’s a problem.”
[250]
Throughout the consultation,
the Haisla asked that Canada defer consideration of the Project. Specifically, the
Haisla requested that the decision be delayed to allow for scientific studies.
Taylor Cross, Deputy Chief Councillor of the Haisla, gave evidence that:
15. We
further identified the lack of certainty surrounding the Crown’s preparedness
for potential spills of diluted bitumen as a reason to consider delaying
Project approval. The Coast Guard Canada representative, Mr. Roger Girouard, could
not say how long it would take Canada to be prepared to provide effective
ocean-based spill response, even with an unlimited budget. Mr. Girouard further
stated that ocean-based spill response requires additional information
about the relevant waters, the nature of the products to be transported, and
appropriate governance, management, and equipment requirements before it can be
effective. We asked for a delay of the decision to allow for the proper
scientific studies to take place. Canada’s representatives told us they
would place this request before decision-makers. If they did, it was ignored.
[Emphasis added]
16. Ms. Maclean [of Environment
Canada] stated that the spill modelling done conducted [sic] by
Northern Gateway Pipelines Inc. and Northern Gateway Pipelines Limited
Partnership (collectively “Northern Gateway”) did not include stochastic
modelling, which would have provided a better understanding about how
environmental conditions would influence a spill. We asked for a delay of the
decision until this modelling had been provided. Canada’s representatives told
us they would place this request before decision-makers. If they did, it was
ignored. [Emphasis added]
[251]
While the Governor in
Council was subject to a deadline for decision under subsection 54(3) of the
National Energy Board Act, that subsection allows the Governor in Council, by
order, to extend that deadline. The importance and constitutional significance
of the duty to consult provides ample reason for the Governor in Council, in
appropriate circumstances, to extend the deadline. There is no evidence that
Canada gave any thought to asking the Governor in Council to extend the
deadline.
[252]
But even if Canada did not
wish to ask the Governor in Council for an extension, we consider that a
pre-planned, organized process of Phase IV consultation would have allowed
Canada to receive in time all relevant views, discuss and consider them,
provide any necessary explanations and, if appropriate, make suitable
recommendations to the Governor in Council, including any further conditions to
be added to any approval of the Project.
[253]
By and large, many of the
First Nations’ concerns were specific, focused and brief; Canada’s actions in
response equally could have been specific, focused and brief.
[254]
Jim Clarke was involved in
Phase IV and “acted as Canada’s
lead” on issues that
involved the mandates of two or more government departments. Under cross-examination
on his affidavit by counsel for Haisla, Mr. Clarke himself acknowledged that
consultation on some issues fell well short of the mark:
323. Q. Now
you indicated yesterday that you had to review the meeting notes to assess
whether Canada and Haisla had been able to address the agenda items.
Generally is it
your conclusion that Haisla and Canada had a full discussion of the items on
the two agendas?
A. I
focused my efforts in looking at the notes on the second agenda, and I
apologize if that was not the understanding yesterday.
I looked at
specifically all the items under 7(c) of the second agenda, all the issues, the
extent to which panel terms and conditions addressed concerns of potential
impacts, those 20 items.
324. Q. And generally is it your
conclusion that Haisla and Canada had a full discussion of those 20 items?
A. I
would say the general conclusion is that there was not a full discussion of
those 20 items. There was discussion of a majority of those items. My
assessment last evening was that there was discussion of 12 of 20 items.
…
327. Q. Would you say that the
Haisla’s concerns about potential impacts on hunting is one of the items that
was fully discussed?
A. I
would say, no, it wasn’t.
328. Q. What about trapping?
A. I
would say, no, it wasn’t.
329. Q. How about marine spills?
Was there a discussion about how marine spills may have negative effects on the
marine environment?
A. Yes, in
many different parts of the meeting.
330. Q. Was there a discussion of
how Haisla rely on marine resources in the exercise of their Aboriginal rights?
A. I
believe so.
331. Q. Could you point me to
that in the meeting notes?
A. I have
multiple Adobe references to where marine spills were discussed but that
specific item I can’t point you to right now.
332. Q. Was there a discussion
of how the negative effects on the environment might impact the marine
resources Haisla relies on in a way that might infringe its Aboriginal rights?
A. I
don’t recall if that was specifically part of the discussion.
333. Q. So you do not recall
going into that level of detail?
A. I
don’t. [Emphasis added]
[255]
A further problem in Phase
IV was that, in at least three instances, information was put before the
Governor in Council that did not accurately portray the concerns of the affected
First Nations. Canada was less than willing to hear the First Nations on this
and to consider and, if necessary, correct the information.
[256]
The first instance involved
the Kitasoo. On June 9, 2014, Messrs. Maracle (the Crown Consultation
Coordinator) and Clarke wrote acknowledging some of the Kitasoo’s concerns
expressed during Phase IV and enclosing that portion of the Crown Consultation
Report that outlined its position and summarized its concerns.
[257]
Counsel for Kitasoo
responded by letter dated June 17, 2014, identifying several inaccuracies in
the letter of Messrs. Maracle and Clarke and the Consultation Report. Points
made included the following:
•
The Crown’s letter
incorrectly represented the Kitasoo’s position respecting mitigation.
•
The Consultation Report
states “[t]he shipping route
would cross the northwestern portion of the Kitasoo/Xai’xais First Nation for
approximately 45 km. The confined channel assessment area is approximately 56
km from the proposed shipping route.” This was incorrect and inconsistent with the Kitasoo’s
evidence that its territory extended into the confined channel assessment area.
•
The information provided in
the Crown Consultation Report was insufficient. By presenting the Kitasoo’s
concerns in a summary and high–level fashion, the decision-maker had
insufficient information to assess the Kitasoo’s outstanding concerns
respecting the Project.
[258]
As counsel’s information was
conveyed to Canada only on the date the decision to approve the Project was
made, the record before us does not demonstrate that these errors were
corrected or brought to the attention of the Governor in Council.
[259]
On June 9, 2014, a similar
letter was sent to the Heiltsuk. Again, its counsel responded by letter dated
June 17, 2014. Errors and omissions identified by counsel included:
•
an incorrect representation
of the Heiltsuk’s positon on mitigation.
•
an incorrect statement that
the “proposed shipping lane
would be between 30 and 70 km north of the northern and western boundaries of
the traditional territories.”
The Heiltsuk’s evidence was that the proposed southern approach shipping lane
intersected with a significant portion of the Heiltsuk’s traditional territory.
•
an incorrect representation
of the Heiltsuk’s position on equity participation.
•
a failure to identify the
central issue raised by the Heiltsuk regarding the lack of baseline work and
the lack of spill modelling in the Open Water Area.
[260]
In the letter of June 17,
2014, counsel argued insufficient information was provided to the
decision-maker that would allow assessment of the Heiltsuk’s outstanding
concerns. As was the case with the letter sent by counsel for the Kitasoo, this
letter was only received the day the decision to approve the Project was made.
[261]
The final example comes from
the June 9, 2014 letter with appended extracts of the Crown Consultation Report
received by the Nadleh and the Nak’azdli. In a letter dated June 16, 2014, the
Yinka Dene Alliance Coordinator highlighted issues and inaccuracies in this
letter:
•
The letter inaccurately
stated that, at the Phase IV consultation meeting, federal officials discussed
Canada’s priorities regarding oil spill prevention and response and discussed
the opportunity for future involvement in oil spill planning and response when
such dialogue did not occur.
•
The Crown failed to respond
to the key concerns and impacts raised by the Nadleh and the Nak’azdli
regarding the risks of an oil spill in their territory.
[262]
As with the Kitasoo and the Heiltsuk,
the Nadleh and the Nak’azdli also responded to Canada asserting that the
Governor in Council did not have sufficient information to make a decision. The
record does not demonstrate that the Governor in Council had this information
before making its decision. While Canada did respond acknowledging the errors
in the Phase IV discussions, it did not indicate any steps taken to correct the
errors or state what effect, if any, this had on the Governor in Council’s
decision: July 14 letter, Major Book of Documents, page 469.
[263]
Also of significant concern
is the lack of meaningful dialogue that took place in Phase IV.
[264]
During the consultation
meetings, Aboriginal groups were repeatedly told that Canada’s representatives
were:
•
working on the assumption
that the Governor in Council needed to make the decision by June 17, 2014;
•
tasked with information
gathering, so that their goal was to get the best information to the
decision-makers;
•
not authorized to make
decisions;
•
required to complete the
Crown Consultation Report by April 16, 2014.
[265]
When the role of Canada’s
representatives is seen in this light, it is of no surprise that a number of
concerns raised by Aboriginal groups—in our view, concerns very central to
their legitimate interests—were left unconsidered and undiscussed. This fell
well short of the conduct necessary to meet the duty to consult. There are
several examples.
[266]
At the consultation meeting
on April 22, 2014, the Kitasoo made detailed submissions about why the
Project’s impacts on their Aboriginal rights could not be assessed without what
they referred to as the “missing
information.” The Kitasoo
representatives explained that they required information about spill modelling
and assessment, the behaviour (or fate) of bitumen in the water, a baseline
marine inventory and what the spill recovery would look like. Thereafter, Chief
Clark Robinson asked Canada’s representatives “who will engage in consultation, will you?” Canada’s response was delivered by two of its representatives:
Joseph Whiteside, a senior policy analyst with Natural Resources, and Brett
Maracle, the Crown Consultation Coordinator. Their response shows little in
terms of facilitating consultation; indeed, it shows just how short of the mark
the Phase IV consultation was:
Joseph Whiteside:
Building on what I just said – we’re not decision makers, our job is to
collect information to make sure that within the individual expertise of
Environment Canada, Transport Canada, my department Natural Resources and
others, we fully understand what you’re trying to tell us, and so the decision
making is at a different level. Particularly on the matter of funding. They
haven’t given us funding approval authority yet – maybe they will. But, our job
is to take the best recommendations forward that we can. We may have some
questions as the afternoon unfolds, to detail more of what was in your slide
presentation – I assume we have a copy of the slide presentation. That will
help our analysis as well.
So, part of our responsibility today is
not to make decisions, or to tell you we have decisions that we can make. It is
to tell you we will do the best job we can in taking your recommendations
forward so that they are properly understood within our respective departments.
Brett Maracle: And considered.
Joseph Whiteside: and considered.
Chief Clark Robinson: Will [you]make a recommendation
on consultation?
Joseph Whiteside: Well one of the things we
can look at is, based on what your community and others have said – is that
they are seeking, I think [it’s] fair from the hereditary chiefs said this
morning, you’re looking for an additional level of consultation beyond what has
already been engaged in prior to panel, through the panel, which Canada
continues to say we rely on, to the extent possible to meet the duty to
consult, and then using this phase IV to build on the work of the Panel to make
sure we fully understood what Aboriginal communities are saying.
To identify where you believes [there] are
gaps, and I think [it’s] fair to describe a lot of the presentation is talking
about gaps in the analytical framework that you believe critically need to be
filled, and then to see what more can be done. It may well be possible to take
– to put forward a recommendation, and I can’t say what’s in the Cabinet
submission because I don’t make that decision. As to whether [Cabinet] feels
there is ongoing consultation work that needs to be engaged [in regardless] of
the whether the decision is pro or con on the particular project, that may well
be an issue Ministers may wish to bring forward further information about
consultation, I can’t say the door is closed, and I can’t say what the door on
consultation may be, that part of the analysis, we as a team may have to do
some work on to assist to assist our seniors.
Chief Clark Robinson: We don’t agree that
there has been any consultation.
[Emphasis added] [sic throughout]
[267]
In our view, the Kitasoo
never received Canada’s explanation why the missing information was not
required and why Canada rejected the assertion that the Kitasoo had not been
adequately consulted.
[268]
The Heiltsuk made similar
submissions to the Kitasoo at their Phase IV consultation meeting with Canada
in terms of requiring additional information to assess the impacts on their
Aboriginal rights. Particularly concerning for the Heiltsuk was that there was
insufficient information regarding the risk of an oil spill to
herring-spawn-on-kelp—a resource over which the Heiltsuk have an Aboriginal
right to fish on a commercial basis: see the Heiltsuk’s closing submissions to
the Joint Review Panel, extract book, Tab 19.
[269]
During the consultation
meeting, elected leader and Chief Councillor Cecil Reid described the
importance of the herring industry to the Heiltsuk and the “horrific” consequences that an oil spill would have on their
livelihood. He then asked Canada’s representative “[…] why did you come without the authority
to discuss our concerns and react to them in a positive way so that we have some
comfort that this thing is being taken seriously? … How can you make a decision
until all the information is in?”
[270]
Joseph Whiteside, a senior policy
analyst with Natural Resources, responded along the same lines as he did at the
Kitasoo meeting:
Our responsibility
is to collect the information we have and be as responsive to the questions and
issues we’ve heard in the last day and a half, and to be as responsive back to,
within the time that we have, to provide some information and try and build
some understanding. Our main responsibility is to take your views back and
integrate them into the report that we have to prepare, so that our senior managers
and all up to the Ministers are fully aware of the perspective of the Heiltsuk
Nation brings forward on the proposal that will be before the Cabinet by
mid-June.
[271]
When Chief Councillor
Marilyn Slett asked Canada’s representatives if Canada would be available for
further consultations with the Heiltsuk on this matter, Canada’s Crown
Consultation Coordinator, Brett Maracle, replied, “I can’t say, because that would be
basically the [M]inister’s agreeing to [a] delay of the process.” The Heiltsuk never received an explanation why
the missing information concerning a resource necessary for their sustenance
was not required.
[272]
Deputy Chief Counselor
Taylor Cross of the Haisla also provided evidence of the following unaddressed
concerns:
7. Despite
a representative from Transport Canada attending the March and April Meetings,
we did not have time to discuss Canada’s Tanker Safety Expert Panel Report or
our concerns with that report. We therefore requested that the Crown reply to
our concerns regarding that report in writing. To the best of my knowledge,
Transport Canada has not yet replied to our concerns in writing or otherwise.
[273]
The Haisla fared no better
when they raised concerns about errors in the Report of the Joint Review Panel.
For example, during the consultation meetings, Canada’s representative agreed
that hundreds of culturally modified trees exist at the proposed terminal site,
notwithstanding that the Report of the Joint Review Panel stated that there
were none. He agreed that many culturally modified trees would be destroyed by
the Project and that this would have an impact on the Haisla. Canada then
offered no suggestion as to how the impacts to the Haisla’s culturally modified
trees could be avoided or accommodated.
[274]
Deputy Chief Councillor of
the Haisla, Taylor Cross, also gave evidence that Canada’s representatives,
including Jim Clarke, repeatedly stated that they had to accept the findings of
the Joint Review Panel as set out in its Report. This was not so. Phase IV in
part was an opportunity to address errors and omissions in the Report on
subjects of vital concern to Aboriginal Peoples. The consequence of Canada’s
position was to severely limit its ability to consult meaningfully on
accommodation measures.
[275]
The Gitxaala encountered the
same problems with Canada during Phase IV. It also took the position that
approval of the Project was premature and that further studies on matters
arising from the Report of the Joint Review Panel were required. The notes of
the April 3, 2014 consultation meeting show that Canada was asked “[c]an we get any response, any reasons why
the additional work that we’re asking for can’t be undertaken? Can we talk
about what can or can’t be undertaken? We invite any discussion?”
[276]
Jim Clarke, for Canada,
replied that “I don’t want to
raise your expectations. Typically we just use the Joint Review Panel as
information for the decision. It is not typical to delay the legislative
timeframe for decision. It doesn’t mean it can’t happen it’s just not routinely
done.”
[277]
During this April 2014
consultation meeting, Canada acknowledged to the Gitxaala that an oil spill
could have a catastrophic effect on the Gitxaala’s interests. The Gitxaala’s
representatives went on to observe that the Gitxaala had filed many expert
reports in the Joint Review Panel process. The Gitxaala’s representatives asked
what Canada’s views were on a specific report dealing with navigation issues,
and how Canada intended to take such report into account. Transport Canada’s
representative answered, “If we
can get more answers we’ll try.” Answers on this critical issue were never forthcoming.
[278]
One final example occurred
during the March 3, 2014, consultation meeting with the Haisla. The Haisla’s
representatives expressed concern at the extent to which paid lobbyists were
talking to government officials and affecting the consideration of their
concerns and asked for disclosure of lobbying efforts. Mr. Maracle responded
that it was “hard for us to get
[information] from Ministers, [and it would be] better if you [used] an [access
to information request].” If
information was available through an access request, it is difficult to see why
it would not be provided through the consultation process—particularly in light
of the timelines Canada had imposed.
[279]
Based on our view of the
totality of the evidence, we are satisfied that Canada failed in Phase IV to
engage, dialogue and grapple with the concerns expressed to it in good faith by
all of the applicant/appellant First Nations. Missing was any indication of an
intention to amend or supplement the conditions imposed by the Joint Review
Panel, to correct any errors or omissions in its Report, or to provide
meaningful feedback in response to the material concerns raised. Missing was a
real and sustained effort to pursue meaningful two-way dialogue. Missing was
someone from Canada’s side empowered to do more than take notes, someone able
to respond meaningfully at some point.
[280]
Canada places great reliance
on two letters sent to each affected First Nation on June 9, 2014 and July 14,
2014, the former roughly a week before the Governor in Council approved the
Project, the other after. In our view, for the following reasons, these letters
were insufficient to discharge Canada’s obligation to enter into a meaningful
dialogue.
[281]
Aside from the errors found
in the June 9, 2014 letter sent to the Kitasoo, the Heiltsuk, the Nadleh and the
Nak’azdli, the content of the letters can at best be characterized as
summarizing at a high level of generality the nature of some of the concerns
expressed by the affected First Nation. Thus, the letter explained that during
Phase IV, officials “noted
[their] perspective on the extent which [your] concerns could be mitigated by
various measures” without
setting out what the Nations suggested mitigation measures were. To the limited
extent the June 9, 2014 letter responded to a concern, it did so only in a
generic fashion. In substance, no explanation was provided about what, if any,
consideration had been given to the suggested mitigation measures.
[282]
To illustrate, to the extent
a First Nation had raised a concern about the consequence of an oil spill,
Canada responded that it “place[d]
a high priority on preventative measures to avoid the occurrence of spills in
the first place, and on enhancing response and recovery measures in the
unlikely event of a spill.”
The letter went on to inform that “the Government of Canada has recently announced new measures to
further enhance Canada’s world-class pipeline safety and tanker safety
systems.”
[283]
The July 14, 2014 letters
were lengthier and were intended “to respond to the many important issues you have raised, and to
describe some of the next steps related to the Project.” Given that the decision to approve the Project
had already been made, and that consultation is to be complete prior to making
the decision at issue, it is difficult to see these letters as fulfilling
Canada’s obligation to consult.
[284]
Moreover, again we
characterize the content of the July letters as generic in nature, explaining
that the Joint Review Panel had subjected the Project proposal “to a rigorous science-based review by an
independent Panel.” To the
extent the letter addressed concerns expressed by the First Nation, those
concerns were summarized at a general level and then responded to by reference
to conditions imposed by the Joint Review Panel, by reliance upon the current
marine safety regime, the possibility “there may be further interest in conducting geological and
geotechnical sampling to gather additional information to better evaluate” hazards posed by geo-hazards, additional
research and development on the fate of diluted bitumen and ongoing research.
[285]
It is fair to say the
letters centered on accommodation measures.
[286]
However, the letters did not
engage with the stated concerns that the Phase IV consultation process was
rushed and lacked any meaningful dialogue. Nor did the letters engage with the
repeatedly expressed concern that insufficient evidence was available to allow
for an informed dialogue about the potential impacts of the Project on
Aboriginal and treaty rights.
[287]
Following the authorities of
the Supreme Court of Canada on the duty to consult, we conclude that during the
Phase IV process, the parties were entitled to much more in the nature of
information, consideration and explanation from Canada regarding the specific
and legitimate concerns they put to Canada.
[288]
The dialogue necessary to
fulfil the duty to consult was also frustrated by Canada’s failure to disclose necessary
information it had about the affected First Nations’ strength of claims to
rights and title. We stress information, as opposed to the legal assessments we
discussed above at paragraphs 218-225. Canada’s attitude
to the sharing of information about this is troubling. Strength
of claims was an important matter that had to be considered in order for the
consultation in Phase IV to be meaningful. We wish to explain why.
[289]
The consultation process in
Phase IV was not to be a forum for the final determination and resolution of
Aboriginal claims to rights and title. We agree, based on the Supreme Court’s
reasoning in Haida Nation, that this was appropriate: the duty to
consult is not a duty to determine unresolved claims. But disclosure by Canada
of information concerning the affected First Nations’ strength of claims to rights
and title was needed for another reason.
[290]
In law, the extent and
strength of the claims of affected First Nations affect Canada’s level of
obligation to consult and, if necessary, accommodate. It also defines the
subjects over which dialogue must take place: a broad and strong claim to rights
and title over an asserted territory means that broad subjects within that
territory must be discussed and, perhaps, must be accommodated. Looking
specifically at the case before us, Canada accepted that the obligation to
consult was deep. But dialogue had to take place regarding what that meant.
What subjects were on the table? How deep did the dialogue and, if necessary,
accommodation have to go?
[291]
The case law is clear that Canada,
acting under the duty to consult, must dialogue concerning the impacts that the
proposed project will have on affected First Nations and to communicate its
findings to the First Nations: Mikisew Cree First Nation, at paragraph
55. But contrary to that case law, Canada repeatedly told the affected First
Nations that it would not share a matter fundamental to identifying the
relevant impacts—information concerning the strength of the affected First
Nations’ claims to Aboriginal rights and title.
[292] For discussions during Phase IV to be fruitful
and the dialogue to be meaningful, this had to happen. And, as we noted above,
in a letter dated April 18, 2012, the then Minister of the Environment
committed to do just that—to provide a description of its
strength of claim and depth of consultation assessment.
[293]
But Canada never provided
the Haisla with that description. The evidence of Chief Ross of the Haisla
shows that during Phase IV Canada resiled from that commitment and avoided defining
exactly what was in play during the consultations:
99. There
was no genuine discussion of the Haisla Nation’s strength of claim at the March
and April Meetings. At the March Meeting, the Haisla Nation raised the
importance of openly discussing Aboriginal rights and title – a topic [the
Joint Review Panel] had avoided entirely – and asked the Crown representatives
to share the Crown’s views of the strength of claim. In his letter dated
April 18, 2012 the Minister of Environment had committed to sharing the Crown’s
results of its analysis of our strength of claim prior to the commencement of
Phase IV of its Consultation Framework. We stressed that we needed to know of
any disagreements regarding strength of claim in order for consultation to be
meaningful, and so that we were not speaking at cross purposes.
100. The Environment Canada
representatives, Mr. Brett Maracle and Analise Saely, stated that, based on a
preliminary assessment, they were of the view that the Haisla Nation had a
strong Aboriginal title claim to the terminal site, a strong Aboriginal title
claim to portions of the pipeline right-of-way within Haisla Territory, as well
as a strong claim to Aboriginal rights to fish and harvest marine resources in
parts of the Kitamaat River, Kitamaat River or Estuary, and in the Douglas
Channel. We asked that the Crown provide detail as to what portions of the
pipeline route they conceded Haisla Nation has a strong Aboriginal title claim
to and what areas of water the Crown has conceded Haisla Nation has a strong
claim of aboriginal rights in. The Crown representatives told us they would
seek permission to disclose the Crown’s actual strength of claim analysis,
including further analysis of strength of claim along the pipeline route. A
copy of a March 11, 2014 letter to the Crown documenting at page 4 some of what
the Crown admitted in terms of the Haisla Nation’s strength of claim is found
at pages 920 to 929 of Exhibit H to this my Affidavit. This letter, however,
contains an error. At page 4, the letter incorrectly states that the Crown
explicitly agreed that the Haisla Nation has a high strength of claim to its
entire Traditional Territory. In fact, the Crown representatives only
explicitly admitted that the Haisla Nation has a strong claim to title at the
terminal site and portions of the pipeline route, as well as a strong claim to
fishing and harvesting rights in the aforementioned waters.
101. Shortly after the March Meeting,
the Crown sent a letter to the Haisla Nation with a generic and deliberately
vague statement about our Nation’s strength of claim that was divorced from the
Project area. The letter states as follows at page 2:
As discussed during our meetings on
March 4 and 5, Canada’s preliminary strength of claim assessment is based on
the information the Haisla Nation have provided to the Panel and in correspondence
with government officials. Without making any determination of the Haisla
Nation’s Aboriginal rights or title claims, our preliminary assessment of that
information, for the sole purpose of the consultation process for this proposed
project, is that it supports the Haisla Nation as a having strong prime
[sic] facie claim to both aboriginal rights and title within lands
claimed as part of the Haisla traditional territory.
A copy of the Crown’s letter dated March 24,
2014 with this statement is found at pages 931 to 1,052 of Exhibit H to this my
Affidavit.
102. This carefully crafted statement
came as a surprise to me, given that the Crown representatives had previously
conceded the Crown’s view that the Haisla Nation has a high strength of claim
to Aboriginal title to the terminal site itself and to portions of the pipeline
right-of-way. Our request for clarity and for disclosure of the Crown’s
strength of claim analysis had resulted in a statement which effectively told
us nothing about the Crown’s view of the strength of our claim in relation to
the Project.
103. At the April Meeting, the issue of
strength of claim was again raised, as was the deliberately vague strength of
claim language in the March 24 letter. We expressed concern that such language
was entirely unhelpful for the consultation process. Mr. Maracle and Mr. Jim
Clarke, of the Major Projects Management Office, told us that they were limited
in what they were authorized to disclose. Specifically, Mr. Maracle stated that
he had sought to disclose more and had drafted a letter that did in fact
disclose more regarding our strength of claim, but that his supervisors had
directed him to disclose nothing beyond what was set out in the March 24
letter. Mr. Clarke told us that the Minister of Natural Resources himself had
directed that the consultation team disclose nothing more than what was in the
letter quoted above. Mr. Clarke stated that he had done his best to seek the
disclosure of the Crown’s strength of claim analysis. He explicitly confirmed
that the Minister of Natural Resources rejected this plea for disclosure and
ordered that no further disclosure be made. We asked Mr. Clarke if he could
explain the rationale behind the Crown’s refusal to share its analysis of the
Haisla Nation strength of claim. He stated that he could not. We stated
that the effect of Canada’s failure to share its strength of claim analysis was
that Minister Kent’s promise would be broken. The Crown representatives had no
explanation. A copy of our letter of May 7, 2014 expressing frustration with
the Crown’s approach to Phase IV consultation is found at pages 1,054 to 1,066
of Exhibit H to this my Affidavit. [Emphasis added]
[294]
The experience of the Gitxaala
was not dissimilar. By letter dated March 28, 2014, they were informed that
Canada accepted the Gitxaala had a strong prima facie claim “to an Aboriginal right to fish and harvest
shellfish and other marine resources for food, social and ceremonial purposes
in the area claimed as part of the Gitxaala Nation traditional territory.”
[295]
Thereafter, the notes of the
Phase IV consultation meeting held on April 3, 2014 show that the Gitxaala
asked, not for an adjudication of their rights, but for Canada’s assessment of
the strength of their claim as they had asserted governance and title rights, i.e.
far more than just harvesting rights. Brett Maracle responded that Canada had
already gone through many ministerial levels to get approval for the statement
about the strength of claim that was provided in Canada’s correspondence. Jim
Clarke also advised they had pushed very hard to get this disclosure.
[296]
When asked if Canada agreed
that the Gitxaala was owed a deep level of consultation, Mr. Maracle advised
that he didn’t have approval to say so. When further pressed, he repeated that
Canada had tried to give as much information as it could about the rights of
the Gitxaala, and what Canada’s representatives were able to share they did
share.
[297]
Chief Moody then observed
that somewhere a determination had been made that their rights were focused on
subsistence harvesting. In answer to the question of whether the discussion
would be limited to this determination of their rights he was told, “No, but that’s all we are allowed to share.”
[298]
Again, at the April 22, 2014
consultation meeting with the Kitasoo, Mr. Maracle repeated that Canada was not
at that time sharing the strength of claim assessments. Aynslie Saely of
Environment Canada then added that they were still getting information which
would allow them to complete the depth of consultation assessment. When asked
if Canada would share its ultimate conclusion and the information it relied on
for assessing the strength of claim, Ms. Saely responded that such conclusion
would be a cabinet confidence, and as such it was not information that could be
shared.
[299]
Three days later, the
transcript of the April 25, 2014 consultation meeting with the Heiltsuk records
Ms. Saely of Environment Canada advising that Canada had a strength of claim
assessment but it was not something that could be shared. The stated rationale was
that, as it had been prepared by the Department of Justice, it was protected by
solicitor client privilege. When counsel for the Heiltsuk observed that while
legal advice could not be disclosed, the result of the assessment could be disclosed,
Ms. Saely responded that “[i]n
terms of the directions that we received – that it is part of Cabinet
confidence.”
[300]
We do not accept that
privileges in this case barred Canada from disclosing factual information
relevant to the consultation process.
[301]
At the consultation meeting
with the Gitxaala held on April 2, 3 and 4, 2014, in response to questions
about the impacts of oil spills upon governance and other concerns, Canada’s
representatives advised that “Phase
IV consultations are an opportunity to carefully consider the concerns of
Gitxaala Nation regarding the potential adverse impacts of the propose (sic)
Project.” The question was
then asked if that was the only answer the Gitxaala was going to get. Mr.
Maracle responded “[t]his is
the answer that’s being provided, and some of this will form part of our impact
assessment, which we cannot share.”
[302]
On cross-examination, Jim
Clarke confirmed “Canada has
not provided a detailed impact assessment to the Gitxaala, nor would Canada
consider that to be a normal part of an environmental assessment process.” Perhaps such information is not part of an environmental
assessment process—but the Supreme Court has held it to be a necessary part of
meaningful consultation.
[303]
Again, we refer to the
affidavit of Chief Ross on this point:
106. At the
March Meeting, we asked the Crown representatives to provide us with a list of
the infringements of the Haisla Nation’s Aboriginal rights and title that the
Crown had identified as flowing from the Project. Mr. Maracle stated that
this was a work in progress but that he would try to get that information to us
as soon as possible. However, at the April Meeting, Mr. Maracle stated that
his supervisors had prohibited any discussion of the Crown’s assessment of
infringements. In fact, Mr. Maracle told us that Canada had a document that
sets out the Haisla Nation strength of claim, the severity of impacts from the
Project, and the depth of consultation required, but that the Crown
representatives had been forbidden from sharing that. We asked Mr. Maracle if
he knew what the rationale was for his supervisors directing him to not provide
this information. Mr. Maracle stated that he did not know. [Emphasis added]
[304]
This evidence is again
consistent with the notes of the consultation meeting held on April 8 and 9,
2014, except that at the meeting Mr. Maracle stated that the direction
precluding disclosure came from the Ministerial level.
[305]
We are satisfied that
neither the Gitxaala nor the Haisla were singled out. Rather, the highest level
of government directed that information vital to the assessment of the required
depth of consultation (Canada’s understanding of the strength of the right
claimed and the potential impact of that right) not be shared with any First
Nation.
[306]
We note that Canada does not
argue that it was not obliged to consult with respect to title and governance
matters. Rather, it argues that it reasonably accommodated potential impacts on
assertions of Aboriginal title and governance claims to the point of Project
development.
[307]
This is similar to the
strategy that Canada employed with respect to disclosing its strength of claim
assessments at the Phase IV consultation meetings. It was Canada’s view that a
dialogue regarding the content and extent of a particular right claim was
unnecessary and it attempted to focus the meetings on mitigation and
minimization of impacts. For example, at the April 3 meeting, the Gitxaala
asked Canada “When Canada says
it’s taking the rights at face value, what does that mean? That it accepts
Gitxaala has these rights?”
Brett Maracle for Canada responded “No, it means considering whether there are measures that could
address these impacts.”
[308]
In our view, it was not
consistent with the duty to consult and the obligation of fair dealing for
Canada to simply assert the Project’s impact would be mitigated without first
discussing the nature and extent of the rights that were to be impacted. In
order for the applicant/appellant First Nations to assess and consult upon the
impacts of the Project on their rights there must first be a respectful
dialogue about the asserted rights. Once the duty to consult is acknowledged, a
failure to consult cannot be justified by moving directly to accommodation. To
do so is inconsistent with the principle of fair dealing and reconciliation.
[309]
While we agree with Canada
that the consultation process was not a proper forum for the negotiation of
title and governance matters, similar to other asserted rights, affected First
Nations were entitled to a meaningful dialogue about the strength of their
claim. They were entitled to know Canada’s information and views concerning the
content and strength of their claims so they would know and would be able to
discuss with Canada what was in play in the consultations, the subjects on
which Canada might have to accommodate, and the extent to which Canada might
have to accommodate. Canada’s failure to be candid on this point, particularly
in light of the initial commitments made in the letter of the Minister of the
Environment dated April18, 2012 (discussed at paragraphs 220 and 292, above),
was legally unacceptable. Canada’s failure frustrated the sort of genuine
dialogue the duty to consult is meant to foster.
[310]
We now consider the adequacy
of Canada’s reasons.
[311]
In the present case, Canada
was obliged at law to give reasons for its decision directing the National
Energy Board to issue the Certificates. The source of this obligation was
two-fold. As we develop in more detail below, in the present circumstances
where a requirement of deep consultation existed, the Crown was obliged to give
reasons. Additionally, subsection 54(2) of the National Energy Board Act
requires that where the Governor in Council orders the National Energy Board to
issue a certificate, the order “must
set out the reasons for making the order.”
[312]
Canada argues that the
requirement to give reasons was met for the following reasons:
•
Neither the National
Energy Board Act nor the Canadian Environmental Assessment Act, 2012
require the Governor in Council to expressly address the adequacy of
consultation in the order, nor to provide reasons in relation thereto.
•
To the extent that the
fulfilment of the duty to consult required reasons to be provided with respect
to Canada’s assessment of Aboriginal concerns and the impact those concerns
had, the June and July letters addressed the information and issues arising in
the consultation process to the point of the Governor in Council’s decision.
•
“Added to the other
aspects of the record and the lengthy consultation process in this case that
unfolded over several years, the June and July letters amply accomplish this
purpose.”
•
Read together with the
findings and recommendations found in the Report of the Joint Review Panel, the
Order in Council allows the parties and the Court to understand the decision
and to determine whether it falls within the range of acceptable outcomes.
[313]
We accept the submission of
the Attorney General that the Order in Council allows us to understand that the
Governor in Council made its decision on the basis that it accepted the Joint
Review Panel’s finding that the Project will be required by present and future
public convenience and necessity, and that the Project will diversify Canada’s
energy export markets and will contribute to Canada’s long-term economic prosperity.
This was sufficient to comply with the statutory requirement to give reasons in
so far as the issues covered by the Joint Review Panel were concerned. But as
far as the independent duty to consult is concerned, it fell well short of the
mark.
[314]
Canada elected in these
proceedings not to challenge, but to take at face value, assertions of
Aboriginal rights and title. In some instances it has expressly acknowledged
the existence of a strong prima facie case for a claim. For example, it
has acknowledged the Heiltsuk’s right to a commercial herring-spawn-on-kelp
fishery as recognized by the Supreme Court in R. v. Gladstone, [1996] 2
S.C.R. 723, 137 D.L.R. (4th) 648. Given this, the importance of the claimed
rights to Aboriginal groups, and the significance of the potential infringement
of those rights, this is a case where deep consultation required written
explanations of the sort described below to show that the Aboriginal groups’
concerns were considered and to reveal the impact those concerns had on the
Governor in Council’s decision: Haida Nation, at paragraph 44.
[315]
We accept the submissions of
counsel for the Kitasoo and the Heiltsuk that where, as in this case, the Crown
must balance multiple interests, a safeguard requiring the Crown to set out the
impacts of Aboriginal concerns on decision-making becomes more important. In
the absence of this safeguard, other issues may overshadow or displace the
issue of the impacts on Aboriginal rights.
[316]
Nor is the requirement to
give reasons met by the Report of the Joint Review Panel or the June and July letters.
[317]
In its Report, the Joint
Review Panel did not determine anything about Aboriginal rights or title and
gave no explanation on how those non-assessed rights affected, if at all, its
decision that the Project would not significantly adversely affect the
interests of Aboriginal groups that use lands, waters or resources in the
Project area. Thus, the Report of the Joint Review Panel—under this legislative
scheme, nothing more than a guidance document—can shed no light on Canada’s
assessment of how the Project would impact upon asserted rights and title.
[318]
Similarly, as the Attorney
General correctly conceded, the June and July letters are only capable of
addressing issues up to the point of the Governor in Council’s decision.
Additionally, we addressed above the deficiencies of these letters as part of
the consultation process. The letters’ contents are not sufficient to show that
the Governor in Council had proper regard for the asserted rights and how that
appreciation of those rights factored into its decision to approve the Project.
[319]
The balance of the record
that could shed light on this, i.e., the staff recommendations flowing
from the Phase IV consultation process, the ministerial recommendation to the
Governor in Council and the information before the Governor in Council when it
made his decision, are all the subject of Canada’s claim to Cabinet confidence
under section 39 of the Canada Evidence Act and thus do not form part of
the record. Canada was not willing to provide even a general summary of the
sorts of recommendations and information provided to the Governor in Council.
[320]
Finally and most
importantly, on the subject of reasons, we note that the Order in Council
contains only a single recital on the duty to consult. It records only that a
process of consultation was pursued, nothing more:
Whereas the Crown
has undertaken a process of consultation and accommodation with Aboriginal
groups relying on the work of the Panel and additional consultations with Aboriginal
groups;
[321]
Nowhere in the Order in
Council does the Governor in Council express itself on whether Canada had
fulfilled the duty to consult. This raises the serious question whether the
Governor in Council actually considered that issue and whether it actually
concluded that it was satisfied that Canada had fulfilled its duty to consult.
All parties acknowledge that the Governor in Council had to consider and be
satisfied on the issue of the duty to consult before it made the Order in
Council.
[322]
Similarly, the Order in
Council does not suggest that the Governor in Council received information from
the consultations and considered it.
[323]
There is nothing in the
record before us to assist us on these matters. This is a troubling and
unacceptable gap.
[324]
Had the Phase IV
consultation process been adequate, had the reasons given by Canada’s officials
during the consultation process been adequate and had the Order in Council
referred to and adopted, even generically, that process and the reasons given
in it, the reasons requirement might have been met. But that is not what
happened. Here too, Canada fell short of the mark.
(5)
Conclusion
[325]
We have applied the Supreme
Court’s authorities on the duty to consult to the uncontested evidence before
us. We conclude that Canada offered only a brief, hurried and inadequate
opportunity in Phase IV—a critical part of Canada’s consultation framework—to
exchange and discuss information and to dialogue. The inadequacies—more than
just a handful and more than mere imperfections—left entire subjects of central
interest to the affected First Nations, sometimes subjects affecting their
subsistence and well-being, entirely ignored. Many impacts of the Project—some
identified in the Report of the Joint Review Panel, some not—were left undisclosed,
undiscussed and unconsidered. It would have taken Canada little time and little
organizational effort to engage in meaningful dialogue on these and other
subjects of prime importance to Aboriginal peoples. But this did not happen.
[326]
The Project is large and has
been in the works for many years. But the largeness of the Project means that
its effects are also large. Here, laudably, many of the potentially-detrimental
effects appear to have been eliminated or mitigated as a result of Northern
Gateway’s design of the Project, the voluntary undertakings it has made, and
the 209 conditions imposed on the Project. But by the time of Phase IV
consultations, legitimate and serious concerns about the effect of the Project upon
the interests of affected First Nations remained. Some of these were considered
by the Joint Review Panel but many of these were not, given the Joint Review
Panel’s terms of reference. The Phase IV consultations after the Report of the
Joint Review Panel were meant to provide an opportunity for dialogue about the
Report and to fill the gaps.
[327]
However, the Phase IV
consultations did not sufficiently allow for dialogue, nor did they fill the gaps.
In order to comply with the law, Canada’s officials needed to be empowered to
dialogue on all subjects of genuine interest to affected First Nations, to
exchange information freely and candidly, to provide explanations, and to
complete their task to the level of reasonable fulfilment. Then
recommendations, including any new proposed conditions, needed to be formulated
and shared with Northern Gateway for input. And, finally, these recommendations
and any necessary information needed to be placed before the Governor in
Council for its consideration. In the end, it has not been demonstrated that
any of these steps took place.
[328]
In our view, this problem
likely would have been solved if the Governor in Council granted a short
extension of time to allow these steps to be pursued. But in the face of the requests
of affected First Nations for more time, there was silence. As best as we can
tell from the record, these requests were never conveyed to the Governor in
Council, let alone considered.
[329]
Based on this record, we
believe that an extension of time in the neighbourhood of four months—just a
fraction of the time that has passed since the Project was first proposed—might
have sufficed. Consultation to a level of reasonable fulfilment might have
further reduced some of the detrimental effects of the Project identified by
the Joint Review Panel. And it would have furthered the
constitutionally-significant goals the Supreme Court has identified behind the
duty to consult—the honourable treatment of Canada’s Aboriginal peoples and
Canada’s reconciliation with them.
[330] At
the end of Phase IV of the consultation process is the Governor in Council. As
we have explained above at paragraphs 159-168, under this legislative scheme the
ultimate responsibility for considering whether the duty to consult has been
fulfilled and whether necessary action must be taken in response to it rests
with the Governor in Council and no one else. As a matter of law, the Governor
in Council had to receive and consider any new information or new
recommendations stemming from the concerns expressed by Aboriginal peoples
during the consultation and, if necessary or appropriate, react, for example by
imposing further conditions on any certificates it was inclined to grant.
[331]
Did the Governor in Council fulfil
this legal obligation? In its Order in Council, the Governor in Council decided
to acknowledge only the existence of consultations by others during the
process. It did not say more despite the requirement to provide reasons under
section 54 of the National Energy Board Act and under the duty to consult.
The Governor in Council had to provide reasons to show that it fulfilled its legal
obligation. It did not do so.
[332]
Overall, bearing in mind
that only reasonable fulfilment of the duty to consult is required, we conclude
that in Phase IV of the consultation process—including the execution of the
Governor in Council’s role at the end of Phase IV—Canada fell short of the
mark.
G.
Remedy
[333]
For the foregoing reasons,
the Order in Council must be quashed. The Order in Council directed that the
National Energy Board issue the Certificates. Now that the basis for the
Certificates is a nullity, the Certificates are also a nullity and must be
quashed. The matter is remitted to the Governor in Council for redetermination.
[334]
In that redetermination, the
Governor in Council is entitled to make a fresh decision—one of the three
options identified at paragraph 113 above, including the making of additional
conditions discussed at paragraphs 159-168 above—on the basis of the
information and recommendations before it based on its current views of the
broad policies, public interests and other considerations that bear upon the
matter. For example, if the Governor in Council, in looking at the matter
afresh, considers that the environmental recommendations are unsatisfactory
because the environmental assessment should have been conducted differently, it
may exercise its discretion under section 53 to have the National Energy Board
redetermine the matter.
[335]
But if the Governor in
Council decides in that redetermination to have Certificates issue for the
Project, it can only make that decision after Canada has fulfilled its duty to
consult with Aboriginal peoples, in particular, at a minimum, only after Canada
has re-done its Phase IV consultation, a matter that, if well-organized and
well-executed, need not take long.
[336]
As a result of that
consultation, Canada may obtain new information that affects the Governor in
Council’s assessment whether Canada has fulfilled its duty to consult. It may
prompt Canada to accommodate Aboriginal concerns by recommending that
additional conditions be added to the Project. It may also affect the balancing
of considerations under section 54 of the National Energy Board Act.
Thus, any new information and new recommendations must be placed before the
Governor in Council.
[337]
It goes without saying that
as a matter of procedural fairness, all affected parties must have an
opportunity to comment on any new recommendations that the coordinating
Minister proposes to make to the Governor in Council.
[338]
This leaves the Governor in
Council in the same position as it was immediately before it first issued the
Order in Council. All the powers that were available to it before are available
to it now.
[339]
This means that on
redetermination, the Governor in Council will have the three options available to
it, summarized at paragraph 113 above, as well as the discretionary power, as
explained at paragraphs 159-168 above, to impose further conditions on the Certificates
in order to accommodate the concerns of Aboriginal peoples.
[340]
This also means that upon
receipt of any new information or any new recommendations, the Governor in
Council is subject to the strict time limits for making its decision under
subsection 54(3) of the Act.
[341]
Finally, we note that the
Governor in Council must provide reasons for its decision in order to fulfil
its obligations under subsection 54(2) and the duty to consult.
H.
Proposed disposition
[342]
For the foregoing reasons,
we would dismiss the applications for judicial review of the Report of the
Joint Review Panel in files A-59-14, A-56-14, A-64-14, A-63-14 and A-67-14.
[343]
We would also allow the
applications for judicial review of the Order in Council, P.C. 2014-809 in
files A-437-14, A-443-14, A-440-14, A-445-14, A-446-14, A-447-14, A-448-14,
A-439-14 and A-442-14 and quash the Order in Council. We would also allow the
appeals in files A-514-14, A-520-14, A-522-14 and A-517-14 and quash the
National Energy Board’s Certificates OC-060 and OC-061.
[344]
We would further order that:
(a)
The matter is remitted to
the Governor in Council for redetermination;
(b)
At its option, the Governor
in Council may receive submissions on the current record and, within the
timeframe under subsection 54(3) of the National Energy Board Act
calculated from the date submissions are complete, may redetermine the matter
by causing it to be dismissed under paragraph 54(1)(b) of the National
Energy Board Act;
(c)
If the Governor in Council
does not pursue the option in paragraph (b) or if it pursues that option but
does not cause the matter to be dismissed at that time, the matter will remain
pending before it; in that case, Phase IV consultation shall be redone promptly
along with any other necessary consultation with a view to fulfilling the duty
to consult with Aboriginal peoples in accordance with these reasons;
(d)
When the Attorney General of
Canada is of the view that the duty under paragraph (c) and any procedural
fairness obligations are fulfilled, she shall cause this matter to be placed as
soon as practicable before the Governor in Council for redetermination, along
with any new recommendations and any new relevant information; and
(e)
The Governor in Council
shall then redetermine this matter in accordance with these reasons within the
timeframe set out in subsection 54(3) of the National Energy Board Act,
running from the time it has received any new recommendations and any new
relevant information.
[345]
If the parties are unable to
agree on costs, we invite them to provide us with submissions of no more than
five pages.
[346]
We thank the parties for the
great assistance they have provided to the Court throughout.
“Eleanor R. Dawson”
“David Stratas”
RYER J.A. (Dissenting Reasons)
[347] I have read the thorough reasons of the majority (the “Majority
Reasons”) and am in agreement with much of them. In particular, I agree that
the Order in Council is unimpeachable from an administrative law perspective.
However, with respect, I do not agree that it should be set aside on the basis
that the Crown’s execution of the Phase IV consultations was inadequate to meet
its duty to consult. In my view, in the context of the overall Project-approval
process, the execution of the Phase IV consultations was adequate, and I would
dismiss the applications and appeals with costs.
[348] In preparing these reasons, I have adopted all of the defined terms
contained in the Majority Reasons, except where otherwise stipulated.
[349] As a starting point, it is my view that the only Aboriginal rights
that are engaged by the Project are each First Nation’s asserted rights in
relation to the use and benefits of the lands and waterways that the Project
will cross. Additionally, the Project may engage the Heiltsuk Nation’s
established right to use a portion of the offshore waters to conduct commercial
herring-spawn-on-kelp fishery operations. In these reasons, I refer to each of
these engaged asserted or established Aboriginal rights as a “Usage Right”.
[350] I reject any assertion that the construction and operation of the
Project could affect the asserted governance rights or asserted Aboriginal
title. These are purely legal rights that could not be damaged or extinguished
by the activities undertaken in the course of the Project. An action that has
the effect of sterilizing land near the Project right of way would, no doubt,
damage a First Nation’s ability to use and enjoy the flora and fauna that would
otherwise have been situated on the sterilized land. However, the sterilizing
action would have no impact upon the First Nation’s ability to establish, at
some future time, a right to Aboriginal title to, and governance rights in
respect of, such land.
[351] A detailed description of the history, size and scope of the Project
is contained in the Majority Reasons and does not bear repeating. Suffice it to
say that the Project is a massive undertaking, with an estimated cost of over
$7.9 billion. It also has the support of a majority of the affected First
Nations, 26 of which accepted the Project proponent’s offer to acquire an
equity interest in the Project. In assessing the adequacy of the execution of
the Phase IV consultations, it is important to consider these consultations in
the context of the Project’s duration, size and scope.
[352] The Majority Reasons describe a number of alleged imperfections in
the Crown’s execution of the Phase IV consultations and conclude that such
imperfections establish the Crown’s failure to meet its duty to consult
obligations. However, as acknowledged in the Majority Reasons, the standard to
be met is that of adequacy and not perfection (Haida Nation, at
paragraphs 60-63).
[353]
In essence, the alleged imperfections are as
follows:
(a)
the timelines for the Phase IV consultations
were too short;
(b)
the Crown Consultation Report contained
inaccuracies in its portrayal of the First Nations’ concerns, with the result
that the Governor in Council had insufficient information to render its
decision;
(c)
the dialogue that occurred in the Phase IV
consultations was not meaningful; and
(d)
the Crown did not share its strength of claim
information.
[354] With respect, even assuming that these imperfections have been
established, it is my view that taken together, in the context of such a large
and complex project that has taken over 18 years to reach the present stage,
they are insufficient to render the Phase IV consultations inadequate.
[355] I wish to briefly address each of the four alleged imperfections.
First, the timelines for the Phase IV consultations were statutorily imposed.
The Majority Reasons criticize the Crown for failing to request an extension
from the Governor in Council, but the Crown had no obligation to make such a
request. Moreover, there has been no challenge, by way of judicial review, of
the Crown’s alleged failure to request an extension of the statutory timelines.
The Majority Reasons offer the view that a short relaxation of the timelines—in
the neighbourhood of four months—would have been sufficient to permit sufficient
dialogue to take place and to fill any informational gaps. With respect, this
view is speculative.
[356] Secondly, because of the claim of Cabinet confidence, under section
39 of the Canada Evidence Act, this Court is unaware of the entirety of
the materials that were before the Governor in Council when it made its
decision. Accordingly, with respect, it is not possible for this Court to make
any assessment of the adequacy of the materials that were before the Governor
in Council when it made its decision. In any event, it is apparent that the
Crown’s summaries in the Crown Consultation Report, which contained the alleged
inaccuracies, were not the only documents that were before the Governor in
Council. Any such inaccuracies would have been apparent from a review of the
Report, and the letters from First Nations which were appended to the Crown
Consultation Report, both of which are presumed to have been reviewed by the
Governor in Council. Thus, in my view, any inaccuracies in the Crown
Consultation Report are insufficient to render the Crown’s Phase IV
consultations inadequate.
[357] Thirdly, the Majority Reasons appear to conclude that the Crown
failed to engage in a meaningful dialogue because some First Nations stated
that they required further information regarding the Project’s impacts, and the
letters sent by the Crown following the Phase IV consultations addressed
accommodation but not the First Nations’ concerns regarding consultation. With
respect, in my view, the requested information, by and large, related to
matters that were considered by the Joint Review Panel or, in some instances,
matters that were never placed before the Joint Review Panel, but should have
been. The assertion of such imperfections in the Phase IV consultations
represented an attack on the Report in a forum neither designed nor equipped to
adjudicate its merits. Indeed, those First Nations have challenged the adequacy
of the Report in this appeal, but to no avail. In addition, it is my view that
a focus on accommodation in the letters is consistent with the Phase IV mandate
to consider the efficacy of the “mitigation measures”
put forth by the Joint Review Panel (Aboriginal Consultation Framework at page
8). Moreover, one may question the practical utility of engaging in ongoing discussions
with respect to a concern that has been accommodated.
[358] Finally, it is my view that the Crown made no error in failing to
disclose its strength of claim assessments. It seems incongruous to stipulate
that the consultation process was “not a proper forum
for the negotiation of title and governance matters” (Majority Reasons
at paragraph 309) and then to conclude that the Crown’s “attitude to the sharing of information” regarding its
assessment of the strength of the First Nations’ claims in respect of such
asserted rights was “troubling” (Majority
Reasons at paragraph 288). This is especially so in light of the conclusion
that the Crown, as a matter of law, had no obligation to share its assessment
of the strength of each First Nation’s claim in respect of asserted rights (Majority
Reasons at paragraph 224). In my view, there is little, if anything, to
distinguish between the Crown’s “legal”
assessment of a First Nation’s claim and “information”
the Crown has about the strength of such a claim. As the Majority Reasons
stipulate, the Crown’s legal assessment of the strength of a First Nation’s
claim is inherently subject to solicitor-client privilege. In my view, that
privilege extends to the Crown’s information upon which its legal assessment is
based. To the extent that issues as to governance rights and Aboriginal title
are live as between the Crown and any of the applicant/appellant First Nations,
such issues ought to be pursued elsewhere as they are not, in my view, properly
engaged by the Project-approval process. I agree that the Crown had no
obligation to share its strength of claim assessments and, as a result, it is
my view that this alleged failure does not establish the inadequacy of the
Crown’s Phase IV consultations.
[359] In my view, the Crown’s participation in the Phase IV consultations
was sufficient to fulfill the honour of the Crown, particularly in a process
that dealt with a project of this duration, size and scope. In conclusion, it
is my view that the alleged imperfections in the execution of the Phase IV
consultations, which are stipulated in the Majority Reasons, are insufficient
to demonstrate that the Crown’s consultations were inadequate.
[360] The Majority Reasons also conclude that the Governor in Council’s
reasons were inadequate. In my view, there is no error in the Governor in
Council’s reasons that warrants this Court’s intervention. In the
Project-approval process, the Crown had the obligation to fulfill the duty to
consult. As a result, any obligation to explain why the duty to consult was
adequately discharged rested with the Crown, not the Governor in Council. The
Majority Reasons (paragraph 331) appear to take issue with the Governor in
Council’s reference in the Order in Council to “consultations
by others”. I do not accept this as a valid criticism because, at least
implicitly, it places an obligation on the Governor in Council to directly
engage in Haida consultations with respect to the Project, rather than
to simply determine the adequacy of the consultations that were undertaken by
the Crown.
[361] In my view, the Crown’s reasons for concluding that it had met its
duty to consult are readily apparent:
•
an extensive consultation process was created,
documented and implemented through the Aboriginal Consultation Framework, the
Joint Review Panel Project-approval process and the Phase IV consultations;
•
all of the applicant/appellant First Nations
were encouraged to participate in the process and received, or were entitled to
receive, funding in respect of their participation;
•
the Crown acknowledged the potential impacts of
the Project on the Usage Rights; and
•
many of the First Nations’ concerns were
accommodated through the 209 conditions detailed in the Report.
[362] The Crown’s reasoning was, in my view, adequately demonstrated by
the Report, the Phase IV consultation meetings, the Crown Consultation Report
and the correspondence from the Crown to the First Nations who engaged in the
Phase IV consultations. A more explicit explanation from the Crown was not
required. Furthermore, in my view, the Governor in Council had no obligation to
repeat the reason-providing exercise.
[363] In my view, it is apparent from the Order in Council that the
Governor in Council determined that the Crown’s duty to consult had been met,
thereby satisfying the condition precedent to the exercise of its power to
issue the Order in Council. With respect, I find it difficult to accept that,
notwithstanding the brevity of the reference to Crown consultation in the Order
in Council, there is any doubt that the Governor in Council considered and
determined the critical issue of whether or not the Crown had met its duty to
consult obligations. As discussed above, at a minimum, the Governor in Council
had the Report and the Crown Consultation Report before it, both of which
clearly addressed this issue and both of which the Governor in Council is
presumed to have reviewed. For the reasons that I have given, I conclude that
the duty to consult was met in the circumstances and the Governor in Council
was correct in so acknowledging. As no other defect has been demonstrated, the
Order in Council should stand.
[364]
For the foregoing reasons, I would dismiss the
applications and appeals with costs.
“C. Michael Ryer”