Date: 20060822
Docket: T-1492-04
Citation: 2006 FC 1009
Ottawa, Ontario, August
22, 2006
PRESENT: The Honourable Madam Justice Tremblay-Lamer
BETWEEN:
CHIEF ROBERT SAM,
COUNCILLOR NICK ALBANY,
COUNCILLOR NORMAN GEORGE,
COUNCILLOR FRANK E. GEORGE,
COUNCILLOR JOHN R. RICE on their own
behalf as
COUNCIL OF THE SONGHEES INDIAN BAND
and on behalf of the SONGHEES INDIAN BAND
Applicants
and
THE MINISTER OF INDIAN AFFAIRS
AND
NORTHERN DEVELOPMENT,
THE SUPERINTENDENT FOR THE SONGHEES
INDIAN BAND,
SYLVIA ANN JOSEPH, ALICE LARGE,
ESTATE OF IRENE COOPER by her
Administrators
HARVEY GEORGE, CHARLOTT THOMPSON
AND WILLIAM GOSSE and HARVEY GEORGE,
CHARLOTTE THOMPSON AND WILLAM GOSSE
Respondents
REASONS FOR JUDGMENT AND JUDGMENT
[1]
This is an application for judicial review of a
decision of the Minister of Indian Affairs and Northern Development (the
Minister), dated July 15, 2004, approving the sale of nine lots in the New
Songhees Indian Reserve No. 1A (the CP Lots) pursuant to subsection 50(4) of
the Indian Act, R.S.C. 1985 c. I-5 (the Act).
PRELIMINARY
MATTER
[2]
The respondent objects to the applicants’
version of the facts on the basis that they refer extensively to the historical
circumstances surrounding the case, as this evidence was not before the
Minister when he made his decision.
[3]
This issue was the subject of a motion before
Prothonotary Tabib in which she held that the applicants could not amend their
Notice of Application to include allegations first, that the testatrix Irene
Cooper did not in fact have valid possession of the lands, and second, that the
bids on the land were in fact funded and secured by lenders not entitled to reside
on or benefit from Songhees reserve land. The prothonotary held that “such
extrinsic evidence may not be adduced on a judicial review application”. On
appeal, her order was upheld by Justice Sean Harrington who held that although
the applicants could not allude to facts which were not before the Minister
when the decision to sell was made, the question of whether the Minister had a
legal duty to “look behind” the Certificates of Possession (CPs) in order to
determine their validity remained at issue.
[4]
At the hearing, the issue of extrinsic evidence
was raised again. I ruled that the applicants were precluded from raising the
issue in light of the decision of Justice Harrington. Keeping the foregoing in
mind, the relevant and admissible facts are as follows.
FACTS
[5]
Irene Cooper died on April 26, 1996. At the time
of her death, she held CPs in respect of the CP Lots. In her will, she devised
the CP Lots to the respondents Harvey George, Charlotte Thompson and William
Gosse (the Respondent Devisees) who are not members of the Songhees Indian Band
(the Band).
[6]
Subsection 50(1) of the Act prohibits a person
who is not entitled to reside on reserve to acquire rights to possession or
occupation of land in the reserve by devise or descent. Since the Respondent
Devisees were not entitled to reside on the Songhees Reserve (the Reserve),
they were not entitled to the CP Lots.
[7]
As a result, pursuant to subsection 50(2), the
Superintendent planned a sale of the CP Lots (the Section 50 Sale), the
proceeds of which would go to the Respondent Devisees.
[8]
Under subsection 50(4) of the Act, once
completed, the Section 50 Sale would require the approval of the Minister.
[9]
On July 10, 2003, in contemplation of the
Section 50 Sale, Robert Janes, then counsel for the Council of the Songhees
Indian Band (the Council), wrote to David Gill, counsel for the Department of
Indian Affairs and Northern Development (DIAND). In his letter, he indicated
that the Council would assist the appointed Superintendent with the sale but
only if the material provided to interested individuals noted that the Chief
and Council objected to the process by which the Section 50 Sale was being conducted
and were also expecting to object to the Minister’s approval of the Section 50
Sale as well.
[10]
On July 17, 2003, David Gill responded to Robert
Janes advising that the Council’s request could not be met.
[11]
Sometime between February 24 and April 27, 2004,
Rory Morahan replaced Robert Janes as counsel for the Council.
[12]
On April 27, 2004, David Gill wrote to Rory
Morahan providing him with an update on the ongoing sale of the CP Lots. Mr.
Gill also wrote: “Any comments received from [the Council] on or before June 4,
2004 shall be considered by the Minister prior to the granting of any approval
pursuant to section 50(4) of the Indian Act.”
[13]
On May 11, 2004, the applicant Chief Robert Sam
wrote a letter addressed to David Gill and to the Minister setting out the
Band’s position in relation to the Section 50 Sale. On the last page of the
letter, he wrote as follows:
We wish to meet
within the next two weeks with the Minister and his representatives in a
without prejudice meeting to discuss the issues contained in this letter. We
would appreciate a timely response, that being at least four (4) days prior to
the meeting outlining DIAND’s position on the above noted issues.
[14]
On July 15, 2004, the Minister approved the transfer
of possession of the land and the respective CP Lots were transferred to the
possession of Alice Large and Sylvia Ann Joseph (the Respondent Purchasers)
upon the Minister approving of the transfers of possession, pursuant to
subsection 50(4).
[15]
On July 16, 2004, Thomas Howe, Director of Lands
and Trust Services, DIAND, wrote to the Respondent Purchasers, to counsel for
the Respondent Devisees, and to the Chief and Council, advising that the
Minister had approved the transfer of possession of the CP Lots. Attached to
the cover letter was the Minister’s written decision setting out his reasons
for approving the transfer of possession of the CP Lots.
ISSUES
[16]
The case at bar involves the following four issues:
1. Does the Minister have a duty to verify
the validity of the Certificates of Possession of the testator or testatrix
prior to approving possession under subsection 50(4)?
2. Does the Minister have a duty to obtain a
band council allotment prior to approving possession under subsection 50(4)?
3. Does the Minister owe a fiduciary duty to
the band in conducting a section 50 sale?
4. Did the Minister breach the duty of
procedural fairness in failing to provide the applicants with an opportunity to
meet with the Minister, or at a minimum, to make further written submissions?
RELEVANT STATUTORY
PROVISIONS
[17]
Section 50 of the Act provides as follows:
Non-resident
of reserve
50. (1) A
person who is not entitled to reside on a reserve does not by devise or
descent acquire a right to possession or occupation of land in that reserve.
Sale by superintendent
(2) Where a
right to possession or occupation of land in a reserve passes by devise or
descent to a person who is not entitled to reside on a reserve, that right
shall be offered for sale by the superintendent to the highest bidder among
persons who are entitled to reside on the reserve and the proceeds of the
sale shall be paid to the devisee or descendant, as the case may be.
Unsold lands
revert to band
(3) Where no
tender is received within six months or such further period as the Minister
may direct after the date when the right to possession or occupation of land
is offered for sale under subsection (2), the right shall revert to the band
free from any claim on the part of the devisee or descendant, subject to the
payment, at the discretion of the Minister, to the devisee or descendant,
from the funds of the band, of such compensation for permanent improvements
as the Minister may determine.
Approval
required
(4) The
purchaser of a right to possession or occupation of land under subsection (2)
shall be deemed not to be in lawful possession or occupation of the land
until the possession is approved by the Minister.
|
Non-résident
d’une réserve
50. (1) Une
personne non autorisée à résider dans une réserve n’acquiert pas, par legs ou
transmission sous forme de succession, le droit de posséder ou d’occuper une
terre dans cette réserve.
Vente par le
surintendant
(2) Lorsqu’un
droit à la possession ou à l’occupation de terres dans une réserve est
dévolu, par legs ou transmission sous forme de succession, à une personne non
autorisée à y résider, ce droit doit être offert en vente par le surintendant
au plus haut enchérisseur entre les personnes habiles à résider dans la
réserve et le produit de la vente doit être versé au légataire ou au
descendant, selon le cas.
Les terres non
vendues retournent à la bande
(3) Si, dans
les six mois ou tout délai supplémentaire que peut déterminer le ministre, à
compter de la mise en vente du droit à la possession ou occupation d’une
terre, en vertu du paragraphe (2), il n’est reçu aucune soumission, le droit
retourne à la bande, libre de toute réclamation de la part du légataire ou
descendant, sous réserve du versement, à la discrétion du ministre, au
légataire ou descendant, sur les fonds de la bande, de l’indemnité pour
améliorations permanentes que le ministre peut déterminer.
Approbation
requise
(4) L’acheteur d’un droit à la possession
ou occupation d’une terre sous le régime du paragraphe (2) n’est pas censé
avoir la possession ou l’occupation légitime de la terre tant que le ministre
n’a pas approuvé la possession.
|
STANDARD OF REVIEW
[18]
At
the outset I would like to comment on the applicants’ argument that it is a
“jurisdictional fact” or a necessary precondition that before the Minister can
exercise his discretion to approve the sale, the Minister must find that the
deceased Indian person, at the time of his or her death, had a lawful right of
possession in the land which is sold.
[19]
In Songhees
Indian Band v. Canada (Minister of Indian
Affairs and Northern Development), 2005 FC 1464, [2005] F.C.J. No. 1794 (F.C.),
in the context of the aforementioned appeal of Prothonotary Tabib’s decision,
Justice Sean Harrington considered the “jurisdictional fact” argument. At
paragraph 32, he stated as follows:
32
The question for decision is how the jurisdictional fact issue as set out in
cases such as Bell, supra, would permit extrinsic evidence
in judicial review. The Supreme Court has over time developed a new approach to
judicial review, the pragmatic and functional approach. One need go no further
than Dr. Q v. College of Physicians and Surgeons of British Columbia, [2003] 1
S.C.R. 226 and Law Society of New Brunswick v. Ryan, [2003] 1 S.C.R. 247. In Dr
Q, supra, the Chief Justice said at paragraph 24: "The nominate grounds,
language of jurisdiction, and ossified interpretations of statutory formulae,
while still useful as familiar landmarks, no longer dictate the journey."
[20]
As
the Supreme Court has repeatedly stated, “the language and approach of the
"preliminary", "collateral" or "jurisdictional"
question has been replaced by [the] pragmatic and functional approach.” The
focus of the inquiry is on the particular, individual provision being invoked
and interpreted by the tribunal: Pushpanathan v. Canada, [1998] 1 S.C.R. 982, at para. 28. The
labeling of a question as “jurisdictional” in order to arrive directly a
correctness standard is no longer appropriate. “There is no shortcut past
the components of the pragmatic and functional approach”: Law Society of
New Brunswick v. Ryan, 2003 SCC 20, [2003] 1 S.C.R. 247 at para. 21.
[21]
Both
parties suggest that the proper standard of review is that of correctness.
However, in making this assertion, neither side has conducted a pragmatic and
functional analysis. Rather, they have simply stated that the Minister’s
decision involves questions of law and therefore the standard is correctness.
In light of the Supreme Court’s repeated pronouncements that a pragmatic
and functional analysis must always be used, I will analyze the four factors in
Pushpanathan in order to determine
the appropriate standard. The four factors of that
analysis are as follows: the presence or absence of a privative clause; the
relative expertise of the decision-maker and the reviewing court; the purpose
of the Act as a whole and the provision in particular; and the nature of the
question in dispute.
[22]
The case of Tsartlip Indian Band v. Canada, [2000]
2 F.C. 314 (F.C.A.) involved an application for judicial review of the
Minister’s decision to lease Indian reserve land under subsection 58(3) of the
Act. On appeal, Justice Robert Décary conducted a comprehensive analysis of
each of the factors in the context of a decision under subsection 58(3), at
paragraphs 45-50, which I find it helpful to reproduce for the purposes of the
present case:
45 The
first factor is that of privative clauses. The absence of a privative clause,
as is the case here, militates in favour of a lower standard of deference.
46 The
second factor is that of the expertise of the decision maker, in this case the
Minister. This is the most important category and, as noted by Bastarache J. in
Pushpanathan, supra, at page 1007, it is closely related to the
fourth category, that of the nature of the problem. In deciding whether to
lease or not and in balancing the social, cultural, economic, environmental
etc. interests of a member of a band and those of the band as a whole, the
Minister has a broad and specialized expertise. This factor militates in favour
of a higher degree of deference.
47 The
third factor is the purpose of the Act as a whole, and the provision in
particular. As noted by Bastarache J. in Pushpanathan, supra, at
page 1008, purpose and expertise often overlap. The purpose of subsection
58(3), as found in Boyer, supra, at page 406 is "to give the individual
member of a Band a certain autonomy, a relative independence from the dicta of
his Band council, when it comes to the exercise of his entrepreneurship and the
development of his land". The purpose of the Act, however, is generally
more band-oriented and reserve-oriented when what is at issue is the use of
land in a reserve (see sections 20, 24, 28 and 38). I shall come back to these
sections when examining the considerations that should guide the Minister when
exercising his discretion.
48 In the
case at bar, while it is true that the ultimate purpose achieved by the
decision is that of establishing rights as between parties, the process,
because it relates to the wider context of Aboriginal [page335] rights, is more
akin to "a delicate balancing between different constituencies" (Pushpanathan,
supra, at page 1008) which invites a greater standard of deference. The
administrative structure in place more closely resembles the polycentric model
and calls for judicial restraint.
49 The
fourth factor is the nature of the problem in question, especially whether it
relates to determination of law or facts. The decision about whether to grant a
lease involves a considerable appreciation of the circumstances as they are
viewed by the locatee and by a band respectively. No definite legal rules are
to be applied or interpreted by the Minister. As in Baker, supra, at paragraph
61, "[g]iven the highly discretionary and fact-based nature of this decision,
this is a factor militating in favour of deference".
50 Taking
these factors together, I come to the conclusion that considerable deference
should be accorded the Minister and that the appropriate standard of review is
that of reasonableness.
[23]
In
the present case, the first factor, i.e. the absence of
a privative clause, favours a lower standard of deference (Tsartlip, at
para. 45).
[24]
The second consideration is the relative
expertise of the Minister to that of the Court, which, as noted by Justice
Bastarache in Pushpanathan, at paragraph 33, is closely related to the
fourth factor, the nature of the problem. Although the Minister has specialized
knowledge in the approval of possession under subsection 50(4), which requires
a determination of who is and who is not entitled to reside on a reserve, who
is and who is not entitled by devise or descent to acquire a right of
possession or occupation of reserve land and the bidding procedure under
section 50, as I will explain further when discussing the fourth factor, the
decision currently under review involves three questions of law. Questions of
law generally involve determinations best fit for the judiciary and for which
little to no deference will be shown. Thus, in my view, this second factor thus
militates in favour of a low degree of deference.
[25]
Turning to the third factor, as stated in Tsartlip,
the purpose of the Act is generally more band-oriented and reserve-oriented
when the use of reserve land is at issue. As for the purpose of the particular
provision, in Okanagen Indian Band v. Bonneau, 2002 BCSC 748, [2002]
B.C.J. No. 1819 (S.C.) (QL), the British Columbia Supreme Court, in discussing
the predecessor to the current section 50, stated that the purpose of such a
regime was to permit the Band “to preserve land within the defined members of
the Band and to redistribute land amongst its members for the preservation of
the interests of Band members as a whole (at para. 85).” I agree. The purpose
of section 50, in my view, is to ensure that reserve land remains in the hands
of band members and at the same time, to give effect to the will of the
testator or testatrix. Accordingly, the Minister must verify that the
purchasers of the land in a section 50 sale are indeed band members. Subsection
50(4) involves the broad context of Aboriginal rights and the inquiry is more
akin to a delicate balancing between different constituencies (Pushpanathan,
at para. 36); this polycentric model favours a higher degree of deference.
[26]
Finally, the fourth factor is the nature of the
question, that is, whether the issue involves a pure question of law, of fact,
or of mixed fact and law. The decision under review raises pure legal
determinations, more particularly, whether under subsection 50(4) the Minister
had: (i) a fiduciary duty towards the Band, (ii) a duty to investigate into the
validity of the CPs, and (iii) a duty to obtain a prior Band allotment. These
are pure questions of law with a high precedential value as their determination
will serve to determine the Minister’s duties under subsection 50(4) in future
cases: Ryan, at para. 41. They are not confined to the particularities
of the case at hand. To draw upon the word of Justice La Forest in Ross v.
New Brunswick School District No. 15, [1996] 1 S.C.R. 825, these types of
legal questions are "ultimately within the province of the judiciary"
(at para. 28). Accordingly, balancing this factor with the others, these three
legal questions will be reviewed on a correctness standard.
[27]
As
for the procedural fairness issue, in the recent case of Campbell v. Canada
(Attorney General), 2006 FC 510, [2006] F.C.J. No. 637 (F.C.) (QL), I
discussed the Supreme Court of Canada’s pronouncement on the inapplicability of
the standard of review for procedural fairness issues at paragraphs 24 and 25:
¶ 24 In Canadian
Union of Public Employees (C.U.P.E.) v. Ontario (Minister of Labour), 2003 SCC 29,
[2003] 1 S.C.R. 539, the Minister made discretionary appointments under the Ontario
Labour Relations Act, 1995, S.O. 1995, c. 1. The unions objected to the
appointments themselves and further complained that the Minister's actions had
breached procedural fairness and denied natural justice.
¶ 25 In
dismissing the appeal, Justice Binnie, writing for a majority of the Supreme Court
of Canada, drew a distinction between the substantive and procedural issues
before the Court. He wrote that while the discretionary appointments themselves
are subject to the pragmatic and functional analysis, any questions regarding
acts or omissions relevant to procedural fairness and the principles of natural
justice were for the Courts, not the Minister, to answer (at para. 100).
"The content of procedural fairness goes to the manner in which the
Minister went about making his decision, whereas the standard of review is
applied to the end product of his deliberations" (para. 102).
[28]
Justice
Binnie also considered that on occasion, some confusion may arise in attempting
to maintain a separation between the substantive and procedural lines of
enquiry. Both the four-factor pragmatic and functional analysis for substantive
questions and the five-factor “Baker” analysis for procedural questions involve
examining a number of factors, some of which may overlap. As Justice Binnie
cautioned, however, “while there are some common
"factors", the object of the court's inquiry in each case is
different (at para. 103).” The goal of the pragmatic and functional approach is
to determine the level of deference owed by the court to the decision-maker.
The goal of the “Baker” analysis is to determine the content of the duty of
procedural fairness, which was owed by the decision-maker to the person or
persons subject to the decision.
ANALYSIS
Issue #1: Does the Minister have a duty to verify the validity of
the Certificates of Possession of the testator or testatrix prior to approving possession
under subsection 50(4)?
[29]
The applicants submit that prior to approving a
sale under subsection 50(4), the Minister must find that the testator or
testatrix, at the time of his or her death, had a lawful right of possession in
the land. According to the applicants, a reading of the Act as a whole
shows that the Minister does indeed have the power to make such an inquiry.
Subsection 20(1) gives the Minister a complete carte blanche to exercise
the discretion to approve of the lawful occupation of land. Subsection 20(4)
grants the Minister complete authority to issue a temporary possession, or,
pursuant to subsection 20(5), a Certificate of Occupation. Section 23 grants
the Minister the complete authority to determine compensation to be paid for
improvements. Section 26 gives the Minister the complete authority to change a
Certificate of Possession if there has been an error.
[30]
All of these sections have to be read in
conjunction with section 18 which states that: “Reserves are held by Her
Majesty for the use and benefit of the respected Bands for which they are set
apart.” Section 49 and subsection 50(4) have a parallel. Section 49 states that
a person who claims to be entitled to possession or occupation of lands in a
reserve by devise or descent shall be deemed not to be in lawful possession or
occupation of those lands until the position is approved by the Minister. Subsection
50(4) sets out the same elements.
[31]
The applicants further submit that compliance
with section 50 is clearly not the only element to consider as the Minister is
also charged with determining whether there has been a valid possession of the
land which forms the subject of the potential sale under section 50 and has the
authority not to approve of a sale pursuant to subsection 50(4) if he believes
there is an error in the title.
[32]
Alternatively, the applicants submit that
reliance on a CP (or confirmation from a Land Officer as to the existence of a
CP) as proof of lawful occupation of land is insufficient to found a basis for
jurisdiction. In this regard, the applicants draw the Court’s attention to the
affidavit evidence of Jacques Desrocher, an Acting Manager with Land and Trusts
Services at DIAND that the CP system is not accurate as recording lawful
possession of lands. As for any other potential indications of lawful
possession, the applicants maintain that there was no search of title.
Moreover, prior to 1951, there were no allotments or location tickets registered
with the government and therefore, any interest in the land prior to 1951 would
not have been registered in the CP process.
[33]
On the other hand, the respondent submits that
there was no duty incumbent upon the Minister to verify the validity of the CPs.
The Reserve Land Register (the Register), created by section 21 of the Act, was
legislated into existence through comprehensive amendments to the Act in 1951.
No statutorily mandated registry for reserve lands existed prior to that date.
[34]
When carrying out technical investigations in
respect of a section 50 sale, DIAND lands officers consult the Register to
determine if a CP was issued to the individual band member who devised the
relevant CPs. In the affidavit of Jacques Desrochers, and during the cross-examination
of Sherry Evans (both DIAND officers) each stated that DIAND does not have a
policy or practice of having land officers search behind the last registered CP
to investigate for errors in the chain of title leading to the last registered
instrument.
[35]
Rather, according to the respondent, in relation
to the Minister’s approval of a section 50 sale, DIAND implemented fairness
procedures so that all parties with an interest in the sale would have the
right to make submissions.
[36]
Additionally, sections 26 and 27 of the Act
provide the Minister with the discretion to correct or cancel a CP when the CP
was issued through mistake, through fraud or in error:
Correction of Certificate or Location
Tickets
26. Whenever a Certificate of Possession
or Occupation or a Location Ticket issued under The Indian Act, 1880, or any
statute relating to the same subject-matter was, in the opinion of the
Minister, issued to or in the name of the wrong person, through mistake, or
contains any clerical error or misnomer or wrong description of any material
fact therein, the Minister may cancel the Certificate or Location Ticket and
issue a corrected Certificate in lieu thereof.
Cancellation of Certificates or Location
Tickets
27. The Minister may, with the consent of
the holder thereof, cancel any Certificate of Possession or Occupation or
Location Ticket referred to in section 26, and may cancel any Certificate of
Possession or Occupation or Location Ticket that in his opinion was issued
through fraud or in error.
|
Certificat corrigé; billet de location
26. Lorsqu’un certificat de possession ou
d’occupation ou un billet de location délivré sous le régime de l'Acte
relatif aux Sauvages, 1880 ou de toute loi traitant du même sujet, a été, de
l’avis du ministre, délivré par erreur à une personne à qui il n’était pas
destiné ou au nom d’une telle personne, ou contient une erreur d’écriture ou
une fausse appellation, ou une description erronée de quelque fait important,
le ministre peut annuler le certificat ou billet de location et délivrer un
certificat corrigé pour le remplacer.
Certificat annulé; billet de location
27. Le ministre peut, avec le
consentement de celui qui en est titulaire, annuler tout certificat de
possession ou occupation ou billet de location mentionné à l’article 26, et
peut annuler tout certificat de possession ou d’occupation ou billet de
location qui, selon lui, a été délivré par fraude ou erreur.
|
[37]
The respondent maintains that the availability
of recourse to sections 26 and 27, as well as the availability of judicial
review of ministerial approvals of allotments and transfers of CP interests,
creates an inference that there is a form of “tenure,” or a certain level of
security, to be associated with a CP that has not been challenged either by way
of judicial review or under sections 26 or 27 of the Act. Accordingly, the
Minister was entitled to rely on the validity of Irene Cooper’s CPs in the case
at bar and thus there was no duty on the Minister to enquire into the validity
of her CPs, as alleged by the applicants.
[38]
The respondent further submits that under
subsection 50(4), the Minister’s duty is to ensure that the purchaser in a section
50 sale is a band member. The Minister has no power or discretion under section
50 alone to address an issue as to the validity of the CPs sold. Accordingly, the Minister’s decision cannot be set aside on the basis of an
alleged failure to exercise a discretion he did not even have. Rather, the
discretion to address any alleged invalidity of a CP exists under section 27. The Minister, in the
course of exercising his discretion under subsection 50(4), may decide to
exercise his discretion under sections 26 and 27 to correct or cancel a CP.
[39]
The
respondent also notes that in an unrelated lawsuit, where the Band succeeded in
gaining an order that it was entitled to the rents flowing from Irene Cooper’s
CP Lots, the Band pleaded that Ms. Cooper was a member of the Band and that she
possessed the CP Lots when she died: Songhees First Nation v. Canada,
2002 BCSC 255, aff’d 2003 BCCA 187.
[40]
For the most part, I agree with the respondent. I
cannot conclude that it is incumbent on the Minister to make inquiries into the
validity of CPs when there is nothing before him to doubt their validity.
In my view, such a duty will only arise when there is reason, based on the
evidence before him or concerns raised by an interested party, to doubt the
validity of the CPs. In such a case, the Minister would be obligated to
determine whether he should exercise his discretion under sections 26 or 27 to
correct or cancel the CP. This was not the case in the matter before me. There
was not a scintilla of evidence before the Minister which would have given him
reason to look beyond the CPs or which gave rise to a duty to do so.
[41]
The applicants had the opportunity to make
submissions, which they did. Not once did they raise the issue of CP
validity despite extensive contact and communication between the parties
during the sale process and throughout the previous litigation in the Songhees
First Nation case.
[42]
Moreover, a reading of the Songhees First
Nation decision clearly indicates that the Band pleaded that Irene Cooper
was in fact a Band member and possessed, until her death, eight lots on the
reserve. While the applicants are certainly not issue estopped from raising the
question of the Minister’s duty to inquire into the validity of the CPs before
me, the Songhees First Nation case is evidence that during that period,
the Band had no concern with respect to Irene Cooper’s possession and in
fact, relied on the validity of her possession to win their case. Taking this
into consideration, if the Band maintained throughout that litigation that her
possession was valid and subsequently never raised any issue with respect to
the CPs, there was absolutely nothing which would have led the Minister to
believe that he should make inquiries into the CPs’ validity.
[43]
Furthermore, any inquiries for errors in the
chain of title would not have offered a guarantee of title. Under section 21 of
the Act, the Reserve Land Register (the Register) records the particulars of
CPs and other transactions respecting land in a reserve. As is explained in the
affidavit of Mr. Desrochers, the Register, which was created in 1951 and is one
part of Indian Land Registry (the ILR), is not the equivalent of a provincial
title system. It is a deeds registry with a voluntary registration of
interest. It is a “best efforts system.” There may be interests that never make
it onto the Registry. As such, unlike a provincial land registry system, there
are no guarantees as to possession as there could be other legal interests
which could have an affect on the possession but may not be registered. I do
lend some credence to counsel for the applicants’ argument that it is rather
self-serving for the respondent to argue that since DIAND set up a deficient
land registration system, they should not be forced to search within that
deficient system. Ultimately, however, I agree with the respondent that given
the “flaws” in the system, it would be neither prudent nor thorough enough to
simply rely on such a search. Rather, it is crucial to have another safeguard
in place, namely, giving interested parties the opportunity to make submissions
in addition to checking the last entry in the Register.
[44]
Any complaints from the applicants regarding the
ILR seem to stem from their frustration with its alleged deficiencies. As I see
it, given that all parties agree that the ILR is not entirely reliable, the
only way for the Minister to be made aware of any potential issues with CPs is
if they are brought to his attention. For example, in some cases, information
surrounding the alleged invalidity of a CP may only be within the knowledge of
the band, in which case the Minister would need to rely on band submissions to
exercise his discretion to correct or cancel a CP under sections 26 or 27. This
is why I must agree with the respondent that the duty of the Minister in the
context of a section 50 sale is to check the last registration on the ILR with
the additional administrative law safeguard that interested parties can make
submissions if a mistake or fraud is suspected. The Minister would then have
the duty to investigate and may use his discretion pursuant to sections 26 or
27 to correct or cancel the CP.
[45]
The applicant also notes that the CPs themselves were not in the documentary
materials before the Minister. While this is true, as is clear from the
affidavit of Mr. Desrochers as well as the cross-examination of Ms. Evans, prior
to conducting a Section 50 Sale, the Minister’s staff do confirm the existence
of a CP for the lands in question, which I find was also done in this case.
This is common sense for, as Ms. Evans put it, “you can’t have Fred Smith
transferring land that belonged to Mary Joe.”
[46]
The
applicants further maintain that the Minister should look beyond a CP because
it does not provide conclusive evidence of possession in a section 50 sale. I
agree with the applicants that a section 50 sale requires that the testator or
testatrix have been in lawful possession. However, while it is true that a CP
is only evidence of a right to possession (see subsection 20(2) of the Act), I
believe that the Minister is entitled to rely on CPs in granting his approval
under subsection 50(4). In my view, a CP provides adequate evidence of lawful
possession for the Minister to approve possession under subsection 50(4). Unless
challenged, a CP is enough. I believe that the purpose of a CP is, in fact, to
offer evidence of possession in situations such as a section 50 sale. Otherwise,
as stated by counsel for the Estate of Irene Cooper, it would essentially render
a CP worthless. Had there been no CPs for the lots in question, it would have
been a different story altogether as the Minister would have had to confirm
lawful possession through different means. Fortunately, there were existing CPs
and, as I previously stated, the Minister was entitled to rely on them. At the
end of the day, what the Minister had before him were CPs. What the Minister
did not have before him were any allegations that the CPs were invalid. Again, without
any suggestion of invalidity, there would be no reason for the Minister to go
beyond the CPs.
[47]
In
summary, the Minister’s decision to approve under subsection 50(4) cannot be
set aside on the basis of his failure to ensure the validity of Irene Cooper’s
CPs, a duty which he does not have unless the issue is raised by one of the
interested parties or on the evidence before him, at which point, the Minister
has the discretion under sections 26 and 27 to correct or cancel the CP and to not
approve the transfer of possession.
Issue #2: Does the Minister have a duty to obtain a band council allotment
prior to approving possession under subsection 50(4)?
[48]
Subsection 20(1) of the Act is entitled
“Possession of lands in a reserve” and provides that no Indian is lawfully in
possession of reserve land unless possession has been allotted to that
individual by the band council.
[49]
The
applicants submit that subsection 20(1) is an overarching section in the Act
and that the Minister is required to obtain a band allotment prior to approving
possession under subsection 50(4). According to the applicants, the language of
subsection 20(1) is prohibitory in that it does not allow possession until
allotment has taken place. Section 50 does not exclude or prohibit the
application of subsection 20(1) and thus it must apply; to do otherwise would
go against the intent and purpose of the Act, which is to give band councils
some measure of control over their land.
[50]
The respondent submits that there is no band
allotment required prior to a subsection 50(4) approval. According to the
respondent, in developing the Act’s estate provisions, leading up to the
introduction of section 50, Parliament’s intent was to increase testamentary
freedoms and give effect to the will of a band member testator or testatrix in
respect of his or her CP lands. Band councils were seen to interfere with
testamentary dispositions of CP land by refusing to carry out the will of a
testator and it was therefore considered necessary to eliminate band council
approval for testamentary dispositions of CP lands.
[51]
I agree with the respondent. A review of the
historical development of the estate provisions found in the Act demonstrates a
clear intent on the part of Parliament to eliminate the requirement for band
council approval and to give greater effect to the wishes of the testator or
testatrix.
[52]
Under the 1876 Act, while there was no power for
an individual band member to devise his real or personal property in a will,
the Act did set out how CP land would devolve upon intestacy (where a band
member dies without a will). In such a case, band council approval (in addition
to that of the Superintendent-General) was necessary before a claimant (i.e. a
beneficiary) could gain lawful possession of the CP land. Band council approval
was also required in respect of inter vivos transfers of CP land: S.C.
1876, c. 18, sections 6, 8 and 9.
[53]
Under the 1880 Act, the requirement for band
council approval was eliminated in respect of inter vivos transfers.
However, where CP land descended on an intestacy, there remained a requirement
for band council approval (in addition to that of the Superintendent-General)
before a beneficiary could be legally in possession of the land: S.C. 1880, c.
28, sections 9 and 20.
[54]
In 1884, the Act was amended to permit
individuals to devise CP land by will. Whether CP land devolved (by will) or
descended (on an intestacy), the approval of the band council (in addition to
that of the Superintendent-General) was still required before a beneficiary
could be legally in possession of the land. There remained no requirement for
band council consent in respect of inter vivos transfers: S.C. 1884, c.
27, section 20.
[55]
By 1894, however, the requirement for band council
approval was eliminated completely: S.C. 1894, c. 32, section 1. Thus by 1894,
band councils no longer exercised any power of approval over testamentary
transfers of individual interests in reserve land (or inter vivos
transfers). Approval of wills, issuance of location tickets to beneficiaries,
and approvals of inter vivos transfers fell entirely to the
Superintendent-General.
[56]
The 1918 amendment further enhanced testamentary
freedoms. Prior to the 1918 amendment, an individual could not devise CP land to
non-band members in his will (apart from a special class of exceptions).
Accordingly, even close relatives could not benefit from a deceased’s CP land
interest if those relatives were non-band members. In 1918, Parliament enacted
amendments to remedy this situation and to broaden testamentary freedom and
give better effect to testamentary intent. The solution was the predecessor to
section 50 of the present day Act.
[57]
The 1918 amendment provided that reserve land
could be devised to (or descend upon) non-band members but then had to be sold
to a band member and the proceeds paid to the beneficiaries as in section 50 of
the Act today: S.C. 1918, c. 26, section 1.
[58]
The above analysis of the historical development
of the provisions leading up to the introduction of section 50 in the Act today
illustrates that band council approval for testamentary transfers was clearly
eliminated. Parliament’s intent was to broaden testamentary freedoms and to
give better effect to the testamentary will of individual band members. Section
50 must be interpreted in a manner that is consistent with that intent. An
interpretation that section 50 implicitly requires band approval by way of
allotment before the band member purchaser can go into lawful possession of the
land is inconsistent with Parliament’s intent to broaden and enhance the
testamentary freedoms of individual band members.
[59]
The
jurisprudence also clearly supports an interpretation that a section 50 sale
does not require a band allotment.
[60]
As previously described, under subsection 58(3)
of the Act, a CP holder can ask that the Minister lease his land for his
benefit. In Boyer v. R., [1986] 2 F.C. 393 (F.C.A.), the band argued
that the Minister was required to obtain the consent of the Band before
executing a lease under subsection 58(3). The Court rejected this argument and
considered the many formal limitations already imposed by the Act on band
members, such as the prohibition from disposing of the right to possession or
leasing the land to a non-member. The Court stated that such limitations “have
the same goal: to prevent the purpose for which the lands have been set apart
i.e., the use and benefit of the Band and its members, from being defeated
(para. 15).” The Court was of the view that once an allotment is made, the
right to use and benefit from the land shifts from the band as a collective to
the individual band member who is given a certain amount of autonomy in the
exercise of his entrepreneurship and development of the land. The band’s
interest disappears or is at least suspended (paras. 15 and 18). Ultimately,
the Court held that it would defeat the scheme of the Act to read in the words
"with the consent of the Band" into subsection 58(3). The duty of the
Minister was toward the law, not the Band.
[61]
The Court in Simpson v. Canada (Department of Indian Affairs
and Northern Development), [1996] F.C.J. No. 25
(T.D.) followed Boyer. In that case, the applicants sought an extension
of time to file. In order to obtain such an extension, the applicants were
required to justify the delay and establish that the application had a
reasonable chance of success, which involved the applicants adducing some
evidence upon which an arguable case could be based. The applicants argued that
Band approval of an allotment under section 20 of the Act was required. The
Court found that this argument had no merit. At paragraph 9, the Court wrote:
[…] The
applicants at the time of transfer was the holder of a valid Certificate of
Possession and was therefore vested with all the incidence of ownership with
the exception of the legal title itself which remains with the Crown.
Accordingly, he was entitled to transfer his interest in the property to
himself and his daughter in joint tenancy pursuant to s.24 of the Indian Act.
Under that section there is no explicit or implicit requirement for a Band
Council resolution in respect of any such transfer. The Band's interest in
land which has already been allotted to an individual band member has
disappeared or is at least suspended (see Re Boyer and the Queen (1986), 26
D.L.R. (4th) 284 at 291-92.
[62]
As I have previously stated, the purpose of
section 50 is to ensure that reserve land remains in the hands of band members
whilst giving effect to the will of the testator or testatrix. In order to fulfill
this purpose, the Minister must verify that the purchasers of land in a section
50 sale are indeed band members. This does not require a band allotment.
Parliament having clearly eliminated band council approval, an interpretation
that section 50 implicitly requires the approval of the band by way of a
requirement that the band must allot CP land purchased in a section 50 sale
before the band member purchaser can go into lawful possession of the land
would be nonsensical and inconsistent with the clear intent of Parliament.
[63]
Thus, I conclude that, as explicitly expressed
in subsection 50(4), only the approval of the Minister is required before a
band member purchaser can go into lawful possession of reserve land purchased
in a section 50 sale. Such an interpretation is consistent with a plain and
ordinary reading of the provision within the context of the Act as a whole, and
with the previous jurisprudence.
Issue #3: Does the Minister owe a fiduciary duty to the band in
conducting a section 50 sale?
[64]
The concept of fiduciary duty has had a long
history in Canada. Today, the
law supports the proposition that an examination of the particular relationship
is critical in determining whether a fiduciary duty exists between two parties.
In the recent case of Gladstone v. Canada (Attorney General), 2005 SCC 21, [2005]
1 S.C.R. 325, the Supreme Court discussed at length the fiduciary duty owed by
the Crown to aboriginal people at paragraphs 23-27. Justice Major, writing for
the Court, noted that “[a]lthough the Crown in many instances does owe a
fiduciary duty to aboriginal people, it is the nature of the relationship, not
the specific category of actor involved, that gives rise to a fiduciary duty.
Not every situation involving aboriginal people and the Crown gives rise to a
fiduciary relationship.” Fiduciary principles will generally arise when one
party is obliged to act for the benefit of another.
[65]
The applicants submit that the Minister erred in
finding that there was no fiduciary duty arising from section 50 of the Act. According
to the applicants, section 50 requires the Minister to determine that there is
a lawful possession of land that must transfer before he places lands for sale.
The Band holds a reversionary interest in land subject to a section 50 sale,
pursuant to subsection 50(3), which also permits the Minister to direct a time
period before that reversionary interest crystallizes. The applicants rely
on the three characteristics of a fiduciary relationship enunciated in
paragraph 26 of Gladstone, and submit that, under section 50, the
Minister has (1) the scope for the exercise of discretion; (2) which can be
exercised unilaterally so that the Band’s legal and practical interest in the
land can be affected; and (3) that the relationship between the Band and the
Minister is such that the Band is completely at the mercy of the Minister in
granting or rejecting an approval pursuant to subsection 50(4). I disagree with
the applicants. For the reasons that follow, I am of the view that the Section
50 Sale did not give rise to a fiduciary duty.
[66]
In Guerin v. Canada, [1984] 2 S.C.R. 335,
Justice Dickson, writing for the majority held that fiduciary relationships
will typically arise only in the private law context. The discretionary
exercise of a public law duty, such as that in the case at bar, will not
typically give rise to a fiduciary relationship as “the Crown is not normally
viewed as a fiduciary in the exercise of its legislative or administrative
function” (at p. 385). The Supreme Court emphasized the same point in Wewaykum
Indian Band v. Canada, [2002] 4 S.C.R. 245 at paragraph 96. In Wewaykum,
Justice Binnie acknowledged that the existence of a public law duty does not
exclude the possibility that the Crown undertook a fiduciary duty if the
obligations towards the aboriginal peoples were in “the nature of a private law
duty” (at paras. 74 and 85). This is not the case in the matter at hand. In
exercising discretion under subsection 50(4), there is nothing that invokes
responsibility “in the nature of a private law duty”. Rather, this was a pure
public law function requiring the exercise of discretion for which the Crown is
not viewed as a fiduciary.
[67]
In Tsartlip, the Minister had made a
decision to lease reserve land under subsection 58(3) of the Act. The appellant
Band submitted that the Minister had failed to take into consideration the
Band’s concerns and as a result his decision was unreasonable. Two issues were
raised on appeal, first, whether the Crown owed a fiduciary obligation to the
band, and second, whether the decision was reasonable. The Court allowed the
Band’s appeal on the second issue, namely that the decision was unreasonable
because the Minister had discarded the band’s concerns without proper
consideration. As for the first issue (which is of relevance to the present
case) the Court noted that it had previously ruled that the Crown, when acting
under subsection 58(3) of the Act, has no fiduciary obligation to a band. The
Court found no authority for the proposition that there exists a fiduciary duty
either to the band or to a member of the band in cases of management by the
Minister of reserve land. With regard to the unsuitability of the concept of
fiduciary duty, at paragraph 35, the Court said:
(…)
The concept of
fiduciary duty is remarkably unsuited, in my view, for the purpose of defining
what is the role of the Minister when, in the exercise of his statutory duties
with respect to the management of land in a reserve, he assesses the competing
interests of a member of a band on the one hand, and of the band as a whole.
The Minister has no interest in the outcome of his decision. The Crown does not
stand to gain any benefit from the decision of the Minister. Whatever the
decision, the lands will remain lands on the reserve. There is no adversarial
relationship between the Crown and the band as a whole or the member of the
band. There is no legitimate public purpose to be advanced by the Minister
which would be adverse to the interest of the Aboriginal people. There is no
"exploitation" by the Crown of the band's or the locatee's rights.
[68]
Instead, the Court found that administrative law
principles were more applicable to cases arising under subsection 58(3). At
paragraph 38, the Court found that what was being proposed under the label of
fiduciary duty was actually the approach under administrative law when a
decision maker must weigh the competing interests of those persons affected by the
decision.
[69]
I echo the words of the Court of Appeal in Tsartlip
that the concept of fiduciary duty is unsuited to the Minister’s exercise of
his discretionary powers under the Act with respect to the management of
reserve land. Under subsection 50(4), the Minister’s role is simply to approve
or not. The Minister is an uninterested participant in the process. The Crown
is not a party and has nothing to gain from section 50 sales as these sales are
only open to those eligible individuals under the Act, those being band
members.
[70]
As in Tsartlip, in the case at bar, what
the applicants are suggesting as falling under the concept of fiduciary duty
are administrative law principles of fairness in conducting a section 50 sale,
namely, whether the Minister weighed the respective views of the persons
affected by the decision and did so on the basis of proper considerations. In a section 50 sale, the Minister must take into account: the
collective interests of the band, the individual interests of the band member
purchasers, the individual interests of the testator, and the individual
interests of the non-band member beneficiaries.
[71]
In the present case, there is no indication that
the Minister failed to consider the views of these interested persons or that
he based his decision on improper or irrelevant considerations. The reasons for
decision are detailed, comprehensive and address each and every one of the
concerns raised by the Chief and two councillors representing the Band in their
May 11, 2004 letter.
Issue #4: Did the Minister breach the duty of procedural fairness in
failing to provide the applicants with an opportunity to meet with the
Minister, or at a minimum, to make further written submissions?
[72]
The applicants submit that they did not have a sufficient
opportunity to address all of the issues which may have been at stake. In this
regard, the applicants submit that they should have had an opportunity to meet
with the Minister or an opportunity to make further written submissions. The respondent
agrees that the applicants were owed a duty of fairness but submits that the
duty was met in this case.
[73]
“The flexible nature of the duty of fairness recognizes that
meaningful participation can occur in different ways in different situations”: Baker
v. Canada (Minister of Citizenship and Immigration), [1999] 2
S.C.R. 817 at para. 33. Fair participatory rights can thus be accomplished
through various means depending on the context. In Baker, the Supreme
Court of Canada set out a five factor methodology for determining the content
of procedural fairness. Those factors are: (1) the nature of the decision being
made and process followed in making it; (2) the nature of the statutory scheme
and the terms of the statute pursuant to which the body operates; (3) the
importance of the decision to the individual or individuals affected; (4) the
legitimate expectations of the person challenging the decision; and (5) the
choices of procedure made by the decision-maker. This list is not exhaustive (Baker,
at paras 23-28).
[74]
Applying these factors to the case at bar, for the following
reasons, I am of the view that only minimal procedural protections were
required, which included neither the right to a meeting with the Minister nor
the right to make further written submissions.
[75]
Turning to the first factor, in Baker,
Justice L’Heureux-Dubé reaffirmed the principle in Knight v. Indian Head School Division No. 19, [1990] 1 S.C.R. 653 that the closer the administrative process
resembles the judicial process, the more likely that the duty of fairness will
require procedural protections closer to that process (Baker, at para.
23). The section 50 sale process, as previously described, is purely administrative
and does not resemble in any way the adversarial or court process.
[76]
Under the second factor, Justice L’Heureux-Dubé provided two
indications of where greater procedural protections will be required, first,
where no appeal procedure is provided within the statute, and two, when the
decision is determinative of the issue and further requests cannot be submitted
(Baker, at para. 24). This is true of section 50 sales. There is no
right of appeal, only judicial review before this Court, as is being sought at
present. Moreover, the decision to approve a sale is determinative of the
disposition of the lands.
[77]
The third factor is the significance or importance of the
decision to those affected. Justice L’Heureux-Dubé stated that the more
important the decision is to the affected persons and the greater its impact on
the affected persons, the more stringent the procedural protections that will
be mandated (Baker, at para. 25). This factor raises an interesting
question in the context of a section 50 sale in the sense that the band
is not automatically affected by the sale. Rather, the band’s interest is
subject to a condition as it has a reversionary interest in the land under
subsection 50(3), which provides that where no tender is
received within six months or such further period set by the Minister, the
unsold lands will revert to the band. The applicants submit that the decision
of the Minister is one which substantially affects the rights and property
interest of the Band and other Band members. In the Section 50 Sale at issue,
the total sale proceeds equalled $1,278,500.00. While a section 50 sale does
not affect the band with as much certainty as it does the heirs who will
receive the proceeds and any bidders, I believe that the reversionary interest
held by the band does militate in favour of some procedural protections in
conducting the sale.
[78]
The crux of the applicants’ argument for a higher degree of
procedural fairness rests on the fourth factor, that of legitimate
expectations. The doctrine of legitimate expectations is an extension of the
rules of natural justice and procedural fairness. If the applicant has a
legitimate expectation that a certain procedure will be followed, this
procedure will be required by the duty of fairness (Baker, at para.
26). The applicants submit that, through a series of correspondence, they had a
legitimate expectation of an oral hearing or a meeting with the Minister before
the decision was rendered, or at the very least, an expectation that their
request for a meeting would have been addressed directly. The respondent
submits that nothing in the correspondence amounted to an offer of additional
procedures or opportunities to make representations. At most, the DIAND
representative indicated that the Minister would consider the request for a
meeting.
[79]
I agree with the respondent. A review of
the relevant correspondence confirms that this is what happened. As previously
set out in the facts above, the applicant Chief Robert Sam wrote a letter to
the Minister expressing a number of concerns with the Section 50 Sale and
requesting a meeting with the Minister to discuss these concerns. Counsel for
the Minister replied that he expected the Minister would be replying directly
to the First Nation regarding its request for a meeting. Subsequent
correspondence from counsel for the Band asked about the status of a meeting
with the Minister. Before any meeting could take place, the Minister made his
decision approving the Section 50 Sale.
[80]
There is a disagreement between the parties regarding
a letter dated June 2, 2004 which was allegedly sent by DIAND to the Chief and
Council, and provided that the Minister’s schedule did not allow for him to
attend a meeting, but that any correspondence and comments would be considered
in the granting or refusing of approval of the Section 50 Sale. The Band
maintains that it did not receive this letter. It is difficult to tell from the
affidavit evidence and the evidence elicited on cross-examination whether this
letter was received. I find, however, that whether this letter was sent or not
is not necessary for determination of the issue. In my view, it is clear from
the correspondence that no promise of a meeting was ever made to the applicants.
Similarly, I could not find anything which would
suggest that the applicants had a legitimate expectation that they would be entitled
to make further submissions.
[81]
The applicants point to the case of Mercier-Néron
v. Canada (Minister of National Health and Welfare), [1995] F.C.J. No. 1024
(T.D.)(QL), in which the applicant sought judicial review of a decision that
had denied her application for assistance under the Extraordinary Assistance
Plan for Thalidomide Victims. After the applicant applied for the program, the
respondent sent her documents clearly stating that her application could be
adjudicated either on the basis of written material and information or in a
hearing at which the applicant could appear or be represented. The applicant
elected to have her application adjudicated at a hearing. No such hearing was
held and, approximately a year later, her claim was denied because the
respondent was not satisfied with the supporting documentation she had
provided. In allowing the judicial review application, this Court found that
when the respondent had advised the applicant that she was entitled to a
hearing, it had created a legitimate expectation on the applicant's part that
she could avail herself to such a hearing, at which time she could give a complete
explanation of the circumstances related to her case. The respondent had
therefore breached the duty of fairness when it did not hold the hearing.
[82]
In the present case, there was nothing
resembling an offer or an option to take part in additional procedures or an
opportunity to make further representations at a meeting or an oral hearing.
The Minister’s delegate simply stated that the applicants’ request for a
meeting had been forwarded to the Minister. There was no promise or assurance
that one would be held. Therefore, I must find that the doctrine of legitimate
expectation has no application to the case at bar.
[83]
Additionally, I note that the first request for
a meeting with the Minister came at the end of the Band’s first five-page
letter outlining its concerns, in which it was stated that the Council wished
to discuss “the issues contained in this letter”. Nowhere in the Band’s
subsequent correspondence requesting a meeting did it ever state that the
meeting would involve any new concerns or suggest that there were other issues
to be raised with the Minister (regarding, for example, the validity of the
CPs). As far as the Band’s concerns seemed to go, this letter was the end of
the story.
[84]
The fifth factor takes into account the
Minister’s choice of procedures. Justice L’Heureux-Dubé cited the case of IWA
v. Consolidated-Bathurst Packaging Ltd., [1990] 1 S.C.R. 282 at 524 in
which the Supreme Court stated that while it is not determinative, important
weight must be given to the choice of procedure made by the decision-maker,
particularly when the statute is silent which then leaves to the decision-maker
the ability to choose its own procedure (Baker, at para. 27). The
respondent submits that DIAND’s conduct of a section 50 sale, including
Ministerial approval, is a matter of policy. As such, DIAND implemented
administrative law duty of fairness procedures so that all interested parties
would have the right to make submissions.
[85]
Taking these factors together, I conclude that,
in the present case, the duty of fairness required a lesser degree of
procedural safeguards and that the procedural fairness already afforded to the
applicants was sufficient. They were given the opportunity to make written
representations, which they did. I cannot see any reason why they should have
been given a “second kick at the can” to make further representations,
especially in light of the fact that the applicants never indicated that they
had any new concerns which had not already been addressed in their previous
correspondence to the Minister. Additionally, I note that the Minister
provided comprehensive reasons for the decision to approve under subsection
50(4), which clearly took into account the Band’s concerns.
[86]
Thus, I am satisfied that the Minister met the
requisite duty of fairness.
CONCLUSION
[87]
At
the heart of this case lie the Minister’s duties, obligations and
responsibilities in approving possession under subsection 50(4). Accordingly,
it is necessary to set out the general parameters of the Minister’s discretion
in making such a decision. The Court of Appeal
in Tsartlip cited Baker and the “margin of manoeuvre” approach to
reviewing a discretionary decision. In Baker, Justice L’Heureux-Dubé
noted that “discretion must still be exercised in a manner that is within a reasonable
interpretation of the margin of manoeuvre contemplated by the legislature…” (Baker,
at para. 53). In Tsartlip, the Court of Appeal noted that the Minister’s
margin of manoeuvre was “not unlimited” in that, when considering whether or
not to approve a lease under subsection 58(3), the Act contained enough
provisions with regard to the use of land in a reserve by non-Indians, that the
Minister’s decision was more or less dictated.
[88]
Counsel for the applicants described the
respondent’s interpretation of the Minister’s discretion as a single-lane road
whereas counsel for the applicants would have it be a “four-lane thoroughfare.”
I cannot agree. In my view, subsection 50(4) is even more limiting than
subsection 58(3) and provides an even smaller margin of manoeuvre. Subsection
50(2) provides that the right to possess or occupy the land “shall be
offered for sale…to the highest bidder among persons who are entitled to reside
on a reserve”. Thus, the choice of options available to the Minister is
severely limited by the scheme contemplated by the Act. Indeed, subsection (4),
read in light of subsection (2), suggests that once the Minister has made the
correct relevant legal determinations, considered all the submissions of
interested parties and is satisfied that the purchaser is a band member, only
in compelling circumstances could he decide not to grant his approval of
possession under subsection 50(4) when the sale is made mandatory
pursuant to subsection 50(2). Applying these principles, while the Minister
does possess the discretion to take into account many factors, in this case,
the Minister found that the Band’s statements regarding First Nations’ need for
land constituted insufficient compelling evidence. I see no reason to disturb
the decision on this basis.
[89]
In
the result, this application for judicial review is dismissed with costs to the
respondent Minister and to the respondent Estate of Irene Cooper.
JUDGMENT
The application for judicial
review is dismissed with costs to the respondent Minister and to the respondent Estate of
Irene Cooper.
“Danièle
Tremblay-Lamer”