Date: 20100630
Docket: T-1088-08
Citation: 2010 FC 713
Ottawa, Ontario, June 30,
2010
PRESENT: The Honourable Mr. Justice Lemieux
IN THE MATTER OF A DECISION OF THE
CANADIAN
HUMAN RIGHTS COMMISSION AND A
DETERMINATION
PURSUANT TO SS. 41(1) AND SS. 44(3)(B) OF
THE
CANADIAN HUMAN RIGHTS ACT
BETWEEN:
WILLIAM
VOS
Applicant
and
CANADIAN
NATIONAL RAILWAY
Respondent
REASONS FOR JUDGMENT AND JUDGMENT
I. Introduction and Background
facts
[1]
Paragraphs
44(3)(b)(i) of the Canadian Human Rights Act, R.S. 1985, c. H-6 (the
Act) enables the Canadian Human Rights Commission (CHRC) on the receipt of an
Investigator’s report “to dismiss the complaint to which the report relates if
it is satisfied that having regard to all of the circumstances of the complaint
an inquiry into the complaint is not warranted”. On June 2, 2008, the
CHRC dismissed the applicant’s complaint dated October 3, 2005 for the
following two reasons relevant to this judicial review application which
challenges that decision:
·
The
evidence shows the complainant was not entitled to disability benefits while
he was not actively working in accordance with the provisions of the
Enhanced Supplemental Unemployment Benefits package he selected;
·
The
evidence does not establish that the respondent pursues policies or practices
that discriminate against disabled employees in receipt of Employment Security
benefits.
[2]
Counsel
for Canadian National Railway (CN) submits the applicant’s complaint fits best
for analysis under Section 10 of the Act and, in substance, the Investigator’s
report proceeded on the basis that section, as opposed to section 7 (see
transcript of argument at pages 69 and 79). I am in agreement with this
submission. Section 10 of the Act reads:
Discriminatory
policy or practice
10. It is a discriminatory
practice for an employer, employee organization or organization of employers
(a)
to establish or pursue a policy or practice, or
(b)
to enter into an agreement affecting recruitment, referral, hiring,
promotion, training, apprenticeship, transfer or any other matter relating
to employment or prospective employment, that deprives or tends to deprive an
individual or class of individuals of any employment opportunities on a
prohibited ground of discrimination.
[Emphasis
added]
|
Lignes
de conduite discriminatoires
10. Constitue un acte
discriminatoire, s’il est fondé sur un motif de distinction illicite et s’il
est susceptible d’annihiler les chances d’emploi ou d’avancement d’un
individu ou d’une catégorie d’individus, le fait, pour l’employeur,
l’association patronale ou l’organisation syndicale :
a)
de fixer ou d’appliquer des lignes de conduite;
b)
de conclure des ententes touchant le recrutement, les mises en rapport,
l’engagement, les promotions, la formation, l’apprentissage, les mutations ou
tout autre aspect d’un emploi présent ou éventuel.
|
[3]
William
Vos is a self-represented litigant who worked for the CN from 1982/83 until June
2001 when he was laid off as a car inspector. In October 2004 he
was terminated as an employee of CN pursuant to the provisions of the Employment
Security and Income Maintenance Agreement entered into between CN and the
National Automobile, Aerospace, Transportation and General Workers Union of
Canada, (CAW-Canada, Local 100 (the ES Agreement)). The option he selected was
the Enhanced Supplemental Unemployment Benefits package (ESUB). In February
2005, Mr. Vos was re-hired by CN to work at BC Rail, its newly acquired subsidiary,
first an apprentice and, if he qualified which he did, as a full-time Heavy
Duty Mechanic. He is currently employed in this capacity. However, when he was
terminated at CN in October 2004 he lost 23 years of seniority, enhanced
vacation entitlement, extended health benefits and had to start a new pension
plan. The remedy he seeks in his memorandum of argument is the restoration of
these employment rights he lost on termination of employment (see amended
memorandum of argument filed October 29, 2009 under Order requested paragraph
10; see also certified tribunal record page 22, 4th paragraph).
[4]
Under
the ES Agreement, the following conditions applied:
i.
The
ESUB benefits (principally a percentage of his salary) had a three year term;
ii.
Mr.
Vos had to remain available for work recall. If he was recalled for temporarily
work at CN (as he was for two short periods in 2001 and 2002) or
obtained temporary work with another employer (which he did not), payment of the
ESUB benefits would be suspended while he was receiving a salary but those
benefits would be reinstated when his work period ended.
iii.
If
Mr. Vos was not recalled for work or was unable to obtain work with another
employer for a continuous period of two years and had been in receipt of ESUB
three years, his ESUB benefits would lapse and CN was entitled to terminate him
as an employee. Those circumstances were met in October 2004 when he was
terminated by CN.
iv.
The
suspension of the ESUB benefits when working on lay off status had the
practical effect of pushing out the date when that employee could be terminated.
For example, if a CN employee on ESUB benefits was laid off on June 1, 2001
and was not recalled or found other work that person could be terminated on June
1, 2004 because the ES clock was always ticking. However, if that person
found work for one year CN could not terminate him before June 1, 2005 because
the ES clock would have stopped ticking during that period of one year when he
was not receiving ESUB benefits.
[5]
During
the time he was receiving ESUB benefits, Mr. Vos was hospitalized twice on
account of bipolar mood disorder and depression. Those periods were from
November 24, 2003 to December 2003 and from July 1, 2004 to August 4, 2004. He
claimed not to be able to work from just prior to his first hospitalisation
until after his release from his second hospitalization (a period of
approximately 10 months). He could not, he claims, stop the ES clock from
ticking.
[6]
After
his termination by CN and rehire at BC Rail, Mr. Vos, on May 27, 2005, wrote
a letter to CN concerning his dental benefits in which he indicated that just
before his October 2004 termination, he had just been released from hospital,
and because of the medication, was unable to care for many of his affairs. He
added “In addition and unfortunately for me, due to my disability, I was
unable to extend my ES benefits by securing employment outside de company for
the 3 years of my lay off” (emphasis added). Moreover, he added in his
letter the following:
I believe this further advantage offered
to employees of extending E.S. benefits by finding work outside the company to
be discriminatory in nature against people with a medical disability. As a
result of my mental disability, I was unable to extend my E.S. benefits and
subsequently was cut of my benefits in Oct 2004.
Had there been no lapse in my service
time my dental would have carried out without interruption. I want my service
uninterrupted from October 2004 to February 2005 so my benefits will continue.
I appreciate any assistance I can get in resolving these issues.
[Emphasis added]
[7]
On
October 3, 2005, Mr. Vos filed his complaint with the CHRC. In
his complaint he wrote:
On Oct 04 2004 my employment was
terminated due to the fact I had exhausted my ES benefits. I believe CN’s ES
policy to be discriminatory and I grieved this termination with limited
results. I returned to work as a new employee on Feb 14 2005 loosing [sic]
23 years service, vacation entitlement as well as extended health benefits and
had to start a new position. Due to my illness I was unable to secure employment
outside the company, which would extend my ES benefits beyond three years, which would have bridged me
from October 7, 2004 termination until my recall on February 14, 2005 preserving
all my benefits, seniority, vacation entitlement reinstated as well as credit
for the six weeks vacation I had taken over the course of my ES.
I believe CN’s ES policy is
discriminatory against people with disabilities or illness that may limit or
restrict ability to extend their employment. I further believe that people with
disabilities or illness do not have the same opportunity as able-bodied
employees to extend benefits.
[Emphasis
added]
[8]
In February 2006, the CHRC decided
not to deal with his complaint because the applicant had not exhausted the
grievance or review procedures available to him. The CHRC reactivated
the consideration of his complaint in May 2007 with the appointment of an
Investigator who interviewed by telephone Mr. Vos on December 10 and 11, 2007;
interviewed via telephone Ms. Patricia Payne, CN’s Human Resources Manager on
December 21, 2007 and in 2008 on January 14 and February 11. CN’s Director of
Human Resources, Douglas Fisher was interviewed on January 14, 2008. The
Investigator prepared a preliminary report and invited comments from the parties.
The Certified Tribunal Record (CTR) shows Mr. Vos provided his comments in
writing to the Investigator but CN did not. On February 12, 2008, the
Investigator submitted her report to the CHRC in which she recommended pursuant
to paragraph 44(3)(b)(i), Mr. Vos’s complaint be dismissed. At the beginning of
her report the Investigator identified sections 7 and 10 of the Act as relevant
legislative provisions.
II. Relevant
statutory scheme
[9]
Before
summarizing the Investigator’s report it is useful to have in mind sections 7, 10
and 15 of the Act which I set out in both official languages in the Annex to
these reasons.
[10]
Paragraph
44(3)(b) of the Act, upon which CHRC relied to dismiss Mr. Vos’s complaint,
reads:
Report
44.
(3) On
receipt of a report referred to in subsection (1), the Commission
[…]
(b)
shall dismiss the complaint to which the report relates if it is satisfied
(i) that, having regard to all the
circumstances of the complaint, an inquiry into the complaint is not
warranted, or
(ii) that the complaint should be
dismissed on any ground mentioned in paragraphs 41(c) to (e).
[Emphasis added]
|
Rapport
44. 3) Sur réception du rapport
d’enquête prévu au paragraphe (1), la Commission :
[…]
b)
rejette la plainte, si elle est convaincue :
(i) soit que, compte tenu des
circonstances relatives à la plainte, l’examen de celle-ci n’est pas
justifié,
(ii) soit que la plainte doit être
rejetée pour l’un des motifs énoncés aux alinéas 41c) à e).
|
III. The
Investigator’s Report
[11]
The
Investigator under the heading “Complaint” identified four issues. I only need
to deal with two of them as relevant:
A.
Whether or
not the respondent refused to accommodate the complainant on the ground of
disability (bipolar disorder and depression) resulting in premature termination
of his employment and then failed to give him credit for his previous service
when they rehired him six months later.
B.
Whether or
not the respondent pursues policies and practices that discriminate against
disabled employees in receipt of Employment Security benefits.
[12]
Under
the heading “Investigation Process”, the Investigator set out four steps in the
investigation of the complaint. Only steps 2 and 3 are relevant to this case.
They are as follows:
Step 2:
3. The investigation will
examine whether there is support for the complainant’s allegation of a failure
to accommodate by considering:
a. did the
complainant require accommodation for reasons related to one or more prohibited
grounds of discrimination;
b. did the
complainant communicate his/her need for accommodation to the respondent or
should the respondent ought to have known of his/her need for accommodation
from the circumstances;
c. did the
complainant cooperate with the respondent in the search for accommodation; and
d. was the request for
accommodation denied.
Step 3:
4.
Depending
upon the investigator’s finding in Step 2, then the investigation may also
consider:
a. does the respondent
rely on a policy, rule, practice, or standard as the basis for the refusal to
accommodate;
b. was policy, rule,
practice or standard adopted for a purpose that is rationally connected to the
performance of the job by considering:
i. What is the purpose of
the policy?
ii. What aspect of the job
is it specifically related to?
c.
is the
policy, rule, practice or standard based upon an honest and good faith belief
that it is necessary to the fulfilment of that legitimate work-related purpose
by considering:
i.
How was
the policy, rule, practice or standard developed?
ii.
What other
options were considered and rejected? Why?
d.
is the policy,
rule, practice or standard reasonably necessary to achieve the legitimate
work-related purpose by considering:
i. What efforts have been
taken to accommodate?
ii. Does
the evidence show that it is impossible to accommodate the complainant without
undue hardship, taking into consideration the factors of cost, or risk to
health and safety?
[Emphasis
added]
[13]
I
set out below the principal findings and answers the Investigator gave to the
questions she said were relevant.
A. Step 2
[14]
Under
the heading “the Investigation” the Investigator set out her findings and made
the following determination to the question “Did the complainant require
accommodation for reason related to a disability?”:
Findings:
22. The complainant
states he required accommodation in the form of disability benefits because he
was unable to work as a result of bipolar mood disorder and depression for the
approximate period November 2003 to August 2004. The complainant does not
have medical documentation to support his position, but states he can obtain it
if required.
[Emphasis added]
[15]
To
the question in step 2 “Did the complainant communicate his need for
accommodation to the respondent, or should the respondent have known his need
for accommodation from the circumstances?”, the Investigator found:
38. The complainant states he
informed Ms. Payne of his disability and requested sick/disability benefits
during a telephone conversation in November or December 2003. He states she
told him he was not entitled to sick/disability benefits because he was on ES
at the time. He did not obtain or provide medical documentation regarding
accommodation requirements for the period November 2003 to August 2004 because
Ms. Payne told him he was not entitled to benefits. He states he did not
inform the respondent he required disability accommodation after his 2003
discussion with Ms. Payne for fear it would not recall him if a work recall
arose.
39. Ms. Payne states the
complainant did not inform her he was ill or required disability benefits and
she did not tell him he was not entitled as alleged. She states that if the
complainant had informed her he was unable to work due to disability, she would
have told him to submit a claim for disability benefits the same as a working
employee.
40. There is no documentation
evidence to show the respondent was aware of the complainant’s disability,
accommodation requirement or inability to work while he was in receipt of ES
benefits.
[Emphasis added]
[16]
The
questions and answers to the final two questions posed in Step 2 are:
A. Did
the complainant cooperate with the respondent in the search for accommodation?
Answer:
This issue is not in dispute. What is in dispute is whether or not the
complainant notified the respondent that accommodation was required.
B.
Was
the complainant’s request for accommodation denied?
Answer: The
issue is not in dispute. What is in dispute is whether or not the complainant
notified the respondent that accommodation was required.
B. Step 3
[17]
The
Investigator’s Step 3 is entitled “Policy” and the question she framed was “Did
the respondent rely on a policy, rule, practice or standard as the basis for
the refusal to accommodate or did the policy never became relevant to his
particular situation?” She framed this question on the basis that Mr. Vos’
position on this issue was:
The complainant alleges the respondent’s
policy is discriminatory to employees who become ill while on ES because
there are no allowances for these employees to access disability benefits and
have their ES held in abeyance while they are receiving disability benefits.
[Emphasis added]
[18]
The
Investigator then outlined the interviews conducted with two CN officials (Ms.
Payne and Mr. Fisher). She found that:
The evidence shows that Ms. Payne, the
Human Resources contact for the complainant, believed he would be entitled to
disability benefits while on ES if he applied and met medical requirements as
determined by the respondent’s insurance carrier. Ms. Payne states that if the
complainant had informed her of his circumstances and/or requested information
regarding disability benefits, she would have informed him accordingly.
The evidence also shows Ms. Payne’s
understanding was incorrect. The complainant was not entitled to disability
benefits while he was not actively working. However, this policy was not relied
upon as the basis of refusal to accommodate. The respondent states it never
refused as it was not aware of the complainant’s requirement for disability
accommodation.
[Emphasis added]
[19]
To
the questions “What are the positions of the parties with respect to an
appropriate remedy to the complaint, if the parties do take a position? What
remedies may be available to the parties?”, the Investigator answered:
The complainant requests that he be
granted disability benefits for the period he was ill while on ES which would
then bridge him from the time his employment was terminated in October 2004 to
the time he was hired as a new employee in February 2005. He requests his medical and
dental benefits, pension, vacation, and seniority all be reinstated as well as
credit for the six weeks vacation he has taken over the course of his ES.
The respondent states that it was not
notified of the complainant’s illness while he was on ES at the time the
illness occurred, before the complainant’s ES benefits ran out and his
employment was terminated in October 2004, or when it hired the complainant again
in February 2005. It states it was not notified of the complainant’s illness
while on ES until it received a letter form the complainant dated May 27, 2005.
[Emphasis added]
[20]
The
Investigator’s Report was amended by CHRC’s Manager of Investigations in the
following circumstances.
[21]
Her
original recommendation to the CHRC in respect of paragraph 44(3)(b)(i) were:
It is recommended, pursuant to section
44(3)(b)(i) of the Canadian Human Rights Act, that the Commission
dismiss the complaint because:
·
the
evidence does not establish the respondent was aware of the complainant’s
accommodation requirement or that the complainant provided the respondent with
medical evidence regarding a request for accommodation.
·
the
evidence shows the complainant was not entitled to disability benefits while he
was not actively working in accordance with the provisions of the Enhanced
Supplemental Unemployment Benefits package he selected;
[22]
The
Investigator’s report is dated February 12, 2008. That report was
amended by the Manager of Investigation at the CHRC who advised Mr. Vos by
letter dated April 15, 2008, he had noticed the Investigation Report
recommended in paragraph 64 “does not address the allegation of a discriminatory
policy or practice” and “therefore, I have amended the Investigation Report to
add the following bullet to paragraph 64: the evidence does not establish
that the respondent pursues policies or practices that discriminate against
disabled employees in receipt of Employment Security benefits” [Emphasis
added].
[23]
The
last paragraph of the Manager’s letter to Mr. Vos reads:
The complaint form, the investigator’s
report and submissions which we receive from the parties will be submitted to
the Commission at one of its upcoming meetings. After reviewing these
documents, the Commission will make a decision on the disposition of the case.
The Commission can accept or reject the recommendation in the report. You will
be advised of the Commission’s decision as soon as it is rendered.
[24]
I
note the materials contained in the CTR of documents which were before the CHRC
when it made its decision did not contain the letter of April 15, 2008.
IV. The position of the parties
A. The applicant
[25]
The
applicant’s principal issue is that the ES Agreement is invalid because it is
systematically discriminatory against disabled employees; the Investigator and
the CHRC erred in failing to investigate that allegation. He states the ES Agreement
contains specific provisions to protect the rights and benefits of able
bodied employees but contains no provisions to protect the rights and benefits
of employees who become disable while on ES.
[26]
The
reason this is so, Mr. Vos argues, is because the ES Agreement specifically
states ES status employees can suspend their ES clock from ticking “by the
act of finding work and thereby extend their benefit period”. He argues
this provision in the ES Agreement provides a method for able bodied employees
on ES status to protect their employment rights and benefits while on ES which
is not the case if an employee becomes disabled and unable to work while on ES.
He submits there is no way for the disabled employee to stop his ES clock thereby
and maintain the same employment benefits as able-bodied employees because
employees disabled while on ES are unable to work during that time. In short, a
disabled employee will lose his/her employment benefits on termination (seniority
etc) while able-bodied employees, who by definition are able to work, may not.
In sum, Mr. Vos submits the Investigator misconstrued his case and the CHRC
erred in accepting her views and recommendations.
[27]
Mr.
Vos also challenges the thoroughness and neutrality of the Investigator’s
report.
B. The CN
[28]
During
oral argument counsel for CN advanced the following propositions in support of
the Investigator’s recommendation that Mr. Vos complaint should be dismissed.
Moreover, the CHRC’s decision to accept the recommendation was reasonable:
(1) Prior
to his termination under the ES, Mr. Vos never informed anyone at CN he had
been hospitalized, could not work for a period of time and needed accommodation
to stop the ES clock from ticking. The first time CN knew anything was via Mr.
Vos’s May 27, 2005 letter;
(2) If
Mr. Vos had informed CN of his disability and need for accommodation, CN would
have attempted to accommodate him notwithstanding the fact the ES contains no
procedure to stop the ES clock from ticking. No written procedure for
accommodation was necessary because the Act has quasi-constitutional status
which obliged CN to attempt to accommodate his disability to fit his particular
circumstances. However, since Mr. Vos never asked for accommodation there is no
way of knowing whether CN would be able to achieve accommodation, which would
depend on a number of factors such as the nature of his disability and his
inability to work.
(3) Counsel
for CN asserts Mr. Vos is asking the Court to assess the ES Agreement in a
vacuum i.e. without the ES Agreement having been put to the test. This is particularly
so because there is nothing in the ES about disability and nothing in that
agreement which says a disabled person cannot stop the ES clock from ticking.
In sum, Mr. Vos assumes CN would have denied him accommodation. CN was not
given a chance to accommodate him despite Ms. Payne’s evidence she believed he
had a right to make application to CN for accommodation.
(4) He
submits the factual basis for Mr. Vos’ allegations were very thoroughly
investigated but that the circumstances of his complaint (no request by Mr. Vos
for accommodation) did not allow the investigator to analyse CN’s policy.
Simply put, without a set of facts, CN’s policy could not be reviewed (transcript,
page 52 and 53).
(5) He
submits CN’s ES policy cannot be analysed in the abstract. Facts are needed to
assess the policy; that policy had to have been put to a test but was not.
(6) Mr.
Vos’ complaint of discrimination is not tenable because he presumes that all
disabled employees are entitled to stop the ES clock for that reason alone,
that any disability prevents an individual from working, even without medical
confirmation, and that an able-bodied employee can automatically find a job if
he wants one (transcript, page 80 and 81).
(7) In
terms of the thoroughness of the investigation and its neutrality, counsel for
CN argues the fact certain witnesses were not interviewed does not demonstrate
that the investigator ignored crucial evidence and Mr. Vos’ allegation of bias
is not supported by the evidence.
[29]
It
should be mentioned at this point that CN’s position on this judicial review
application was supported by the affidavit of Ms. Payne dated December 16, 2008
on which she was cross-examined by answering written questions posed by Mr.
Vos.
[30]
In
her December 16, 2008 affidavit, she writes at paragraph 9 the following:
The essence of his complaint, as I
understand it, is that he was not eligible to receive weekly indemnity
benefits for a short or a long term disability from CN for a period of months
in the year 2004 when he was receiving ESUB benefits; He now claims to have
been disabled from working due to a mental illness for a period of months in 2004.
[Emphasis added]
[31]
At
paragraph 12 of her affidavit, she confirms that between the time Mr. Vos was
laid off to the time he was terminated she has numerous discussions with him
and with his Union representative, John Burns, concerning several benefit
issues but none relating to “his alleged inability to work” adding “at no time
was there even a mention that Mr. Vos had allegedly fallen ill and was
hospitalized” also adding “no request for accommodation was even submitted
during his ES duration and no enquiries were made as to his eligibility for Short
Term Disability payments”.
[32]
She
further deposed that Mr. Vos never, at the relevant time, produced to CN
evidence of his illness, hospitalisation or disability. She acknowledges the
first and only information she had about his alleged disability was the May 27
2005.
[33]
She
comments on Mr. Vos’ affidavit in support of his judicial review application
and expresses her disagreement with him. She does acknowledge the receipt from
B.R. McDonagh, National Representative Rail Division CAW Canada, which she
says should be dated January 2, 2006. In that letter, Mr. McDonagh says he was
aware Mr. Vos had been sick and hospitalized at least twice over the course of the
ES term “but did not receive a response to his allegation that the CN ES policy
is discriminatory in that it did not allow for an extension of benefits when an
individual falls sick”.
[34]
Her
answers to questions 13, 14 and 23, were:
Question 13: Where are the procedures located in the
ES agreement for a disabled employee to allow in applying for the accommodation
that you suggest is available?
Answer to Question 13: My affidavit makes no such
suggestion.
Question 14: What actual accommodation, under the ES
agreement, could the Respondent supply to stop a disabled employee’s ES clock,
since the Respondent has admitted that such disabled employee has no
eligibility for weekly indemnity or disability benefits?
Answer to Question 14: You were ineligible for disability benefits while not
actively at work further to the benefit options chosen upon your layoff in
2001, rather than due to the ES agreement.
Question 23: Finally,
after reviewing your affidavit I have noted that you failed to address any of
the concerns I have raised over the ES policy. Ms. Payne, where is your actual
documentation evidence that the ES policy is not structurally discriminatory
against employees who become disabled while on ES?
Answer to Question 23: In
light of your ineligibility for disability benefits at the time of your layoff,
it remains the position of the Respondent that the structure of the ES policy
itself was not discriminatory.
V. Some
applicable principles
[35]
At
this juncture, it is appropriate to set out some applicable principles established
in the jurisprudence relating to CHRC investigation of discrimination complaints,
its role in that task, in particular, when exercising its powers under
paragraph 44(3)(b)(i) of the Act and the required test or steps in the
determination of a breach of section 10 of the Act.
[36]
First,
it is well accepted when the CHRC adopts an investigator’s recommendations and
provides no, or only brief, reasons (as in the case here) the investigator’s
report is treated as constituting the Commission’s reasoning for the purpose of
the screening decision under section 44. The consequence in that if the report
which the CHRC adopted is flawed, it follows the CHRC’s decision itself is
equally flawed (see, Sketchley v. Canada (Attorney
General),
2005 FCA 404, [2005] F.C.J. No. 2056 at paras. 37 and 38 [“Sketchley”]).
[37]
Second,
the test to be applied by the CHRC when exercising its power under paragraph
44(3)(b)(i) of the act namely “to dismiss a complaint to which the report
relates if it is satisfied having regard to all of the circumstances an inquiry
[by the Canadian Human Rights Tribunal] (the Tribunal) into the complaint is
not warranted” is also settled with the leading cases being Syndicat des
employés de production du Québec et de l'Acadie v. Canada (Human Rights
Commission), [1989] 2 S.C.R. 879 and Bell v. Canada (Canadian Human
Rights Commission); Cooper v. Canada (Canadian Human Rights Commission), [1996]
3 S.C.R. 854 (per La Forest) [Cooper].
[38]
This
test was developed by the Supreme Court of Canada, recognizing the Commission’s
function under the Act is not as an adjudicative body (that is the role of the
Tribunal) but the administrative statutory body which administers the Act and,
in particular, is the statutory body entrusted with accepting, managing and
processing complaints of discriminatory practices (Cooper, above, at page
889).
[39]
Justice
Gérard La Forest framed the test in the following way at page 891 in Cooper:
The Commission is not an adjudicative
body; that is the role of a tribunal appointed under the Act. When deciding
whether a complaint should proceed to be inquired into by a tribunal, the
Commission fulfills a screening analysis somewhat analogous to that of a judge
at a preliminary inquiry. It is not the job of the Commission to determine if
the complaint is made out. Rather its duty is to decide if, under the
provisions of the Act, an inquiry is warranted having regard to all the facts.
The central component of the Commission's role, then, is that of assessing the
sufficiency of the evidence before it. Justice Sopinka emphasized this point in
Syndicat des employés de production du Québec et de L'Acadie v. Canada
(Canadian Human Rights Commission), [1989] 2 S.C.R. 879, at p. 899:
The other course of action is
to dismiss the complaint. In my opinion, it is the intention of s. 36(3)(b)
that this occur where there is insufficient evidence to warrant appointment of
a tribunal under s. 39. It is not intended that this be a determination where
the evidence is weighed as in a judicial proceeding but rather the Commission
must determine whether there is a reasonable basis in the evidence for proceeding
to the next stage.
[40]
Third,
it is also recognized in this jurisprudence there are two fundamentally
separate phases to determine whether a complaint of discrimination has been
made out before the adjudicative tribunal (see British Columbia (Public Service
Employee Relations Commission) v. British Columbia Government and Service
Employees' Union (B.C.G.S.E.U.) (Meiorin Grievance), [1999] 3 S.C.R. 3 [“Meiorin”]).
[41]
In
the first phase of a section 10 complainant, the complainant has the burden of
establishing a “prima facie case of discrimination”, a burden which is
met if that case “covers the allegations made and which, if they are believed,
is complete and sufficient to justify a verdict in the complainant’s favour in
the absence of an answer from the respondent-employer” (see Sketchley,
above, at para. 86). If a complainant satisfies his/her burden, the second
phase is engaged where the employer has the onus to justify that discrimination
as a bona fide occupational requirement (BFOR).
[42]
In
Sketchley, above, Justice Allen MartinLinden explained at paragraph 87 the
three step process which an employee had to establish in order to make out a BFOR:
87 A BFOR is not a "cleansing
agent", but a defence to a prima facie case that relieves the
employer from liability. (See Robertson J.A. in Canada (Human Rights Commission) v. Toronto
Dominion Bank, [1998] 4 F.C. 205 (F.C.A.) at para. 130.) A BFOR is
established by proof on a balance of probabilities of the requisite elements as
set out in the Meiorin test: first, that the purpose is rationally
connected to the performance of the job; second, that the standard was adopted
in an honest and good faith belief that it was necessary to the fulfilment of
the legitimate work-related purpose; and third, that the standard is reasonably
necessary to accomplish that purpose, in that accommodation is not possible
short of undue hardship (Meiorin, supra at para. 54).
[Emphasis added]
[43]
Fourth,
discrimination is not defined in the Act. Inevitably, the question arises as to
what it means. In Law Society British Columbia v. Andrews, [1989] 1
S.C.R. 143 at page 173, the Court adopted the definition of discrimination
which Justice Walter Tarnopolsky had set out in his textbook:
What does discrimination mean? The
question has arisen most commonly in a consideration of the Human Rights Acts
and the general concept of discrimination under those enactments has been
fairly well settled. There is little difficulty, drawing upon the cases in this
Court, in isolating an acceptable definition. In Ontario Human Rights
Commission and O'Malley v. Simpsons-Sears Ltd., [1985] 2 S.C.R. 536, at p. 551,
discrimination (in that case adverse effect discrimination) was described in
these terms: "It arises where an employer ... adopts a rule or standard
... which has a discriminatory effect upon a prohibited ground on one employee
or group of employees in that it imposes, because of some special
characteristic of the employee or group, obligations, penalties, or restrictive
conditions not imposed on other members of the work force". It was held in
that case, as well, that no intent was required as an element of
discrimination, for it is in essence the impact of the discriminatory act or
provision upon the person affected which is decisive in considering any complaint.
At page 547, this proposition was expressed in these terms:
The Code aims at the removal of
discrimination. This is to state the obvious. Its main approach, however, is
not to punish the discriminator, but rather to provide relief for the victims
of discrimination. It is the result or the effect of the action complained of
which is significant. If it does, in fact, cause discrimination; if its effect
is to impose on one person or group of persons obligations, penalties, or
restrictive conditions not imposed on other members of the community, it is
discriminatory.
[…]
[Emphasis added]
[44]
Fifth,
it is also settled law the rules of procedural fairness apply to a decision by
the CHRC to dismiss a complaint. The leading case is that of Slattery v. Canada (Human
Rights Commission) (T.D.), [1994] 2 F.C. 574 (T.D.) [Slattery], a
decision of Justice Marc Nadon, then a judge of the Trial Division. The
principles in Slattery have been adopted by the Federal Court of Appeal
in a number of cases including Sketchley and Canadian Broadcasting
Corp. v. Paul, 2001 FCA 93, [2001] F.C.J. No. 542. The content of
procedural fairness in the conduct of an investigation which the CHRC adopts
are measured by two factors: (1) neutrality and (2) thoroughness. Neutrality in
the context of this case means absence of biais or presence of an open mind by
the Investigator. Thoroughness stems from the essential role that investigators
play in making recommendations to the CHRC and pertains to the conduct of the
investigation. One instance of lack of thoroughness is the failure to
investigate crucial evidence. Justice Linden in Sketchley put it this
way at paragraph 38:
This approach is not, as the appellant
claims, incompatible with the well-accepted notion that flaws in the investigator's
Report will not vitiate a Commission's decision, so long as such flaws are not
so fundamental that they cannot be remedied by further responding submissions
by the parties (Slattery v. Canada (Human Rights Commission) (1994), 73 F.T.R.
161, [1994] 2 F.C. 574 (T.D.), affirmed (1996), 205 N.R. 383 (C.A.)
[Slattery]). A reviewing Court's focus under this approach ultimately remains
upon the Commission's screening decision, which is reviewed with a high degree
of deference with respect to fact-finding activities: only errors evincing an
error of law, patent unreasonableness in fact-finding, or a breach of
procedural fairness will justify the intervention of a Court on review (Bell
Canada, supra at para. 38; Connolly v. Canada Post Corp., [2002] F.C.J. No.
242, 2002 FCT 185 (T.D.) at para. 28, affirmed (2003), 238 F.T.R. 208, 2003 FCA
47 (C.A.) [Connolly]). Such errors belong, virtually by definition, to the
category of investigative flaws that are so fundamental that they cannot be
remedied by the parties' further responding submissions. The applicable
standard for reviewing investigative thoroughness is therefore equivalent to
that which applies on review of the Commission's decision under section 44(3).
As a result, there is no necessary inconsistency if, in appropriate
circumstances like those of the case at bar, the investigator's Report is
treated as constituting the Commission's reasoning.
VI. Standard of review
[45]
It
is well known the Supreme Court of Canada in Dunsmuir v. New
Brunswick,
[2008] 1 S.C.R. 190, reformed the standard of review analysis, by eliminating
the illusive standard of patent unreasonableness, thus reducing from three to
two standards of review, namely, correctness and reasonableness.
[46]
What
is the appropriate standard of review of a decision by the CHRC to dismiss a
complaint of discrimination on the basis a further inquiry (by the Tribunal) is
not warranted taking into account all of the facts? Dunsmuir, above, teaches
that a reviewing court in considering an application for judicial review need
not conduct a fullsome standard of review analysis if the jurisprudence prior
to that case had satisfactorily decided the issue which is the situation here.
[47]
In
Sketchley, Justice Linden noted while the application judge had accepted
the view of the parties the appropriate standard of review was reasonableness the
judge in fact applied the standard of correctness to decide the two questions
of law determinative before him. Those questions were (1) whether the CHRA had
erred in deciding the complainant had not made out a case of prima facie
discrimination in respect of Treasury Board’s policy on leave without pay for
medical reasons and (2) whether the decision of the Department of Human
Resources and Development Canada had breached procedural fairness in
determining the question whether it failed had failed to accommodate his
disability.
[48]
Justice
Linden held, in the particular circumstances of the case before him, the judge
was right to have applied the correctness standard to these two questions. He
viewed as a question of law whether the CHRC erred in determining the
complainant had not made out a case of prima facie discrimination. Issues
of procedural fairness, according to the jurisprudence, were also to be decided
on the correctness standard. Justice Linden, however, at paragraph 44 of his
reasons, noted that generally the jurisprudence had applied the reasonableness
standard to a review the merits of a decision of the CHRC to dismiss a
complaint because of the well accepted view that, in such cases, the CHRC
enjoys a very high level of deference unless there is a breach of procedural
fairness or unless the decision is not sustainable on the evidence before it.
See Hutchinson v. Canada (Minister of the
Environment), 2003 FCA 133, [2003] F.C.J. No. 439, at paras. 64 to 67 [Hutchinson
cited to F.C.], where Justice Denis Pelletier applied the reasonableness
standard to the determinative questions before him having previously ruled the
investigation had been adequately carried out on the Slattery principles
of thoroughness and partiality (see paragraph 45 to 61).
[49]
In
Sketchley, Justice Linden cautioned that the level of deference owed
when the CHRC dismisses a complaint is different that the level of deference
owed when it decides to send a complaint to the Tribunal for inquiry and
decision. He wrote the following at paragraphs 79 and 80:
79 It is also important in this
context to distinguish between screening decisions of the Commission to dismiss
a complaint pursuant to section 44(3)(b), and decisions to accept a complaint
and refer it to a Tribunal pursuant to section 44(3)(a). In decisions of the
latter type, the Commission is not acting as an adjudicative body making
conclusive determinations as to whether a complaint has been made out (Cooper v.
Canada (Human Rights Commission), [1996] 3 S.C.R. 854 at para. 54). In these
circumstances, the "legal assumptions made by the Commission in deciding
to request the formation of a Tribunal do not amount to decisions as to the
state of the law or its impact on those concerned" (Zündel v. Canada
(Attorney General) (2000), 267 N.R. 92 at para. 4).
80 However, when the Commission
decides to dismiss a complaint, its conclusion is "in a real sense
determinative of rights" (Latif v. Canadian Human Rights Commission,
[1980] 1 F.C. 687 at para. 24 (F.C.A.) [Latif]). Any legal assumptions made by
the Commission in the course of a dismissal decision will be final with respect
to its impact on the parties. Therefore, to the extent that the Commission
decides to dismiss a complaint on the basis of its conclusion concerning a
fundamental question of law, its decision should be subject to a less
deferential standard of review.
[50]
In
this case, for reasons which I explain in the conclusion to these reasons, the
standard of correctness applies to questions of law and procedural fairness and
the reasonableness standard applies to the other questions.
VII. Conclusions
A. Preliminary issue
[51]
During
oral argument, Mr. Vos referred to documentation which was not in the CTR and
which was not before the Investigator or the CHRC. I took the matter into
reserve. This documentation cannot be accepted (see Hutchison, above,
at para. 44).
B. Discussion and conclusions
[52]
In
my view, there are a number of reasons why this judicial review must succeed.
[53]
First
and foremost, the Investigator’s report of employer/employee discrimination
complaint on the prohibited ground of disability was fatally flawed. The
Investigator did not examine nor decide whether Mr. Vos had discharged his
burden of establishing a prima facie case of discrimination in respect
of the ES clause. That clause requires a laid off employee to have worked in
order to stop the ES clock from arriving at its three year cut off date
which enables CN to terminate an employee who, like Mr. Vos, was unable to work
on account a disability which is not the case of an able-bodied laid off worker
able to work.
The answer to that question was essential
before the burden shifted to CN to establish its work rule was a bona fide occupational
requirement which the jurisprudence establishes has three components the third
one being the employer, in order to demonstrate the work rule is reasonably
necessary, must show it is impossible to accommodate individual employees
sharing the characteristics of the claimant without imposing undue hardship on
the employer (see Meiorin, above, at paragraphs 55 and 56). None of this
required analysis was engaged in because the Investigator concluded CN had not
relied on the work rule “as the basis of a refusal to accommodate” because CN
was not aware of Mr. Vos’ requirement for disability accommodation. Even if the
statement was correct, in my view, was not sufficient to complete a proper BFOR
analysis.
[54]
Second,
the Investigator never identifies what is the relevant time frame to fix CN’s
knowledge of Mr. Vos’ need for accommodation. The record shows CN knew that
fact at least from May 27th 2005 when Mr. Vos sent his letter to CN.
CN certainly knew that fact when he made his complaint to the Tribunal on
October 3rd 2005. That knowledge of what employment rights he lost
on termination and the need for accommodation by restoring his lost employment
benefits on termination were also spelled out in his complaint and further
reiterated by Mr. McDonagh’s, CAW’s Rail National Representative, letter to Ms.
Payne of CN dated January 2nd 2006. In this context, the fact that
CN did not know prior to termination Mr. Vos had been ill and hospitalized has
no relevance to CN’s defence particularly when CN’s counsel did not show this
Court in what manner CN could have accommodate him by stopping the ES clock.
This point is enhanced by the CHRC itself which did not rely on a third ground
which the Investigator had advanced to the CHRC for dismissing his complaint
namely “the evidence does not establish the respondent was aware of the
complainant’s accommodation requirement or that the complainant provided the
respondent with medical evidence regarding a request for accommodation”. Put
another way, it would appear that the CHRC itself did not accept that knowledge
of his disability and need for accommodation were relevant factors. The Court’s
view is substantiated by judicial and arbitral decisions. (For example, see a recent
decision by Justice Anne L. MacTavish of this Court, Canada (Attorney
General) v. Walden, 2010 FC 490, wherein the Court affirms that knowledge that
a practice is discriminatory is not relevant in regard to a determination of
liability under s.10 of the Act but goes to remedy. It should be noted this
decision is currently the subject of an appeal to the Federal Court of Appeal; See
also, on the relevancy of knowledge of a disability, Ottawa Civic Hospital
and O.N.A. (Hodgins), Re, 48 L.A.C. (4th) 388 (OLRB)).
[55]
Third,
the CHRC reliance on the fact Mr. Vos was not entitled to disability benefits when
he was not actively working (which was in accordance with the ESUB package he
selected) to dismiss his complaint is also problematic. Neither the
Investigator nor the CHRC explain why this factor justifies a dismissal of his
complaint particularly since the Investigator at paragraph 51 of her report
concludes CN did not rely on this factor. I find in the circumstances relying
on this reason constitutes a reversible error as it is without foundation and
certainty could not be advanced as a BFOR.
[56]
In
any event, the investigator misapprehended the accommodation Mr. Vos was
seeking. He was not seeking disability benefits per se but as a method
to stop the ES clock from ticking.
[57]
Fourth,
the second reason relied upon by the CHRC to dismiss Mr. Vos’ complaint is its
conclusion that the evidence does not establish that CN pursues policies or
practices that discriminate against disabled employees in receipt of Employment
Security Benefits. This is without foundation for the simple reason that the
Investigator never made this finding. The finding the Investigator made was
that the policy never became relevant to the case she was investigating. As
noted, this reason was added to the Investigator’s recommendations by the
Manager of Investigations. Nowhere in the Investigator’s report is there any
analysis whether Mr. Vos had established a prima facie case of
discrimination in respect of the work rule in the ES Policy and the inability
for a disabled person to stop the ES clock from ticking.
[58]
In
the circumstances, I do not propose to comment on the issue of procedural
fairness.
[59]
In
sum, the case before me has many similarities to the Sketchley case and
I also find support for my conclusions in the Alberta Court of Appeal’s
decision in United Food and Commercial Workers, Local 401 v. Alberta Human
Rights and Citizenship Commission, 2003 ABCA 246, [2003] A.J. No. 1030.
JUDGMENT
THIS COURT
ORDERS AND ADJUDGES that this judicial
review application is allowed, the CHRC’s decision is set aside and the matter
of the applicant’s complaint is returned to the CHRC for redetermination. The
applicant is entitled to his taxable disbursements in the conduct of these
proceedings.
“François Lemieux"