Date: 20080327
Docket: T-518-07
Citation: 2008
FC 393
Ottawa, Ontario, March 27, 2008
PRESENT: The Honourable Mr. Justice Martineau
BETWEEN:
JOHN
BATEMAN
Applicant
and
ATTORNEY
GENERAL OF CANADA
Respondent
REASONS FOR ORDER AND ORDER
[1]
This is an
application for judicial review of a decision (the Decision) of Sébastien
Sigouin, Director, Canadian Human Rights Commission (the Commission), dated
February 9, 2007, which dismissed the applicant’s complaint of discrimination
against his employer, the Department of Human Resources and Skills Development
Canada (HRSDC), pursuant to paragraph 44(3)(b) of the Canadian Human
Rights Act, R.S.C. 1985, c. H-6 (the Act).
[2]
The
relevant provisions of the Act read:
3.
(1) For all purposes of this Act, the prohibited grounds of discrimination
are race, national or ethnic origin, colour, religion, age, sex, sexual
orientation, marital status, family status, disability and conviction for
which a pardon has been granted.
[…]
7.
It is a discriminatory practice, directly or indirectly,
(a)
to refuse to employ or continue to employ any individual, or
(b)
in the course of employment, to differentiate adversely in relation to an
employee,
on
a prohibited ground of discrimination.
[…]
44.
(1) An investigator shall, as soon as possible after the conclusion of an
investigation, submit to the Commission a report of the findings of the
investigation.
[…]
(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).
[…]
|
3.
(1) Pour l’application de la présente loi, les motifs de distinction illicite
sont ceux qui sont fondés sur la race, l’origine nationale ou ethnique, la
couleur, la religion, l’âge, le sexe, l’orientation sexuelle, l’état
matrimonial, la situation de famille, l’état de personne graciée ou la
déficience.
[…]
7.
Constitue un acte discriminatoire, s’il est fondé sur un motif de distinction
illicite, le fait, par des moyens directs ou indirects :
a)
de refuser d’employer ou de continuer d’employer un individu;
b)
de le défavoriser en cours d’emploi.
[…]
44.
(1) L’enquêteur présente son rapport à la Commission le plus tôt possible
après la fin de l’enquête.
[…]
(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).
[…]
|
[3]
The
parties are in agreement regarding the salient facts giving rise to this
application for judicial review.
[4]
The
applicant, John Bateman, was employed at HRSDC from 1974 until October 13, 2004,
the date of his retirement. The applicant was a capable and methodical employee.
During the last few years of his employment, he began experiencing difficulties
at work involving the use of technology. Management was aware of these
difficulties and reduced his workload as a type of informal accommodation.
[5]
In May
2004, the applicant was diagnosed with depression by his general practitioner. The
applicant met with his supervisor to inform him that in accordance with his
physician’s advice, he would be taking sick leave.
[6]
As early
as 1999, HRSDC had been made aware of the applicant’s intention to retire early
on October 13, 2004. In July 2004, while on sick leave, the applicant submitted
a request for early retirement to take effect on October 13, 2004. Shortly after
this request for early retirement was made, the applicant met with his
compensation advisor who provided him with various options including, but not
limited to, using the balance of his sick leave credits prior to retirement. The
applicant, who acknowledges he was fully informed of his rights at that time,
refused all other options. The applicant retired with a full pension in October
2004.
[7]
A month later,
the applicant was advised by his psychologist that a diagnosis of neurological
disorder was likely, pending further tests. The applicant’s wife, acting in her
capacity as his attorney, contacted HRSDC by telephone and in writing requesting
that the acceptance of her husband’s retirement decision be reconsidered as he
had not been able to participate fully in the process. No medical evidence was provided
to HRSDC to support the applicant’s contention that he had not been able to
participate fully in the decision making process
[8]
The
applicant was diagnosed with Posterior Cortical Atrophy (PCA) on December 16,
2004. The applicant was informed by his physician that he may have had PCA
since 1998 or 1999. PCA is a degenerative disorder in which nerve cells in the
posterior part of the brain die over time causing a progressive decline in
vision. Early symptoms of PCA often appear in individuals over the age of fifty
and include blurred vision, difficulties reading and problems with depth
perception.
[9]
The
applicant’s wife again communicated with HRSDC in April 2005 stating that the
applicant had been unable to make an informed decision regarding his retirement
and requesting that his disability be accommodated by rescinding the decision. No
medical evidence was submitted to support the allegation that he had not been able
to participate fully in the retirement decision.
[10]
The
applicant’s request for accommodation was denied in July 2005 on the ground
that his decision to retire had been accepted in good faith and only after he
had been fully apprised of his rights and options.
[11]
On
September 6, 2005, the applicant filed a complaint with the Commission alleging
that HRSDC discriminated against him on the basis of disability contrary to
section 7 of the Act. The complaint reads, in part, as follows: “I have
reasonable grounds for believing I have been discriminated against by my
employer, [HRSDC]. I believe this is because my employer failed to consider my
disability when I was employed and when my retirement request was accepted and
processed.”
[12]
The
Commission appointed Deborah Olver, Investigator (the Investigator), to
investigate the applicant’s complaint to determine whether HRSDC failed to
accommodate the applicant in employment by not responding to his change in work
performance and by not rescinding his retirement request after he had already
retired because of his disability. The Investigator finds that the applicant
did not know he had a disability while he was at work (prior to his sick leave
in May 2004) and that he admitted to being informally accommodated with the
help of his co-workers. The Investigator also states that HRSDC “did not know
the [applicant] had a disability and therefore no referral for a medical
assessment was conducted or was a formal accommodation plan instituted.” In
terms of whether the applicant required accommodation during the retirement
process, the Investigator states the applicant was diagnosed with PCA two
months after he had retired and that HRSDC did not know about his disability
prior to his retirement. The Investigator then analyses whether the applicant
communicated his need for accommodation to HRSDC while he was at work (including
while he was on sick leave) and at retirement. The Investigator notes that the
medical evidence before her indicates the applicant may have had the disability
prior to his retirement date. However, the Investigator finds that the
applicant did not know he had the disability while he was working. Accordingly,
he did not communicate his need for accommodation at that time, nor did he ask
to be accommodated at retirement.
[13]
The applicant
only sought to be accommodated retroactively, two months after retirement. Regarding
the issue as to whether the applicant’s request for accommodation was denied, the
Investigator concludes:
[…] the [applicant] was accommodated by
his co-workers and supervisor prior to his retirement […] and after he had
retired, in that, he was provided with medical retirement benefits which top up
his full pension benefits. While he could have postponed his retirement and
used his accumulated sick leave benefits, this issue was discussed with the
[applicant] and he rejected this option.
[…]
[HRSDC] had provided the [applicant] with
all information needed to make an informed decision to retire, which the [applicant]
states he considered himself well enough to make.
[14]
Based on
her findings, the Investigator recommends the applicant’s complaint be
dismissed pursuant to paragraph 44(3)(b) of the Act for the following
reasons:
·
the
evidence indicates the [applicant] had expressed intentions of retiring in
October 2004, as early as 1999;
·
the
[applicant] did not request accommodation, until two months after he
voluntarily retired;
·
given what
was known in October 2004, it does not seem reasonable to presume [HRSDC] ought
to have know [sic] the [applicant] required accommodation; and
·
the
evidence indicates that [HRSDC] subsequently accommodated the [applicant] by
arranging disability benefits after he retired.
[15]
Both
parties were provided copies of the investigation report and availed themselves
of the opportunity to comment on its findings. The Commission, having
considered the applicant’s complaint, the investigation report and the submissions
of the parties, rendered its Decision on February 9, 2007. The complaint was
dismissed pursuant to paragraph 44(3)(b) for reasons identical to the Investigator’s
recommendations (as cited above).
[16]
The applicant
now seeks to have the Decision judicially reviewed on the following grounds. First,
the applicant submits the Commission failed to properly apply the legal test
elucidated in 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) to
determine whether HRSDC discriminated against the applicant. The failure of the
Commission to first determine whether the applicant’s complaint established a prima
facie case of discrimination is a reviewable error that is sufficient to
permit the Court to set aside the Decision. Secondly, the applicant submits the
Commission failed to conduct a thorough investigation. In particular, the Investigator
did not interview the applicant’s colleagues to determine the nature of the
problems he was experiencing prior to taking sick leave; she failed to
interview the applicant’s medical doctors to determine his capacity to make the
decision to retire in October 2004; and, she failed to examine whether the
request for accommodation would cause undue hardship to HRSDC.
[17]
During the
course of the investigation into his complaint, the applicant explained to the
Investigator that, in hindsight, he was unaware of the degree to which his work
performance had been compromised and was unable to advocate for himself. The
applicant describes how his disability significantly affected his retirement
decision and process. Indeed, by accepting that the decision was made in “good
faith” and by failing to communicate through the applicant’s attorney, the
applicant alleges that HRSDC was unwilling to consider how his disability
affected the standard retirement process or to remedy the situation.
[18]
The
applicant seeks to have the Decision quashed and the matter sent back to the
Commission for redetermination following a proper investigation into the
applicant’s complaint.
[19]
There is
contradictory jurisprudence from this Court and the Federal Court of Appeal regarding
the standard of review applicable to a decision of the Commission to remit or
not remit a complaint to the Tribunal for consideration. In my opinion, the
cases turn on whether the issue in question is deemed one of fact or law, or
mixed fact and law. The Federal Court of Appeal in Sketchley v. Canada
(Attorney General), 2005 FCA 404, [2005] F.C.J. No. 2056 (QL) (Sketchley), emphasised
that a pragmatic and functional analysis should be undertaken with respect to
each decision under review, regardless of whether the same or similar issue has
been decided in a previous case.
[20]
In the
case at bar, the Commission was tasked with deciding whether HRSDC had a duty
to accommodate the applicant during employment and at retirement. This is
clearly a question of mixed fact and law. Having conducted a pragmatic and
functional approach and based on the reasoning in Sketchley, above, I
find the overall Decision is reviewable on a standard of reasonableness. Following
the hearing on the merits, the Supreme Court of Canada released Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] S.C.J.
No. 9 (QL) (Dunsmuir) which clarifies the Canadian approach to
judicial review of administrative decisions. However, nothing in this recently
released decision alters my conclusion regarding the standard of review to be
applied to the Decision as a whole. The Court agrees with the parties that the
second issue in this judicial review, namely whether the Commission’s
investigation was thorough, is a matter of procedural fairness which is
reviewable against the standard of correctness. Again, Dunsmuir does not
change this conclusion. As a final preliminary matter, I emphasize that I am
considering the investigator's report as constituting the Commission's reasoning: Sketchley, above, at para. 30.
[21]
Turning to
the merits of this application, as a starting point, I emphasize that there is
nothing in the evidence to suggest that the Investigator failed to properly apply
the test elucidated in Meiorin. To the contrary, having carefully
considered both the Decision and the Investigator’s report, I conclude the
Investigator understood the Meiorin test and applied it appropriately to
the facts as they arise in this instance. The applicant has therefore failed to
convince the Court that the Investigator committed a reviewable error in this
regard.
[22]
Likewise,
I am of the view the overall Decision was reasonable and “falls within a range
of possible, acceptable outcomes which are defensible in respect of the facts
and law” (Dunsmuir, above at para. 47).
[23]
In his
complaint to the Commission, the applicant alleges that HRSDC discriminated
against him on the basis of disability by failing to rescind his decision to
retire. However, it appears that the Investigator was not satisfied the
evidence established a reasonable basis for a case of discrimination during
the applicant’s employment for the following reasons: neither the applicant
nor HRSDC knew the applicant had a disability during his employment; HRSDC
attributed the applicant’s difficulties at work with the loss of his former
supervisor and the implementation of new Directives which were stressful for
all staff; the applicant was given informal accommodation such as assistance
from his co-workers; and, the applicant did not communicate his needs for
accommodation.
[24]
Likewise,
the Investigator was not satisfied the evidence established a reasonable basis
for a case of discrimination after the applicant’s retirement for the
following reasons: the applicant only requested accommodation when he was no
longer an employee of HRSDC; the applicant had mentioned to HRSDC his desire to
retire on October 13, 2004 as early as 1999; the applicant was advised of his
retirement options in July 2004; the applicant admits he felt fully informed of
his retirement options; he was assisted in making an application for disability
benefits which he currently receives; and, given the degenerative nature of the
applicant’s disease, it is unlikely that he could return to his pre-retirement
position.
[25]
It is
well-established in the jurisprudence that the onus initially lies on the applicant
to prove prima facie discrimination. Justice Linden summarizes this
burden in Sketchley, above, at para. 86 as follows:
At the outset, I must reiterate the
overarching principles of the 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] test,
whereby human rights cases are determined. Initially, the onus lies on the
complainant to prove prima facie discrimination. A prima facie case is one
which "covers the allegations made and which, if they are believed, is
complete and sufficient to justify a verdict in complainant's favour in the
absence of an answer from the respondent-employer" (Ontario (Human
Rights Commission) v. Simpson Sears Ltd., [1985] 2 S.C.R. 536 at para. 28).
That being established, it is then incumbent on the employer to justify that
discrimination as a bona fide occupational requirement (BFOR).
[26]
The
Investigator acknowledged there was medical evidence that the applicant’s
disability had affected him up to seven years prior to retirement and in
particular in 2004. Nevertheless, the applicant failed to produce any evidence
to suggest whether his disability was a factor in his retirement decision. An understanding of the applicant’s ability to
make an informed and voluntary retirement decision is predicated on a thorough
understanding of the applicant's medical condition. However, the applicant
never provided this requisite medical information to the Investigator. Indeed,
the applicant failed to adduce evidence which would permit the Investigator to
reasonably conclude that the applicant’s retirement decision ought to be
rescinded. To the contrary, the applicant himself admitted he was given the
appropriate information and advice regarding his leave entitlements and options.
As such, the Investigator did not have the evidentiary foundation upon which to
base a conclusion that the applicant’s retirement decision was anything but voluntary.
[27]
I am
equally of the opinion that the investigation was thorough. For an investigation to be considered "fair and adequate", it
must satisfy at least two conditions: neutrality and thoroughness: Slattery
v. Canada (Human Rights Commission), [1994] 2 F.C. 574 (Slattery),
at para. 49; affirmed (1996), 205 N.R. 383 (F.C.A.). In the present case, the
applicant only takes issue with the thoroughness of the investigation. Justice
Nadon, at paras. 56-57 of Slattery, above, states that an investigation
may have lacked the legally required degree of thoroughness if, for instance,
an investigator "failed to investigate obviously crucial evidence":
Deference must be given to administrative
decision-makers to assess the probative value of evidence and to decide to
further investigate or not to further investigate accordingly. It should only
be where unreasonable omissions are made, for example where an investigator
failed to investigate obviously crucial evidence, that judicial review is
warranted. Such an approach is consistent with the deference allotted to
fact-finding activities of the Canadian Human Rights Tribunal by the Supreme
Court in the case of Canada (Attorney General) v. Mossop, [1993] 1 S.C.R.
554.
In contexts where parties have the legal
right to make submissions in response to an investigator's report, such as in
the case at bar, parties may be able to compensate for more minor omissions by
bringing such omissions to the attention of the decision-maker. Therefore, it
should be only where complainants are unable to rectify such omissions that
judicial review would be warranted. Although this is by no means an exhaustive
list, it would seem to me that circumstances where further submissions cannot
compensate for an investigator's omissions would include: (1) where the
omission is of such a fundamental nature that merely drawing the
decision-maker's attention to the omission cannot compensate for it; or (2)
where fundamental evidence is inaccessible to the decision-maker by virtue of
the protected nature of the information or where the decision-maker explicitly
disregards it.
[28]
Justice Teitelbaum, in Boahene-Agbo v. Canada (Canadian Human Rights Commission), [1994] F.C.J. No. 1611 (QL) at para. 79, sets out the
relevant considerations in determining whether an investigation was thorough:
In determining the degree of
thoroughness of investigation required to be in accordance with the rules of
procedural fairness, one must be mindful of the interests that are being
balanced: the complainant's and respondent's interests in procedural fairness
and the CHRC's interests in maintaining a workable and administratively
effective system …
.
[29]
In the case before me, I am satisfied that the investigation
report dealt with all of the fundamental issues raised in the applicant's
complaint and therefore sufficient thoroughness exists. I note that “[t]here is
no obligation placed upon the investigator to interview each and every person
suggested by the parties” (Miller v. Canada (CHRC), [1996] F.C.J. No. 735 (QL) at para 10). As such, I am unable
to agree with applicant’s counsel that the Investigator’s
failure to interview any of the applicant’s colleagues or physicians constitutes
a reviewable error.
[30]
As stated, it is incumbent on the applicant (who
alleges he lacked the capacity in July 2004 to make an informed retirement
decision) to adduce evidence to support this allegation. It is not the Investigator’s
responsibility to contact all of the applicant’s attending physicians in an
effort to make the applicant’s case for him. Likewise, I am not persuaded that
the Investigator ought to have interviewed the applicant’s co-workers. The
applicant admitted that he was embarrassed his colleagues had noticed deterioration
in his work performance. Moreover, I agree with the respondent that the
applicant’s co-workers are not medical doctors and are thus not in the best
position to determine the “nature and extent of the problems [the applicant]
was experiencing and the manner in which it affected his work and demeanor in the
workplace.”
[31]
As a final
comment, section 7 of the Act expressly states: “It is a discriminatory
practice, directly or indirectly, (a) to refuse to employ or continue to employ
any individual, or (b) in the course of employment, to differentiate
adversely in relation to an employee, on a prohibited ground of
discrimination” [Emphasis added]. The parties agree that this is not an
instance where subsection 7(a) applies. Indeed there is no allegation of
constructive dismissal or that the applicant was forced into early retirement.
Instead, the applicant argues HRSDC discriminated against him in contravention
of subsection 7(b) by failing to rescind his retirement decision. It is
worthwhile to note that the Court is not convinced that subsection 7(b)
applies to the applicant’s complaint to the Commission. The applicant’s request
for accommodation (in the form of rescission of the retirement decision) was
made two months after his retirement. This accommodation request was therefore
made at a time when the applicant was no longer an employee of HRSDC.
Similarly, HRSDC’s refusal to accommodate the applicant was also arguably not
made in the course of the applicant’s employment. Based on the current
language of subsection 7(b) of the Act, and based on the evidentiary
record before me, the Court is not convinced that rescission of a retirement
decision is a remedy readily available to an applicant who, by virtue of her or
his voluntary retirement, is no longer an employee of a specific employer. However,
given my conclusion that there was no error in the Decision justifying
intervention of the Court, and given the fact that the Investigator did not
consider this issue (nor was it raised by either party), it is not necessary
for me to base my refusal to intervene on this particular ground.
[32]
For these
reasons, this application for judicial review is dismissed with costs to the
respondent.
ORDER
THIS COURT ORDERS that this application for judicial
review be dismissed with costs to the respondent.
“Luc
Martineau”
FEDERAL
COURT
SOLICITORS
OF RECORD
DOCKET: T-518-07
STYLE OF
CAUSE: JOHN BATEMAN v. ATTORNEY GENERAL OF CANADA
PLACE OF HEARING: Ottawa, Ontario
DATE OF HEARING: February 12, 2008
REASONS FOR ORDER AND ORDER: Martineau J.
DATED: March 27, 2008
APPEARANCES:
Ms. Alison Dewar
|
FOR
THE APPLICANT
|
Mr. Gregory Tzemenakis
|
FOR
THE RESPONDENT
|
SOLICITORS OF RECORD:
Raven, Cameron, Ballentyne
& Yazbeck
Barristers and Solicitors
Ottawa, Ontario
|
FOR
THE APPLICANT
|
John H. Sims, Q.C.
Deputy Attorney General of Canada
|
FOR
THE RESPONDENT
|