Date: 20080905
Docket: T-2086-05
Citation: 2008 FC
981
Ottawa,
Ontario,
September 5, 2008
PRESENT:
THE HONOURABLE MAX M. TEITELBAUM
BETWEEN:
THE
HONOURABLE ALFONSO GAGLIANO
Applicant
and
THE
HONOURABLE JOHN H. GOMERY, IN HIS QUALITY AS EX-COMMISSIONER OF THE COMMISSION
OF INQUIRY INTO THE SPONSORSHIP PROGRAM AND ADVERTISING ACTIVITIES
and
ATTORNEY GENERAL OF CANADA
Respondent
and
THE HOUSE OF COMMONS
Intervener
REASONS FOR JUDGMENT AND JUDGMENT
Introduction
[1]
This is an
application for judicial review brought by the Honourable Alfonso Gagliano (the
Applicant) in respect of the report of the Commission of Inquiry into the
Sponsorship Program and Advertising Activities (the Commission), dated November
1, 2005 and entitled Who is Responsible? – Fact Finding Report (the
Phase I Report).
[2]
The
Attorney General of Canada (the Attorney General) and
Commissioner John H. Gomery, in his quality as former Commissioner
(the Commissioner), are challenging the application.
[3]
The House
of Commons (the House) had intervener status in the context of the
interlocutory motions.
BACKGROUND
[4]
The Commission was created by Order in Council
P.C. 2004-110 on February 19, 2004, pursuant to Part I of the Inquiries
Act, R.S.C. 1985, c. I-11. The Order in Council appointed
the Honourable Mr. Justice John Howard Gomery (as he then was) as Commissioner
and set the Terms of Reference. The Commissioner was given a double-mandate to
investigate and report on the sponsorship program and advertising activities of
the Government of Canada and to make recommendations based on his factual
findings to prevent mismanagement of sponsorship programs or advertising
activities in the future.
[5]
The Commission was established as a result of
questions raised in
Chapters 3 and 4 of the Auditor General of Canada’s November 2003 Report (the Auditor General’s Report), which identified problems with the
management of the federal government’s Sponsorship Program, the selection of communications agencies for the government’s advertising
activities, contract management, and the measuring and reporting of
value-for-money. The Auditor General’s Report also
noted that there was a lack of transparency in decision-making, a lack of
written program guidelines, and a failure to inform Parliament of the
Sponsorship Program, including its objectives, expenditures, and the results it
achieved.
[6]
In compliance with his mandate, the Commissioner
was required to submit two reports to the Governor General. In the first report
(Phase I Report), he was to provide his factual conclusions after completing
the hearings of Phase I of his mandate, which was defined as follows:
a. to investigate and report on questions raised, directly
or indirectly, by Chapters 3 and 4 of the November 2003 Report of the Auditor
General of Canada to the House of Commons with regard to the sponsorship
program and advertising activities of the Government of Canada, including
i. the creation of the sponsorship program,
ii. the selection of communications and
advertising agencies,
iii. the management of the sponsorship
program and advertising activities by government officials at all levels,
iv. the receipt and use of any funds or
commissions disbursed in connection with the sponsorship program and
advertising activities by any person or organization, and
v. any other circumstance directly related to
the sponsorship program and advertising activities that the Commissioner
considers relevant to fulfilling his mandate […]
[7]
The second report (Phase II Report) was to be
prepared in the context of Phase II of the mandate and was aimed at
presenting the Commissioner’s recommendations. This second phase was defined as
follows:
b. to make any recommendations that he considers
advisable, based on the factual findings made under paragraph (a), to prevent
mismanagement of sponsorship programs or advertising activities in the future,
taking into account the initiatives announced by the Government of Canada on
February 10, 2004, namely,
i. the introduction of legislation to protect
“whistleblowers”, relying in part on the report of the Working Group on the
Disclosure of Wrongdoing,
ii. the introduction of changes to the governance of Crown
corporations that fall under Part X of the Financial Administration Act to
ensure that audit committees are strengthened,
iii. an examination of
A. the possible extension of the Access to Information Act to
all Crown corporations,
B. the adequacy of the current accountability framework with
respect to Crown corporations, and
C. the consistent application of the provisions of the Financial
Administration Act to all Crown corporations,
iv. a report on proposed changes to the Financial
Administration Act in order to enhance compliance and enforcement, including
the capacity to
A. recover lost funds, and
B. examine whether sanctions should apply to former public
servants, Crown corporation employees and public office holders, and
v. a report on the respective responsibilities and
accountabilities of Ministers and public servants as recommended by the Auditor
General of Canada, […].
[8]
Although the Commissioner was given a broad
mandate, the Terms of Reference made the express limitation that the
Commissioner was “to perform his duties without expressing any conclusions or
recommendation regarding the civil or criminal liability of any person or
organization and to ensure that the conduct of the inquiry does not jeopardize
any ongoing criminal investigation or criminal proceedings” (paragraph (k),
Order in Council, supra).
[9]
To assist him in completing this mandate, the
Commissioner had the support of administrative staff and legal counsel. Me
Bernard Roy, Q.C., was appointed as lead Commission counsel. François Perreault
acted as the Commission’s communications advisor and was responsible for media
relations.
[10]
The public hearings were held from September 7,
2004 until June 17, 2005, during which time 172 witnesses were heard. The
hearings were completed in two phases. The Phase I hearings took place from
September 2004 to February 2005. The Phase II hearings were held from February
to May 2005. The Phase I and II Reports were submitted to the Governor General
and made public on November 1, 2005 and February 1, 2006, respectively. As
explained in my reasons below, the scope of this judicial review is limited to
the Phase I Report and does not include the Commission’s Phase II Report.
The Sponsorship
Program
[11]
Before turning to the issues raised in this
application, it is necessary to provide some details regarding the origins of
the Sponsorship Program.
[12]
In 1993, the Liberal Party of Canada, led by the
Right Honourable Jean Chrétien, won a majority of seats in the House of
Commons. The official Opposition party at the time was the Bloc Québécois. The
following year, the Parti Québécois, led by the Honourable Jacques Parizeau,
came to power in Québec and soon announced that a provincial referendum would
be held in October 1995 to decide whether or not Québec should separate from Canada. The “No” side won by a very slim
majority. As a result, Québec would not attempt to secede from Canada but would remain part of the
Canadian federation. Mr.
Parizeau resigned as Premier and was replaced by the Honourable Lucien
Bouchard, who pledged to hold another referendum when “winning conditions” were
present.
[13]
Following the close result of the Referendum and
with this pledge from Mr. Bouchard, a Cabinet committee, chaired by the
Honourable Marcel Massé (Minister of Intergovernmental Affairs at the time),
was struck to make recommendations on national unity. Based on the recommendations in the
Cabinet committee’s report, the Government of Canada, after holding a meeting
of Cabinet on February 1 and 2, 1996, decided it would undertake special
measures to counteract the sovereignty movement in Québec. These special measures became known as the “national unity strategy”
or “national unity file”. As stated by Mr. Chrétien in his opening statement
before the Commission, national unity was his number one priority as Prime
Minister. Accordingly, he placed his Chief of Staff, Jean Pelletier, in charge
of the national unity file.
[14]
The national unity strategy sought to increase
federal visibility and presence throughout Canada, but particularly in Québec. This was to be accomplished in many
ways, one of which was to prominently, systematically and repeatedly advertise
federal programs and initiatives through a Sponsorship Program. Sponsorships were arrangements
in which the Government of Canada provided organizations with financial
resources to support cultural, community, and sporting events. In exchange, the organizations would provide visibility through
promotional material and by displaying symbols such as the Canadian flag or the
Canada wordmark. According to
the Auditor General’s Report, from 1997 until March 31, 2003, the Government of
Canada spent approximately $250 million to sponsor 1,987 events.
[15]
Responsibility
for administering the Sponsorship Program was given to Advertising and Public
Opinion Research Sector (APORS), a sector of the Department of Public Works and
Government Services Canada (PWGSC), which later became the Communication
Coordination Service Branch (CCSB) with the merger of APORS and other PWGSC
sectors in October 1997. Joseph Charles Guité was Director of
APORS from 1993 to 1997 and Executive Director of CCSB from 1997 until his
retirement in 1999. Pierre Tremblay, then executive
assistant to the Applicant, took over from Mr. Guité as CCSB Director. The
Applicant was the Minister of PWGSC from 1997 to 2002.
[16]
APORS (and
later CCSB) did not have the personnel, training or expertise necessary to
manage and administer the sponsorships. As a result,
contracts were awarded to advertising and communication agencies to complete
these tasks and, in exchange for these services, the agencies received
remuneration in the form of commissions and production costs. Over $100 million
of the total expenditures of the Sponsorship Program was paid to communications
agencies in the form of production fees and commissions.
[17]
In March
2002, the new Minister of PWGSC, the Honourable Don Boudria, asked the Office
of the Auditor General to audit the government’s handling of three contracts
totalling $1.6 million awarded to Groupaction Marketing, a communications
agency based in Montréal. Findings of shortcomings in the contract
management process led to an RCMP investigation and the initiation of a
government-wide audit of the Sponsorship Program and the public opinion
research and advertising activities of the Government of Canada. The
results of this audit were released in the Auditor General’s November 2003
Report, which in turn led to the creation of the Commission and the Report at
issue in this application.
The Report’s
Findings – Applicant’s Responsibility
[18]
In the Phase I Report section entitled
“Assigning Responsibility,” the Commissioner found the Applicant had personally
met with and personally gave instructions to Mr. Guité, thereby excluding the
Deputy Minister of PWGSC, Ronald Quail, from the supervision of Mr. Guité.
The Commissioner also found that the Applicant had failed to give sufficient
attention to the adoption of guidelines and criteria when it came to awarding
sponsorships to advertising agencies. He also failed to exercise oversight with
respect to the activities of Mr. Guité and his successor (as of 1999) in
the top position at CCSB, Mr. Tremblay. Indeed, Mr. Guité and Mr. Tremblay
were systematically bypassing Deputy Minister Quail, who, under normal
circumstances, would have been responsible for providing the aforementioned
oversight. The Commissioner also found that the Applicant had become directly
involved in decisions to provide funding to events and projects based more on
partisan objectives than on considerations of national unity. Finally, the
Commissioner found that the Applicant was obliged to accept responsibility for
the actions and decisions of his exempt staff, such as his chiefs of staff
Mr. Tremblay and, later, Jean-Marc Bard. The exempt staff refers to
the political employees of the minister who report directly to him.
INTERLOCUTORY
MOTIONS
[19]
Five
interlocutory motions were brought in these proceedings: two by the Applicant,
one by the Attorney General and two by the House. I shall deal with them in the
order they were filed with the Court.
[20]
First, the
House of Commons’ motion to strike paragraph 2(b) from the Applicant’s
notice of application for judicial review dated November 22, 2005 on the basis
of parliamentary immunity had been decided in favour of the House (Gagliano
v. Canada (Commission of Inquiry into the Sponsorship Program and Advertising
Activities) 2008 FC 261). I shall therefore not deal with it in
these reasons. The consequence of my decision in the context of that motion was
to obviate the need for the House to appear and submit arguments on the merits
concerning the principle of parliamentary immunity, which it intended to invoke
against the Applicant’s arguments under paragraph 2(b) of his
notice of application for judicial review. Since I ruled in the aforementioned
decision (2008 FC 261) that the principle applied in this case and
that the Applicant should strike paragraph 2(b) from his notice of
application, the House did not need to present arguments on the merits in
Court.
[21]
For that
reason, I shall not elaborate on the House’s second interlocutory motion, which
sought to file additional evidence regarding the principle of parliamentary
immunity pursuant to Rule 312 of the Federal Court Rules. That motion
was allowed by consent at the hearing of February 8, 2008, but then it became
moot as a result of my decision on the first motion.
1. Attorney General’s motion to expurgate
Me Anouk Fournier’s
affidavit from the record
[22]
The
Attorney General filed a motion to expurgate from the record the affidavit
signed on May 29, 2007 by one of the Applicant’s counsel, Me Anouk
Fournier, on the basis of Rule 82 of the Federal Court Rules (SOR/98-106)
(the Rules), which reads as follows:
82. Except with leave of the
Court, a solicitor shall not both depose to an affidavit and present argument
to the Court based on that affidavit.
|
82. Sauf avec l’autorisation de
la Cour, un avocat ne peut à la fois être l’auteur d’un affidavit et
présenter à la Cour des arguments fondés sur cet affidavit.
|
The Attorney General alleges that because Me Anouk
Fournier was one of the Applicant’s solicitors and did not obtain leave of the
Court pursuant to Rule 82, she could not sign the affidavit filed with the
Applicant’s judicial review application.
[23]
The
Attorney General contends, in the alternative, that if I determine that the
affidavit signed by Me Anouk Fournier can remain in the record, I must strike
the four following categories of paragraphs and exhibits from the affidavit:
the paragraphs introducing exhibits that duplicate evidence already in the
record in electronic format (paragraphs 3, 9, 10 and 11), the paragraph
introducing exhibits relating to the Commission’s Phase II Report (paragraph
10), the paragraph introducing exhibits relating to Mr. Perreault’s book
entitled Gomery – L’enquête (hereinafter Inside Gomery, the title
of the published English translation) (paragraph 10), and the paragraphs introducing
exhibits pertaining to Mr. Chrétien’s case that are unrelated to the
Applicant’s case (paragraphs 16 and 17).
[24]
The
Applicant asserts that the affidavit signed by Me Anouk Fournier satisfies
the requirements of Rule 82 because she will not be presenting any arguments
based on her affidavit. The Applicant’s counsel in charge of pleading his case
in court will be Me Pierre Fournier, her associate. That is why the
Applicant is of the view that the affidavit complies with Rule 82 and should
remain in the record. Alternatively, the Applicant argues that certain
paragraphs and certain exhibits should not have to be expurgated from the
affidavit. While he concedes that paragraphs 3, 9, 10 and 11 of the affidavit
do in fact introduce exhibits which duplicate evidence already in the record,
the Applicant asserts that the Commission Phase II Report, the book by
Mr. Perreault and the exhibits relating to Mr. Chrétien’s case are
germane to his judicial review application. The Applicant further states that
if Me Anouk Fournier’s affidavit did in fact have to be struck from the
record, Mr. Gagliano would file his own affidavit.
[25]
For the
reasons that follow, I deny, in part, the Attorney General’s motion.
[26]
Although
it is not good practice for an affidavit to be signed by a lawyer from the same
firm as the lawyer who will be pleading the case in court, Rule 82 provides
that the prohibition applies only when the same lawyer signs the affidavit and
is also presenting arguments based on that affidavit (Agustawestland International
Ltd. v. Canada (Minister of Public Works and Government Services),
2006 FC 1371, Kelen J., at para. 16). The affidavit of Me Anouk
Fournier can therefore remain in the docket, but subject to the following
modifications. I note here that the affidavit the Applicant was suggesting he
could file, i.e., his own, if the one signed by Me Anouk Fournier had to
be struck out, would have introduced the same categories of exhibits; for that
reason, it would have been subject to the same modifications as those I am
ordering for the affidavit currently in the docket. Therefore, it would be pointless
to substitute affidavits.
[27]
The
exhibits duplicating evidence already in the record must be struck. My
colleague, Mr. Justice Simon Noël issued an order on January 18, 2006
stipulating that the evidence introduced by the Attorney General was
automatically included in the Applicant’s docket. Moreover, the Applicant
himself concedes that certain paragraphs simply duplicate evidence that is
already in the electronic record. Accordingly, paragraphs 3, 9, 10 and 11 of
Me Anouk Fournier’s affidavit shall be struck and the exhibits introduced
thereby shall be expurgated. In fact, I do not require that these modifications
actually be made to the affidavit.
[28]
Paragraph
10 of Me Anouk Fournier’s affidavit, which seeks to introduce the
Commission’s Phase II Report (exhibit J), as well as newspaper articles
relating to the report (exhibits E and F), must be struck, and the exhibits
expurgated. I agree entirely with the Attorney General that these exhibits are
not relevant to the application for judicial review. The relevance of exhibits
is determined according to the test established by the Federal Court of Appeal
in paragraph 10 of Canada (Human Rights Commission) v. Pathak,
[1995] 2 F.C. 455 (C.A.) [hereinafter Pathak] :
[10] A document is relevant to an
application for judicial review if it may affect the decision that the Court
will make on the application. As the decision of the Court will deal only with
the grounds of review invoked by the respondent, the relevance of the documents
requested must necessarily be determined in relation to the grounds of review
set forth in the originating notice of motion and the affidavit filed by the
respondent.
[29]
As I
stated in Chrétien v. Canada (Commission of Inquiry into the Sponsorship
Program and Advertising Activities), 2008 FC 802, at paragraph 23
[hereinafter Chrétien] and Pelletier v. Canada (Attorney General),
2008 FC 803, at paragraph 23 [hereinafter Pelletier], I do not
believe that the Court of Appeal in Pathak intended to create a test
that seriously limits the examination of the relevance of evidence to the
grounds of review supporting the application for judicial review, nor one that
automatically admits as relevant all evidence relating to the content of the
notice of application for judicial review. The relevance of evidence must be
evaluated on the basis of the grounds of review (Pathak, para. 10). That
being said, I am satisfied that I have a discretionary role consisting in “establishing”
or “determining” (those are the words used by the Court of Appeal in paragraph
10 of Pathak) what is relevant from what is not. It is by virtue of this
discretionary power that I determine that paragraph 10, which seeks to
introduce the Phase II Report and newspaper articles relating to Phase II of
the Commission mandate, must be struck, and exhibits E, F, and J of
Me Anouk Fournier’s affidavit expurgated. However, as stated previously, I
do not require that the affidavit actually be modified at this stage. I shall
simply not consider this evidence in my analysis of the case.
[30]
The
Attorney General also seeks removal of paragraph 10 and Mr. Perreault’s book
(exhibit K) on the ground that the book constitutes hearsay. The Applicant
believes that Mr. Perreault’s book should remain in evidence because
Commissioner Gomery attested, in the foreword of the book, to the accuracy of
Mr. Perreault’s chronicle of the “inner workings of the Commission”. The
Attorney General insists that this comment by the Commissioner should not be
likened to an admission that everything in the book is accurate.
[31]
I agree
with the Applicant that Commissioner Gomery’s statement in the book’s foreword
to the effect that Mr. Perreault’s chronicle of the inner workings of the
Commission is “as fascinating as it is accurate” gives the distinct
impression that he is thereby attesting to the accuracy of the entire book. I
would assume that Commissioner Gomery read the whole book before agreeing to
write the foreword. It follows that if any passage had struck him as
inaccurate, he would have suggested to Mr. Perreault that he change it; or
at the very least, he would have distanced himself from the passage by
refraining from using the word “accurate” in reference to the way Mr. Perreault
chronicled the inner workings of the Commission. For this reason, I am of the
view that Mr. Perreault’s book is admissible in evidence. The portion of
paragraph 10 of Me Anouk Fournier’s affidavit seeking to introduce
Mr. Perreault’s book as exhibit K can therefore remain in the affidavit.
[32]
Finally,
the Attorney General objects to exhibits L and M, which the Applicant seeks to
enter in evidence at paragraphs 16 and 17 of Me Anouk Fournier’s
affidavit, on the ground that these documents are irrelevant to the Applicant’s
case. For the same reason, the Attorney General objects to the introduction of
exhibits C and D in paragraph 10 of the affidavit. The Applicant maintains that
these exhibits are relevant to his case because they support his contention that
Commissioner Gomery is biased against politicians and members of the Liberal
Party.
[33]
Although
it is not my role at this point to rule on the validity of that assertion for
the purposes of the review application, I find nevertheless that exhibit C is
relevant to the Applicant’s case. This exhibit consists of a newspaper article
dated January 12, 2005 which deals with comments made by the Commissioner in
interviews he granted in December 2004 and how these comments raised concerns
among the applicants. It is correct that Mr. Chrétien’s name appears most
often, but the name of the Applicant also appears; as well, his counsel is
quoted in the article. Accordingly, I am satisfied that this exhibit is
relevant to the Applicant’s case. As to the article in exhibit D, while
it deals with the same events and alludes to the same concerns raised by
Commissioner Gomery’s comments, my close reading of the article does not permit
me to conclude that it applies directly to the Applicant’s case. For that
reason, I strongly doubt it is relevant, and I am satisfied that it should not
form part of the Applicant’s evidence. As for exhibit L, which represents
nearly 2,000 pages in Mr. Chrétien’s docket, the only part of it relevant
to the Applicant’s case is to be found on pages 33 to 44. These pages relate to
newspaper articles having to do with statements the Commissioner made in
interviews granted to the media in December 2004, while the Commission was on
recess for the holidays. Exhibit M introduces newspaper articles detailing
the financial scandal of the Sponsorship Program, specifically, allegations to
the effect that members of the Liberal Party of Canada had received “kickbacks”
in the selection of advertising agencies. Although these articles deal with the
sponsorship scandal, they do not relate directly to the subject of the judicial
review application before me and, as such, are not relevant to the Applicant’s
case.
[34]
In
summary, Me Anouk Fournier’s affidavit can remain in the record. However,
paragraphs 3, 9, 11 and 17 of the affidavit must be struck and their
corresponding exhibits expurgated. Exhibits D, E, F and J of
paragraph 10 must also be expurgated. Exhibit L, introduced by
paragraph 16, cannot remain in the record except for pages 33 to 44
(newspaper articles). Finally, paragraph 17 must be struck and its
corresponding exhibit M expurgated.
[35]
Given the
divided outcome of this motion, it will be dismissed without costs.
2. Motion by the Applicant to
file additional evidence (Rule 312)
[36]
The
Applicant filed a motion under Rule 312 of the Rules for leave to file
additional evidence. Rule 312 reads as follows:
312.
With leave of the Court, a party may
(a)
file affidavits additional to those provided for in rules 306 and 307;
(b)
conduct cross-examinations on affidavits additional to those provided for in
rule 308; or
(c)
file a supplementary record.
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312.
Une partie peut, avec l'autorisation de la Cour :
a)
déposer des affidavits complémentaires en plus de ceux visés aux règles 306
et 307;
b)
effectuer des contre-interrogatoires au sujet des affidavits en plus de ceux
visés à la règle 308;
c)
déposer un dossier complémentaire.
|
[37]
The
additional evidence the Applicant intends to file in support of his application
consists of an article that appeared in the newspaper La Presse on
November 15, 2007, entitled: [TRANSLATION] “Judge Gomery willing to share his
experience with David Johnston.” In the article, Commissioner Gomery indicates
that he would have turned down any offer to preside over the public inquiry
into the Mulroney-Schreiber affair, but that he is willing to share his
experience with David Johnston, the government’s advisor in the creation of
that particular inquiry commission. Commissioner Gomery also states that one of
the reasons why he would refuse to serve on the commission is his close
association with Me Roy, a friend and confidant of Mr. Mulroney, and
the fact that his daughter, Me Sally Gomery, is a lawyer in the same firm
as Mr. Mulroney and Me Roy. The Applicant asserts that this article
is helpful to his argument that the conduct of Commission counsel Me Roy
was influenced by a bias against him.
[38]
The
appropriate test for determining whether additional evidence may be filed was
established by the Federal Court of Appeal in Atlantic Engraving Ltd. v.
Rosenstein, 2002 FCA 503, at paragraphs 8 and 9 [hereinafter Atlantic
Engraving]. It is a four-part test that involves examining whether the
evidence to be adduced 1) will serve the interests of justice, 2) will assist
the Court, 3) will not cause substantial or serious prejudice to the other
side, and 4) was not available beforehand. Although the facts in Atlantic
Engraving involved the filing of additional affidavits (312(a)) and
not a supplementary record (312(c)), the same four-part test applies in
this case. Indeed, I specified in Pfizer Canada Inc. v. Canada (Minister of Health) et al., 2006 FC 984, [2007]
2 F.C.R. 371, at paragraphs 19 and 22, that the Atlantic Engraving
test applied to all motions brought under Rule 312 :
[19] […] Although Atlantic Engraving was
a trade‑marks case, in my view the Federal Court of Appeal’s comments
with respect to the rules governing the filing of additional affidavits apply
to all motions brought under rule 312..
[39]
On the
basis of the four-part test set down in Atlantic Engraving, I reject the
Applicant’s motion. I rendered my decision at the hearing on February 8, 2008
and stated at that time that the article referred to in the motion was of no
value insofar as the judicial review application was concerned and would not be
useful to the Court in its analysis of the case. The Applicant therefore failed
to persuade me that all parts of the Atlantic Engraving test had been
met. More specifically, in this case, it was the second part of the test that
was not met. I do not think it necessary at this point to elaborate further on
the explanations provided in my decision given from the bench.
[40]
This
motion is denied with costs payable to the Attorney General.
3. Applicant’s motion to
subpoena Mr. Perreault (Rule 316)
[41]
The
Applicant filed a motion under Rule 316 of the Rules to require
Mr. Perreault to testify in Court if his book is admitted as part of the
Attorney General’s motion. Rule 316 provides as follows:
316. On motion, the Court may,
in special circumstances, authorize a witness to testify in court in relation
to an issue of fact raised in an application.
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316. Dans des circonstances
particulières, la Cour peut, sur requête, autoriser un témoin à témoigner à
l’audience quant à une question de fait soulevée dans une demande.
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[42]
In a
letter dated December 5, 2007, the Commissioner, through his counsel,
acknowledged that he had written the foreword and also attested to the accuracy
of the foreword’s content. The Commissioner pointed out however that this
acknowledgement was limited to the foreword and did not extend to the content
of Mr. Perreault’s book.
[43]
The
Applicant explains the need for his Rule 316 motion in two stages. First, he
argues that if I determine, in the context of the Attorney General’s motion to
quash, that Mr. Perreault’s book is not relevant to the application for
judicial review, the motion automatically becomes moot, as the book will not be
filed in evidence and, thus, there will be no need to hear the testimony of its
author. On the other hand, argues the Applicant, if I find that the book is in
fact relevant, I must proceed to the second stage of the analysis and determine
whether Mr. Perreault’s book constitutes hearsay. If I find that it is not
hearsay, I am essentially recognizing the accuracy of its content on the basis
of the Commissioner’s statement in the foreword and, accordingly, there will be
no point in having its author testify as to whether or not the content of his
book is accurate. Conversely, the Applicant asserts that if I find that the
book does in fact constitute hearsay but is still admissible in evidence on the
basis of its relevance, then the motion under Rule 316 before me will enable
the Applicant to question Mr. Perreault and force him to confirm or deny
the accuracy of the content of his book.
[44]
The
Attorney General maintains that the Applicant’s motion should fail for two
reasons. First, he asserts that it is not necessary to hear the testimony of
Mr. Perreault, for even if I find that the book is relevant at this early stage
in the proceedings, it will still be his prerogative to dispute the relevance
of the book on the merits of the case. Second, the Attorney General argues that
the Applicant has failed to disclose any “special circumstances” that would
authorize Mr. Perreault’s testimony, as required by Rule 316.
[45]
I ruled at
the hearing of February 8, 2008 that I would grant the Applicant’s motion if it
became necessary. In light of my decision on the Attorney General’s motion with
respect to the admissibility of Mr. Perreault’s book, I now wish to
clarify that ruling. In that I have found that Mr. Perreault’s book is
relevant to the judicial review application and does not constitute hearsay,
the Commissioner having attested to its accuracy in the foreword, the present
motion under Rule 316 becomes moot. Accordingly, I dismiss the motion, but
without costs.
SUBMISSIONS OF THE PARTIES
[46]
The
Applicant raises two main arguments in support of his judicial review application.
First, he alleges that the Commissioner violated procedural fairness by
limiting his right to cross-examine Mr. Guité, a portion of whose
testimony was used against the Applicant; by exceeding the mandate of his inquiry,
by imposing rules upon the Applicant that did not exist when he was a minister;
and by raising a reasonable apprehension of bias, mainly through his conduct during
the Commission hearings. Second, the Applicant alleges that the Commissioner
erred in his appraisal of the evidence by, among other things, making findings
unsupported by the evidence and by failing to take into account evidence that
was favourable to the Applicant.
[47]
The
Attorney General is the respondent who must answer the allegations regarding the
violations of procedural fairness.
[48]
The
Commissioner is also represented in this application, not personally as
John H. Gomery, but rather, qua ex-Commissioner of the
Commission. It is in this sense that I shall use, in the following analysis,
the term “Commissioner” when I refer to the “arguments of the Commissioner” or
to “allegations or assertions of the Commissioner.” The Commissioner’s position
is limited to the argument that the findings of the Phase I Report are based on
the evidence.
ISSUES
[49]
With
regard to the submissions of the parties, the issues raised by the present review
application are as follows:
1. What are the appropriate
standards of review?
2. To what degree of
procedural fairness were persons who appeared before the Commission entitled?
3. Did the Commissioner violate
procedural fairness with respect to the Applicant?
4. Did the Commissioner err by
making findings unsupported by the evidence or by failing to consider the
evidence in the record?
ANALYSIS
1.
The standards of review applicable in this judicial review application.
[50]
Essentially,
the Applicant is asking this Court to intervene on two principal grounds:
first, on the ground that procedural fairness was violated, and second, on the
ground that there was no evidence to support the Commissioner’s findings.
[51]
It is settled law that the standard-of-review
analysis is not applied to questions of procedural fairness (C.U.P.E. v. Ontario (Minister of Labour), 2003 CSC 29, [2003] 1 S.C.R. 539). Such
questions are always reviewed as questions of law and are therefore reviewable
on the standard of correctness (Sketchley v. Canada (Attorney General), 2005 CAF 404,
[2005] 3 F.C.R. 392 (F.C.A.), at para. 46; Dunsmuir v. New Brunswick, 2008 CSC 9). If I find there was a breach of procedural
fairness on any of the grounds raised by the Applicant, then the findings of the
Phase I Report concerning the Applicant will have to be set aside and there
will be no need to pursue the analysis of the other grounds (Newfoundland Telephone Co. v.
Newfoundland (Board of Commissioners of Public Utilities), [1992]
1 S.C.R. 623 at 645 [hereinafter Newfoundland Telephone]).
[52]
With
respect to the Report’s findings, the standard of review is the one established
by the Federal Court of Appeal in Morneault v. Canada (Attorney General), [2001] 1 F.C. 30
(C.A.), at paragraph 46 [hereinafter Morneault] :
Given that the findings are those of a
commission of inquiry, I prefer to review them on a standard of whether they
are supported by some evidence in the record of the inquiry.
In [Mahon v. Air New Zealand Ltd., [1984]
1 A.C. 808 (P.C.)] at page 814, Lord Diplock remarked on differences between an
investigative inquiry and ordinary civil litigation and went on, at page 820,
to lay down the two rules of natural justice in the passage quoted above.
The technical rules of evidence
applicable to civil or criminal litigation form no part of the rules of natural
justice. What is required by the first rule is that the decision to make the
finding must be based on some material that tends logically to show the
existence of facts consistent with the finding and that the reasoning
supportive of the finding, if it be disclosed, is not logically
self-contradictory.
[my emphasis]
[53]
Thus, the
standard of review applicable to an inquiry commission’s findings consists of
three cumulative elements: 1) the finding must be based to a certain extent on
evidence, 2) this evidence must tend logically to show the existence of facts
consistent with the finding, and 3) the reasoning supportive of the finding
must not be significantly self-contradictory.
[54]
That
standard was subsequently re-applied by this Court in Beno v. Canada (Attorney General), 2002 FCTD 142,
[2002] 3 F.C. 499 (T.D.), Heneghan J., at paragraphs 110 to 115
[hereinafter Beno (2002)].
2.
Degree of procedural fairness to which persons who appeared before the
Commission were entitled.
[55]
The degree
of procedural fairness to which parties appearing before administrative or
judicial decision-makers are entitled varies depending on the context (Baker
v. Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R. 817
at 837). That is why it is important to determine the degree of procedural fairness
that parties who appear before the Commission have a right to expect before we
examine whether this right was violated in the specific case of the Applicant.
However, as I have already established, the degree of procedural fairness in Chrétien,
supra (at paragraphs 39 to 61), and Pelletier, supra (at
paragraphs 37 to 59), I do not believe it is necessary for me to engage in the
same detailed analysis to determine the requisite degree of procedural fairness
in this case. Indeed, since we are dealing with the same commission of inquiry,
what I decided regarding Commissioner Gomery’s procedural fairness obligation
in the cases of Mr. Chrétien and Mr. Pelletier applies in the same
way here. The fact that Mr. Gagliano’s allegations regarding the merits of his
review application may be different or differently structured from those of
Mr. Chrétien and Mr. Pelletier has no bearing on the degree of
procedural fairness he is entitled to expect from Commissioner Gomery.
[56]
In an
effort to be concise, I shall simply repeat that, under the five criteria set
out in Baker, supra, to wit (i) the nature of the decision being
made and process followed in making it, (ii) the nature of the statutory
scheme, (iii) the importance of the decision to the individuals affected, (iv)
the legitimate expectations of the parties, and (v) the choices of procedure
made by the decision-making agency, the Applicant was entitled to a high degree
of procedural fairness before the Commission.
3. Did Commissioner Gomery violate
procedural fairness with respect to the Applicant?
[57]
The
Applicant alleges that the Commissioner violated procedural fairness in four
ways: 1) by raising a reasonable apprehension of bias, 2) by exceeding the
mandate of his inquiry, 3) by imposing rules on the Applicant that did not
exist when he was a minister, and 4) by limiting his right to
cross-examination.
[58]
According
to the Applicant, elements 2), 3) and 4) not only constitute grounds for judicial
review on their own, they also serve as illustrations of the Commissioner’s
bias. The Applicant suggests that I should take all elements of evidence into
account when I am determining whether a reasonable apprehension of bias exists.
1) Allegation of reasonable apprehension of bias
Reasonable apprehension of bias test
[59]
Procedural
fairness requires that decisions be made free from a reasonable apprehension of
bias by an impartial decision-maker (Baker,
supra, para. 45). The standard of impartiality expected of a
decision-maker is variable depending on the role and function of the
decision-maker involved (Newfoundland Telephone, supra). In Newfoundland Telephone, the Supreme Court,
in reasons written by Cory J., established a spectrum for assessing allegations
of bias against members of commissions or administrative boards:
It can be seen
that there is a great diversity of administrative boards. Those that are
primarily adjudicative in their functions will be expected to comply with the
standard applicable to courts. That is to say that the conduct of the members
of the Board should be such that there could be no reasonable apprehension of
bias with regard to their decision. At the other end of the scale are boards
with popularly elected members such as those dealing with planning and
development whose members are municipal councillors. With those boards, the
standard will be much more lenient. In order to disqualify the members a
challenging party must establish that there has been a pre-judgment of the
matter to such an extent that any representations to the contrary would be
futile. Administrative boards that deal with matters of policy will be closely
comparable to the boards composed of municipal councillors.
For those
boards, a strict application of a reasonable apprehension of bias as a test
might undermine the very role which has been entrusted to them by the
legislature.
[…]
Further, a
member of a board which performs a policy formation function should not be
susceptible to a charge of bias simply because of the expression of strong
opinions prior to the hearing. This does not of course mean that there are no
limits to the conduct of board members. It is simply a confirmation of the
principle that the courts must take a flexible approach to the problem so that
the standard which is applied varies with the role and function of the Board
which is being considered. In the end, however, commissioners must base their
decision on the evidence which is before them. Although they may draw upon their relevant
expertise and their background of knowledge and understanding, this must be
applied to the evidence which has been adduced before the board.
(Newfoundland
Telephone Co., pp. 638-639)
[60]
Applying
this flexible approach, Cory J. then concluded that the applicable standard for
assessing the Board’s impartiality during the investigative stage was the
“closed-mind” standard. He also found that when
the matter reached the hearing stage, the Board’s role had changed and, as a
result, the standard used to assess the Board’s conduct at that stage was the
reasonable apprehension of bias standard.
[61]
In Beno v. Canada (Commissioner and Chairperson, Commission of
Inquiry into the Deployment of Canadian Forces to Somalia), [1997] 2 F.C. 527
(F.C.A.) [hereinafter Beno (F.C.A.)], the
Federal Court of Appeal took into consideration the nature, mandate and
function of the Commission of
Inquiry into the Deployment of Canadian Forces to Somalia and ruled that the Commission was situated somewhere between the
legislative and adjudicative extremes of the scale, stating as follows at
paragraphs 26 and 27:
It is not
necessary, for the purposes of this appeal, to determine with precision the
test of impartiality that is applicable to members of commissions of inquiry.
Depending on its nature, mandate and function, the Somalia Inquiry must be
situated along the Newfoundland Telephone spectrum somewhere between its
legislative and adjudicative extremes. Because of the significant differences
between this Inquiry and a civil or criminal proceeding, the adjudicative
extreme would be inappropriate in this case. On the other hand, in view of the
serious consequences that the report of a commission may have for those who
have been served with a section 13 notice, the permissive "closed
mind" standard at the legislative extreme would also be inappropriate. We
are of the opinion that the Commissioners of the Somalia Inquiry must perform
their duties in a way which, having regard to the special nature of their
functions, does not give rise to a reasonable apprehension of bias. As in
Newfoundland Telephone, the reasonable apprehension of bias standard must be
applied flexibly. Cory J. held (supra, at pages 644-645):
Once matters
proceeded to a hearing, a higher standard had to be applied. Procedural
fairness then required the board members to conduct themselves so that there
could be no reasonable apprehension of bias. The application of that test must
be flexible. It need not be as strict for this Board dealing with policy
matters as it would be for a board acting solely in an adjudicative capacity.
This standard of conduct will not of course inhibit the most vigorous
questioning of witnesses and counsel by board members.
Applying that
test, we cannot but disagree with the findings of the Judge of first instance.
A commissioner should be disqualified for bias only if the challenger
establishes a reasonable apprehension that the commissioner would reach a
conclusion on a basis other than the evidence. In this case, a flexible
application of the reasonable apprehension of bias test requires that the
reviewing court take into consideration the fact that the commissioners were
acting as investigators in the context of a long, arduous and complex inquiry.
The Judge failed to appreciate this context in applying the test.
[62]
The Attorney General argues that the nature of
the Gomery Commission is similar to that addressed by the Court of Appeal in Beno
(F.C.A.) and that, unlike the situation in Newfoundland Telephone, supra,
the Gomery Commission never went past the investigative stage. Accordingly, the
Attorney General alleges that the applicable standard is that of the “closed
mind”. This consists in establishing whether there is a reasonable apprehension
that the commissioner would reach a conclusion on a basis other than the
evidence. The Attorney General acknowledges that the reasonable apprehension of
bias test based on the reasonable person standard exists, but he did not avail
himself of this argument in the alternative.
[63]
The
Applicant asserts that the applicable test is the reasonable apprehension of
bias test, as set out in dissent by Grandpré J. of the Supreme Court in Committee for Justice and Liberty v. National Energy Board, [1978] 1 S.C.R. 369 [hereinafter Committee for
Justice and Liberty] (test later endorsed by the Supreme Court in, inter
alia, R. v. S.(R.D.), [1997] 3 S.C.R. 484 [hereinafter R.D.S.]).
[64]
After considering the jurisprudence cited by the
parties, I conclude that the Commission falls somewhere between the middle and
high end of the Newfoundland Telephone spectrum. Accordingly, using a flexible application of the reasonable apprehension of bias test, I
find that the applicable test is the one enunciated by Justice de Grandpré in Committee for Justice and Liberty:
[T]he apprehension
of bias must be a reasonable one, held by reasonable and right minded persons,
applying themselves to the question and obtaining thereon the required
information…[T]hat test is “what would an informed person, viewing the matter
realistically and practically—and having thought the matter through—conclude. Would he think that it is more
likely than not that Mr. Crowe [the Chairman of the Board], whether consciously
or unconsciously, would not decide fairly?”
(Committee
for Justice and Liberty, p. 394)
[65]
As Cory J. stated in R.D.S., supra, the
test for a reasonable apprehension of bias “contains a two-fold objective
element: the person considering the alleged bias must be reasonable, and the
apprehension of bias itself must also be reasonable in the circumstances of the
case” (R.D.S., para. 111). He further noted that “the reasonable
person must be an informed person, with knowledge of all the relevant
circumstances, including ‘the traditions of integrity and impartiality that
form a part of the background and apprised also of the fact that impartiality
is one of the duties the judges swear to uphold’” (ibid., emphasis in
original). He added “the threshold for a finding of real or perceived bias is
high” and “a real likelihood or probability of bias must be demonstrated…a mere
suspicion is not enough” (R.D.S., paras 112-113).
[66]
There exists a presumption that a decision-maker
will act impartially, and “[m]ore than a mere suspicion, or the reservations of
a ‘very sensitive or scrupulous conscience’, is required to displace that
presumption” (Beno (F.C.A.), supra, para. 29, quoting Committee
for Justice and Liberty, supra, p. 395). The onus of demonstrating
bias lies with the person who is alleging its existence and the threshold for
finding a reasonable apprehension of bias is high.
Application of the reasonable
apprehension of bias test in this case
[67]
I
emphasize from the outset that the arguments raised by the Applicant on the
issue of the reasonable apprehension of bias are different from those raised by
Messrs Chrétien and Pelletier in the decisions I rendered previously
(Chrétien, supra, and Pelletier, supra). Indeed,
counsel for the Applicant in the instant case affirmed that Commissioner
Gomery’s public statements at the heart of the Chrétien and Pelletier
cases did not apply to his client.
[68]
At the
hearing, when I saw that counsel for the Applicant had come to the end of his
submissions with no comment as to the effect of Commissioner Gomery’s public
statements on the existence of a reasonable apprehension of bias toward his
client, I asked him if he wanted to address that issue. He replied that because
the Commissioner’s remarks were not directed at his client, no prejudice was
suffered on his part. In the interests of clarity, I reproduce below the relevant
passage from the hearing transcript:
[TRANSLATION]
JUDGE :
So that’s your
evidence, you have nothing else to tell me?
Me PIERRE
FOURNIER :
No, My Lord,
unless you have questions to ask me, which I will be pleased to answer.
JUDGE:
No, it’s not up
to me to tell you how to lead your evidence, but I am a little surprised that
you’ve said nothing about the issues of prejudice with respect to the
comments Mr. Gomery made in the press in December 2004.
Me PIERRE
FOURNIER :
I understand.
JUDGE:
You’re not
obligated to talk about all that if you’re satisfied that it doesn't prove
anything, but that’s why I’m asking you. Did you forget it or…
Me PIERRE
FOURNIER :
No.
JUDGE:
... are you
prepared to leave it?
Me PIERRE
FOURNIER :
No, neither one,
My Lord. Because the thing is, we have to agree on what we mean by “prejudice.”
The comments made by Commissioner Gomery, I talked about this, as far as I am
concerned, they prove his bias, period.
You’ll recall
that these comments at the time were not directed at my client; there was no
prejudice caused to my client by those comments. They were comments directed
principally at Mr. Chrétien.
Mr. Chrétien may
perhaps say, the Commissioner went beyond his jurisdiction and [“] what he
said was prejudicial to me [”]. For my part, all I can say about those
comments, in fact, I think all I can say about those comments is that they
indicate, they demonstrate the Commissioner’s bias against politicians, his
desire to find a scapegoat. But I can’t go any farther than what I’ve said
about that already.
JUDGE:
Thank you, thank
you very much. […]
[69]
Because of
this admission on the part of counsel for the Applicant, I cannot take some of
Commissioner Gomery’s public statements into consideration in my analysis of
the apprehension-of-bias ground raised by the Applicant. The Applicant was
clearly a politician during the period covered by the Commissioner’s
investigation, but the test for a reasonable apprehension of bias is a
personalized one: it must be assessed on the basis of the individual alleging
that he or she is a “victim” of the existence of a reasonable apprehension of
bias. And that is why, if I were to determine that there was a reasonable
apprehension of bias on the part of the Commissioner against the Applicant,
only the findings in the Phase I Report concerning the Applicant would have to
be set aside. Thus, in order for the Commissioner’s statements (those
challenged by Mr. Chrétien and Mr. Pelletier in their respective
cases) to qualify as evidence of the reasonable apprehension of bias against
the Applicant, he would have to link them to his case and assert that they were
actually prejudicial to him. In the absence of any such assertion, I must omit
that aspect from my analysis.
[70]
The
Applicant bases his allegation of a reasonable apprehension of bias on the
following evidence: i) Commissioner Gomery’s conduct during the Commission
hearings, specifically his numerous interventions and interruptions, as well as
the tone of his interventions, during the testimony of the Applicant and that
of other witnesses on the subject of the Applicant’s involvement in the
Sponsorship Program; ii) the book written by Commission spokesperson
Mr. Perreault and the role he played, both of which reflect the importance
the Commissioner attached to the media and public opinion; iii) the newspaper
articles; and iv) the role of Me Roy. I have already ruled in the
interlocutory motions that the ground of review based on Me Roy’s role was
unfounded, so I will not address it in my analysis on the merits.
[71]
As I
stated above, the Applicant contends that, in addition to this specific
evidence, a reasonable apprehension of bias is also supported by the other
grounds for review referring to violations of procedural fairness. The
Applicant therefore enjoins me to maintain a comprehensive view in my analysis
and to consider these grounds as a whole demonstrating a reasonable
apprehension of bias against him on the Commissioner’s part. For clarity’s
sake, though, I shall address these issues separately. I am going to begin by
examining the more specific elements of the reasonable apprehension of bias,
and then I will deal with the procedural fairness allegations one by one, ever
mindful of the fact that the Applicant considers them to be additional pieces
of evidence pointing to the reasonable apprehension of bias.
i) The Commissioner’s interventions
[72]
The
Applicant alleges that the Commissioner’s interventions during his testimony
and that of other witnesses regarding the degree of his involvement in the
Sponsorship Program, in addition to the frequency and tone of those
interventions, indicate that the Commissioner harboured a preconceived idea of
the Applicant’s role in the program and was attempting to minimize any and all
evidence favourable to the Applicant that would have run counter to that
preconception. According to the Applicant, the Commissioner looked upon him as
an adversary rather than as a witness helping him in his inquiry mandate. The
Applicant also asserts that the Commissioner showed impatience with him in
several instances, adopted an accusatory tone, made aggressive and insulting
remarks, interrupted him and, generally speaking, showed a lack of respect
towards him.
[73]
In
response, the Commissioner explains that an inquiry commission possesses an
inquisitorial function granting him license to intervene and even put questions
to witnesses himself in order to clarify evidence and uncover facts. In that
sense, the Commissioner emphasizes, the Commission he was directing was quite
different from a civil or criminal court.
[74]
In Canada (Attorney General) v. Canada
(Commission of Inquiry on the Blood System in Canada), [1997] 3 S.C.R. 440, at
paragraph 34 [hereinafter Krever], the Supreme Court clearly
distinguished a commission of inquiry from a civil or criminal trial:
A commission of
inquiry is neither a criminal trial nor a civil action for the determination of
liability. It cannot establish either criminal culpability or civil
responsibility for damages. Rather, an inquiry is an investigation into
an issue, event or series of events. The findings of a commissioner
relating to that investigation are simply findings of fact and statements of
opinion reached by the commissioner at the end of the inquiry. They are
unconnected to normal legal criteria. They are based upon and flow from a
procedure which is not bound by the evidentiary or procedural rules of a
courtroom. There are no legal consequences attached to the determinations
of a commissioner. They are not enforceable and do not bind courts
considering the same subject matter. The nature of an inquiry and its
limited consequences were correctly set out in Beno v. Canada (Commissioner and
Chairperson, Commission of Inquiry into the Deployment of Canadian Forces to Somalia),
[1997] 2 F.C. 527, at para. 23:
A public
inquiry is not equivalent to a civil or criminal trial [...] In a trial, the judge sits as an
adjudicator, and it is the responsibility of the parties alone to present the
evidence. In an inquiry, the commissioners are endowed
with wide‑ranging investigative powers to fulfil their investigative
mandate [...] The
rules of evidence and procedure are therefore considerably less strict for an
inquiry than for a court. Judges determine
rights as between parties; the Commission can only “inquire” and “report” [...]may
impose monetary or penal sanctions; the only potential consequence of an
adverse finding
[...]is that reputations could be tarnished.
Thus, although
the findings of a commissioner may affect public opinion, they cannot have
either penal or civil consequences. To put it another way, even if a
commissioner’s findings could possibly be seen as determinations of
responsibility by members of the public, they are not and cannot be findings of
civil or criminal responsibility.
[75]
I believe
that the inquisitorial nature of an inquiry commission explains the role that
Commissioner Gomery was required to play as part of his fact-finding mandate.
In my opinion, his interventions and interruptions were necessary in order to distinguish
the relevant evidence from the irrelevant evidence and to maintain order
throughout the hearings. It is even established that a commissioner may be
required to intervene to clarify inconsistencies detected in the evidence (Beno (FC.A.),
supra, para. 30). In my opinion, the Commissioner’s interventions do not
establish a reasonable apprehension of bias within the meaning of the test set
out in Committee for Justice and Liberty and R.D.S., supra.
On the contrary, a reasonable and informed person viewing the matter
realistically and practically, and having thought the matter through, would
conclude that Commissioner Gomery, by virtue of the terms of his mandate and,
more generally, his role as a commissioner, was in control of his proceedings
and sometimes had to intervene in order to ensure that the Commission hearings
ran properly.
[76]
Interventions
and the frequency thereof may be appropriate, but the tone with which they are
made may not. On several occasions, the Applicant indicated to me that the
Commissioner, by the accusatory and disrespectful tone with which he questioned
him, had conducted an adversarial rather than a simply inquisitive inquiry. I
very closely examined the contentious passages identified by the Applicant, and
I was unable to come to the conclusion that they were sufficient, whether taken
in isolation or as a whole, to establish a reasonable apprehension of bias. I
do see that on certain occasions the Commissioner became impatient with the
Applicant, but as the Supreme Court noted in Miglin v. Miglin,
2003 SCC 24, [2003] 1 S.C.R. 303, [hereinafter Miglin
(S.C.C.)], the reasonable person test established in Committee for
Justice and Liberty and R.D.S., supra, requires more than
that to establish a reasonable apprehension of bias:
Mr. Miglin urged
this Court to order a new trial on the basis that the interventions by the
trial judge throughout the proceedings, by reason of their frequency, timing,
content and tone, gave the trial an unmistakable appearance of unfairness.
The appropriate
test for reasonable apprehension of bias is well established. The test, as
cited by Abella J.A., is whether a reasonable and informed person, with
knowledge of all the relevant circumstances, viewing the matter realistically
and practically, would conclude that the judge’s conduct gives rise to a
reasonable apprehension of bias: R. v. S. (R.D.), [1997] 3 S.C.R. 484,
at para. 111, per Cory J.; Committee for Justice and Liberty v.
National Energy Board, [1978] 1 S.C.R. 369, at pp. 394-95, per de
Grandpré J. A finding of real or perceived bias requires more than the
allegation. The onus rests with the person who is alleging its existence (S.
(R.D.), at para. 114). As stated by Abella J.A., the assessment is
difficult and requires a careful and thorough examination of the proceeding.
The record must be considered in its entirety to determine the cumulative
effect of any transgressions or improprieties. We see no reason to interfere
with the Court of Appeal’s assessment of the record, nor with its conclusion
that although the trial judge’s comments were intemperate and
his interventions at times impatient, they do not rise to the level necessary
to establish a reasonable apprehension of bias.
(Miglin
(S.C.C.), paras 25-26)
[77]
I am of
the opinion that this reasoning applies to the case before me. To quote
Madam Justice Abella (then of the Ontario Court of Appeal) in the judgment
on appeal to the Supreme Court (Miglin v. Miglin (2001),
53 O.R. (3d) 641 (O.C.A.), at para. 31 [hereinafter Miglin
(O.C.A.)]; decision reversed on appeal before the Supreme Court of Canada,
but not on the issue of reasonable apprehension of bias), I am of the view
that, by his interventions and manifestations of impatience, Commissioner
Gomery “risked triggering the perception that he was prejudging [the]
credibility” of the Applicant (Miglin (O.C.A..), para. 31). However,
like Abella J.A., I find that, in the end, that conduct did not give rise to a
reasonable apprehension of bias within the meaning of the test established by Committee
for Justice and Liberty and R.D.S., supra.
ii) Mr. Perreault’s book and role
[78]
I
determined in the interlocutory motions that when the Commissioner wrote, in
his foreword to Inside Gomery, that Mr. Perreault had “produced a
chronicle of the inner workings of the Commission that is as fascinating as it
is accurate,” he was actually attesting to the accuracy of the entire book.
[79]
Based on
certain passages of Mr. Perreault’s book, the Applicant contends that the
Commissioner was more concerned about capturing public attention and holding on
to it than he was about conducting his fact-finding mission, and that he was
seeking a kind of public endorsement completely unrelated to his inquiry
mandate. The Applicant indicated to me a number of times that this was inappropriate
and gave rise to a reasonable apprehension of bias.
[80]
While I
agree that it was perhaps inappropriate for the Commission lawyers to disclose
to Mr. Perreault their questioning strategy and the admissions they hoped
to elicit from the witnesses; for Mr. Perreault then to present the day’s
highlights to the media on the basis of those confidences; and for the
Commissioner to believe he needed to sustain the nation-wide interest in the Commission
(Inside Gomery, p. 149), I am not persuaded that this evidence, or any
of the other elements raised by the Applicant, would, in the mind of a
reasonable and informed person, having thought the matter through and viewing
it realistically and practically, give rise to a reasonable apprehension of
bias. Let us recall that the applicable test of the reasonable and informed
person is not that of the “very sensitive or scrupulous conscience” (Committee
for Justice and Liberty, supra, p. 396). One must ensure that
it is the reasonable person test that is being applied and that the question
being asked is whether this person would come to the conclusion that the
Commissioner, because of his concern for public opinion, would in all
likelihood, consciously or unconsciously, fail to render a fair decision.
[81]
I think
there is a margin between being concerned about public opinion and failing to
render a fair decision. A reasonable and informed person should not be willing
to cross that margin on the basis of mere suspicions (R.D.S., supra,
para. 112).
[82]
I
emphasize here that the Applicant’s allegations regarding the Commissioner’s preoccupation
with the media and public opinion are different from those advanced in Chrétien
and Pelletier, supra. In my rulings in those two cases, I
determined that the examples raised by the applicants regarding the
Commissioner’s preoccupation with the media and public opinion had a
prejudicial impact on the fairness of the proceedings in relation to the
applicants. At the time, I was principally referring to the public
statements made by the Commissioner in interviews granted to the media in
December 2004, while the Commission was on a holiday recess, before all the
evidence had been heard. However, as I stated above, counsel for the Applicant
in the case at bar has affirmed that his client suffered no prejudice as a
result of those comments. He cannot now persuade me that my finding on that
point in Chrétien and Pelletier should also apply to his client.
[83]
Coming
back to the term “inappropriate” used repeatedly by the Applicant, I note that
something can be inappropriate without necessarily creating a reasonable
apprehension of bias: the two concepts are based on different criteria.
Determining what is appropriate depends on a multiplicity of highly subjective
variables. Moreover, it is not a legal test. Determining whether there is a
reasonable apprehension of bias depends on an objective legal test (R.D.S.,
supra, para. 111) based on specific criteria. My role is not to
pronounce on whether the facts Mr. Perreault reports in his book are
appropriate or not. My role is to determine whether a reasonable and informed
person, having thought the matter through and viewing it realistically and
practically, would conclude on the basis of those facts that the Commissioner
would not render a fair decision. I determine that such a person would not come
to such a conclusion. The evidence relating to Mr. Perreault’s book and
role does not create a reasonable apprehension of bias.
iii) Newspaper articles
[84]
I would
point out, once again, that the newspaper articles referred to by the Applicant
are not the same as those on which Messrs Chrétien and Pelletier relied to
allege a reasonable apprehension of bias against them on the part of the
Commissioner. I agreed in the context of the Attorney General’s motion to strike
that those newspaper articles should be admitted in evidence (partial
production of Exhibit L). However, in addition to making the admission I
discussed above about the Commissioner’s contentious statements not applying to
his client, counsel for the Applicant relied only on the two following
articles.
[85]
The first
article, entitled [TRANSLATION] “Sponsorship Scandal – Canadians support
Justice Gomery,” discusses the number of e-mails received by the Commission in
one day, as well as the statement made by Mr. Perreault to the effect that
people are supporting the Commissioner and wondering what Mr. Chrétien has
to hide by attempting to discredit the Commissioner.
[86]
In Chrétien,
supra, I dealt with the question of the e-mails received by the
Commission and Mr. Perreault’s comment about the supposed
message contained in those e-mails concerning what it was that
Mr. Chrétien might have to hide from the Commissioner. I made two findings
in that case. First, it was immaterial that Commissioner Gomery himself did not
make that statement about Mr. Chrétien. Indeed, as spokesperson for the
Commission, Mr. Perreault was, in the words of the Commissioner himself,
“the only person who will speak on behalf of the Commission” (Phase I Report,
p. 522, “Opening Statement”). Accordingly, his words could to a great extent be
attributed to the Commissioner, this even despite the Commissioner later
asserting that Mr. Perreault’s comment about the e-mails had been made without
his knowledge. Second, I found that this comment had tarnished Mr. Chrétien’s
reputation and had, with respect to him personally, a prejudicial impact on the
fairness of the proceedings.
[87]
However,
in the case at bar, this second finding in no way applies to the Applicant. I
am persuaded that a reasonable and informed person, having thought the matter
through and viewing it realistically and practically, would not think that the
Commissioner, because of Mr. Perreault’s comment about the content of the
e-mails in respect of Mr. Chrétien, would fail to render a fair decision
in respect of the Applicant. Accordingly, I find that no reasonable
apprehension of bias against the Applicant results from this first article.
[88]
The second
article, entitled [TRANSLATION] “Report on the Gomery Commission– Leaks said to
be false”, deals with the alleged leak in the Toronto Star newspaper
about the conclusion of the Phase I Report which reportedly blamed
Mr. Chrétien “and his entourage” and, in other places, “the
Chrétien government” for the sponsorship scandal. The article also talks
about Mr. Perreault’s comment to the effect that the leaks were false and
that [TRANSLATION] “any Canadian who has been following the Commission on
television could have pretended to be Justice Gomery and written what the Star wrote”.
[89]
While I admit
that this second article concerns the Applicant—albeit indirectly—more than the
first article, I am not in the least certain that it raises a reasonable
apprehension of bias. I agree that an informed person would know that the
Applicant was a member of the “Chrétien government” at the time of the
sponsorship scandal. However, Mr. Perreault’s reaction, as reported in the
article, consists precisely in denying the allegations of a leak and in
trivializing the rumour about the alleged conclusions of the Phase I Report. I
do not construe his comment as confirming that the guilt of Mr. Chrétien
or “his entourage” or the “Chrétien government” is obvious. Nor do I see it as
providing an indication of the Commissioner’s conclusion to come. Rather, I
interpret it as meaning that any person having watched the Commission hearings
on television could have come to a conclusion similar to the one falsely
reported by the Toronto Star. Mr. Perreault did not say it was the
only possible conclusion that a person who had watched the hearing could have
made. He simply said, in an effort to minimize the rumour, that any person
could have pretended to be the Commissioner and come to his or her own
conclusion.
[90]
I am
persuaded that a reasonable and informed person—not one with a very sensitive
or scrupulous conscience—having thought the matter through and viewing it
realistically and practically, would not think that the Commissioner, because
of Mr. Perreault’s comment, would fail to render a fair decision in
respect of the Applicant. Accordingly, I find that no reasonable apprehension
of bias on the part of the Commissioner against the Applicant results from this
second article.
[91]
I shall
now determine whether the Commissioner violated procedural fairness on the
basis of the other grounds raised by the Applicant. At the same time, I shall
consider whether these grounds also create a reasonable apprehension of bias.
2) Allegation regarding the limits of the
mandate and the scope of the word “program”
[92]
The
Applicant faults the Commissioner for exceeding his jurisdiction by
[TRANSLATION] “setting the temporal parameters of his inquiry arbitrarily” and
by choosing to inquire into the period supposedly preceding the actual creation
of the Sponsorship Program in September 2001. The Applicant alleges that the
Commissioner exceeded the terms of his mandate and demonstrated his bias
against him. According to the Applicant, the Commissioner also failed to take
notice of a piece of evidence favourable to him, namely, the fact that under
his reign as minister there was a reduction in the production costs (commissions)
for which the advertising agencies were billing the government, and thus, an
improvement in the management of the Program. Furthermore, the Applicant
contends that if the Commissioner had limited his inquiry to the actual
Sponsorship Program per se, i.e., from the period after September 2001,
he would not have found any major problem in the management of the Program
because guidelines were put in place along with the creation of Communication
Canada in September 2001 (through the amalgamation of CCSB and the Canada
Information Office).
[93]
The
Commissioner contends that the Applicant’s argument based on the meaning of the
word “program,” and more specifically on the question of whether a “program”
actually existed prior to the creation of Communication Canada in September
2001, is without merit. According to him, his mandate gave him jurisdiction to
inquire into the pre-2001 period. As well, the Commissioner made two
qualifications to the Applicant’s argument that an inquiry limited to the
post-2001 period would have shown an improvement in the operation of the
Sponsorship Program: first of all, loss of control over the Program was not
solely attributable to the sums of money received by the advertising agencies,
and second, the improvement alleged by the Applicant is altogether relative, as
the Program guidelines were not put in place until the very end of his term as
minister.
[94]
I reject
the Applicant’s argument that the Commissioner overstepped his mandate by
inquiring into the pre-2001 period. In my opinion, this argument is essentially
about the terminological definition of the word “program.”
[95]
Commissioner
Gomery’s mandate was based on the findings of the Auditor General in her report,
which covered the period from November 1997 (creation of the CCSB) to March 31,
2003 (a new accountability and management scheme for the Sponsorship Program
came into effect on April 1, 2003). Let us recall that the Commissioner’s
mandate for the investigative phase of the Commission inquiry (Phase I) was to
“a) investigate and report on questions raised, directly or indirectly, by
Chapters 3 and 4 of the […] Report of the Auditor General of Canada…” (Phase I Report, p. 453).
At paragraphs 3 and 4 of her Report, the Auditor General refers specifically to
the period from 1997 to 2003 (Phase I Report, p. 465, para. 3.7 and para.
3.11). In proceeding with the inquiry, Commissioner Gomery observed that the
problems noted by the Auditor General originated in events dating back to the
aftermath of the October 1995 referendum. That is why he decided to extend the
period targeted by his inquiry to 1996. In my view, it was his prerogative to
do so because of his terms of reference, which refer to “questions raised,
directly or indirectly, by Chapters 3 and 4 of the […] Report of the
Auditor General” [my emphasis]. The fact that the Commissioner noted that
certain issues raised by the Auditor General pre-dated the period of his
inquiry goes to to his assessment of the evidence, regarding which I must show
considerable deference.
[96]
In closing
on this point, I would note that the Applicant did not object during the
hearings to the fact that the Commission was inquiring into the pre-2001
period.
[97]
Since the
Commissioner did not exceed his mandate by inquiring into the pre-2001 period,
I find that he also did not, in so inquiring, raise a reasonable apprehension
of bias in the mind of a reasonable and informed person.
3) The allegation regarding rules that
did not exist when the Applicant was minister
[98]
The
Applicant alleges that the Commissioner violated procedural fairness by
redefining the concept of “ministerial responsibility”, by imposing a
responsibility upon him that he did not have and by blaming him on the basis of
rules that were not in force when he was minister.
[99]
The
question of the Applicant’s accountability for the actions of his exempt staff
and public servants is important because the Applicant submits that there is no
evidence of him personally meeting with Mr. Guité and that he cannot be held
accountable if members of his staff met with him. I will address the two
aspects of that assertion by the Applicant in the section on the sufficiency of
the evidence, below, under the headings of the frequency and irregularity of
the meetings. I am satisfied that, if I find there was some evidence supporting
the Commissioner’s findings regarding the Applicant’s responsibility, it will
automatically lead to the conclusion that the Commissioner did not violate
procedural fairness by making such findings.
4) The allegation regarding the right to
cross-examination
k. the Commissioner be
directed to perform his duties without expressing any conclusion or
recommendation regarding the civil or criminal liability of any person or
organization and to ensure that the conduct of the inquiry does not jeopardize
any ongoing criminal investigation or criminal proceedings;
(Phase I Report, p. 456)
[102]
The
Applicant sees in the Commissioner’s decision to sustain the objection of
counsel for Mr. Guité an undue limitation on his right to cross-examine, with
negative consequences for him. The Applicant alleges therefore that he did not
have the opportunity to truly demonstrate Mr. Guité’s lack of credibility
through cross-examination.
[103]
I repeat
that the Commissioner found Mr. Guité, on the whole, not to be credible,
which clearly illustrates that he had sufficient evidence to assess the
credibility of Mr. Guité. As I mention below, the Commissioner’s decision to
accept a very small portion of Mr. Guité’s testimony to support, along with
other evidence, his finding of blame with respect to the Applicant is
attributable to his appraisal of the evidence, regarding which I must show
considerable deference.
[104]
Paragraph
k) is clear. In my opinion, the Commissioner would have risked compromising the
parallel criminal proceedings if he had allowed the Applicant to cross-examine
Mr. Guité about the three controversial contracts. The Commissioner’s
decision to sustain the objection of counsel for Mr. Guité on the basis of
the restrictions of paragraph k) of his terms of reference was therefore well
founded. I note that the Applicant did not contest the Commissioner’s terms of
reference through any other appropriate channels.
[105]
The
Applicant also contends that his right to cross-examine certain witnesses was
infringed by the Commissioner’s interventions. In support of that assertion,
the Applicant cites R. v. Lyttle, 2004 SCC 5, [2004]
1 S.C.R. 193 [hereinafter Lyttle], wherein the Supreme Court
ruled that the right to cross-examine, in a criminal trial context, was an
essential component of an accused’s right to a full answer and defence and that
disrupting the rhythm of a cross-examination was unwarranted (Lyttle, at
paras 1, 2 and 7). The Applicant maintains that the Supreme Court’s instruction
in Lyttle applies equally to the context of the Commission.
[106]
I
disagree. I do not believe that what the Supreme Court stated in Lyttle applies
completely and automatically to the context of the Gomery Commission or to
inquiry commissions in general. We saw in paragraph 34 of Krever, supra,
that inquiry commissions are not the same as civil or criminal trials. In that
excerpt, the Supreme Court quotes with approval the Federal Court of Appeal in Beno
(F.C.A.), which corrected what our Court had said in Brigadier General
Ernest B. Beno v. The Honourable Gilles Létourneau, [1997]
1 F.C. 911 (F.C.T.D.), at paragraph 74, Campbell J. [hereinafter Beno
(1997)], to the effect that an inquiry commission had a “trial-like
function.” The Federal Court of Appeal pointed out that, on the contrary, an
inquiry commission was to be distinguished from a civil or criminal trial for a
variety of reasons, including more flexible rules of procedure (Beno
(F.C.A.), at para. 23), and the Supreme Court affirmed that principle in Krever.
Commissions of inquiry are inquisitorial in nature, and the commissioners who
conduct them are in control of their procedure (Beno (2002), supra,
at paras 113-114). Moreover, the right to cross-examination is not absolute.
That principle was reiterated by this Court in several instances in the context
of an inquiry commission, including Boyle v. Canada (Commission of Inquiry
into the Deployment of Canadian Forces in Somalia – Létourneau Commission),
[1997] A.C.F. no. 942, Dubé J., at paragraph 37, and in Beno (2002), supra,
where my colleague Heneghan J. stated as follows:
[113] It is undisputed that
Lieutenant-General Reay was not cross-examined by the applicant. The lack of an
opportunity to cross-examine this witness and others was a matter falling
within the procedure established by the Commission. The fact that some of the
evidence was not tested by cross-examination goes to its probative value and
that is a matter clearly falling within the jurisdiction of the Commissioners.
The choice of procedure is beyond review by the Court, as long as the applicant
was accorded procedural fairness.
[107]
More
specifically, Commissioner Gomery in this case had the power to establish his
own procedure under paragraph e) of his terms of reference, which reads as
follows:
e. the Commissioner be authorized
to adopt any procedures and methods that he may consider expedient for the
proper conduct of the inquiry, and to sit at any times and in any places in
Canada that he may decide;
[108]
For these
reasons, I find that the Commissioner did not violate procedural fairness by
limiting, allegedly, the Applicant’s right to cross-examination.
4.
Did the Commissioner err by making findings unsupported by the evidence or by
failing to consider the evidence in the record?
[109]
In
accordance with the standard of review established by the Federal Court of
Appeal in Morneault, supra, I must determine in my analysis in
this section, whether the Commissioner’s findings of fact with respect to the
Applicant’s responsibility are supported by some evidence in the record. This
is a standard of review calling for a high level of judicial deference.
[110]
On several
occasions during the hearing of this application, the Commissioner reminded me
of the similarities between the case before me and the Supreme Court of
Canada’s decision in Krever, supra. He raised this similarity
notably in the context of the standard applicable to findings of fact in order
to enjoin me to show deference in respect of those findings. Paragraph 40 of Krever
is particularly relevant:
The appellants do not appear to challenge
the power of a commissioner to make findings of fact; their objection is to the
commissioner’s assessment of those facts. However, in my view, the power of
commissioners to make findings of misconduct must encompass not only finding
the facts, but also evaluating and interpreting them. This means that
commissioners must be able to weigh the testimony of witnesses appearing before
them and to make findings of credibility. This authority flows from the
wording of s. 13 of the Act, which refers to a commissioner’s jurisdiction to
make findings of “misconduct”. According to the Concise Oxford Dictionary (8th
ed. 1990), misconduct is “improper or unprofessional behaviour” or “bad
management”. Without the power to evaluate and weigh testimony, it would be
impossible for a commissioner to determine whether behaviour was “improper” as
opposed to “proper”, or what constituted “bad management” as opposed to “good
management”. The authority to make these evaluations of the facts established
during an inquiry must, by necessary implication, be included in the
authorization to make findings of misconduct contained in s. 13. Further, it
simply would not make sense for the government to appoint a commissioner who
necessarily becomes very knowledgeable about all aspects of the events under
investigation, and then prevent the commissioner from relying upon this
knowledge to make informed evaluations of the evidence presented.
[my
emphasis]
[111]
According
to the Commissioner, in deference to this in-depth knowledge of the facts that
he acquired in the course of his investigation, I must show restraint in
respect of his findings of fact.
[112]
The
Applicant faults the Commissioner for coming to conclusions about his
involvement in the Sponsorship Program that are not supported by the evidence
in the record. The Applicant criticizes the Commissioner for, among other
things, accepting Mr. Guité’s testimony at the expense of his own testimony
regarding the extent of his involvement in the program. He deplores the fact
that the Commissioner found Mr. Guité not credible in general, yet believed him
over his own version.
[113]
On this
point, the main passages of the report under contention are the following:
In spite of his protestations to the
contrary, the evidence is overwhelming that Mr. Gagliano was a hands-on
manager who took a great interest in the Sponsorship Program and an active part
in its direction.
[…]
Mr. Gagliano was not a good or persuasive
witness. He was at times evasive and argumentative, and he did not give the
impression that he was as interested in increasing the Commission’s
understanding of the operation of the Sponsorship Program as he was in seeking
his own vindication. In this respect, he compares unfavourably with Mr. Guité.
When the latter says that Mr. Gagliano gave him advice, suggestions and
instructions concerning the choice of agencies to handle sponsorship contracts,
I am inclined to believe him in spite of Mr. Gagliano’s denials.
(Phase I Report, pp. 154-155)
[…]
Throughout this Report I have had to
assess the credibility of Mr. Guité’s testimony on a number of subjects. In
general, I have come to the conclusion that he is not always a reliable
witness, and that any affirmations made by him should be accepted with caution.
This being said, some of the statements of even the most unreliable witness may
prove to be true. For example, if a statement is corroborated by the evidence
of other witnesses or by documentation, or if it is made against the interests
of the witness, or if it corresponds to a logical or plausible explanation of
the surrounding circumstances, it may be accepted, even if the statement has
been made by an otherwise untruthful person.
[…]
As I indicated earlier in this Report
when analyzing that evidence, considering the evidence as a whole, taking into
account simple logic, plausibility, and elements of corroboration by
independent witnesses such as Isabelle Roy and Joanne Bouvier, it is improbable
that the question of the selection of
agencies was never discussed during those meetings. Accordingly, in spite of
the many instances where Mr. Guité contradicted himself and was not truthful on
other subjects, his testimony with respect to the subjects discussed at his meetings
with [Mr.] Gagliano was accepted, notwithstanding the denials of [Mr. Gagliano]
who, in general, [was] more credible.
(Phase I Report, pp. 401-402)
[114]
The
Applicant challenges the fact that the Commissioner chose the logic and
testimony of a generally non-credible witness to support his findings of blame
in preference to other evidence in the record which, in the Applicant’s
opinion, worked in his favour.
[115]
In
response, the Commissioner pointed out that he did not rely solely on the logic
and testimony of Mr. Guité, but on a good deal of other evidence that
corroborated Mr. Guité’s version, hence the logic of that version. The
Commissioner insisted that my role was not to substitute my opinion for his
with respect to weighing the evidence; rather, it was only to determine
whether, in accordance with the test in Morneault, supra, his
findings were supported to some extent by evidence in the record.
[116]
For the
reasons that follow, I am persuaded that the Morneault test has been met
and that the Commissioner’s findings are supported to some extent by the
evidence.
1) Frequency and nature of meetings with Mr. Guité
[117]
The
Commissioner established first of all that there was evidence confirming the
existence of meetings, and the frequency and nature of those meetings, between Mr. Guité
and the Applicant or members of his staff. To that end, he began by referring
me to the evidence he expressly cited in the Phase I Report. That evidence
includes the testimony of Huguette Tremblay, M. Guité’s assistant from 1987
to 1991, office manager from 1991 to 1997, and person in charge of advertising
agency selection procedure at PWGSC from 1997 to 1999; Isabelle Roy, special
assistant in the Applicant’s office when he was Minister of Labour in 1996 and
1997, then at PWGSC from 1997 to 1999, and assistant at CCSB from 1999 to 2004;
and Joanne Bouvier, Ms. Roy’s successor in the Applicant’s office and assistant
to Jean-Marc Bard, the Applicant’s executive assistant.; excerpts from the MP Log,
an electronic file in which the Applicant’s assistants kept a written record of
the decisions made with respect to sponsorship matters; “Exhibit 201,” presented
to the Commissioner during the hearings, being a collection of over 240 pages of
evidence with respect to the direct interventions by the Applicant or members
of his staff; and an exchange between a representative of the RCMP and Mr. Guité.
[118]
The
Applicant contends that the people who testified about the frequency of the
meetings between the Applicant and Mr. Guité never in fact attended those
meetings or saw the Applicant meet with Mr. Guité. According to the
Applicant, all their testimony reveals is that Mr. Guité told them he was going
to the minister’s office or to see the minister, or that he was returning from
seeing the minister. And considering Mr. Guité’s lack of credibility, the
Applicant asserts, the Commissioner should not have taken testimony based on
Mr. Guité’s statements into account.
[119]
In
response, the Commissioner points out that when Mr. Guité would say he was
meeting with the Applicant or going to his office, he had no reason to lie. The
Sponsorship Program was in full swing and nothing indicated it was ever going
to be the subject of a public inquiry. Therefore, according to the
Commissioner, when Mr. Guité told his assistants he was going to meet the
Applicant, those meetings did in fact take place. Furthermore, the Commissioner
emphasizes that Ms. Roy and Ms. Bouvier had discussions with the
Applicant, to which Mr. Guité was not party, in the course of which
decisions were made by the Applicant regarding the selection of events to
sponsor.
[120]
In any
case, there is still the MP Log, which clearly records the Applicant’s interventions
in the Sponsorship Program. Notations in the MP Log such as [TRANSLATION] “Minister
[the Applicant] decided we are giving $5,000,” [TRANSLATION] “IR [for Isabelle
Roy] spoke to Minister and the answer is no,” [TRANSLATION] “IR talked it over
with the Minister. 31-1-99 Minister talked to Chuck [Mr. Guité]. Minister
confirmed to me that we’re giving the requested amount ([$]10,000),”
[TRANSLATION] “IR checked with the Minister and Chuck and the answer is no,” [TRANSLATION]
“The letter [signed by the Applicant] confirms the amount of $300,000 for
Soirées 1999,” all constitute clear evidence that the Applicant and members of
his staff, for whom he was responsible, intervened actively in the management
of the Sponsorship Program and that, generally speaking, the Applicant ensured
that he was kept apprised of which events were receiving sponsorship money, in
what amount, and with the assistance of which advertising agency.
[121]
In
addition to the evidence expressly cited in the report, there is other uncited
evidence that was presented to the Commission on which the Commissioner relied
to support his findings with respect to the question of the meetings. This
evidence includes the testimony of Mr. Quail and Ghislaine Ippersiel, assistant
to Mr. Bard (Applicant’s executive assistant) from 1997 to 2001.
2) Irregularity of the meetings
[122]
Second, the
Commissioner listed the evidence supporting his finding that these meetings
between Mr. Guité and the Applicant or members of his staff were irregular.The
Commissioner asserts that the meetings were irregular in that they constituted
political interference on the part of the Applicant: his interventions were more
than mere suggestions and were sometimes designed to achieve partisan ends.
Beyond that, they disrupted the normal chain of communication and
accountability between departmental officers, assistant deputy ministers or
deputy ministers and the minister. In support of his assertion that he had
sufficient evidence on which to base his findings regarding the irregularity of
the meetings, the Commissioner produced the testimony of Mr. Quail; of Jim
Stobbe, Assistant Deputy Minister at PWGSC from 1990 to 2000 (to whom Mr. Guité
reported); of Ronald Bilodeau, Deputy Minister and Associate Secretary of the
Cabinet (Intergovernmental Relations) Privy Council Office from 1994 to 1996,
and Associate Secretary and Deputy Clerk of the PCO from 1996 to 2003; of the
Honourable Marcel Massé, Minister of Intergovernmental Affairs from 1993 to
1996 and President of the Treasury Board and Minister responsible for the
Infrastructure Program from 1996 to 1999; of Jocelyne Bourgon, Clerk of the
Privy Council from 1994 to 1999; of the Honourable Diane Marleau, Minister of
PWGSC from January 1996 to June 1997; and, although the Commissioner did not
cite him explicitly in his Report, of Alex Himelfarb, Clerk of the Privy
Council from 2002 to 2006.
[123]
Mr. Quail’s
and Mr. Stobbe’s testimony are the same: they were not aware of all the
meetings that were taking place between the Applicant or his staff and Mr. Guité,
nor of the content of those meetings, and they could not therefore control the
work that Mr. Guité was doing. The testimony of Mr. Bilodeau, Mr. Massé,
Ms. Bourgon, Ms. Marleau and Mr. Himelfarb are also consistent: there is a
chain of communication among the employees of a department and the minister,
that chain of communication must include the assistant deputy minister and the
deputy minister, and ultimately, the minister is accountable for the actions of
his exempt staff and the public servants in his department.
[124]
The
Commissioner also produced two documents from the PCO on which he relied in the
Phase I Report, the first entitled Guidance for Deputy Ministers, and
the second entitled Governing Responsibly: A Guide for Ministers and
Ministers of State. The first document refers to the normal chain of communication
in the administration of a department:
The Deputy Minister needs to be attentive
to maintaining
good working relations with the
Minister’s office in providing
complementary support to the Minister. It
is important to
remember, however, that exempt staff of a
Minister do not have
the authority to give direction to public
servants. When they
ask for information or convey a
Minister’s instructions, it is
normally done through the Deputy Minister.
(Guidance for Deputy Ministers, section
3: Accountability to the Minister; Phase I Report, p. 41)
The Commissioner found that this chain of communication was
disrupted by the direct meetings between Mr. Guité and the Applicant or
members of his staff, beyond the reach and control of the Deputy Minister, Mr.
Quail or the Assistant Deputy Minister, Mr. Stobbe.
[125]
This document
also confirms the minister’s responsibility for the public servants in his
department (ministerial responsibility):
Ministers are individually responsible
for their personal acts, the general conduct of their department, acts done (or
left undone) in their name by their departmental officials whether or not the
Minister had prior knowledge of any activity, and for departmental financial
and administrative practices.
(Guidance for Deputy Ministers,
section 1: Responsibility)
[126]
As for the
second document, it confirms the responsibility of the minister for his exempt
staff:
Ministers are personally responsible for
the conduct and operation of their office. They hire their own office staff,
who are known as “political” or “exempt” staff.
(Governing Responsibly: A Guide for
Ministers and Ministers of State, section VI.1: Ministers’ Offices and
Exempt Staff; document cited at p. 39 of the Phase I Report)
[127]
Certain
clarifications should be made in respect of these two documents. The second
document, the one addressed to ministers, has been replaced by more recent
versions. In addition, both the first document addressed to deputy ministers
and the second addressed to ministers were published in 2003. The Applicant
argues that he should not be held to principles and standards that came into
force after his term as minister and that Commissioner Gomery therefore
violated procedural fairness by holding him to those principles and standards.
[128]
I reject
that argument for two reasons. First of all, these documents are only two
pieces of evidence among others that confirm the Applicant’s responsibility for
his department and his exempt staff. It is important to keep in mind that the Morneault,
supra, standard of review requires only that there be some
evidence in the record to support the Commissioner’s findings. In light of the
abundant testimony referred to above confirming the existence of a normal
departmental chain of communication and the fact that the Applicant disrupted
it by meeting directly (either personally or through his exempt staff,
including his executive assistant) with Mr. Guité, I find that the
Commissioner had sufficient evidence to allow him to conclude as he did. Thus, even
accepting the argument that these two documents should not have been considered
because they were published subsequent to the Applicant’s term as minister, I
am still of the opinion that the Commissioner had before him sufficient
evidence, without those documents and solely on the basis of the testimony that
was heard, to find that the Applicant was responsible and that his interventions
in the Sponsorship Program were irregular.
[129]
My second
reason for rejecting the Applicant’s argument based on the publication date of
the documents is that the Commissioner states in an endnote on page 57 of his
report that the principles contained in the document “apply to any era.” I
agree completely. In other words, these principles of ministerial management do
not change, they are timeless, and they existed and applied beyond the period
during which the Applicant was minister. That the documents setting out the
principles of ministerial and cabinet responsibility were not published until
after his term as minister is no shield to the Applicant: these principles are
at the core of our system of government—responsible government—which is based
on the responsibility and accountability of ministers. That these principles were
the subject of publications in 2003 does not diminish in any way the duty
incumbent on the Applicant to comply with them, for they existed even during
his reign as minister a few years earlier. Referring back to the heading above,
therefore, the Commissioner did not violate procedural fairness by holding the
Applicant responsible on the basis of government documents published in 2003.
[130]
All of the
evidence above proves the involvement of the Applicant and his staff, for whom
he was responsible, in the Sponsorship Program. By “involvement in the
Sponsorship Program,” I mean selection of advertising agencies, selection of
events to sponsor and monetary amounts to allocate to those events. In my
opinion, Commissioner Gomery had before him sufficient evidence to support his
findings. In light of the standard of review established by the Court of Appeal
in Morneault, supra, I determine that no intervention on my part
is warranted in the case at bar.
3) Commissioner’s alleged failure to
provide reasons for his findings
[131]
The final
heading under the sufficiency of evidence section is the Applicant’s allegation
to the effect that the Commissioner failed to explain why he was disregarding
certain pieces of evidence in favour of others. The Applicant raises this
argument both as an example of the insufficiency of evidence in support of the
Commissioner’s findings and as a demonstration of the Commissioner’s bias
against him.
[132]
The
Commissioner argues that, on the contrary, the findings in his report are
strongly supported by the evidence, that the decision to favour one piece of
evidence over another simply goes to his weighing of the evidence, in respect
of which I must show considerable deference, and that, in any case, a
decision-maker’s obligation to provide reasons for his conclusions can vary
depending on the circumstances.
[133]
In Baker,
supra, the Supreme Court ruled that the duty of a decision-maker to
provide reasons for its decision was subject to various factors; it is not
absolute, in other words. L’Heureux-Dubé J., wrote as follows:
In my opinion, it is now appropriate to
recognize that, in certain circumstances, the duty of procedural fairness will
require the provision of a written explanation for a decision. The strong
arguments demonstrating the advantages of written reasons suggest that, in
cases such as this where the decision has important significance for the
individual, when there is a statutory right of appeal, or in other
circumstances, some form of reasons should be required. This requirement has
been developing in the common law elsewhere. The circumstances of the case at
bar, in my opinion, constitute one of the situations where reasons are
necessary. The profound importance of an H & C decision to those affected,
as with those at issue in Orlowski, Cunningham, and Doody, militates in favour
of a requirement that reasons be provided. It would be unfair for a person
subject to a decision such as this one which is so critical to their future not
to be told why the result was reached.
In my view,
however, the reasons requirement was fulfilled in this case since the appellant
was provided with the notes of Officer Lorenz. The notes were given to Ms.
Baker when her counsel asked for reasons. Because of this, and because there
is no other record of the reasons for making the decision, the notes of the
subordinate reviewing officer should be taken, by inference, to be the reasons
for decision. Accepting documents such as these notes as sufficient reasons
is part of the flexibility that is necessary, as emphasized by Macdonald and
Lametti, supra, when courts evaluate the requirements of the duty of fairness
with recognition of the day-to-day realities of administrative agencies and the
many ways in which the values underlying the principles of procedural fairness
can be assured. It upholds the principle that individuals are entitled to
fair procedures and open decision-making, but recognizes that in the
administrative context, this transparency may take place in various
ways.” I conclude that the notes of Officer Lorenz satisfy the requirement
for reasons under the duty of procedural fairness in this case, and they will
be taken to be the reasons for decision
(Baker, at
paras 43-44)
[134]
As stated
by the Supreme Court, the duty to provide written reasons for a decision to
meet the ends of procedural fairness varies according to the circumstances. However,
I did state above that, in my view, the Applicant was entitled to a high degree
of procedural fairness before the Commission. Considering the hundreds of
references contained in the Phase I Report, I am satisfied that the
Commissioner’s findings are sufficiently explained by written reasons. I am
quite aware that the number of references is not in itself an irrefutable
indication of the sufficiency of reasons for decision: one section of a
decision may be abundantly supported by references, while another that is
perhaps more critical for one of the parties may be less so. Be that as it may,
in the case at bar, it must be observed that the number of references does in
fact serve as a solid indication that Commissioner Gomery’s report was based
on meticulous attention to the evidence. Moreover, a close reading of the Phase
I Report allows me to observe that the Commissioner explains his reasons for
preferring certain pieces of evidence over others. Finally, those choices fall
under the Commissioner’s discretion to weigh evidence, to which, again by
virtue of the limitations imposed upon me by the standard established in Morneault,
supra, I must show considerable deference.
[135]
In
closing, I would emphasize that my role in this application for judicial review
was not to re-examine the evidence or substitute my conclusions for the
Commissioner’s:
I am satisfied from my own examination of
the Inquiry’s record that it contains some evidence to support each of the
findings which the Motions Judge found to be unsupported. I say this even if
the evidence may not appear to be wholly consistent for, in the final analysis,
it was for the Commission to weigh and assess the evidence of the various
witnesses in coming to its findings of fact. It scarcely requires mention that
such is not an easy task in the best of circumstances, and certainly not here
where the sense of frustration with some of the testimony is made readily
apparent in the Report. In my view, therefore, it is surely not the proper
function of a reviewing Court to assume the role of the Commissioners by
reweighing and reassessing the evidence that is here in dispute.
(Morneault, supra, para. 47)
[136]
While my
role was not to reweigh the evidence, I did nevertheless have to review the
evidence that was presented to the Commissioner in order to determine, still on
the basis of the applicable standard, whether there was some evidence in the
record to support the Commissioner’s findings. In the light of that review, I
am persuaded that the standard was met and that my intervention is not
warranted in this case. The evidence supporting the findings made with respect
to the Applicant is abundant, and I am of the opinion that the Commissioner did
not commit any error in assigning responsibility to the Applicant in connection
with the Sponsorship Program.
[137]
Since
procedural fairness was not violated, and since there is sufficient evidence in
the record to support the Commissioner’s findings, I dismiss the application
for judicial review.
JUDGMENT
THE COURT ORDERS AND ADJUDGES that:
(a) the application for
judicial review be dismissed;
(b) the findings appearing in
the Phase I Report which relate to the Applicant be upheld;
(c) the costs relating to this
application and to the interlocutory motion filed by the Applicant pursuant to
Rule 312, be awarded to the Attorney General.
“Max M. Teitelbaum”
FEDERAL COURT
SOLICITORS OF RECORD
DOCKET: T-2086-05
STYLE OF CAUSE: The
Honourable Alfonso Gagliano and the Honourable John H. Gomery, in his quality
as ex-Commissioner of the Commission of Inquiry into the Sponsorship Program
and Advertising Activities and the Attorney General of Canada and the House of
Commons
PLACE OF HEARING: Montreal, Quebec
DATE OF HEARING : May
8 and 9, 2008, May 26, 27 and 28, 2008, and June 19 and 20, 2008
REASONS FOR JUDGMENT BY: The Honourable
Max M. Teitelbaum
DATED: September
5, 2008
APPEARANCES:
Me
Pierre Fournier
514
843-6748
Me
Anouk Fournier
514 843-7932
|
For the Honourable Alfonso
Gagliano
|
Me
Raynold Langlois
Me Marie Cossette
Me Marie-Geneviève Masson
514 842-9512
Me Carole Brunet
514 283-8770
Me Pascale Catherine Guay
514 283-6145
Me André Lespérance
514 283-3525
|
For John H. Gomery
For the Attorney General of Canada
|
|
|
SOLICITORS OF RECORD
Fournier et associés
|
For the Honourable Alfonso
Gagliano
|
LANGLOIS KRONSTRÖM DESJARDINS, L.L.P.
John H. Sims, Q.C.
Deputy Attorney General of Canada
|
For John H. Gomery
For the Attorney General of Canada
|