Docket:IMM-7429-13
Citation:
2015 FC 244
Toronto, Ontario, February 25, 2015
PRESENT: The
Honourable Mr. Justice Brown
BETWEEN:
|
SIVASHANKAR NAVARATNAM
|
Applicant
|
and
|
THE MINISTER OF CITIZENSHIP
AND IMMIGRATION
|
Respondent
|
JUDGMENT AND REASONS
[1]
This is an application for judicial review by
Sivashankar Navaratnam [the Applicant] under subsection 72(1) of the Immigration
and Refugee Protection Act, SC 2001, c 27 of a decision by an immigration
officer [the Officer] of Citizenship and Immigration Canada, dated August 28,
2013, wherein the Officer refused the Applicant’s pre-removal risk assessment
application [PRRA] and determined that he was not a Convention Refugee or a
person in need of protection.
[2]
This application is granted for the following
reasons:
[3]
The Applicant was born on June 23, 1979 in Sri Lanka (Jaffna), and raised in Mannar, which is situated in the north of the country. He is a
Citizen of Sri Lanka of Tamil ethnicity and Hindu faith. He came to Canada on September 6, 2010 and claimed refugee protection on September 8, 2010. His claim
was refused by the Refugee Protection Division [RPD] on August 4, 2011. The
Applicant applied for judicial review of the RPD’s decision, but leave was
dismissed November 30, 2011 (IMM-6071-11). The Applicant made an application
for permanent residence on humanitarian and compassionate grounds [H&C].
His H&C application was refused by Citizenship and Immigration Canada [CIC]
on March 23, 2013. He applied for a PRRA which was rejected (by the same CIC Officer)
on August 23, 2013. The Applicant filed an application for leave and judicial
review of the PRRA on November 20, 2013, subsequent to which this Court ordered
a stay of the Applicant’s removal on December 10, 2013 pending the outcome of
this application. On November 21, 2014 the Court granted leave to apply for
judicial review.
[4]
I mention these facts to emphasize that the PRRA
Officer’s decision of August, 2013 was given some 18 months ago, and that the
decision on the underlying refugee claim of August 2011 to which the PRRA Officer
referred, was rendered 44 months ago.
[5]
As to the standard of review, in Dunsmuir v
New Brunswick, 2008 SCC 9 at paras 57, 62 [Dunsmuir], the Supreme
Court of Canada held that a standard of review analysis is unnecessary where “the jurisprudence has already determined in a satisfactory
manner the degree of deference to be accorded with regard to a particular
category of question.” The question of whether the PRRA Officer applied
the right legal test is a question of law that should be reviewed on the
correctness standard of review: Williams v Canada (AG), 2010 FC 701 at
para 10; Mcdonald v Canada (Minister of Human Resources and Skills
Development), 2009 FC 1074 at para 6. In Dunsmuir at para 50, the
Supreme Court of Canada explained what is required of a court reviewing on the
correctness standard of review:
When applying the correctness standard, a
reviewing court will not show deference to the decision maker’s reasoning
process; it will rather undertake its own analysis of the question. The
analysis will bring the court to decide whether it agrees with the
determination of the decision maker; if not, the court will substitute its own
view and provide the correct answer. From the outset, the court must ask whether
the tribunal’s decision was correct.
[6]
The question as to whether or not the PRRA
decision is reasonable is a question of mixed fact and law and should be
reviewed on the reasonableness standard: Micolta v Canada (Minister of
Citizenship and Immigration), 2015 FC 183 at para 13. In Dunsmuir at
para 47, the Supreme Court of Canada explained what is required of a court
reviewing on the reasonableness standard of review:
A court conducting a review for
reasonableness inquires into the qualities that make a decision reasonable,
referring both to the process of articulating the reasons and to outcomes. In
judicial review, reasonableness is concerned mostly with the existence of
justification, transparency and intelligibility within the decision-making process.
But it is also concerned with whether the decision falls within a range of
possible, acceptable outcomes which are defensible in respect of the facts and
law.
[7]
The Applicant submitted in his PRRA application
that he was at risk of persecution or harm in Sri Lanka from the Sri Lankan
army, government and paramilitary groups associated with the government for the
following reasons: (1) he is a Tamil from the North of Sri Lanka; (2) he will
be perceived to be a supporter or a member of the Liberation Tigers of Tamil
Eelam [LTTE]; (3) his age profile as a young Tamil male from Jaffna; (4) past
allegations and persecution he experience; (5) he will be returning as a failed
asylum claimant. I emphasize that the Applicant identified, and the Officer
acknowledged as a ground for his PRRA, that the Applicant would be returning as
a failed asylum claimant if his PRRA was rejected.
[8]
After surveying key findings of the 2011 RPD
decision, the PRRA Officer said that the Applicant had simply restated his case
without addressing the credibility concerns raised by the RPD. In substance,
the Officer said, the risks identified by the Applicant in his PRRA application
were the same as those heard by the RPD. The Officer explained that a PRRA
application is not an appeal of the RPD decision, which is final “subject only to new, different or additional risk
developments that could not have been contemplated by the RPD”. The PRRA
Officer also found that the Applicant’s past treatment, in and of itself, did
not warrant a granting of protection which finding is not controversial.
[9]
However, the Officer found that the new
evidence filed by the Applicant for the PRRA, namely a police report and a
letter by the Applicant’s father regarding threats following his departure for
Canada, did not lead to a different conclusion than that of the RPD. The
Officer rejected and thereafter ignored both the father’s letter and the police
report from Sri Lanka. The Officer gave three reasons for rejecting both the
father’s letter and the police report. The Court’s comments follow each:
(1)
the letter was rejected because of several
matters the Officer wanted information on, including police progress in the
matter, no threatening visits since the date of the letter, why other than not
paying ransom the perpetrators of the threatening visits are interested in the
Applicant, lack of corroboration of the visits, the letter’s failure to
specifically identify the perpetrators, and an explanation of how the
perpetrators would kill the Applicant if they did not know where he was;
Court comment: Several errors are made in the assessment of the letter and police
report. It is well established that a demand for documentary corroboration is
not warranted without valid grounds to do so, which were absent in this case: Ahortor
v Canada (Minister of Employment and Immigration), [1993] FCJ No 705; Zheng
v Canada (Minister of Citizenship and Immigration), [2007] FCJ No 1267. It
is an error to focus exclusively on what is not submitted in documents and fail
to undertake any meaningful analysis of written testimony, as happened here: Botros
v Canada (Minister of Citizenship and Immigration), [2013] FCJ No 1124 [Botros]
and cases cited therein. It is an error to dismiss evidence (as the Officer
appears to have done) based on the fact that other evidence would have been
more desirable: Botros; Mui v Canada (Minister of Citizenship and
Immigration), 2003 FC 1020. In asking the father to
“identify” the extortionists, the Officer demanded too much; few if any
criminals identify themselves to their victims. To ask how they would kill the
Applicant is to show how unreasonable that line of complaint is – extortionists
operate on fear and it is obvious they can only carry out their threat if they
had the Applicant’s whereabouts. And it is unclear what additional reasons the
panel expected the extortionists to have for seeking the Applicant, and equally
unclear why the absence of additional reasons is relevant. It is clear that the
extortionists wanted to be paid.
(2)
The letters were copies and missing original
envelopes;
Court comment: this finding is reasonable. Counsel for the Applicant advised that
counsel routinely send copies and keep the originals on file, suggesting some
sort of fairness procedure was warranted before the Officer rejected this new
evidence on this ground. I am not prepared to rule against this finding or on
the alleged practice of filing copies and not originals. I note the duty of
counsel to put their best foot forward and to comply with the applicable rules
regarding documents. I recognize that lawyers tend to keep originals on file
and perhaps they should tell the PRRA Officer the originals are in their files
where there is a concern that critical originals might go missing if the
originals are filed. Perhaps parties must change their practice and give the
originals to the RPD if that is indeed the RPD’s practice, but I make no ruling
in this regard.
(3)
The two documents predated the H&C but had
not been submitted at that time the Officer conducted the previous H&C;
Court comment: Counsel noted S.M.S. v
Canada (Minister of Citizenship and Immigration), [2008] FCJ 1647 for the
position that Officers considering both an H&C and PRRA must consider the
totality of the evidence in both determination in making the decision in each,
a proposition with which I might agree, but it does not appear that these
decisions were made at the same time albeit they were made by the same Officer.
That said, I know of no rule that renders inadmissible or allows an Officer to
ignore new evidence, on the basis that it could have been but was not filed
previously, and I am not prepared to adopt such a rule in this case.
[10]
Overall and read as a whole, the Officer acted
unreasonably in rejecting the father’s letter and the police report because one
cannot discern which of the three stated reasons was determinative, although
likely the first ground disposed of both documents. In my view, the PRRA
Officer improperly excluded relevant new evidence, and therefore the decision
must be set aside.
[11]
Additional concerns were raised by the Applicant
which reinforce the decision to order a redetermination, the principal one
being the Officer’s failure to deal with the Applicant’s profile as a failed
asylum seeker. The Officer identified this as a ground of review. However other
than mentioning this ground at the outset, the PRRA Officer does not assess or
even mention that the Applicant is a failed asylum seeker anywhere else in the
decision. Therefore this case is similar to Suntharalingam v Canada
(Minister of Citizenship and Immigration), 2014 FC 987 [Suntharalingam]
in which the RPD failed to assess the implications of returning Tamils from the
north who are failed asylum seekers, notwithstanding there was evidence on the
record, as there is in the case at bar, that failed asylum seekers are at
material risk. In Suntharalingam at paras 50-51 I ruled:
[50] On review of the record before the
RPD there was evidence that failed refugee claimants returning to Sri Lanka
have been both detained and tortured (Freedom from Torture Report at 7;
UNHCR Guidelines at 8; Risk of failed asylum seekers of Tamil ethnicity upon
return to Sri Lanka,). The RPD did not refer to this issue not to any
specific documents in this regard. Nor does it address the specific concern of
a returning failed refugee claimant. In my respectful view, the RPD had a duty
to consider whether there is a serious possibility of persecution of the
applicant as a failed refugee returnee.
[51] As a result, I find the RPD’s
conclusion does not meet the Dunsmuir, above, requirements of
“justification, transparency and intelligibility” (at para 47). Given the
seriousness of the potential consequences and the absence of both consideration
and reasoning on this point, in my view the RPD’s decision is unreasonable and must
be set aside.
[12]
There is a further reason to set aside the
decision below. In assessing persecution, the Officer ruled that “the evidence before me does not support that the applicant
faces a personalized risk of harm there as a result”. This was the wrong
test. The Federal Court of Appeal rejected “personalized
risk of harm” as the legal test some time ago, stating “the applicant does not have to show that he had himself been
persecuted in the past or would himself be persecuted in the future…” It
is sufficient, and the Federal Court of Appeal stated, that persecution is
established if it is “committed or likely to be
committed against members of a group to which he belonged”: Salibian
v Canada (Minister of Employment and Immigration), [1990] FCJ No 454 (FCA).
Applying the wrong legal test requires the decision to be set aside.
[13]
I raised with both parties at the hearing the
Court’s concern about relying on outdated decisions in deciding this judicial
review. I appreciate the general rule is that judicial review is conducted on
the record subject to the filing of admissible new evidence. And while the RPD
makes a comprehensive assessment under sections 96 and 97, the PRRA Officer on
his or her subsequent review must also assess risk. But it is well known that
the situation in Sri Lanka is changing. The original RPD decision was made in
what might be called the after-glow of the peace. On December 17, 2010 the PRD
identified a persuasive decision relaxing its position concerning the return to
Sri Lanka of Tamil males from the North. However, this early optimism was
misplaced as evidenced by Canadian and other refugee authorities. In December
2012 the UNHCR replaced its 2010 Guidelines for Tamils returning to Sri Lanka because the circumstances for Tamils returning to Sri Lanka had deteriorated. In the case
at bar, the RPD’s 2011 decision relied on the 2010 UNHCR Guidelines which while
then current, are now no longer current.
[14]
The PRRA Officer also relied on the 2010 UNHCR
Guidelines to the extent he relied on the earlier RPD country condition
findings, although by then they no longer applied. I must add that the PRRA
Officer was under a duty to consult up to date country condition documents. The
fact that the PRRA Officer failed to identify, assess or even mention the 2012
UNCHR Guidelines requires that this decision, made as it was in August 2013, be
set aside.
[15]
Since the change in the UNHCR Guidelines, the
situation for Tamils returning to Sri Lanka appears to have deteriorated
further. In April, 2013 the Prime Minister of Canada’s special envoy to Sri Lanka, after his investigation, reported that what was happening to Tamils in Sri Lanka was “soft ethnic cleansing”. In October 2013, the
Prime Minister of Canada boycotted the Commonwealth Heads of Government Meeting
hosted by Sri Lanka because of Sri Lanka’s human rights issues including
treatment of Tamils. The Swiss ceased removals to Sri Lanka in later 2013. In
terms of the position adopted by Canadian refugee authorities, I find it very
noteworthy that on November 7, 2014 the RPD revoked its 2010 Tamil-related
persuasive decision: see Policy Note: Notice of Revocation of Persuasive
Decision VA9-02166. These are all matters of public record.
[16]
I appreciate that all these new developments
were not before the PRRA Officer. However, a major point of a PRRA is to make
sure Canada has got its risk assessment right before a claimant is deported.
The PRRA Officer is the last line of risk assessment, subject to the removal
officer’s limited decision. There is no point in having a PRRA if it is to
proceed on information known to be incorrect. Given this and the fluid
situation in Sri Lanka concerning Tamils generally and returning failed asylum
seekers specifically, in remitting the matter for redetermination by a different
PRRA officer, in my view it is appropriate that new evidence be filed.
[17]
Neither party proposed a question for
certification, and I see no question to certify.