Docket: T-1197-14
Citation:
2015 FC 357
Ottawa, Ontario, March 20, 2015
PRESENT: The
Honourable Mr. Justice Rennie
BETWEEN:
|
JULIET ANGELLA
MEYLER
|
Applicant
|
and
|
ATTORNEY
GENERAL OF CANADA
|
Respondent
|
JUDGMENT AND REASONS
I.
Nature of the Matter
[1]
This is a judicial review of a decision of the
Minister of Transport dated April 24, 2014, revoking the applicant’s
Transportation Security Clearance (TSC) at Pearson International Airport. For
the reasons that follow the application is allowed.
II.
Overview
[2]
The applicant is Juliet Meyler, an employee of
ServisAir Ltd., an airport ground handling company that operates out of Lester
B. Pearson International Airport in Toronto (Pearson). She has worked for
ServisAir for the past 16 years. From October 2012 to April 2014, she also held
a second, part-time job at Pearson, employed as a ramp agent for American
Eagle, a company contracted to provide ground services for the United Airlines.
[3]
Both of these positions required the applicant
to hold a valid transportation security clearance which allowed her to access
restricted areas at Pearson. Restricted areas within an airport are accessible
only to persons holding a “restricted area identity
card” (RAIC). A person cannot be issued a RAIC unless they also hold a
security clearance. Anyone who requires a RAIC must make an application to the
Minister for a security clearance. Under to section 4.8 of the Aeronautics
Act, RSC 1985, c A-2 (Aeronautics Act), the Minister has the
discretion to grant, refuse to grant, suspend or cancel a security clearance to
any person. In exercising this discretion the Minister relies on the guidelines
contained in the Transportation Security Clearance Program Policy (the TSCP
Policy).
[4]
The aim of the TSCP Policy is to prevent
unlawful interference with civil aviation by requiring classes of persons to
hold a security clearance. Individuals who apply for a security clearance are
subject to a comprehensive background check, including a fingerprint based
criminal records check with the Royal Canadian Mounted Police (RCMP) and a
review of relevant files of law enforcement agencies, including intelligence
gathered for law enforcement purposes.
[5]
When concerns are raised as to a person’s
entitlement to a security clearance, the TSCP Policy directs that the Director
of Security Screening Programs convene an Advisory Body. The Advisory Body, or
panel, is chaired by the Director and consists of members familiar with the
TSCP Policy. Before the Advisory Body is convened, the individual in question
is sent a letter informing them of information obtained regarding their
suitability to hold a security clearance, and inviting written submissions in
response. If the Advisory Body concludes that the individual’s presence in a
restricted area would be inconsistent with the aims and objectives of the TSCP
Policy, the Advisory Body may recommend to the Minister that the security
clearance be refused or cancelled.
[6]
The Minister, or his or her delegate, upon
receipt of the Advisory Body’s recommendation, makes the final determination
whether to refuse or cancel an individual’s security clearance.
III.
Application of the TSCP
[7]
The applicant was first granted a security
clearance in 2002. The clearance was valid for five years. In 2007, when the
applicant applied for and renewed her security clearance, she submitted to a further
background check. Her clearance was renewed at that time.
[8]
On November 8, 2013 the Chief of Security
Screening Programs for Transport Canada wrote to the applicant. The letter
alleged an unspecified association between the applicant and an unidentified
individual named “Subject ‘A’”. Subject A was said to be the “group leader of a drug importation ring at the Lester B.
Pearson International Airport” . The letter also alleged that the
applicant herself was a suspect of a criminal investigation into drug
importation at Pearson Airport which occurred between 2007 and 2009 – four
years prior to the letter being sent to the applicant.
[9]
The letter did not identify Subject A, the
nature of the alleged association between the applicant and Subject A, when the
alleged association arose, the duration of the alleged association or whether
the alleged association was still in effect. The letter also did not enclose
any documents; however, as of the date of the November 8, 2013 letter, the
respondent was in possession of the RCMP Law Enforcement Record Check (LERC)
dated October 31, 2013.
[10]
The letter invited the applicant to provide
information “outlining the circumstances surrounding
the above noted association”, as well as to provide “any other relevant information or explanation” within
20 days of receipt of the letter. The letter also stated that should the
applicant wish to discuss the matter further, she should contact Transport
Canada, and a name and telephone number were provided.
[11]
Upon receipt of the letter, the applicant called
Transport Canada and spoke with Security Screening staff member Mr. Christopher
McQuarrie. She requested details about the alleged association, but was told
that Transport Canada would not release any further information, and that if
she wanted further information she would have to speak with the RCMP who had
conducted the investigation.
[12]
On November 26, 2013, the applicant sent a one
page letter to Transport Canada in which she denied having any knowledge of the
identity of Subject A as well as any involvement in drug smuggling activities.
[13]
As a result of the suggestion made by Mr.
McQuarrie that she speak with the RCMP, the applicant visited the RCMP station
in Etobicoke in December, 2013. The applicant spoke with an RCMP supervisor and
asked for particulars of the investigation referred to in the letter. The
applicant also showed the supervisor the letter in issue, and told the
supervisor she needed particulars in order to be able to respond to the letter.
The RCMP supervisor informed the applicant the investigation was “ongoing” and
the RCMP would not release any further information.
[14]
The applicant sent a second letter to Transport
Canada setting out a list of individuals to contact for character references.
In response, Security Screening called the applicant to inform her that she was
responsible for obtaining letters from these persons and submitting them to
Transport Canada for consideration by the Advisory Body. Four letters of reference
in support of the applicant were subsequently received by the Advisory Body.
[15]
The applicant sent a third letter to Transport
Canada on December 18, 2013. This letter enclosed the applicant’s financial
records as the applicant thought it would be useful to provide banking
information to show that she was not profiting from any sort of criminal
enterprise. Ms. Meyers again denied any involvement with drug smuggling.
[16]
On March 11, 2014, the Advisory Body met to
review the matter and made a recommendation to the Minister that the
applicant’s security clearance be cancelled on the grounds that there was
reason to believe, on a balance of probabilities, that the applicant may be
prone or induced to commit an act, or assist or abet an individual to commit an
act that may unlawfully interfere with civil aviation pursuant to sections I.4
and II.35 of the TSCP Policy.
IV.
Decision
[17]
On April 17, 2014, the file relating to this
matter was put before the Minister’s delegate; Ms. Brenda Hensler-Hobbs, Acting
Director General, Aviation Security of Transport Canada. In a one-page
decision, the delegate concluded that the applicant’s “suspected
involvement in the trafficking of narcotics through the Lester B. Pearson
International Airport raised serious concerns regarding her judgment,
reliability and trustworthiness”. Further, the decision noted that the
applicant was “closely associated to an individual
deemed to be the group leader of the movement of narcotics through the airport
and that the applicant herself has been identified by a reliable human source,
and by two (2) RCMP investigations as being involved in the importation and
exportation of controlled substances…”
[18]
Finally, the decision concluded that although
the applicant provided a written statement and supporting documents, “they did not provide sufficient information to address my
concerns”. Ms. Hensler-Hobbs therefore concurred with the Advisory
Body’s recommendation and cancelled the applicant’s security clearance.
[19]
The applicant was informed of the decision on
April 24, 2014.
[20]
One of the applicant’s two employers, American
Eagle, immediately terminated the applicant’s employment. ServisAir did not
terminate the applicant’s employment; rather, in recognition of the applicant’s
employment history, assigned her to other duties and gave her time to restore
her security clearance.
V.
Issues
[21]
The applicant advances four issues; whether the
respondent owes a duty of fairness to the applicant; the nature of the duty of
fairness owed by the respondent to the applicant in this case; whether the
respondent violated its duty of procedural fairness by failing to make
sufficient disclosure or failing to provide sufficient reasons for its decision
and whether the decision made by the respondent was unreasonable based upon the
evidence before it at the time.
[22]
The applicant submits that the respondent’s
non-disclosure of thirteen documents, including the RCMP LERC report, the Case
Summary presented to the Advisory Body, two CPIC checks on the applicant which
the respondent obtained, and various background documents amounted to a breach
of procedural fairness. Therefore the applicant’s ability to respond to the
allegations against her was significantly diminished.
[23]
In my view, these issues distil to the central
question as to the nature and extent of the duty of fairness owed and whether
it was breached. As I find that the requirement of procedural fairness was
not discharged in the context of this case, there is no need to address the
ancillary questions.
VI.
Relevant Provisions
[24]
Section 4.8 of the Aeronautics Act
provides:
4.8 The Minister may, for the purposes of this Act, grant or
refuse to grant a security clearance to any person or suspend or cancel a
security clearance.
|
4.8 Le ministre peut, pour l’application de la présente loi,
accorder, refuser, suspendre ou annuler une habilitation de sécurité.
|
VII.
Analysis
A.
The standard of review
[25]
The standard of review of a decision of the
Minister’s Delegate under section 4.8 of the Aeronautics Act is
reasonableness: Lorenzen v Canada (Transport), 2014 FC 273 at para 12.
The standard of review with respect to whether there has been a breach of
procedural fairness is correctness: Lorenzen at para 12; Mission
Institution v Khela, 2014 SCC 24; Canada (Citizenship and Immigration) v
Khosa, [2009] 1 S.C.R. 3 at para 43.
B.
Was there a breach of procedural fairness
[26]
The case law establishes that where the decision
involves the revocation of an existing security clearance, as here, a higher
level of procedural fairness becomes engaged because an existing status or
privilege is being taken away: Koulatchenko v Financial Transactions and
Reports Analysis Centre of Canada, 2014 FC 206.
[27]
In Xavier v Canada (Attorney General),
2010 FC 147, the applicant’s airport security clearance was revoked as a result
of criminal charges that were ultimately withdrawn. The applicant made
submissions to the Board following the investigation; however several pieces of
information were not disclosed to the applicant. In holding that the applicant
was unable to provide a meaningful response, Justice O’Reilly rejected the
respondent’s argument that the duty owed was relatively low, noting that the
cases cited by the respondent dealt with a denial of a security clearance in
the first instance rather than a revocation. Specifically, Justice O’Reilly explained
at para 13:
The Minister suggests that the degree of
fairness owed to Mr. Xavier is relatively slight, according to the factors
outlined in Baker v. Canada (Minister of Citizenship and
Immigration), [1999] 2 S.C.R. 817. Further, he suggests that this Court
found this to be so in Irani v. Canada (Attorney General), 2006
FC 816 and Motta v. Canada (Attorney General) (2000), 180 F.T.R.
292. I note that the latter cases dealt specifically with the granting of a
TSC, not the cancellation of one. Further, there were no allegations of
misconduct against the applicants and no risk that they would lose their jobs.
Here, Mr. Xavier has been accused of serious offences, and was fired. The duty
of fairness owed to him was greater than in the cases cited by the Minister.
That duty must include, at least, the disclosure to him of information to be
put before the Advisory Body and an opportunity to respond to it.
[28]
Similarly, in Russo v Canada (Minister of
Transport, Infrastructure and Communities), 2011 FC 764 at para 57, Justice
Russell differentiated between a decision to deny a clearance and a decision to
revoke clearance, stating that “the level of procedural
fairness required with respect to the denial of an initial application for a
clearance, as opposed to a revocation, is minimal”.
[29]
In my view, given the elevated degree of
procedural fairness owed to the applicant, the respondent breached the duty by
failing to make adequate disclosure of information which was put before the
Advisory Body. The only disclosure provided to the applicant was the letter
from the Chief of Security Screening Programs for Transport Canada dated
November 8, 2013. It is clear from the text of Ms. Hensler-Hobb’s decision
that there was much more information before the Advisory Board than was
disclosed to the applicant.
[30]
The respondent submits that the letter provided
to the applicant on November 8, 2013 provided sufficient disclosure, as it “repeated virtually verbatim the details of the LERC report
including that certain information was provided by ‘reliable sources’”.
There were, however, material omissions. For example, the LERC report contained
the alleged associate’s (Subject A) Transportation Clearance number, but this
information was not disclosed to the applicant in the letter sent November 8,
2013. In addition, the LERC report explained that Subject A “[h]ad a valid RAIC, but in August 2013 the Advisory Body
recommended cancelling his security clearance…” This information was not
contained in the November 8, 2013 letter to the applicant and instead the
letter stated that Subject A “[d]oes not have a valid
RAIC”, thereby implying that Subject A never held a valid RAIC.
[31]
It must be remembered that the applicant’s
submission, both to the Advisory Panel and before this Court was that she did
not know who it was she was said to be closely associated with, nor was she
aware of the drug smuggling scheme with which she was implicated. The omitted
information could have assisted the applicant in determining who it was she was
alleged to have been associated. If she had known this information, the
applicant may have been able to provide a more meaningful response to the
Advisory Body, including details regarding the nature, if any, of her
association with the individual; the duration of the association; the time
period during which any association took place; the circumstances in which the
association occurred; whether any association was ongoing; and if it was
ongoing, any steps she was willing to take to disassociate from the individual.
[32]
The circumstances of this case stand in marked
contrast to all others relied on by the respondent. For example, the
decision in Clue v Canada (Attorney General), 2011 FC 323 is a useful counterpoint to the facts at hand.
In Mr. Clue’s case, his security clearance was suspended subject to a review of
two matters of concern; a pending criminal investigation due
to Clue's purchasing of a stolen Air Canada parking pass and an incident
involving Mr. Clue's alleged placing of a gym bag containing a loaded handgun onboard
an aircraft bound for Jamaica. Mr. Clue knew all too well why his
clearance was revoked.
[33]
Similarly, in Lorenzen v Canada (Transport), 2014 FC 273, Rivet v Canada (Attorney General), 2007 FC
1175, Lavoie v Canada (Attorney General), 2007 FC 435, Peles v Canada
(Attorney General), 2013 FC 294, Pouliot v
Canada (Minister of Transport, Infrastructure and Communities), 2012 FC 347, and Russo, security clearances were either denied or suspended based on the
respective applicant’s pending criminal charges or criminal convictions. In
every case relied on by the respondent it can be said that the basis of the
security concern was readily apparent from the circumstances.
[34]
Unlike Mr. Clue, the applicant Meyers sought additional
particulars of the allegations against her from both Transport Canada and the
RCMP and no additional information was provided. Additionally,
no information was disclosed to the applicant in regards to the “reliable
sources” cited in the November 8, 2013 letter. The revocation letter dated April
24, 2014, indicated that the applicant had been identified by a “reliable human
source”. No information was provided to the applicant regarding what this
source said.
[35]
In sum, the applicant has lost her employment on the basis of
allegations that sometime perhaps between 2007-2009, or perhaps subsequent to
2009 and 2013, she associated, in some unspecified way, with a certain
unspecified individual in a major drug importation scheme at Pearson. Other
than a minor charge many years ago for the theft of children’s Tylenol from a
drug store, the applicant has no criminal record. She has never been
interviewed in respect of the alleged criminal activity relied on in the
decision letter. She has never been charged in respect of these matters.
[36]
What was the case the applicant was to meet?
Was her involvement in a plot between 2007-2009, as the decision letter
indicated, or was it her involvement in a current investigation, as suggested
by the RCMP? Why did the Department of Transport wait over three years before
acting on the information, said to originate from reliable sources? The case
the applicant had to meet was a miasma of unspecified allegations and distilled
to the assertion that at some point between 2007 and 2013 she associated with
an unidentified person who was involved in drug smuggling at Pearson. How she
was associated, and what she, in particular, did in respect of the smuggling
operation, even in the most rudimentary terms of date, time and place, remain
unknown.
[37]
In cases involving a revocation of a security
clearance on the basis of police reports of criminal activity, and involving
allegations from third-party information relied upon by the decision maker and
which the applicant was not provided an opportunity to challenge, the applicant
should be afforded an opportunity understand the case against her and make
informed submissions: Xavier; DiMartino v Canada (Minister of
Transport), 2005 FC 635. However, procedural fairness does not require
identification of informants. In this regard, I agree with Justice Barnes, who
in Clue, noted at para 17:
In this case the procedures designated by
the Clearance Program were followed. Mr. Clue was advised of the allegations
and invited to respond. Neither the Director nor the investigator were under any
obligation to disclose the identity of an informant and Mr. Clue has offered no
rationale for how the absence of that information might have limited his
ability to respond to the allegations against him. For the purposes of an
administrative process like this one, Mr. Clue was provided with disclosure
sufficient to respond and he did so. He was also represented by counsel. It was
open to Mr. Clue to seek additional particulars of the allegations against him
but there is nothing in the record to indicate that he made such a request.
Finally, the reasons given by the Director are adequate to support the decision
to revoke Mr. Clue's TSC. I can identify no breach of the duty of fairness in
the process that was followed in rendering this decision.
[38]
Police informer-privilege is non-discretionary and extremely
broad in application: Named Person v Vancouver Sun, 2007 SCC 43 at para
26. In the criminal justice context, any information which might tend to
identify an informer is protected by the privilege unless the innocence at
stake exception is relied upon. The Minister points to the abundance of case
law recognizing informer privilege and contends that the high public interest
served by the privilege renders it absolute.
[39]
Informer privilege should be preserved and protected. As the
Supreme Court wrote in R v Leipert, [1997] SCJ No 14 at para 18,
informer privilege prevents not only disclosure of the name of the informant,
but of any information which may implicitly reveal her or his identity.
However, the Court also noted in Leipert at para 19 that in “many cases, the Crown will be able to
contact the informer to determine the extent of information that can be
released without jeopardizing the anonymity of the tipster”. I
recognize that there are circumstances where even such neutral information may,
through the mosaic effect, compromise the informant, but that is not asserted
in the present case. All that is asserted is a blanket refusal by the
respondent to disclose any informant-based information.
[40]
In the present case, no consideration given to what elements of
the source based information could be disclosed to the applicant without
compromising the source, such as dates, times, nature of the activity. Indeed,
if the applicant had been criminally charged, the bare minimum requirements of
an indictment would have demanded that more information be provided to the
applicant than what she was given in the present proceeding. The applicant in
the present case was unable to respond to the case against her, as she knew neither
the time, date, nor the precise activity which gave rise to revocation.
[41]
I turn next to the second ground of attack, namely the
reasonableness of the decision. In this regard it is to be remembered that the
applicant submitted her financial statements on her own volition.
[42]
There are cases, rare as they are, where no information can be
disclosed without compromising a source. If this is in fact one of those
cases, the decision letter must include, in the interests of procedural
fairness, evidence that the decision maker addressed his or her mind to the
extent to which information could be disclosed without compromising the source.
Therefore, to the extent that disclosure can be made without identifying an
informer or source, information should be disclosed if necessary to satisfy the
requirements of natural justice.
[43]
The statements revealed no large sums of money transiting through
her account. Nonetheless, the Advisory Body concluded that “it is not uncommon for individuals who are
involved in the importation of drugs to be paid for their services by taking a
cut in a percentage of the drugs, and not in cash or in a monetary fashion”.
In the context of information known only to the panel, this may be a reasonable
inference to draw from the financial records. However, this inference,
standing as it does in a factual vacuum, with no indicia or evidence to support
the inference, falls short of the Dunsmuir v New Brunswick, 2008 SCC 9,
criteria of transparency and intelligibility.
[44]
The financial records of most Canadians are, hopefully, devoid of
transactions that are consistent with drug related profits. To conclude from
the absence of such transactions that the applicant was remunerated by a cut of
the drugs themselves, is, in the absence of further information, neither
transparent nor rational. That conclusion may be open to the Panel, but only
if they disclosed to the extent possible, the basis upon which the inference
was drawn.