Quebec (Attorney General) v. Laroche, [2002] 3 S.C.R. 708,
2002 SCC 72
The Attorney General of Quebec Appellant
v.
Laurent Laroche and Garage Côté Laroche Inc. Respondents
and
The Honourable Claude Pinard, J.C.Q. Mis en cause
and
The Attorney General of Canada and
the Attorney General for Ontario Interveners
Indexed as: Quebec (Attorney General) v. Laroche
Neutral citation: 2002 SCC 72.
File No.: 28417.
2002: January 16; 2002: November 21.
Present: McLachlin C.J. and L’Heureux‑Dubé,
Gonthier, Iacobucci, Bastarache, Arbour and LeBel JJ.
on appeal from the superior court of quebec
Criminal law — Proceeds of crime — Restraint order
— Special warrant of seizure — Application for review — Burden of proof — Exercise
of power of review — Whether power of review may be exercised only within
limits defined by courts in wiretap authorization reviews — Whether review
judge may consider validity of search warrants underlying seizure and restraint
proceedings — Whether review judge erred in quashing restraint order and
special warrants of seizure — Criminal Code, R.S.C. 1985, c. C‑46,
ss. 462.32 , 462.33 , 462.34 , 462.37 .
Criminal law — Proceeds of crime — Restraint order
— Nature and scope of restraint orders — Whether restraint order a seizure
within meaning of s. 8 of Canadian Charter of Rights and Freedoms —
Criminal Code, R.S.C. 1985, c. C‑46, s. 462.33(3) .
Constitutional law — Charter of Rights —
Unreasonable search or seizure — Restraint order on certain property under
Criminal Code — Whether restraint order a seizure within meaning of s. 8
of Canadian Charter of Rights and Freedoms — Criminal Code, R.S.C. 1985, c. C‑46,
s. 462.33(3) .
L operated Garage Côté Laroche Inc., whose principal
business was repairing seriously damaged road vehicles. Renting out industrial
condominiums was added to the business, and the rentals are an important source
of income. In the course of an audit, an employee of the Société de
l’assurance automobile du Québec (SAAQ) found serious irregularities in five
rebuilt vehicle files submitted by the Garage. The employee was convinced that
the certificates of technical compliance for the vehicles had been obtained
illegally, and referred the files to the police. After an investigation, the
five vehicles were seized. The Crown filed charges of forgery, uttering forged
documents and possession of stolen property against L. The police
investigation covered dozens of rebuilt vehicle files as well as recent real
estate acquisitions. Based on the affidavit of an investigator, the Court of
Québec granted a restraint order and issued seven special warrants of seizure
under ss. 462.32 and 462.33 of the Criminal Code , covering
both the immovable properties and the vehicles. When the police executed the
warrants, they seized 24 vehicles that were not covered by the warrants
and restraint order. The respondents then brought an application for review in
the Superior Court under s. 462.34 of the Code and s. 24(1) of
the Canadian Charter of Rights and Freedoms . The Superior Court granted
the application and quashed the restraint order and special warrants of seizure
in full.
Held (McLachlin C.J.
and Arbour J. dissenting in part): The appeal should be allowed in
part. The restraint order and warrants of seizure authorized by the Court of
Québec should be restored, except in respect of the 24 motor vehicles seized
without authorization.
Per L’Heureux‑Dubé,
Gonthier, Iacobucci, Bastarache and LeBel JJ.: The special warrant
of seizure provided for in Part XII.2 of the Criminal Code
constitutes a seizure with change of possession. A restraint order must be
characterized as a seizure within the meaning of s. 8 of the Charter .
Such an order supplements seizures that are taking place contemporaneously and
freezes the property. The status of the person in possession of the property
is that of caretaker or administrator of his or her own property. The property
is placed under the legal and actual control of the criminal justice system.
The purpose of this measure for exercising control is to facilitate criminal
investigations and prevent the disappearance or wasting of the property. Doing
this makes it possible to punish the crimes in question more effectively and
facilitates the enforcement of any orders of forfeiture.
A judge may make a restraint order or issue a general
warrant of seizure in respect of property if there are reasonable grounds to
believe that an order of forfeiture may be made in respect of the property
under s. 462.37(1) or 462.38(2). The express reference to
s. 462.37(1) in the English version of s. 462.37(2) means that any
order of forfeiture made under that second subsection is in fact made under the
first subsection.
While the principles stated in the wiretap case law
concerning the importance of the role of the authorizing judge, and the
obligations of the public officials who seek those wiretaps, remain relevant,
the wording of s. 462.34(6) of the Code calls for the use of an
analytical framework which differs substantially from the framework by which a
judge who must review a wiretap authorization is governed. The reviewing judge
must decide whether he or she would have made the same decision as the
authorizing judge, having regard to all of the evidence in the judge’s
possession following the hearing. If the reviewing judge is of a different
opinion, he or she must correct the initial error. The applicant bears the
burden of establishing, on a balance of probabilities, that the authorization
should not have been granted. The applicant must demolish the appearance of
validity attached to the authorization.
The Superior Court correctly held that it could review
the validity of the search warrants underlying the seizure and restraint
proceedings. In this case, recognizing that the reviewing judge has
jurisdiction that permits him or her to consider allegations that s. 8 of
the Charter has been seriously violated does not adversely affect the
fundamental interests of the administration of justice and makes it possible to
offer an effective remedy against a restraint order and warrants of seizure.
The restraint order will not necessarily be debated and reviewed in the course
of the criminal trial. When the defects in the decision authorizing a warrant
of seizure or restraint order result from some unconstitutional illegality in
the underlying search warrants, it would be difficult to examine the legal
situation properly without considering those various proceedings as a whole,
and without having regard to their close legal and factual connections. A
requirement that the remedy be sought by certiorari would amount to
undue procedural strictness. The Superior Court already exercises inherent
jurisdiction over all aspects of the proceedings. Moreover, an application for
a remedy under s. 24 of the Charter may be joined with the
application for review and so allows that aspect of the case to be brought
before the court in any event.
The information obtained by the SAAQ employee had
originally been provided by the respondents in compliance with legislative and
regulatory obligations. They should have known that this information would be
examined and audited by the SAAQ and was therefore not private in relation to
the government. In carrying out and expanding his investigation, and
transmitting information to the police, the employee was merely performing the
duties of his position. That information constituted reasonable and probable
grounds for obtaining the search warrants. The affidavit sworn by the
investigator contained weaknesses and errors, but they did not mean that it
could be given no weight at all for the purposes of making the order. Having
regard to the information obtained through the administrative investigations
and searches, the Crown had reasonable and probable grounds, at the
authorization stage, to believe that the property in respect of which the
restraint order and warrants of seizure were sought was proceeds of crime and
could eventually have been the subject of an order of forfeiture. The onus was
on the respondents, on review, to establish that the warrants of seizure should
not have been issued and the restraint order should not have been made by the
authorizing judge, on a balance of probabilities. Having failed in their
attack on the underlying warrants, the respondents then had to present evidence
to explain the source of the property, in order to establish, on a balance of
probabilities, that it was not proceeds of crime. In this case, if the
reviewing judge had applied Colarusso correctly, and had correctly
understood the nature of the evidence that was required for judicial review, he
would have had to dismiss the application for review, except in respect of the
24 vehicles seized without authorization. There was no basis in law for
the restraint or seizure of those vehicles, and the Crown was unable to
establish that those vehicles were connected with criminal activities. Nor did
it establish that the vehicles might be the subject of an order of forfeiture
as proceeds of crime. For the other vehicles, the evidence wrongly excluded by
the review judge related those vehicles to criminal activities involving fraud,
falsifying documents and possession of stolen property and the respondents
presented no evidence that effectively contradicted the information relied on
in support of the application for the restraint order. With respect to the
immovables, the respondents had to establish, on a balance of probabilities,
that they were not proceeds of crime and that therefore there were no
reasonable and probable grounds for making the restraint order. It was not
required that innocence be proved at that stage. Essentially, they had to
establish the origin of the funds with which the immovables had been purchased,
according to that standard of proof, something which they did not succeed in
doing.
Per McLachlin C.J. and
Arbour J. (dissenting in part): The Superior Court erred in setting
aside the warrants and the restraint order on the vehicles covered by the
warrants. Assuming without deciding that the court had the power to exclude
the evidence obtained as a result of the initial seizures, its decision to do
so cannot be justified. The SAAQ was entitled to report the information it
obtained in the course of its own internal audit to the police. It is
difficult to conclude that there was a reasonable expectation of privacy in the
basic information turned over. The subsequent warrants flow directly from the
discoveries the police made in connection with the first five vehicles. This
is textbook police work, not a “fishing expedition”.
The Superior Court did not err in setting aside the
restraint order with respect to L’s real property. It found that the evidence
did not support a reasonable belief that the real property was the proceeds of
crime and it was not asserted that this property was needed for the purpose of
investigation or evidence. Section 462.34(6)(a) of the Code does
not envisage a further requirement that the owner demonstrate that the affected
property was not acquired with the proceeds of crime to have a restraint order
lifted. This reflects the presumption of innocence.
Cases Cited
By LeBel J.
Applied: R. v.
Lanteigne (1994), 156 N.B.R. (2d) 17; R.
v. Fremanco Ltd. (1995), 135 Nfld. & P.E.I.R. 327; R. v. Domm
(1996), 111 C.C.C. (3d) 449; R. v. Araujo, [2000] 2 S.C.R. 992, 2000 SCC
65; not followed: R. v. Seman (1994), 93 Man. R. (2d) 151; British
Columbia (Attorney General) v. Felix, [1993] B.C.J. No. 1870 (QL); referred
to: R. v. Colarusso, [1994] 1 S.C.R. 20; Wilson v. Canada
(1993), 86 C.C.C. (3d) 464; Oerlikon Aérospatiale Inc. v. Ouellette,
[1989] R.J.Q. 2680; 170888 Canada Ltée v. La Reine, [1999] R.J.Q. 1008; R.
v. Brown, [2002] 2 S.C.R. 185, 2002 SCC 32; R. v. Garofoli, [1990] 2
S.C.R. 1421; R. v. Mac, [2002] 1 S.C.R. 856, 2002 SCC 24; R. v. Lamy,
[2002] 1 S.C.R. 860, 2002 SCC 25; R. v. Bisson, [1994] 3 S.C.R. 1097; R.
v. Dyment, [1988] 2 S.C.R. 417; Thomson Newspapers Ltd. v. Canada
(Director of Investigation and Research, Restrictive Trade Practices
Commission), [1990] 1 S.C.R. 425; Wilson v. The Queen, [1983] 2
S.C.R. 594; R. v. Meltzer, [1989] 1 S.C.R. 1764; Canada (Human Rights
Commission) v. Taylor, [1990] 3 S.C.R. 892; R. v. Litchfield, [1993]
4 S.C.R. 333; Dagenais v. Canadian Broadcasting Corp., [1994] 3
S.C.R. 835; R. v. O’Connor, [1995] 4 S.C.R. 411; R. v. Beaulac,
[1999] 1 S.C.R. 768; Housen v. Nikolaisen, [2002] 2 S.C.R. 235, 2002
SCC 33.
Statutes and Regulations Cited
Canadian Charter of Rights and
Freedoms, ss. 8 , 24(1) .
Criminal Code, R.S.C. 1985, c. C‑46 [am. c. 42 (4th Supp.)], ss.
462.3 “proceeds of crime” [am. 1993, c. 25, s. 95; am. c. 37, s. 32;
am. 1996, c. 19, s. 70(b)], 462.3 “judge”, 462.31 [am. 1996, c.
19, s. 70(c); am. 1997, c. 18, s. 28], 462.32 [am. 1997,
c. 18, s. 29], 462.33 [am. 1993, c. 37, s. 21; am. 1996, c. 16,
s. 60(1)(d); am. 1997, c. 18, s. 30], 462.34 [am. 1996,
c. 19, s. 70(d) and (e); am. 1997, c. 18, ss. 31 and 140(d)(i)],
462.35 [am. 1997, c. 18, s. 33], 462.37 [am. 1995, c. 22, s. 10
(Sch. 1, items 15 to 17)], 462.38 [am. 1997, c. 18,
s. 35], 462.43, 487 to 492, 490.8, 490.9, 504,
552, 673.
Highway Safety Code, R.S.Q., c. C‑24.2, ss. 546.1 et seq.
Supreme Court Act, R.S.C. 1985, c. S‑26, ss. 40 , 65.1 .
Authors Cited
Béliveau, Pierre, et Martin
Vauclair. Traité général de preuve et de procédure pénales, 7e
éd. Montréal: Thémis, 2000.
Chevrette, François, and Hugo
Cyr. “La protection en matière de fouilles, perquisitions et saisies, en
matière de détention, la non‑rétroactivité de l’infraction et la peine la
plus douce”, in Gérald‑A. Beaudoin and Errol Mendes, eds., The
Canadian Charter of Rights and Freedoms . Scarborough, Ont.: Carswell,
1996, 10-1.
German, Peter Maurice. Proceeds
of Crime: The Criminal Law, Related Statutes, Regulations and
Agreements. Scarborough: Carswell, 1998 (loose‑leaf
updated 2002, release 1).
Gold, Alan D. Proceeds of
Crime: A Manual with Commentary on Bill C‑61.
Toronto: Carswell, 1989.
Hutchison, Scott C., James C.
Morton and Michael P. Bury. Search and Seizure Law in Canada.
Toronto: Carswell, 1993 (loose‑leaf updated 2002, release 2).
Reynolds, D. D. Graham. “Selected
Aspects of the Proceeds of Crime Provisions of the Criminal Code ”, in Renee
Pomerance and Anil K. S. Kapoor, eds., Search and Seizure: New Developments.
Toronto: Department of Continuing Legal Education, Law Society of
Upper Canada, 1998, 5‑1.
APPEAL from a decision of the Quebec Superior Court,
[2001] Q.J. No. 7209 (QL), granting an application for review and setting
aside a restraint order and seven special warrants of seizure issued by the
Court of Québec. Appeal allowed in part, McLachlin C.J. and Arbour J.
dissenting in part.
Serge Brodeur, Alain
Pilotte, Gilles Laporte and Patrick Michel, for the
appellant.
Christian Desrosiers
and Denis Lavigne, for the respondents.
Bernard Laprade and François
Lacasse, for the intervener the Attorney General of Canada.
Trevor Shaw, for the
intervener the Attorney General for Ontario.
The reasons of McLachlin C.J. and Arbour J. were
delivered by
1
The Chief Justice
(dissenting in part) — Sections 462.32 and 462.33 of the Criminal Code
(Part XII.2, Proceeds of Crime), R.S.C. 1985, c. C-46 , allow the police to
impound property and prevent an owner from dealing with it, even before charges
are laid. The initial restraint order or seizure may be made without notice to
the property owner. However, s. 462.34 goes on to provide that the property
owner may challenge the seizure before a judge, at which time he can present
evidence and tell his side of the story. This appeal raises the issue of what
a person charged with an “enterprise crime offence” must show to set aside a
seizure under this provision.
2
Section 462.34 provides that a special search warrant or a restraint
order may be set aside if the reviewing judge is satisfied on a balance of
probabilities: (1) that the warrant “should not have been issued” or that the
order “should not have been made”; and (2) that the property “will no longer
be required for the purpose of any investigation or as evidence in any
proceeding”. The section reads, in pertinent part:
(6) An order under paragraph (4)(b) in
respect of property may be made by a judge if the judge is satisfied
(a) where the application is made by
(i) a person charged with an enterprise crime offence or a designated
substance offence, or
.
. .
that a warrant should not have been issued pursuant to section 462.32
or a restraint order under subsection 462.33(3) should not have been made in
respect of that property, or
.
. .
and that the property will no longer be required for the purpose of any
investigation or as evidence in any proceeding.
3
Mr. Laroche was in the automobile reconstruction business. He owned
real property as well as a large inventory of motor vehicles. The Crown
alleged that he was in the business of selling vehicles constructed from stolen
parts, commonly called a “chop shop”. Charges were laid against him on May 4,
2000. On July 13, 2000, on the basis of an affidavit of Inspector Morin, the
Crown obtained seven warrants and a restraint order seizing five Toyota Tacoma
vehicles, 70 other vehicles and six parcels of real property.
4
Mr. Laroche applied to Grenier J. of the Quebec Superior Court to have
the orders set aside under s. 462.34 of the Criminal Code and s. 24(1)
of the Canadian Charter of Rights and Freedoms . He called evidence from
his accountants showing that he had legitimate assets sufficient to acquire the
real property and challenging Inspector Morin’s affidavit as flawed, misleading
and incomplete.
5
Grenier J. set aside the orders with respect to the vehicles and the
real property. On the real property, he found that Inspector Morin’s
assertions had been discredited, removing the basis for the order. On the
vehicles, he took the view that the Société de l’assurance automobile du Québec
(SAAQ), the provincial vehicle licensing agency, had erred in giving the Quebec
Police the information that had initiated the investigation without a warrant.
He concluded that this amounted to an illegal search or seizure, and held that
all the subsequent warrants and seizures were invalid as a result of the
initial illegal search. Characterizing the investigation as a mere [translation] “fishing expedition”,
Grenier J. excluded the evidence relating to the vehicles and set aside the
orders with respect to them.
6
The question before us is whether Grenier J. erred in setting aside the
orders. I agree with my colleague Justice LeBel that he erred in setting aside
the warrants and the restraint order on the vehicles covered by the warrants.
Assuming without deciding that Grenier J. had the power to exclude the evidence
obtained as a result of the initial seizures, his decision to do so cannot be
justified. The SAAQ became aware of the alleged crimes with respect to the
first five Toyota Tacomas in the course of an audit of its own files. It was
entitled to report this information to the police. Indeed, s. 504 of the Criminal
Code allows an entity like the SAAQ to swear out an information directly
when it discovers a crime. If it can do this, surely it can report basic
information to the police for further investigation. Moreover, it is difficult
to conclude that there was a reasonable expectation of privacy in the basic
information turned over — name, product and registration information. The
subsequent warrants flow directly from the discoveries the police made in
connection with the first five Toyota Tacomas. This is textbook police work,
not a “fishing expedition”. It follows that the first condition of setting
aside a warrant or an order — showing that the warrant should not have been
issued or that the order should not have been made — was not fulfilled, and
that Grenier J. ought not to have set it aside.
7
However, I cannot agree that the restraint order should stand with
respect to Mr. Laroche’s real property. The order required evidence supporting
a reasonable belief that the property was the proceeds of crime; mere
insinuations cannot justify a restraint order. Grenier J. found that Inspector
Morin had failed to disclose documents showing that Laroche had taken out
substantial loans to purchase and build the real estate in question, and heard
testimony from accountants who discredited Inspector Morin’s allegations that
the buildings could only have been constructed with the proceeds of crime. Based
on the evidence before him, he concluded that [translation] “[d]espite insinuations, nothing in the
evidence establishes a connection between the real property seized and
enterprise crime offences” ([2001] Q.J. No. 7209 (QL), at para. 10). Grenier
J. accordingly discounted the allegations that the real property had been
acquired with the proceeds of crime. This removed the foundation for the
order. It was not asserted that the property was needed for the purpose of
investigation or evidence. Accordingly, the two conditions for setting aside
the order against an accused person under s. 462.34 were met with respect to
the real property, and Grenier J.’s ruling to that effect should stand.
8
My colleague LeBel J. suggests that, so as to have the restraint order
lifted, it is not enough for the property owner to show that the order should
not have been made and for the judge to determine that the property is not
required for the purpose of investigation or evidence. In his view, to have a
restraint order lifted, the owner must also demonstrate that the affected
property was not acquired with the proceeds of crime. With the greatest
respect, this requirement is not envisaged by the Code for persons
charged with an “enterprise crime offence” under s. 462.34(6)(a).
Showing lawful ownership or possession is only required for other applicants
under s. 462.34(6)(b), which reads:
(b) in any other case, that the applicant is the lawful owner of
or lawfully entitled to possession of the property and appears innocent of any
complicity in an enterprise crime offence or designated substance offence or of
any collusion in relation to such an offence, and that no other person appears
to be the lawful owner of or lawfully entitled to possession of the property
. . . .
9
The burden in the two situations is importantly different. The absence
of the need to demonstrate lawful ownership or possession in the case of a
person charged with an enterprise crime offence reflects the presumption of
innocence, even at the expense of the possibility that not all proceeds of
crime will be frozen pending the outcome of a criminal trial.
10
I would allow the appeal in part, varying the original restraint order
of Judge Pinard of the Court of Québec to release the real property and those
vehicles that were seized without a warrant.
English version of the judgment of L’Heureux-Dubé, Gonthier, Iacobucci,
Bastarache and LeBel JJ. delivered by
LeBel J. —
I. Introduction
11
This is an appeal concerning the validity of a restraint order made and
seven special warrants of seizure issued under ss. 462.32 and 462.33 of
the Criminal Code, R.S.C. 1985, c. C‑46 , in the course of a police
investigation into a business involving the possession and sale of stolen car
parts that the respondents, Garage Côté Laroche Inc. and its principal
shareholder and owner, Laurent Laroche (“Laroche”), were allegedly running in
Victoriaville, Quebec. The Attorney General has appealed from the judgment of
the Superior Court quashing a restraint order and special warrants relating to
a large number of motor vehicles and immovable properties owned by or in the
possession of the respondents. This appeal raises the issue of the scope of
the power of review exercised by the Superior Court under s. 462.34 Cr.
C. For the following reasons, but without adopting the position advanced
by the appellant as to the nature and extent of that power of review, I
conclude that the restraint order and the special warrants of seizure must be
restored in part, in respect of a certain number of vehicles and all of the
immovable properties.
II. Facts
12
For several years, the respondent Laurent Laroche and his wife operated
Garage Côté Laroche Inc., whose principal business was repairing seriously damaged
road vehicles. A few years later, they added renting out industrial
condominiums to that business, and the rentals are now an important source of
income for the respondent Laroche. The building of the condominiums was
financed out of substantial investments, the source and legality of which the
appellant has questioned.
13
In Quebec, for road safety reasons, strict regulations have been put in
place and must be complied with when a rebuilt vehicle is put on the road.
Under ss. 546.1 et seq. of the Highway Safety Code, R.S.Q.,
c. C‑24.2, a person who wishes to license a rebuilt vehicle must obtain a
certificate of technical compliance from the Société de l’assurance automobile
du Québec (SAAQ). The SAAQ or one of its agents will issue a certificate of
compliance only when the rebuilt vehicle has been inspected and meets the
manufacturer’s standards.
14
In the course of an internal audit at Charest Automobile Ltée, which is
an agent of the SAAQ, an SAAQ employee found serious irregularities in five
rebuilt vehicle files submitted by Garage Côté Laroche Inc. When the invoices
and photos in the files were compared, it appeared that the same parts from a
damaged vehicle had apparently been used to rebuild more than one vehicle. The
employee was convinced that the certificates of technical compliance for the
vehicles in question had been obtained illegally, and referred the five
fraudulent files to the Victoriaville police. The files involved five Toyota
Tacomas which, miraculously, shared some of the same parts.
15
After an investigation, the five Toyota Tacomas were seized from their
new owners pursuant to a warrant issued under s. 487 Cr. C.
Investigations by experts from the Sûreté du Québec and the Groupement des
assureurs automobiles showed that no major repairs had been done on the
allegedly rebuilt vehicles and that the serial numbers on some of the parts had
been altered. On May 4, 2000, based on those analyses, the Crown
filed charges of forgery, uttering forged documents and possession of stolen
property against Laurent Laroche.
16
Over the next few months, the police investigation took on dimensions
that had been unsuspected at the outset. It covered dozens of rebuilt vehicle
files submitted between 1998 and 2000. During the period of the
investigation, the police obtained a number of search warrants under
ss. 487 and 487.01 Cr. C., and in addition, on
February 18, 2000, they seized 154 rebuilt vehicle files
involving Garage Côté Laroche Inc. and other companies related to
Laurent Laroche from the SAAQ agent, which had issued the certificates of
compliance for the five Toyota Tacomas. An analysis of 142 of those
154 files showed serious irregularities in 98 cases. They included
the fact that identical invoices and photographs were found in more than one
file, as well as invalid serial numbers. A number of invoices were from
businesses either non‑existent or no longer in operation on the billing
date. As well, parts that had apparently been purchased in the United States
had been invoiced in French, with the G.S.T. and Q.S.T shown on the invoice!
17
The scope of the respondents’ illegal activities prompted the police to
extend their investigation to Laurent Laroche’s recent real estate acquisitions.
The title searches done regarding Laroche’s properties showed that he had
apparently purchased immovables valued at about $1,800,000, and that there were
no hypothecary charges against them. On those findings being made, a police
officer who was an investigator with the city of Victoriaville, Luc Morin,
signed an affidavit in support of an application for a restraint order and
special warrants of seizure, and the affidavit was submitted to Judge Pinard of
the Court of Québec. That application is what led to these proceedings.
III. Judicial
History
A. Court
of Québec
18
On July 13, 2000, based on the allegations in the affidavit of
the investigator Luc Morin, Judge Pinard granted a restraint order and issued
seven special warrants of seizure under ss. 462.32 and 462.33 Cr.
C. The restraint order covered both the immovable properties and the
vehicles described in the special warrants of seizure, in case some of the
vehicles had been resold by the time the special warrants were executed. When
the police executed the special warrants of seizure, they seized
24 vehicles that were not covered by the warrants and restraint order.
B. Quebec Superior Court, [2001] Q.J. No. 7209
(QL)
19
The respondents brought an application for review in the Superior Court
under s. 462.34 Cr. C. and s. 24(1) of the Canadian Charter
of Rights and Freedoms . In that application, they sought to have the
restraint order and special warrants of seizure quashed and the property that
had been seized restored to them.
20
At the hearing before Grenier J., the parties presented new testimony
and documentary evidence concerning the respondents’ financial situation, the
source of the respondents’ property and the conduct of the police
investigation. When the hearing concluded on February 8, 2001, the
Superior Court quashed the restraint order and special warrants of seizure in
full. Grenier J. agreed at the outset that the applicants bore the burden of
proof. However, in his opinion, all of the proceedings had been vitiated by a
serious defect from their very beginning. In Grenier J.’s opinion, the SAAQ
employee could not hand over the five fraudulent files discovered at Charest
Automobiles Ltée to the police. The disclosure of that information was
prohibited by the judgment in R. v. Colarusso, [1994] 1 S.C.R. 20.
Second, he said that the search warrants issued prior to the application for
the restraint order and special warrants of seizure had been issued on the
basis of mere suspicions, without reasonable or probable cause. In his
opinion, therefore, the police had gone on a giant fishing expedition into the
respondents’ business, with no legal authority and in breach of their
constitutional rights. Third, the restraint order, in his opinion, had been
obtained on the basis of incomplete and misleading information regarding the
respondents’ business activities and the source of their movable or immovable
property. For one thing, nothing in the evidence could connect the fraud, the
possession of stolen property and the purchase of the real estate.
C. Quebec
Superior Court
21
On March 6, 2001, De Blois J. of the Superior Court granted a
stay of execution under s. 65.1 of the Supreme Court Act, R.S.C.
1985, c. S‑26 , until judgment was rendered on the application for leave
to appeal to this Court. Leave to appeal was then granted. This is a direct
appeal under s. 40 of the Act, because the legislation in question does not
provide for any appeal to another court.
IV. Issues
22
The central issue in this appeal is whether Grenier J. properly
exercised his power of review when he quashed the restraint order and special
warrants of seizure issued in respect of the respondents’ property. To answer
that question, I shall examine, first, the legal nature and the purpose of
restraint orders. Although the respondents have not challenged the
constitutionality of the provisions of Part XII.2 of the Criminal Code
governing restraint orders and special warrants of seizure, I shall also, in
the course of that review, consider whether a restraint order constitutes a
seizure within the meaning of s. 8 of the Charter . Second, I shall
examine the procedure for reviewing restraint orders and special warrants of
seizure, and the extent of the powers of a judge to whom an application for
review is made. Finally, I shall consider whether Grenier J.’s judgment was
correct, having regard to the principles and legal rules that have been
identified. Before doing this, however, we should briefly review the
legislative framework governing restraint orders and special warrants of
seizure, in order to gain a better understanding of the nature of the legal
issues raised by this appeal and the difficulties they present.
V. Legislative
Framework Governing Restraint Orders and Special Warrants of Seizure
23
The procedure governing restraint orders and special warrants of seizure
is found in Part XII.2 of the Criminal Code . Parliament introduced
those measures into Canadian criminal procedure as one of the components of a
set of legislative reforms made for the purpose of combatting enterprise crime
and drug trafficking. For that purpose, Bill C‑61, which was enacted in
September 1988 and was proclaimed in force on January 1, 1989,
created new offences and gave the state and police forces expanded powers (on
this point, see P. M. German, Proceeds of Crime: The Criminal
Law, Related Statutes, Regulations and Agreements (loose-leaf), at
pp. 3‑1 et seq.; A. D. Gold, Proceeds of Crime: A Manual
with Commentary on Bill C‑61 (1989), at pp. 15 et seq.).
24
The enactment of Part XII.2, entitled “Proceeds of Crime”, was a central
element of those major reforms of the criminal law and criminal procedure.
Part XII.2 provides for a new offence in relation to laundering proceeds of
crime (s. 462.31 Cr. C.), interim measures that apply before
conviction or even trial or charge, and provisions that facilitate the
forfeiture of proceeds of crime once a finding of guilt has been made. That
Part, at the relevant time, applied only to two new categories of offence:
enterprise crime and designated drug offences (s. 462.3 Cr. C.).
However, those two categories encompassed virtually all offences in the Criminal
Code , other than minor offences, as well as crimes associated with drug
trafficking, not including simple possession (see Gold, supra, at
p. 5).
25
The legislative objective of Part XII.2 plainly goes beyond mere
punishment of crime: an analysis of the provisions of that Part shows that
Parliament intended to neutralize criminal organizations by taking the proceeds
of their illegal activities away from them. Part XII.2 intends to give effect
to the old adage that crime does not pay (see Wilson v. Canada (1993),
86 C.C.C. (3d) 464 (Ont. C.A.), at p. 469; Oerlikon Aérospatiale Inc.
v. Ouellette, [1989] R.J.Q. 2680 (C.A.), at p. 2687). As
German, supra, has observed, Part XII.2 organizes the fight against
organized crime around a strategy that focuses on the proceeds of crime, as
opposed to the offender. As well, the effectiveness of that struggle depends
largely on the speed with which proceeds of crime can be identified, located,
seized and ultimately forfeited. For that reason, Part XII.2 provides for new
enforcement techniques that enable the police to freeze or immobilize the
property of criminal organizations regardless of whose possession it may be in,
even before charges are laid.
26
Part XII.2 creates two procedures for the interim preservation of
property, which are governed by ss. 462.32 and 462.33 Cr. C.
respectively: special warrants of seizure and restraint orders. Those two
provisions plugged the loopholes in the Criminal Code , which, until
then, had not permitted the seizure and restraint of immovable property,
intangible property or proceeds of crime associated with certain serious drug
offences. The purpose of these measures, which precede trial, is to prevent
the wasting of illegally obtained property and to make it possible for that
property to be forfeited after a conviction is secured. Although the objective
of the two procedures is the same, they apply to separate matters, and certain
aspects of the procedural rules that govern them are different. While a
special warrant of seizure deals with movable, tangible property such as
vehicles and jewellery, a restraint order targets real estate, or intangible
property such as bank accounts (see D. D. G. Reynolds, “Selected Aspects of the
Proceeds of Crime Provisions of the Criminal Code ”, in R. Pomerance and
A. K. S. Kapoor, eds., Search and Seizure: New Developments
(1998), 5‑1, at p. 5‑4; P. Béliveau and M. Vauclair,
Traité général de preuve et de procédure pénales (7th ed. 2000), at
pp. 264 et seq.).
27
These interim preservation measures applied, at the relevant time, only
to “proceeds of crime”, which included any property, benefit or advantage that
may relate to the commission of an enterprise crime offence or a designated
drug offence (s. 462.3 Cr. C. “proceeds of crime”). Because of the
possible effect of those measures on the rights of third parties, the judge to
whom an application for authorization is made may require that certain
precautions be taken to protect those rights (see Gold, supra, at
p. 3). For example, before issuing a warrant of seizure or making a
restraint order, the judge may require notice to be given to third parties who
appear to have a valid interest in the property. However, the judge may not
order that notice be given if giving notice could result in the disappearance,
dissipation or reduction in value of the property (ss. 462.32(5)
and 462.33(5) Cr. C.). In all cases, however, the judge must make
sure that the Attorney General has given appropriate undertakings to compensate
the persons affected for any damages and costs that might be caused by the
execution of the warrant of seizure or restraint order (ss. 462.32(6) and
462.33(7) Cr. C.).
28
Moreover, the procedural rules that apply to these two mechanisms differ
somewhat, although they are closely related. I shall therefore examine
seizures and restraint orders separately, and then go on to examine the
procedure for reviewing the decisions of the authorizing judge.
A. Seizure
29
A judge may issue a warrant under s. 462.32 if there exist
reasonable grounds to believe that there is to be found, in a particular place,
property in respect of which an order of forfeiture may be made under
s. 462.37(1) or 462.38(2) because it is connected to a designated
drug offence. The procedure for obtaining a warrant of seizure is
substantially similar to the rules governing the issuance of search warrants,
set out in ss. 487 to 492 Cr. C. However, a special warrant
may be obtained only on the application of the Attorney General in writing
(s. 462.32 Cr. C.). In addition, the application must be made to a
judge of a superior court, who may hear it ex parte (s. 462.32(2) Cr.
C.). In Quebec, however, a judge of the Court of Québec also has
jurisdiction to hear the application (ss. 462.3 “judge” and 552 Cr.
C.).
30
The warrant of seizure must specify the property to be seized. However,
the officer who carries out the seizure may seize, in addition to the property
named in the warrant, any other property that he finds in the place if he
believes, on reasonable grounds, that an order of forfeiture may be made in
respect of that property (final portion of s. 462.32(1) Cr. C.).
The officer who carries out the seizure must retain the property seized or give
custody of it to another person, taking the necessary care, however, to ensure
that the property is preserved. The officer must also report within seven days
of the seizure (s. 462.32(4) Cr. C.).
B. Restraint
Order
31
Like an application for a warrant of seizure, an application for a
restraint order is made in writing by the Attorney General to a judge of a
superior court or, in Quebec, a judge of the Court of Québec. The application
may also be heard ex parte. However, the procedure involves a number of
additional requirements and special rules. The affidavit of the Attorney
General in support of the application must state the offence or matter under
investigation. It must also name the person who is believed to be in
possession of the property, describe it, and state the grounds for the belief
that an order of forfeiture may be made (s. 462.33(2) Cr. C.).
32
The authorizing judge may make a restraint order only if the judge is
satisfied of the existence of reasonable grounds to believe that an order of
forfeiture may be made in respect of the property under s. 462.37(1)
or 462.38(2) Cr. C. The restraint order prohibits any person from
disposing of, or otherwise dealing with any interest in, the property specified
in the order otherwise than in such manner as may be indicated in it
(s. 462.33(3) Cr. C.). Any person who has been served with a
restraint order and breaches it is guilty of an indictable offence or an
offence punishable on summary conviction (s. 462.33(11) Cr. C.).
Where the Attorney General so requests, the judge may appoint a person to take
control of the property subject to the restraint order and require the person
in possession of the property to give possession of it to that person
(s. 462.33(3) (b) Cr. C., now s. 462.331(1) Cr. C.).
If the Attorney General of Canada so requests, the judge shall appoint the
Minister of Public Works and Government Services Canada to take control of and
manage the property subject to the restraint order (s. 462.33(3.1) Cr.
C., now s. 462.331(2) Cr. C.). In any case, the order may be
made subject to such reasonable conditions as the judge thinks fit
(s. 462.33(4) Cr. C.).
C. The Connection Between Restraint and Seizure
Proceedings and Orders of Forfeiture
33
As we saw earlier, restraint orders and warrants of seizure are
procedures that the Crown may use to preserve property prior to conviction. On
the other hand, an order of forfeiture is a sentence within the meaning of the
criminal law, as is expressly recognized in s. 673 Cr. C.
(See 170888 Canada Ltée v. La Reine, [1999] R.J.Q. 1008 (C.A.), at
p. 1011, per Fish J.A.)
34
This fundamental distinction between the legal characterization of the
procedures, however, does not preclude the need for a careful consideration of
the nature of the relationship between them at the point when a warrant of
seizure is issued or a restraint order made and when they are reviewed. The
decision to authorize the use of those procedures requires that it first be
established that there are “reasonable grounds”, the terminology applicable
under ss. 462.32(1) and 462.33(3) , to believe that an order of forfeiture
may be made in respect of the property.
35
The application for forfeiture is necessarily framed in terms of the
either/or situation created by ss. 462.37(1) and 462.38(2), which
correspond to two different legal situations. The standard of proof that
applies when an order of forfeiture is made is different, based on the
different legal situation that justifies making that order.
36
Section 462.37(1) defines the purpose of forfeiture more narrowly;
it requires that it be established that the property is proceeds of the actual
offence of which the accused has been convicted. However, the less rigorous
standard of proof on a balance of probabilities will govern the application of
this section. On the other hand, in the case of an order of forfeiture for
which application is made under s. 462.38(2) , the Criminal Code
does not require evidence that the property be connected to the offence to
which the conviction relates. At the relevant time, it was enough that the
prosecution establish that the property represented the proceeds of other
designated drug offences or other enterprise crime offences, but in this case,
according to the stricter standard of proof beyond a reasonable doubt.
37
The fact that there exist two separate standards of proof inevitably
affects how the mechanisms for authorizing seizures and restraint orders
operate, and how those warrants and orders are reviewed. At those stages, the
judge must attempt to forecast the future. He or she must determine, on a
balance of probabilities, whether an order of forfeiture would be made under
either of ss. 462.37(1) and 462.38(2) . Because the standards of
proof that apply to an order of forfeiture depend on their source, it is
important that the prosecution specify the provision under which it would be
seeking forfeiture, and the legal and factual basis for its application. In
that context, as in this case, situations will arise in which orders of
forfeiture could be made under different provisions of the Criminal Code
in relation to different property. It might even be imagined that situations
could arise in which the provisions authorising the making of the order could
be invoked in the alternative.
38
In this case, as may be seen in the decision of Judge Pinard, the
appellant submitted in applying for the warrant of seizure that there were
reasonable and probable grounds to believe that orders of forfeiture would be
made under ss. 462.37(1) and 462.38(2) . The application seemed to be
based on the first provision in the case of the vehicles, and the second in the
case of the immovables.
39
Accordingly, Judge Pinard, as the authorizing judge, had to be satisfied
that there were reasonable and probable grounds to believe that an order of
forfeiture would eventually be made according to the applicable standards of
proof. However, at that stage of the proceeding, the judge did not rule as if
he were finding guilt and passing sentence. As well, the reviewing judge had
to remember that he was not ruling on the forfeiture, but only on whether there
were reasonable and probable grounds to believe that forfeiture would be
ordered.
40
The procedure that Parliament has created for authorizing and reviewing
seizures and restraint orders is certainly complex. It involves multi‑stage
judicial proceedings, and separate assessments of a changing legal situation,
at its various stages, based on varying standards of proof. The difficulty of
the exercise increases when the prosecution does not state the bases for its
application with sufficient clarity.
D. Duration and Review of Seizures and Restraint Orders
41
Property that is seized may be detained for six months. The same rule
applies to restraint orders. However, the Attorney General may apply for an
extension of that time, if the Attorney General establishes to the satisfaction
of the judge that the property will be subject to an order of forfeiture or
establishes that it may be required for the purpose of any investigation or as
evidence in any proceeding (s. 462.35 Cr. C.).
42
Judicial review of the special warrant or restraint order is possible,
but only in three specific cases. First, where the property is not useful for
the purpose of an investigation or as evidence in another case, the lawful
owner of the property may obtain the return of the property where that person
appears innocent of any complicity in an offence under Part XII.2. If the
applicant is a person charged with an offence under Part XII.2 or a person who
acquired a right of possession of the property under circumstances that give
rise to a reasonable inference that the right was transferred for the purpose
of avoiding the forfeiture of the property, the scope of the review narrows
down. The application may be granted only if it is shown that the special
warrant of seizure should not have been issued or the restraint order should
not have been made (s. 462.34(4) and (6) Cr. C.).
43
Second, the judge may authorize the person in possession of the property
that has been seized or in respect of which a restraint order has been made or
any other person holding a valid interest in that property to pay the
reasonable living expenses of that person or of his or her dependants and that
person’s legal expenses, or to give security therefor, out of the property
(s. 462.34(4)(c) and (5) Cr. C.). Finally, the
application may be granted where the applicant offers the court sufficient
security for the recovery of the seized property (s. 462.34(4)(a)
and (8) Cr. C.).
44
In addition, the judge must revoke a restraint order, or order that the
property be returned, where he or she is satisfied that the property will no
longer be useful for the purpose of an investigation or as evidence. The judge
may make that decision on his or her own motion or on application by the
Attorney General or a person having an interest in the property (s. 462.43
Cr. C.).
45
Analogous procedures are found elsewhere in the Criminal Code .
One example is s. 490.8 , which also contains a provision for a restraint
order in respect of offence‑related property and procedures for review
and return of property that are similar to the procedures in issue in this
appeal (see also s. 490.9 ). That fact heightens the importance of the
issues before this Court.
46
Again, it will have been noted that the Criminal Code as it now
stands does not make satisfactory provision for the appeal of decisions made
under Part XII.2. The legislation contains no procedure for an appeal to
the intermediate appellate courts in the case before this Court. Those courts
are therefore unable to perform their error correction function in the
application of the law. The legislation as it stands also deprives these
courts of the opportunity to take part in the development of this particular
part of the law. Criminal trials have undergone changes. The number of
situations in which pre‑trial, interlocutory or incidental decisions are
made has risen substantially. The evolution of the law, and particularly the
need to protect the constitutional rights of third parties such as victims,
persons bound by professional privilege or the media, have given rise to new
kinds of issues, which remain incidental to the main issue between the Crown
and the accused. Unfortunately, criminal procedure has scarcely kept up with
these changes, as Major J. recently pointed out in the case of a direct
appeal to this Court concerning a problem involving professional privilege (R.
v. Brown, [2002] 2 S.C.R. 185, 2002 SCC 32, at paras. 105‑10).
We must therefore examine this case in a situation in which the parties have
been denied an opportunity for a comprehensive review of the issues by the
Quebec Court of Appeal.
VI. Analysis
A. The Issues and the Parties’ Positions
47
The case as it was argued in this Court raised three main issues between
the parties. First, I must examine the nature and scope of restraint orders.
Second, I will focus on the extent of the powers of the judge who hears an
application for review of the decision to issue a warrant of seizure or to make
a restraint order. Third, having defined the legal framework, I will analyse
the judgment of the Superior Court, and conclude, as indicated earlier, that it
must be set aside in part and the warrants of seizure and restraint order
restored to that extent.
48
In the appellant’s submission, a correct interpretation of the relevant
provisions of the Criminal Code supports the position that the
immovables in question were subject to forfeiture under s. 462.37 Cr.
C. and that a restraint order could therefore have been made in respect of
them. The Attorney General also advances a restrictive interpretation of the powers
of the reviewing judge, submitting that the reviewing judge could not review
the merits of the decision to issue the warrant or make the order. As is the
case for review of wiretap authorizations, in the opinion of the Attorney
General, that judge’s powers are limited to determining whether the
authorization could have been given, and not whether it should have been
granted. In the appellant’s submission, the standards of review outlined by
this Court in R. v. Araujo, [2000] 2 S.C.R. 992, 2000 SCC 65,
apply. In addition, the Attorney General submits that in this instance, the
search warrants underlying the restraint and special seizure proceedings cannot
be attacked, even based on allegations that the constitutional rights of the
persons affected were violated. The Attorney General for Ontario, who
intervened in support of the appellant, is also concerned by the risk of
encouraging collateral or incidental attacks here, at the expense of the
principle of the finality and stability of judgments. Ultimately, based on all
these premises, the appellant challenges every aspect of the decision of the
Superior Court, which was allegedly grounded on an erroneous definition of the
powers of the reviewing judge. That decision, it is submitted, was also extended
improperly to the underlying search warrants because of an incorrect
interpretation of the decision in Colarusso, supra. As correctly
understood, based on the appropriate legal principles, correctly defined, all
aspects of the warrants of seizure and restraint order were justified by the
evidence, in respect of both the motor vehicles and the immovable properties.
49
The respondents concede that the Superior Court interpreted Colarusso
incorrectly. However, in their submission, that error of law does not affect
the validity of its conclusions. The court, in this instance, was exercising a
broad power of review, pursuant to which it had to decide whether the warrants
of seizure and restraint order could have been issued. In the course of that
review, the Superior Court considered the evidence submitted to the authorizing
judge, and the new evidence presented by the respondents at the review hearing
in order to establish that the property that was seized or in respect of which
the restraint order was made was not proceeds of crime, or had no connection
with an enterprise crime offence. The respondents put particular stress on
that last argument as it relates to the real estate, in respect of which no
order of forfeiture could have been made, and in respect of which no restraint
order could therefore have been made. They made the same submission in respect
of the vehicles seized which, on the evidence, could not have been considered
to be proceeds of crime, and which were therefore not subject to forfeiture.
The respondents’ final submission is that the reasonable grounds cited in
support of the seizures and restraint order carried no weight in law. Because
they were based on information obtained from illegal searches, the reviewing
judge could exclude all of the information that was obtained under those
warrants and find that the seizures and restraint order had been authorized
without sufficient legally admissible grounds. The respondents conclude by
submitting that the appellant is seeking a review of the findings of fact made
by the Superior Court in circumstances where no errors that would justify such
a re‑examination on appeal have been made out.
B. Nature and Scope of Restraint Orders
50
As noted earlier, the respondents are not challenging the
constitutionality of the provisions of Part XII.2 of the Criminal Code .
It is nonetheless necessary, when examining the nature of that procedure, to
correctly identify its effects and its scope in order to determine whether a
restraint order is a seizure within the meaning of s. 8 of the Charter .
51
That question has certainly not been definitively answered by the
courts, which have so far not exhausted the rich vein of the concepts of search
and seizure, let alone explored the diverse situations of fact and law in which
those concepts will apply. However, this Court has on several occasions
examined the definition of the word “seizure” in the context of s. 8 of
the Charter , which protects individuals against “unreasonable search or
seizure”. Some comments in the case law suggest that actual change of
possession is an essential element of a seizure within the meaning of
s. 8 .
52
In a 1988 decision concerning the application of s. 8 of the Charter ,
La Forest J. wrote that “the essence of a seizure under s. 8 is the
taking of a thing from a person by a public authority without that person’s
consent” (R. v. Dyment, [1988] 2 S.C.R. 417, at p. 431).
Similarly, two years later, Wilson J. defined a seizure as “the taking hold by
a public authority of a thing belonging to a person against that person’s will”
(Thomson Newspapers Ltd. v. Canada (Director of Investigation and Research,
Restrictive Trade Practices Commission), [1990] 1 S.C.R. 425, at
p. 493). It will be noted that in that case, this Court held that the
sending of a subpoena duces tecum or order to produce documents for an
administrative investigation by a public body constituted a search. Those
definitions stress the process rather than its purpose. They counter the risk
of an overbroad interpretation of s. 8 under which it would be possible to
challenge mere restrictions on the exercise of property rights. Such an
interpretation would eventually transform a provision intended to protect
individual privacy into a constitutional guarantee of property rights, which
was deliberately not included in the Charter .
53
However, just as an overbroad interpretation of the word “seizure” might
defeat the purpose of s. 8 , so too might a strict literal interpretation
of that concept. In interpreting the word “seizure”, we cannot look only at
the process. We must examine the context and the objective of the guarantee.
By ignoring the purpose and context of the provision, we might deprive it of
part of its effect in numerous situations in which constitutional interests in
privacy, not to mention the regularity and fundamental fairness of criminal
procedure, are in issue. Accordingly, if there is to be any limit on the
definition of the word “seizure”, it must not relate to the process per se,
but rather to the context in which it is carried out. The issues involved in
interpreting and applying s. 8 are clearly explained in the following
comments by S. C. Hutchison, J. C. Morton and
M. P. Bury:
One limitation ought to be put on the scope of
“seizure” under the Charter . The “enjoyment of property” as a specific right,
as protected in the Canadian Bill of Rights, is not protected in the Charter .
The prohibition of unreasonable search and seizure is designed to promote
privacy interests and not property rights. Hence, Charter protections against
unreasonable seizure should not apply to governmental actions merely because
those actions interfere with property rights. Specifically, where property
is taken by governmental action for reasons other than administrative or
criminal investigation a “seizure” under the Charter has not occurred. A
number of cases illustrate this view of seizure. A detention of property, in
itself, does not amount to a seizure for Charter purposes — there must be a
superadded impact upon privacy rights occurring in the context of
administrative or criminal investigation. [Emphasis added.]
(S. C. Hutchison, J. C. Morton and M. P. Bury, Search and Seizure
Law in Canada (loose-leaf), at p. 2‑5; see also: F. Chevrette
and H. Cyr, “La protection en matière de fouilles, perquisitions et saisies, en
matière de détention, la non-rétroactivité de l’infraction et la peine la plus
douce”, in G.‑A. Beaudoin and E. Mendes, eds., The Canadian
Charter of Rights and Freedoms (3rd ed. 1996), 10-1, at pp. 10-8 and
10-9).
54
No difficulties arise in determining the legal character of special
warrants of seizure under Part XII.2 of the Criminal Code . Even if
we were to apply the strictest interpretation of that concept, what we have is
a seizure with change of possession. The legal character of restraint orders
is more problematic, in that such an order does not involve a change in
possession of the property to which it applies. However, when the objectives
of a restraint order are considered, there is no doubt that it may be
characterized as a seizure within the meaning of s. 8 . The name given to
that order perhaps too easily invites a comparison to a mere restriction on the
exercise on property rights. The conservatory nature of the order reinforces
such an inclination. However, given that a restraint order is intended to
supplement seizures that are taking place contemporaneously, and that they
place property under the control of the justice system that might otherwise
have eluded it, whether for the purpose of a criminal investigation or for the
punishment of crimes that fall within Part XII.2 of the Criminal Code ,
such an order must be characterized as a seizure within the meaning of
s. 8 of the Charter .
55
First, a restraint order freezes the property. As provided in
s. 462.33(3) (a) (now s. 462.33(3) ), it prohibits disposing of
or dealing with the property in question otherwise than as specified by the
court. The person in possession of the property is then reduced to the status
of caretaker or administrator of his or her own property, and must even obtain
judicial permission to receive income or resources from it. As we saw earlier,
that person must bring an application in order to be able to do so, under
s. 462.34(4) Cr. C. As well, under s. 462.33(3) (b)
(now s. 462.331(1)), a judge may order that the management of the property
be transferred to a person appointed by the judge. In that case, the decision
involves a straightforward change in possession away from the person in
possession of the property. In both cases, the property is placed under the
legal and actual control of the criminal justice system. Moreover, the
objectives of this measure for exercising control are twofold. First,
Parliament intended to facilitate criminal investigations, by enacting
procedural provisions that make property, and information about it, more
readily accessible to the police and the Crown. Second, the purpose of those
procedures is to prevent the disappearance or wasting of the property. Doing
this makes it possible to punish the crimes in question more effectively, and
facilitates the enforcement of the orders of forfeiture that may be made in
future. We can conclude from those characteristics, and the context and
objectives, that a restraint order must be regarded as a seizure within the
meaning of s. 8 of the Charter .
56
The issue of the scope of application of these restraint orders is also
raised in this appeal. The respondents submit, having regard to the facts in
evidence, that because of certain aspects of the wording of the provisions in
Part XII.2 in relation to orders of forfeiture, neither the motor vehicles
nor the immovables in issue could have been the subject of a restraint order.
In their submission, the possibility of an order of forfeiture being made would
have to have been established. That requires that it be established that the
property is proceeds of crime or was acquired using proceeds of crime. In
arguing this position, the respondents placed particular emphasis on the
immovable properties in respect of which the restraint order was made. That
argument calls for an examination of the difference of opinion that has divided
trial courts on the question of the interpretation and application of these
provisions.
57
The argument made results from a problem in the wording of ss. 462.32
and 462.33 Cr. C. We saw earlier that a judge may make a restraint
order or issue a general warrant of seizure in respect of property if there are
reasonable and probable grounds to believe that an order of forfeiture may be
made in respect of the property under s. 462.37(1) or 462.38(2) .
Those sections read as follows, respectively, at the relevant time:
Forfeiture
of Proceeds of Crime
462.37 (1) [Order of forfeiture of
property on conviction] Subject to this section and sections 462.39 to 462.41,
where an offender is convicted, or discharged under section 730, of an
enterprise crime offence and the court imposing sentence on the offender, on application
of the Attorney General, is satisfied, on a balance of probabilities, that any
property is proceeds of crime and that the enterprise crime offence was
committed in relation to that property, the court shall order that the property
be forfeited to Her Majesty to be disposed of as the Attorney General directs
or otherwise dealt with in accordance with the law.
462.38 . . .
(2) [Order of forfeiture of property]
Subject to sections 462.39 to 462.41, where an application is made to a judge
under subsection (1), the judge shall, if the judge is satisfied that
(a) any property is, beyond a reasonable doubt, proceeds of
crime,
(b) proceedings
in respect of an enterprise crime offence committed in relation to that
property were commenced, and
(c) the accused charged with the offence referred to in
paragraph (b) has died or absconded,
order that the property be forfeited to Her Majesty to be disposed of
as the Attorney General directs or otherwise dealt with in accordance with the
law.
58
The interpretation of s. 462.38(2) is not in issue in this case, which
revolves around the nature of the reference in ss. 462.32 and 462.33 to s.
462.37(1) . Does it include a reference to s. 462.37(2)? Section 462.37(2)
provided:
462.37 . . .
(2) [Proceeds of crime derived from other
offences] Where the evidence does not establish to the satisfaction of the
court that the enterprise crime offence of which the offender is convicted, or
discharged under section 730, was committed in relation to property in respect
of which an order of forfeiture would otherwise be made under subsection (1)
but the court is satisfied, beyond a reasonable doubt, that that property is
proceeds of crime, the court may make an order of forfeiture under subsection
(1) in relation to that property.
462.37 . . .
(2) [Produits de la criminalité obtenus par la
perpétration d’une autre infraction] Le tribunal peut rendre une ordonnance de
confiscation au titre du paragraphe (1) à l’égard des biens d’un contrevenant
don’t il n’est pas prouvé qu’ils ont été obtenus par la perpétration de
l’infraction de criminalité organisée dont il a été déclaré coupable — ou à
l’égard de laquelle il a été absous sous le régime de l’article 730 — à la
condition d’être convaincu, hors de toute doute raisonnable, qu’il s’agit de
produits de la criminalité.
59
Relying on the wording of s. 462.37(2) Cr. C., the respondents
submit that Judge Pinard could not have made the restraint order or issued the
seven special warrants of seizure, on the ground that an order of forfeiture
could not have been made in relation to the vehicles in question under s.
462.37(1). The respondents answer that the reference to s. 462.37 is solely to
subs. (1). Hence, absent any evidence to establish that the property was
proceeds of crime obtained in relation to the offences alleged, no order of
forfeiture, and accordingly no restraint order, could have been made, at least
in relation to the immovables. The Crown replies that the reference to subs.
(1) necessarily includes subs. (2). At that point, it would have only to
establish that an order of forfeiture could have been made in relation to the
property as proceeds of crime, and this would satisfy the requirements
of subs. (1). The respondents then counter that in any event, there was no
such evidence and the restraint order was therefore without any factual basis.
60
The decisions of the trial courts on this question have been
contradictory. Two of them support the respondents’ position (see R. v.
Seman (1994), 93 Man. R. (2d) 151 (Q.B.), and British Colombia (Attorney
General) v. Felix, [1993] B.C.J. No. 1870 (QL) (S.C.)). In those
decisions, the courts held that Parliament would not have referred specifically
to ss. 462.37(1) and 462.38(2) if it had not intended to limit the situations
in which a restraint order may be made or a special warrant of seizure issued.
61
Two other judgments have rejected that literal interpretation because it
is inconsistent with the intention of Parliament (see R. v.
Fremanco Ltd. (1995), 135 Nfld. & P.E.I.R. 327 (Nfld. S.C.), and R.
v. Lanteigne (1994), 156 N.B.R. (2d) 17 (Q.B.)). In Lanteigne,
Deschênes J., now of the New Brunswick Court of Appeal, explained that the
express reference to subs. (1) in the English version of s. 462.37(2) Cr.
C. meant that any order of forfeiture made under that subsection was in
fact made under subs. (1). Deschênes J. summarized his interpretation of the
legislation and the reasons why he rejected the contrary position as follows,
at paras. 29, 30 and 32:
It is important to note that subs. 462.37(2) merely provides that in
cases where the link or nexus has not been established, the court may still
make an order of forfeiture under subs. 462.37(1) if satisfied beyond a
reasonable doubt that the property to be forfeited is “proceeds of crime”.
Subsection 462.37(2) merely provides the evidentiary rules to be applied
so an order of forfeiture under subs. 462.37(1) can be made. In
fact, subs. 462.37(2) specifically says that “the court may make an order
of forfeiture under subs. (1)” in relation to that property.
I do not agree with the suggestions being made in Seman
that subs. 462.37(2) is a provision under which orders of forfeiture can
be made. In my view, if an order of forfeiture is made, it is made under
subs. 462.37(1) and not 462.37(2).
. . .
Accordingly, when faced with an application for a
restraint order, the judge must consider whether there are reasonable grounds
to believe that the property sought to be restrained could eventually be the
subject of an order of forfeiture under subs. 462.37(1) in the sense that
such property may be related to the enterprise crime offence under
investigation. If the judge is not satisfied that there are reasonable grounds
to believe that an order of forfeiture may eventually be made on the basis of a
balance of probabilities referred to in subs. 462.37(1), he or she must
then go on to determine if there are reasonable grounds to believe that an
order of forfeiture may be made under subs. 462.37(1) on the basis that a
judge may eventually grant an order of forfeiture upon being satisfied beyond a
reasonable doubt that the property in question is “proceeds of crime” despite
the absence of a connection or nexus between the property and the enterprise
crime offence or designated drug offence for which the person has been
convicted. [Emphasis in original.]
62
Like Deschênes J., I am of the opinion that the English version of
the provision is a better reflection of the intention of Parliament.
Accordingly, and pursuant to the principles governing the interpretation of
bilingual legislation, it should be preferred (see: R. v. Mac, [2002] 1
S.C.R. 856, 2002 SCC 24, R. v. Lamy, [2002] 1 S.C.R. 860, 2002 SCC 25).
In fact, Parliament has confirmed the interpretation adopted by Deschênes J.:
in 1999, the Parliament of Canada amended the French version of
s. 462.37(2) to include an express reference to subs. (1) of
s. 462.37 . Based on that interpretation, we must determine whether the
restraint order could have been made and the special warrants of seizure issued,
and more specifically whether the reviewing judge was correct to quash them.
First, however, we will have to turn to a question that is crucial to the
outcome of this appeal: the nature and extent of the review of restraint orders
and warrants of seizure.
C. Nature
and Extent of the Review of Warrants of Seizure and Restraint Orders
63
An examination of the power to review restraint orders and special warrants
of seizure involves two separate but related problems which were the subject of
heated debate in this case. First, can the question of whether the authorizing
judge decided correctly in granting the authorization be reopened, or is the
review limited, as it is in the case of wiretaps, to determining whether there
was sufficient basis to justify it? Second, does the power of review give the
judge authority to examine the validity of the search warrants underlying the
order, having regard to the Charter , and if so, to grant a form of
remedy under s. 24 of the Charter ?
64
According to the appellant, the power of review may be exercised only
within the limits defined by the courts in wiretap authorization reviews, and
that the only thing to be done is to determine whether the authorizing judge
could have given the authorization, not whether he or she should have given it,
in accordance with the rule laid down in R. v. Garofoli, [1990] 2 S.C.R.
1421, at p. 1452 (see also: R. v. Bisson, [1994] 3 S.C.R. 1097, at
p. 1098; Araujo, supra, at para. 51). If the reviewing
judge determines that at least one such piece of evidence existed and could
reasonably have been believed, to justify the application for the warrant, the
judge’s examination should stop there (see Araujo, at para. 51).
That position, which the respondents strongly disputed, must be rejected for
reasons grounded primarily on the wording of the legislation in issue and on
legal policy considerations relating to the requirements of the sound
administration of justice and procedural fairness in criminal matters.
65
As attractive as an extension of the rules derived from the decision in
Garofoli and the subsequent decisions of this Court might look, it would
fly in the face of the particularly clear wording of s. 462.34(6) Cr.
C., which creates the review procedure. In the case of a review
application made under that provision by either the accused or a third party
who claims an interest in the property in question, the judge must determine
whether the “warrant should not have been issued” or a “restraint
order under subsection 462.33(3) should not have been made
. . .”, as set out in s. 462.34(6)(a) as it read at the
relevant time:
462.34 . . .
(6) [Conditions to be satisfied] An order
under paragraph (4)(b) in respect of property may be made by a judge if
the judge is satisfied
(a) where the application is made by
(i) a person charged with an enterprise crime offence or a
designated substance offence, or
(ii) any person who acquired title to or a right of
possession of that property from a person referred to in subparagraph (i) under
circumstances that give rise to a reasonable inference that the title or right
was transferred from that person for the purpose of avoiding the forfeiture of
the property,
that a warrant should not have been issued pursuant to section 462.32
or a restraint order under subsection 462.33(3) should not have been made in
respect of that property . . . .
66
This wording calls for the use of an analytical framework which differs
substantially from the framework by which a judge who must review a wiretap
authorization is governed. The judge must decide whether he or she would have
made the same decision as the authorizing judge, having regard to all of the
evidence in the judge’s possession following the hearing of the application for
review. If the reviewing judge does not share the opinion of his or her
colleague, the authorizing judge, the reviewing judge must correct the previous
judge’s error. The reviewing judge cannot simply identify sufficient basis for
belief on reasonable and probable grounds, as could be done in wiretap cases.
67
In the context of applications for review, the applicant undeniably
bears the burden of proof, and must establish, on a balance of probabilities,
that the authorization should not have been granted. The applicant may simply
attack that decision and the sufficiency of the evidence submitted in support
of it, such as the affidavits. It must also be recalled, in this area, that
the principles stated in the wiretap case law concerning the importance of the
role of the authorizing judge, and the obligations of the public officials who
seek those wiretaps, remain relevant. The judge must carefully examine the
documents and evidence submitted to him or her, and not be reluctant to require
additional information. Moreover, the party seeking the wiretap authorization
is required to provide an accurate and sufficiently complete statement of the
reasons for seeking the wiretap, and the factual bases for doing so. That
party must not attempt to mislead the judge. Respect for the law and for the
fundamental rights protected by it is at stake in this process. The procedure
cannot be allowed to lead to the rubber‑stamping of the authorizations
requested, or to condonation of overly crafty tactics, even in the service of
the best causes (see Araujo, supra, at paras. 46-49). An
application for authorization that does not comply with those principles may be
challenged on that basis and on the sufficiency of the evidence submitted to
the judge.
68
As in this case, the applicant may also present evidence to rebut or
undermine the justifications offered for authorization. In that case, the
Crown may also offer rebuttal evidence. While we need not examine this
question here, we might be somewhat sceptical as to the possibly of remedying,
by amplification, the defects of an authorization for which the argument or
evidence presented to the reviewing judge has been shown to be fundamentally
flawed (see the comments on amplification in Araujo, at para. 59).
Subject to that caveat, the reviewing judge will assess the whole of the
evidence submitted to him or her and to the authorizing judge, and will then
decide whether the authorization should have been given. The reviewing judge
will begin the analysis by recalling that the law regards the authorization as
facially valid, and that it is the task of the applicant, on review, to
demolish that appearance of validity. If that attempt fails, the authorization
will be upheld.
69
It will also be noted that, even in cases in which the judge concludes
that the authorization should not have been given, the Crown still has the
option of asking that the property remain under restraint or seizure, if it is
still required for a criminal investigation or as evidence in other cases.
Section 462.34(6) in fine contemplates this possibility,
apparently even where there was no basis for issuing the warrant or making the
order in the first place. Because the legal and factual basis of the original
warrant or order would then have ceased to exist, the proceeding would amount
to a fresh application, in which the burden of proof could not rest on the
accused. We need not consider the constitutional problems that might arise in
relation to this aspect of the restraint and seizure procedures here.
70
In this procedural context, it would be difficult to do justice to the
party affected by a restraint order or warrant of seizure if the reviewing
judge were not permitted to consider the merits of the decision to make the
order or issue the warrant. In fact, this is the only procedure available for
challenging those decisions, with the exception of the admittedly rare remedy
of a direct appeal to the Supreme Court of Canada. The broad reach of those
measures may also have a serious effect on an individual's personal situation
or economic interests, or even, in some instances, the survival of a business.
Given that Parliament has chosen to circumscribe the remedies of the parties
affected in this way, the scope of those remedies should be interpreted in such
a way as to preserve their effectiveness and usefulness. In any event, the
wording of the law itself demands such an interpretation.
71
The problem of defining the scope of the power of review arises also in
relation to the examination of the search warrants underlying the restraint and
seizure procedures. On that question, the appellant, with the vigorous support
of the Attorney General for Ontario, denied that the reviewing judge could
exercise any jurisdiction in relation to those warrants, even where they were
challenged on constitutional grounds, inter alia under the Charter .
It was argued that recognizing such jurisdiction would open the floodgates to
collateral or incidental attacks on judgments, at the expense of the principles
of the stability and finality of judicial decisions. The fact that these are
purely interim measures to ensure the preservation of the property, it was
submitted, means that it is unnecessary to grant an opportunity to make
representations regarding constitutional questions relating to the application
of the Charter . In addition, the trial judge could take any appropriate
measure in respect of the property subject to the restraint order or seizure at
that stage of the case. As well, certiorari proceedings, separate from
the application for review, could be brought against the underlying search
warrants. It was submitted that the fact that the judge of the Superior Court
has jurisdiction over both procedures does not, however, justify failing to
distinguish them, because each has its own set of legal rules and they each
have different objectives.
72
The question is not of merely theoretical interest in this appeal. It
will be recalled that the seizure and restraint proceedings were the result of
an administrative investigation into the respondents’ rebuilt motor vehicles
files. That investigation led to a search under the general provisions of the Criminal
Code in relation to the Toyota Tacomas. Based on the information obtained,
and the expansion of the administrative investigation, further search warrants
were issued. As a result of all of these proceedings, information was
collected that constituted a large part of the information alleged in support
of the application for warrants of seizure and a restraint order under Part
XII.2 of the Criminal Code . A successful challenge to those underlying
search warrants would mean that a substantial portion of the factual basis of
the restraint order and seizures would have been wiped out. Such was in fact
the result in the Quebec Superior Court. The respondents succeeded in their
application, after representing that the rules against collateral attacks had
to be relaxed somewhat when constitutional rights guaranteed by the Charter
were in issue.
73
One may not deny that well‑settled jurisprudential principles, as
a general rule, prohibit collateral or incidental attacks on judgments of the
courts. A judgment will be valid and binding on the parties for as long as it
has not been varied or set aside pursuant to the exercise of the appropriate
appeal rights or right to have a rectification made, as McIntyre J. stated in
comments which are still relevant:
It has long been a fundamental rule that a court order, made by a court
having jurisdiction to make it, stands and is binding and conclusive unless it
is set aside on appeal or lawfully quashed. It is also well settled in the
authorities that such an order may not be attacked collaterally — and a
collateral attack may be described as an attack made in proceedings other than
those whose specific object is the reversal, variation, or nullification of the
order or judgment. Where appeals have been exhausted and other means of direct
attack upon a judgment or order, such as proceedings by prerogative writs or
proceedings for judicial review, have been unavailing, the only recourse open
to one who seeks to set aside a court order is an action for review in the High
Court where grounds for such a proceeding exist.
(Wilson v. The Queen, [1983] 2 S.C.R. 594, at p. 599; see
also R. v. Meltzer, [1989] 1 S.C.R. 1764; Canada (Human Rights
Commission) v. Taylor, [1990] 3 S.C.R. 892, at pp. 972‑73, per
McLachlin J. (as she then was).)
74
Certainly those judgments of this Court do not incite to so‑called
collateral attacks (R. v. O’Connor, [1995] 4 S.C.R. 411, at
para. 179, per L’Heureux‑Dubé J. (dissenting on this
issue)). However, in Wilson, McIntyre J. acknowledged that exceptions
to the general prohibition were possible, and mentioned the cases of fraud or
an apparent defect on the face of the authorization attacked. Other decisions
have imported some limited flexibility into this principle. For instance, in R.
v. Litchfield, [1993] 4 S.C.R. 333, Iacobucci J. acknowledged that a pre‑trial
order relating to the severance of a trial could be reviewed. It would enable
a court, in a matter related to the control of its own process and the conduct
of its affairs, to remedy a decision that was so flawed as to fundamentally
vitiate the judicial process. Form should not triumph over substance (see Litchfield,
supra, at pp. 348‑50; see to the same effect: Dagenais v.
Canadian Broadcasting Corp., [1994] 3 S.C.R. 835, at pp. 870‑72;
R. v. Beaulac, [1999] 1 S.C.R. 768, at para. 11, per Bastarache
J.).
75
A particularly interesting analysis of the scope of the rule against
collateral attacks is found in the decision of the Ontario Court of Appeal in R.
v. Domm (1996), 111 C.C.C. (3d) 449. In that case, the Court of Appeal
rejected a collateral attack on a non‑publication order made in a trial
that was receiving a great deal of media attention. Domm was convicted of
disobeying that order, and tried to argue that the order was constitutionally
invalid in defence to the charges laid against him, which he could have done in
the proceedings in relation to that order, and in appeal proceedings if
necessary. His challenge failed. The trial judge and the Court of Appeal
cited the rules against collateral attacks. However, Doherty J.A., the author
of the unanimous opinion of the Court of Appeal, pointed out that exceptions
had to be made to this principle, in the fundamental interests of the
administration of justice, inter alia to ensure compliance with the rule
of law. That objective demands that the reputation of the justice system be
preserved while guaranteeing the orderly and functional administration of that
system. In so far as they contribute to preserving those values, narrow limits
may be placed on the rule against collateral attacks as, he noted, may be seen
in the judgments of this Court, such as Litchfield, to which he referred
to illustrate his comments (Domm, at pp. 460‑62). Doherty
J.A. noted on this point that in order to preserve the integrity of the rule of
law, individuals must be provided with meaningful access to independent courts
with the power to enforce the law by granting remedies to those individuals
whose rights have been violated (Domm, at p. 455). He added that
this aspect of the values involved takes on particular importance in the case
of a violation of the Constitution, which represents the foundational element
of our country’s legal system: “where constitutional rights are implicated,
the court must be particularly concerned about the availability of an effective
remedy apart from collateral attack when considering whether an exception
should be made to the rule against collateral attack” (Domm, at
p. 460). It is therefore important to avoid immunizing court orders from
any form of review (Domm, at p. 462).
76
Limited exceptions, controlled by the courts, to the rule against
collateral attacks do not offend the principle of the stability of judicial
decisions, which retains its place as a central element in a sound
administration of justice and an orderly judicial system. Recognition of such
exceptions, on the other hand, also allows for the integrity of the fundamental
rule of law to be maintained, by ensuring compliance with that rule in
situations where constitutional rights would otherwise be severely impaired,
absent such a remedy.
77
In the case at bar, recognizing that the reviewing judge has
jurisdiction that permits him or her to consider allegations that fundamental
constitutional rights have been seriously violated, in this instance rights
under s. 8 of the Charter , does not adversely affect the
fundamental interests of the administration of justice. On the other hand,
such acknowledgment makes it possible to offer an effective remedy against a
restraint order and warrants of seizure. The restraint order itself, unlike
the evidence obtained when wiretap authorization is granted, will not
necessarily be debated and reviewed in the course of the criminal trial.
Moreover, when the defects in the decision authorizing a warrant of seizure or
restraint order result from some unconstitutional illegality in the underlying
search warrants, it would be difficult to examine the legal situation properly
without considering those various proceedings as a whole, and without having
regard to their legal and factual connections. In this appeal, the manner in
which the case has proceeded since the administrative investigation first began
shows how closely connected they are.
78
Moreover, a requirement that the remedy be sought by certiorari,
in circumstances such as those in this case, would amount to undue procedural
strictness. First, the court seized with the matter in both cases would be the
Superior Court, which exercises inherent jurisdiction over all aspects of these
proceedings. We do not need to examine here the problem that review
proceedings in the Court of Québec, which may occur in the province of Quebec,
would pose. Second, an application for a remedy under s. 24 of the Charter
may be joined with the application for review under the Criminal Code
and so allows that aspect of the case to be brought before the court in any
event. There seems to be no procedural obstacle to such an application being
joined, and that is what happened in this case.
79
The Superior Court correctly held that it could review the warrants
underlying the seizure and restraint proceedings. However, when we look at the
record, it seems that it exercised that jurisdiction incorrectly. As a result,
all of the warrants of seizure and the restraint order were quashed. Such an
outcome should not have happened, if the issues had been considered correctly.
Having regard to the framework for the exercise of the reviewing judge’s
jurisdiction, and the nature of that jurisdiction, we must now review how the
evidence was examined, as it relates to the different classes of property in
issue.
D. Exercise of the
Power of Review and Quashing of the Restraint Order and the Seizures
80
This Court is actually exercising first level appellate jurisdiction in
this appeal. The situation in which appellate courts stand in relation to
questions of fact that are submitted to them is common knowledge. In fact, a
recent decision has once again examined the nature and limits of their
functions when they review the findings of fact made by a trial court (Housen
v. Nikolaisen, [2002] 2 S.C.R. 235, 2002 SCC 33). The criticism of the
Superior Court’s findings of fact in this case is based on the determination
that its analysis was so fundamentally flawed that intervention by this Court
became necessary. These flaws vitiated its assessment of the facts and,
accordingly, of the basis on which the restraint order and special warrants of
seizure were made.
81
The trial judge did correctly identify the burden of proof that rested
on the respondents, who were required to show, on a balance of probabilities,
that the restraint order should not have been made. With respect, that is the
point at which the Superior Court’s analysis of the evidence went off track.
The error made tainted the assessment of the Crown’s evidence by the Superior
Court and its understanding of the nature of the evidence needed to justify a
review.
82
The trial judge’s reasoning was based on two separate but closely
related fundamental elements. First, in his opinion, the appellant’s evidence
was obtained through illegal seizures carried out in contravention of s. 8
of the Charter . The disclosure of information to the police by an SAAQ
employee constituted an illegal seizure of documents and information, according
to the decision of this Court in Colarusso, supra. That
conclusion necessarily had an effect on most of the evidence presented by the
Crown in support of the application for the restraint order and warrants of
seizure. The information regarding the respondents’ activities that was
obtained in that way had to be excluded. Consequently, there were no
reasonable grounds left to justify the underlying search warrants and thus the
applications for a restraint order and warrants of seizure, which were based,
at least in part, on the information obtained as a result of those search
warrants. The judge next criticized the investigator Morin, who had sworn the
affidavit submitted in support of the application for a restraint order, for
presenting an incomplete picture of the respondents’ financial situation and
the resources available to them to finance the construction of the industrial
condos. Contrary to what the affidavit said, having regard to the information
that was omitted and the information presented at the hearing of the review
application, in the opinion of the Superior Court, no evidence connected the
immovables to criminal activities, and they did not represent “proceeds of
crime” within the meaning of the Criminal Code .
83
The judgment contained a major error from the outset, about the judgment
in Colarusso. In fact, the respondents did not defend the judgment on
that point either in their factum or at the hearing. They conceded the error.
The judge misinterpreted Colarusso, in which he seemed to think he had
discovered a rule prohibiting the disclosure of information collected in the
course of an administrative investigation to the police or the Crown for the
purposes of a criminal investigation. In his view, disclosure of that
information breached the privacy interests protected by s. 8 of the Charter .
84
We need not dwell on the interpretation of Colarusso. Suffice it
to note that the SAAQ employee was auditing rebuilt vehicle files submitted by
the respondents in order to obtain certificates of technical compliance. The
information thus obtained had originally been provided by the respondents, in
compliance with the obligations imposed by the legislation and the regulations
that applied under the legislation. Laroche and Garage Côté Laroche Inc.
should have known that this information would necessarily be examined and
audited by the SAAQ and was not, properly speaking, private in relation to the
government. In carrying out and expanding his investigation, the employee was
merely performing the duties of his position. Transmitting information to the
police, to initiate an investigation into the irregularities that had been
observed, was connected with the performance of his duties. That information
constituted reasonable and probable grounds for obtaining the underlying search
warrants at the stage when the restraint order was made and the warrants of
seizure issued, and when they were reviewed; it was a major source of
information concerning the respondents’ criminal activities. The judge’s error
concerning Colarusso seems to have misled him into neither giving any
attention to nor placing any weight on this fact, because the seizures and
restraint order were quashed even in respect of the Toyota Tacomas and the
allegedly rebuilt vehicles.
85
The affidavit sworn by Morin unfortunately contained weaknesses and
errors, but they did not mean that it could be given no weight at all for the
purposes of making the restraint order and issuing the warrants of seizure. In
particular, Morin presented an inaccurate picture of Laroche’s criminal
record. His document listed a series of criminal charges, but did not identify
the acquittals or withdrawn charges in which the prosecutions had ended.
Nonetheless, after those cases are eliminated, the pending cases and the
information obtained from the administrative investigations and the searches
gave an essentially correct idea of the respondents’ involvement in large‑scale
transactions involving the sale and possession of stolen car parts. It would
have been preferable, however, to file an accurate record of the criminal
convictions. While this type of error or omission is not always determinative,
it can take on considerable importance in determining the legality of the order
and warrants in issue here, and should be scrupulously avoided.
86
The other errors Morin is alleged to have made relate to the description
of the respondents’ financial situation and the financing of Laroche’s
industrial condos. In short, the appellant initially justified the restraint
of the immovables by saying that purchasing them implied access to sources of
funding derived from criminal activities. Having regard to the income reported
by Laroche between 1995 and 2000, and the income of the respondent Garage,
there could have been no other way to explain the sudden appearance in about
1998 of a source of the additional income derived from the operation of those
condos. The judge then criticized Morin for failing to include information in
the financial information submitted to Judge Pinard, at the authorization
stage, concerning loans and sources of financing and the construction costs of
the condos. That information is alleged to have been available in the
financial statements attached to the annual income tax returns filed with the
Quebec Ministère du Revenu.
87
The information submitted by Morin definitely did not include all of the
fine points and details which would have been desirable. If, at that stage of
the proceeding, he had consulted a professional accountant, he would have been
better able to use and describe the documents and information to which he had
access when the application was made. Those lacunae, however, do not destroy
the facial validity of the overall picture presented to the authorizing judge.
For one thing, the respondents were to all appearances, on the evidence
presented by the prosecution at the time of the authorization and the review,
engaged in criminal activities connected with the stolen car trade. For
another, Laroche had suddenly, within a very few years, acquired land and built
industrial condos that were valued, for municipal tax purposes, at
about $1,800,000. Those transactions were going on at a time when he was
declaring only modest income, and the operations of his garage did not seem to
be capable of generating sufficient funds. Despite indications in the
documents attached to the income tax returns regarding certain loans and liquid
assets, the picture presented to the authorizing judge was not fundamentally
misleading. Having regard, as noted earlier, to the information obtained
through the administrative investigations and searches, the appellant had
reasonable and probable grounds, at the authorization stage, to believe that
the property in respect of which the restraint order and warrants of seizure
were sought was proceeds of crime and could eventually have been the subject of
an order of forfeiture under Part XII.2 of the Criminal Code .
88
The order and warrants affected about 80 motor vehicles, including
the Toyota Tacomas. Twenty‑four other vehicles seized were not the
subject of any authorization. The restraint order itself was in respect of the
immovables. The onus was then on the respondents to establish that the
warrants of seizure should not have been issued and the restraint order should
not have been made by the authorizing judge. Having failed in their attack on
the underlying warrants, the respondents then had to present evidence to
explain the source of the property, in order to establish, on a balance of
probabilities, that it was not proceeds of crime. If the reviewing judge had
applied Colarusso correctly, and had correctly understood the nature of
the evidence that was required for judicial review, he would have had to
dismiss the application for review, except in respect of the 24 vehicles
seized without authorization. There was no basis in law for the restraint or
seizure of those vehicles, and the appellant was unable to establish that those
vehicles were connected with criminal activities, nor did the appellant
establish that the vehicles might be the subject of an order of forfeiture as
proceeds of crime.
89
The situation is totally different for the other vehicles. The evidence
wrongly excluded by the review judge related those vehicles to criminal
activities involving fraud, falsifying documents and possession of stolen
property. The case presented by the appellant more than established that
vehicle parts had been altered or disguised, and the information in the
technical certification files submitted to the SAAQ had been systematically
falsified. The respondents presented no evidence that effectively contradicted
the information relied on in support of the application for the restraint
order, which information was admissible and valid as a source for reasonable
and probable grounds that an order of forfeiture might be made under
s. 462.37(1).
90
With respect for the opinion stated by the Chief Justice, given the
evidence presented by the Crown, the burden of proof that the respondents had
to meet at the review hearing required that they establish the origin of the
funds that would explain their real estate investments in such a way as to show
that there was no reasonable and probable cause for the restraint order against
the immovables in issue. It was not required that innocence be proved at that
stage, any more than that the prosecution prove guilt by the standard calling
for proof beyond a reasonable doubt, or, if forfeiture were to occur, by that
same standard. At the stage when the restraint order and warrants of seizure
are issued and challenged, the proceeding is subject to the probabilities
standard, and relates to the existence of reasonable and probable grounds.
However, lest the procedure be stripped of its meaning and left without the
efficacy that Parliament intended it to have, once the basis for the restraint
order has been established, the applicant in the review proceeding may not
avoid the burden of presenting evidence that is sufficient and such as will
establish that there were no reasonable and probable grounds in support of the
restraint order. The problem of the respondents’ innocence or guilt, by the
standards that apply to a criminal trial, is not to be addressed in this part
of the proceeding. That issue will have to be considered during the criminal
trial, at which, irrespective of what was argued during the interim
preservation proceedings, the respondents will enjoy the full protection of the
appropriate constitutional guarantees, including the presumption of innocence.
91
The position taken by the Chief Justice may jeopardize the distinction
between very different stages of criminal procedure. That approach tends to
blur the line between preparatory, interim preservation measures, that is,
seizures and restraint orders, and forfeiture itself. It fails to distinguish
between stages and proceedings within criminal procedure that Parliament
intended to differentiate. In the context of this procedural system, cases
will inevitably arise in which restraint orders are not followed by forfeiture,
if, in the course of the trial, evidence that meets the strict criminal
standard cannot be assembled and presented. The fact that this remains
possible, as it always is, does not mean that the courts may ignore the line
between measures for the interim preservation of property, in which guilt is
not in issue and is left undetermined, and the criminal trial in which that
issue is decided. At this preparatory stage, each party has its own burden of
proof. On a careful and complete examination of the evidence presented by the
parties, avoiding the errors made by the reviewing judge, it is clear that the
respondents failed to meet their burden.
92
The most difficult part of the case involves the immovables. Here
again, however, it must be kept in mind that the respondents had the burden of
proof. Because a restraint order had been made in respect of the immovables,
based on the apparently sufficient information provided by the Crown at the
authorization stage, which established at the very least that the forfeiture
power set out in s. 462.38(2) would apply, the respondents had to
establish that those immovables were not proceeds of crime. They had to
provide sufficient proof, applying the standard of the balance of
probabilities, that there were no reasonable and probable grounds for making
the restraint order. Essentially, they had to establish the origin of the
funds with which those immovables had been purchased, according to that
standard of proof. On this point, the reviewing judge seems to have
misunderstood their obligation to establish the source of the funds that were
used to carry out the industrial condo plans.
93
The evidence that was central to the respondents’ case consisted of an
expert accounting opinion and the testimony of a chartered accountant from the
firm Raymond, Chabot, Grant, Thornton. That witness gave a clear explanation
of the limits of his functions as an accountant, which were limited to
preparing unaudited financial statements using the figures supplied by his clients,
and explaining those statements using information that was generally not
verified.
94
The work done by that expert was used to organize a diverse series of
accounting entries to try to establish a correlation between the investments
and the funding sources. Except for a line of credit of about $175,000
opened by a caisse populaire, and possibly a loan from one of Laroche’s family
members, after she sold her house, all that the expert report shows is that
funds were used. In a majority of the cases, the origin of the funds is left
uncertain or unexplained. In order to meet the burden of proof that rested on
the respondents, an explanation would have had to be given concerning the funds
or advances used by the respondents — the source and nature of the liquid
assets that meant that they were able to finance the construction while seeking
only very little assistance from a financial institution. The evidence on this
point was inadequate and did not justify review of the authorization granted in
respect of the immovables.
VII. Conclusion
95
For these reasons, the appeal should be allowed in part. The judgment
of the Superior Court quashing the restraint order and warrants of seizure
should be set aside, except in respect of the 24 motor vehicles seized
without authorization. Subject to that exception, the restraint order and
warrants of seizure authorized by Judge Pinard of the Court of Québec should be
restored.
Appeal allowed in part, McLachlin
C.J. and Arbour J. dissenting
in part.
Solicitor for the appellant: The Attorney General’s
Prosecutor, Ste‑Foy.
Solicitors for the respondents: Desrosiers, Turcotte,
Marchand, Massicotte, Montréal.
Solicitor for the intervener the Attorney General of
Canada: The Department of Justice, Ottawa.
Solicitor for the intervener the Attorney General for
Ontario: The Department of the Attorney General, Toronto.