Blencoe v. British Columbia (Human Rights Commission), [2000] 2 S.C.R. 307
The British Columbia Human Rights Commission,
the Commissioner of Investigation and Mediation,
the British Columbia Human Rights Tribunal and
Andrea Willis Appellants
v.
Robin Blencoe Respondent
and
Irene Schell Intervener
and
The Attorney General for Ontario,
the Attorney General of British Columbia,
the Saskatchewan Human Rights Commission,
the Ontario Human Rights Commission,
the Nova Scotia Human Rights Commission,
the Manitoba Human Rights Commission,
the Canadian Human Rights Commission,
the Commission des droits de la personne et des droits de la
jeunesse,
the British Columbia Human Rights Coalition and
the Women’s Legal Education
and Action Fund Interveners
Indexed as: Blencoe v. British Columbia (Human
Rights Commission)
Neutral citation: 2000 SCC 44.
File No.: 26789.
2000: January 24; 2000: October 5.
Present: McLachlin C.J. and L’Heureux‑Dubé,
Gonthier, Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ.
on appeal from the british columbia court of appeal
Constitutional law – Charter of Rights --
Application -- Human Rights Commission -- Commission implementing specific governmental
program and exercising statutory authority -- Commission independent from
government and acting judicially -- Whether Canadian Charter of Rights and
Freedoms applicable to Commission’s actions – Canadian Charter of Rights and
Freedoms, s. 32 .
Constitutional law -- Charter of Rights -- Liberty
and security of person -- Sexual harassment complaints filed against
respondent before Human Rights Commission -- Lengthy delay in processing
complaints -- Whether respondent’s constitutional rights to liberty and
security of person engaged -- Canadian Charter of Rights and Freedoms,
s. 7 .
Administrative law -- Abuse of process -- Delay --
Sexual harassment complaints filed against respondent before Human Rights
Commission -- Lengthy delay in processing complaints -- Whether respondent’s
ability to have fair hearing compromised -- Whether lengthy delay amounted to
denial of natural justice or abuse of process.
In March 1995, while serving as a minister in the
Government of British Columbia, the respondent was accused by one of his
assistants of sexual harassment. A month later, the premier removed the
respondent from Cabinet and dismissed him from the NDP caucus. In July and
August of 1995, two complaints of discriminatory conduct in the form of sexual
harassment were filed with the British Columbia Council of Human Rights (now
the British Columbia Human Rights Commission) against the respondent by two
other women, W and S. The complaints centered around various incidents of
sexual harassment alleged to have occurred between March 1993 and March 1995.
The respondent was informed of the first complaint in July 1995 and of the
second in September 1995. After the Commission’s investigation, hearings were
scheduled before the British Columbia Human Rights Tribunal in March 1998, over
30 months after the initial complaints were filed.
Following the allegations against the respondent,
media attention was intense. He suffered from severe depression. He did not
stand for re-election in 1996. Considering himself “unemployable” in British
Columbia due to the outstanding human rights complaints against him, the
respondent commenced judicial review proceedings in November 1997 to have the
complaints stayed. He claimed that the Commission had lost jurisdiction due to
unreasonable delay in processing the complaints. The respondent alleged that
the unreasonable delay caused serious prejudice to him and his family which amounted
to an abuse of process and a denial of natural justice. His petition was
dismissed by the Supreme Court of British Columbia. A majority of the Court of
Appeal allowed the respondent’s appeal and directed that the human rights
proceedings against him be stayed. The majority found that the respondent had
been deprived of his right under s. 7 of the Canadian Charter of
Rights and Freedoms to security of the person in a manner which was not in
accordance with the principles of fundamental justice.
Held (Iacobucci,
Binnie, Arbour and LeBel JJ. dissenting in part): The appeal should be
allowed.
Per McLachlin C.J. and
L’Heureux-Dubé, Gonthier, Major and Bastarache JJ.: The Charter applies
to the actions of the British Columbia Human Rights Commission. The Commission
is created by statute and all of its actions are taken pursuant to statutory
authority. Bodies exercising statutory authority are bound by the Charter
even though they may be independent of government. The Commission in this case
is both implementing a specific government program and exercising powers of
statutory compulsion. Further, the Commission cannot escape Charter
scrutiny merely because it exercises judicial functions. The ultimate source
of authority is government. The Commission is carrying out the legislative
scheme of the Human Rights Code and must act within the limits of its
enabling statute. There is clearly a “governmental quality” to the functions
of a human rights commission which is created by government to promote equality
in society generally. It is the administration of a governmental program that
calls for Charter scrutiny.
Section 7 of the Charter can extend beyond
the sphere of criminal law, at least where there is state action which directly
engages the justice system and its administration. If a case arises in the
human rights context which, on its facts, meets the usual s. 7 threshold
requirements, there is no specific bar against such a claim and s. 7 may
be engaged.
In order for s. 7 to be triggered, one must first
establish that the interest in respect of which the respondent asserted his
claim falls within the ambit of s. 7 . The liberty interest protected by s. 7 is no longer restricted
to mere freedom from physical restraint. “Liberty” is engaged where state
compulsions or prohibitions affect important and fundamental life choices. The
s. 7 liberty interest protects an individual’s personal autonomy. In our
free and democratic society, individuals are entitled to make decisions of
fundamental importance free from state interference. Such personal autonomy,
however, is not synonymous with unconstrained freedom. Here, the state has not
prevented the respondent from making any “fundamental personal choices”.
Therefore, the interests sought to be protected in this case do not fall within
the “liberty” interest protected by s. 7 .
The right to security of the person guaranteed by
s. 7 protects the psychological integrity of an individual. However, in
order for this right to be triggered, the psychological harm must result from
the actions of the state and it must be serious. In this case, the direct
cause of the harm to the respondent was not the state‑caused delay in the
human rights process. While the respondent has suffered serious prejudice in
connection with the allegations of sexual harassment against him, for s. 7 to
be engaged there must be a sufficient causal connection between the
state-caused delay and the prejudice suffered. The most prejudicial
impact on the respondent was caused not by the actions of the Commission but
rather by the events prior to the complaints – the
allegations of the respondent’s assistant -- which caused the respondent to be
ousted from Cabinet and caucus as well as the actions by non-governmental
actors such as the press. The harm to the respondent resulted from the
publicity surrounding the allegations themselves, coupled with the political
fallout which ensued. When the respondent began to experience stigma, the human
rights proceedings had yet to commence. Further, there is a pending civil suit
against the respondent for sexual harassment and W’s complaint against the Government
on these very same issues. The prolongation of stigma from ongoing publicity
was likely regardless of the delay in the human rights proceedings. At best,
the respondent was deprived of a speedy opportunity to clear his name. Lastly, the human rights process did not seriously exacerbate the
respondent’s prejudice. It is difficult to see how procedural delay
could have seriously increased damage already done to the respondent’s
reputation.
Even accepting that the outstanding complaints may
have contributed to the respondent’s stigma to some degree, thereby causing
some of his suffering, and assuming without deciding that there is a
sufficient nexus between the state-caused delay and the prejudice to the
respondent, the state interference with the respondent’s psychological
integrity did not amount to a violation of his right to security of the
person. First, the s. 7 rights of “liberty and security of
the person” do not include a generalized right to dignity, or more specifically
a right to be free from the stigma associated with a human rights complaint.
While respect for the inherent dignity of persons is clearly an essential value
in our free and democratic society which must guide the courts in interpreting
the Charter , this does not mean that dignity is elevated to a
free-standing constitutional right protected by s. 7 . The notion of “dignity”
is better understood as an underlying value. Like dignity, reputation is not a
free-standing right. Neither is freedom from stigma. Second, the state has
not interfered with the ability of the respondent and his family to make
essential life choices. In order for security of the person to be triggered in
this case, the impugned state action must have had a serious and profound
effect on the respondent’s psychological integrity. It is only in exceptional
cases where the state interferes in profoundly intimate and personal choices of
an individual that state-caused delay in human rights proceedings could trigger
the s. 7 security of the person interest. Here, the alleged right to be free
from stigma associated with a human rights complaint does not fall within this
narrow sphere. The state has not interfered with the respondent’s right to
make decisions that affect his fundamental being. The prejudice to the
respondent is essentially confined to his personal hardship.
There is no constitutional right outside the criminal
context to be “tried” within a reasonable time. The majority of the Court of
Appeal erred in transplanting s. 11 (b) principles set out in the
criminal law context to human rights proceedings under s. 7 . Not only are
there fundamental differences between criminal and human rights proceedings,
but, more importantly, s. 11 (b) of the Charter is restricted to a
pending criminal case.
There are remedies available in the administrative law
context to deal with state-caused delay in human rights proceedings. However,
delay, without more, will not warrant a stay of proceedings as an abuse of
process at common law. There must be proof of significant prejudice which
results from an unacceptable delay. Here, the respondent’s ability to
have a fair hearing has not been compromised. Proof of prejudice has not been
demonstrated to be of sufficient magnitude to impact on the fairness of the
hearing. Unacceptable delay may also amount to an abuse of process in certain
circumstances even where the fairness of the hearing has not been compromised.
Where there is no prejudice to hearing fairness, the delay must be clearly unacceptable
and have directly caused a significant prejudice to amount to an abuse of
process. It must be a delay that would, in the circumstances of the case,
bring the human rights system into disrepute. A court must be satisfied that
the proceedings are contrary to the interests of justice. There may also be
abuse of process where conduct is oppressive. A stay is not the only remedy
available for abuse of process in administrative law proceedings and a
respondent asking for a stay bears a heavy burden. In this case, the
respondent did not demonstrate that the delay was unacceptable to the point of
being so oppressive as to taint the proceedings. While the stress and stigma
resulting from an inordinate delay may contribute to an abuse of process, the
delay in processing the complaints was not inordinate.
The determination of whether a delay is inordinate is
not based on the length of the delay alone, but on contextual factors,
including the nature of the case and its complexity, the purpose and nature of
the proceedings, and whether the respondent contributed to the delay or waived
the delay. Here, although the Commission took longer than is desirable to
process the complaints, the delay was not so inordinate as to amount to an
abuse of process. The case may not have been an extremely complicated one, but
the various steps necessary to protect the respondents in the context of the
human rights complaints system take time. The trial judge found that only the
24-month period between the filing of the complaints and the end of the
investigation process should be considered for the delay, stating that the
Human Rights Tribunal could not be criticized for not setting the hearing dates
earlier as the respondent did not press for earlier dates. During that
24-month period, there was no extended period without any activity in the
processing of the complaints, except for an inexplicable five months of
inaction. The respondent challenged the lateness of the complaints and brought
forward allegations of bad faith and, as a result, the process was delayed by
eight months. The Commission should not be held responsible for contributing
to this part of the delay. When all the relevant factors are taken into
account, in particular the ongoing communication between the parties, the
delay in processing the complaints is not one that would offend the community’s
sense of decency and fairness. Nevertheless, in light of the lack of diligence
displayed by the Commission, the Court’s discretion under s. 47 of the Supreme
Court Act should be exercised to award costs against the Commission in
favour of the respondent and the complainants.
Per Iacobucci, Binnie,
Arbour and LeBel JJ. (dissenting in part): This matter should be
resolved on the basis of administrative law principles. It is therefore
unnecessary to express a definite opinion on the application of s. 7 of the Charter .
Administrative delay that is determined to be unreasonable
based on its length, its causes, and its effects is abusive and contrary to
administrative law principles. Unreasonable delays must be identified
within the specific circumstances of every case because not
all delay is the same and not all administrative bodies are the same. In order
to differentiate reasonable and unreasonable delay, courts must remain alive
not only to the needs of administrative systems under strain, but also to their
good faith efforts to provide procedural protections to alleged wrongdoers. In
assessing the reasonableness of an administrative delay, three main factors
should be balanced: (1) the time taken compared to the inherent time
requirements of the matter before the particular administrative body; (2) the
causes of delay beyond the inherent time requirements of the matter; and (3)
the impact of the delay. A consideration of these factors imposes a contextual
analysis.
Here, inefficiency in the Human Rights Commission’s
handling of this matter has led to abuse of process. First, although serious,
the allegations of sexual discrimination against the respondent did not raise
complex issues and were not of a nature that could justify a prolonged
investigation. There was little to investigate. Even though the inherent time
requirements were minimal, in all it took the Commission approximately two
years to determine that the complaints should go to a hearing. The time from
the initial filing of the complaints to the scheduled hearing was approximately
32 months. While it is true that the Commission’s decision to send the matter
to a hearing involved a number of steps, nothing in the inherent time
requirements of the case came close to requiring the delay that occurred.
Second, although the respondent sought to use the defences available to him,
he did not become responsible for the sheer inefficiency of the Commission in
dealing with these matters. There was serious delay on both complaints despite
the respondent’s efforts to find a way to end it. The Commission admits that
it cannot explain what was going on for five months of the time that it was
dealing with the allegations against the respondent. This five-month
lapse is the high mark of the Commission’s ineptitude. Third, although the
administrative delay was not the only cause of the prejudice suffered by the
respondent, it contributed significantly to its aggravation and the Commission did nothing to minimize the impact of the delay.
The Commission’s conduct in dealing with this matter was less than
acceptable. Further, the inefficient and delay-filled process at the
Commission harmed all parties involved in the process, including the
complainants. In the end, the specific and unexplained delay entitles the
respondent to a remedy.
The choice of the appropriate remedy requires a careful analysis of the
circumstances of the case and imposes a balancing exercise between competing
interests. In human rights proceedings, the interest of the respondent, that
of the complainants, and the public interest of the community itself must be
considered. The courts must also consider the stage of the proceedings which
has been affected by the delay. A distinction must be drawn between the
process leading to the hearing and the hearing itself. A different balance
between conflicting interests may have to be found at different stages of the
administrative process. A stay of proceedings should not generally appear as
the sole or even the preferred form of redress. It should be limited to those
situations that compromise the very fairness of the hearing and to those cases
where the delay in the conduct of the process leading to the hearing would
amount to a gross or shocking abuse of the process. In those two situations,
the interest of the respondent and the protection of the integrity of the legal
system become the paramount considerations. More limited and narrowly focused
remedies will be appropriate when it appears that the hearing will remain fair,
in spite of the delay, and when the delay has not risen to the level of a
shocking abuse, notwithstanding its seriousness. The first
objective of any intervention by a court should be to make things happen, where
the administrative process is not working adequately. An order for an
expedited hearing would be the most practical and effective means of judicial
action. An order for costs is a third kind of remedy. It will not address the
delay directly, but some of its consequences.
In this case, a stay of proceedings appears
both excessive and unfair. First, in spite of the seriousness
of the problems faced by the respondent, the delay does not seem to compromise
the fairness of the hearing. The delay rather concerns the process
leading to the hearing. This delay arises from a variety
of causes that do not evince an intent on the part of the Commission to harm
the respondent wilfully, but rather demonstrate grave negligence and
significant structural problems in the processing of the complaints. Second, a
stay of proceedings in a situation that does not compromise the fairness of the
hearing or amount to shocking or gross abuse requires the consideration of the
interest of the complainants. The Court of Appeal completely omitted any
consideration of this interest. Here, an order for an expedited hearing should
have been considered as the remedy of choice. The stay should be lifted and
the Commission should be ordered to pay costs on a party-to-party basis to the
respondent in this Court and in the British Columbia courts. It is fair and
appropriate to use the power conferred by s. 47 of the Supreme Court Act ,
as the respondent has established that the process initiated against him was
deeply flawed and that its defects justified his search for a remedy, at least
in administrative law.
Cases Cited
By Bastarache J.
Not followed: Nisbett
v. Manitoba (Human Rights Commission) (1993), 101 D.L.R. (4th) 744; Canadian
Airlines International Ltd. v. Canada (Human Rights Commission), [1996] 1
F.C. 638; Saskatchewan Human Rights Commission v. Kodellas (1989), 60
D.L.R. (4th) 143; considered: Misra v. College of Physicians &
Surgeons of Saskatchewan (1988), 52 D.L.R. (4th) 477; Stefani v. College
of Dental Surgeons (British Columbia) (1996), 44 Admin. L.R. (2d) 122; Brown
v. Assn. of Professional Engineers and Geoscientists of British Columbia,
[1994] B.C.J. No. 2037 (QL); Ratzlaff v. British Columbia (Medical Services
Commission) (1996), 17 B.C.L.R. (3d) 336; referred to: Eldridge
v. British Columbia (Attorney General), [1997] 3 S.C.R. 624; Slaight
Communications Inc. v. Davidson, [1989] 1 S.C.R. 1038; Douglas/Kwantlen
Faculty Assn. v. Douglas College, [1990] 3 S.C.R. 570; Mills v. The
Queen, [1986] 1 S.C.R. 863; R. v. Rahey, [1987] 1 S.C.R. 588; New
Brunswick (Minister of Health and Community Services) v. G. (J.),
[1999] 3 S.C.R. 46, rev’g (1997), 187 N.B.R. (2d) 81; R. v. Beare,
[1988] 2 S.C.R. 387; Singh v. Minister of Employment and Immigration,
[1985] 1 S.C.R. 177; Re B.C. Motor Vehicle Act, [1985] 2 S.C.R. 486; Thomson
Newspapers Ltd. v. Canada (Director of Investigation and Research, Restrictive
Trade Practices Commission), [1990] 1 S.C.R. 425; R. v. Heywood,
[1994] 3 S.C.R. 761; B. (R.) v. Children’s Aid Society of Metropolitan
Toronto, [1995] 1 S.C.R. 315; R. v. Morgentaler, [1988] 1 S.C.R. 30;
Godbout v. Longueuil (City), [1997] 3 S.C.R. 844; Rodriguez v.
British Columbia (Attorney General), [1993] 3 S.C.R. 519; Reference re
ss. 193 and 195.1(1)(c) of the Criminal Code (Man.), [1990] 1 S.C.R. 1123; Operation
Dismantle Inc. v. The Queen, [1985] 1 S.C.R. 441; R. v. O’Connor,
[1995] 4 S.C.R. 411; R. v. Oakes, [1986] 1 S.C.R. 103; Law v. Canada
(Minister of Employment and Immigration), [1999] 1 S.C.R. 497; Hill v.
Church of Scientology of Toronto, [1995] 2 S.C.R. 1130; R. v. Mills,
[1999] 3 S.C.R. 668; Canada (Human Rights Commission) v. Taylor, [1990]
3 S.C.R. 892; R. v. L. (W.K.), [1991] 1 S.C.R. 1091; Akthar v. Canada
(Minister of Employment and Immigration), [1991] 3 F.C. 32; Ford Motor
Co. of Canada v. Ontario (Human Rights Commission) (1995), 24 C.H.R.R.
D/464; Freedman v. College of Physicians & Surgeons (New Brunswick)
(1996), 41 Admin. L.R. (2d) 196; Martineau v. Matsqui Institution
Disciplinary Board, [1980] 1 S.C.R. 602; R. v. Askov, [1990] 2
S.C.R. 1199; R. v. Jewitt, [1985] 2 S.C.R. 128; R. v. Power,
[1994] 1 S.C.R. 601; R. v. Young (1984), 40 C.R. (3d) 289; R. v.
Potvin, [1993] 2 S.C.R. 880; R. v. Scott, [1990] 3 S.C.R. 979; R.
v. Conway, [1989] 1 S.C.R. 1659; Allen v. Sir Alfred McAlpine &
Sons, Ltd., [1968] 1 All E.R. 543; R. v. Morin, [1992] 1 S.C.R. 771.
By LeBel J. (dissenting in part)
Nisbett v. Manitoba (Human Rights Commission) (1993), 101 D.L.R. (4th) 744; Ford Motor Co. of Canada v.
Ontario (Human Rights Commission) (1995), 24 C.H.R.R. D/464; Martineau
v. Matsqui Institution Disciplinary Board, [1980] 1 S.C.R. 602; R. v.
Rahey, [1987] 1 S.C.R. 588; R. v. Askov, [1990] 2 S.C.R. 1199; Bagg’s
Case (1615), 11 Co. Rep. 93b, 77 E.R. 1271; Andover Case (1700),
Holt. K.B. 441, 90 E.R. 1143; R. v. Barker (1762), 3 Burr. 1265, 97 E.R.
823; The King ex rel. Lee v. Workmen’s Compensation Board, [1942] 2
D.L.R. 665; Harelkin v. University of Regina, [1979] 2 S.C.R. 561; R.
v. Bradley, [1941] S.C.R. 270; Rourke v. The Queen, [1978] 1 S.C.R.
1021; Muia v. Canada (Minister of Citizenship and Immigration) (1996),
113 F.T.R. 234; Dass v. Canada (Minister of Employment and Immigration),
[1996] 2 F.C. 410; Dee v. Canada (Minister of Citizenship & Immigration)
(1998), 46 Imm. L.R. (2d) 278; Kiani v. Canada (Minister of Citizenship
& Immigration) (1999), 50 Imm. L.R. (2d) 81; Bhatnager v. Minister
of Employment and Immigration, [1985] 2 F.C. 315; R. v. Secretary of
State for the Home Department, Ex parte Phansopkar, [1976] 1 Q.B. 606; Re
Preston, [1985] A.C. 835; R. v. Chief Constable of the Merseyside
Police, Ex parte Calveley, [1986] Q.B. 424; Misra v. College of
Physicians & Surgeons of Saskatchewan (1988), 52 D.L.R. (4th) 477; Brown
v. Assn. of Professional Engineers and Geoscientists of British Columbia,
[1994] B.C.J. No. 2037 (QL); Stefani v. College of Dental Surgeons (British
Columbia) (1996), 44 Admin. L.R. (2d) 122; Ratzlaff v. British Columbia
(Medical Services Commission) (1996), 17 B.C.L.R. (3d) 336; R. v.
Conway, [1989] 1 S.C.R. 1659; Saskatchewan (Human Rights Commission) v.
Kodellas (1989), 60 D.L.R. (4th) 143; R. v. Morin, [1992] 1 S.C.R.
771; R. v. O’Connor, [1995] 4 S.C.R. 411; Canada (Minister of
Citizenship and Immigration) v. Tobiass, [1997] 3 S.C.R. 391; Schachter
v. Canada, [1992] 2 S.C.R. 679.
Statutes and Regulations Cited
Canadian Charter of Rights and Freedoms,
ss. 7 , 8 , 11 (b), 24 , 32 .
Human Rights Act, S.B.C. 1984, c. 22, s.
13(1)(d).
Human Rights Code, R.S.B.C. 1996, c.
210, ss. 24, 27.
Magna Carta (1215).
Supreme Court Act, R.S.C., 1985, c.
S-26, s. 47 .
Authors Cited
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APPEAL from a judgment of the British Columbia Court
of Appeal (1998), 49 B.C.L.R. (3d) 216, 160 D.L.R. (4th) 303, 107 B.C.A.C. 162,
174 W.A.C. 162, 7 Admin. L.R. (3d) 220, 31 C.H.R.R. D/175, 53 C.R.R. (2d) 189,
[1998] 9 W.W.R. 457, [1998] B.C.J. No. 1092 (QL), allowing an appeal from a
decision of the British Columbia Supreme Court (1998), 49 B.C.L.R. (3d) 201,
35 C.C.E.L. (2d) 41, 30 C.H.R.R. D/439, [1999] 1 W.W.R. 139, [1998] B.C.J. No.
320 (QL), dismissing the respondent’s petition for judicial review and order
that proceedings be terminated due to delay. Appeal allowed, Iacobucci, Binnie,
Arbour and LeBel JJ. dissenting in part.
John J. L. Hunter, Q.C., Thomas F. Beasley, K. Michael
Stephens and Stephanie L. McHugh, for the
appellants the British Columbia Human Rights Commission and the Commissioner of
Investigation and Mediation.
Written submissions only by Susan E. Ross, for
the appellant the British Columbia Human Rights Tribunal.
Robert B. Farvolden,
for the appellant Andrea Willis.
Joseph J. Arvay,
Q.C., for the respondent.
Mark C. Stacey and
Rosy M. Mondin, for the intervener Irene Schell.
Hart Schwartz, for the
intervener the Attorney General for Ontario.
Harvey M. Groberman, Q.C.,
for the intervener the Attorney General of British Columbia.
Milton Woodard, Q.C.,
for the intervener the Saskatchewan Human Rights Commission.
Cathryn Pike and Jennifer
Scott, for the intervener the Ontario Human Rights Commission.
Lara J. Morris and Maureen
E. Shebib, for the intervener the Nova Scotia Human Rights Commission.
Aaron L. Berg and Denis
Guénette, for the intervener the Manitoba Human Rights Commission.
Fiona Keith, for the
intervener the Canadian Human Rights Commission.
Hélène Tessier, for the
intervener the Commission des droits de la personne et des droits de la
jeunesse.
Frances Kelly and James
Pozer, for the intervener the British Columbia Human Rights Coalition.
Jennifer L. Conkie and Dianne
Pothier, for the intervener the Women’s Legal Education and Action Fund.
The judgment of McLachlin C.J. and L’Heureux-Dubé,
Gonthier, Major and Bastarache JJ. was delivered by
Bastarache J. —
I. Introduction
1
This case raises the issue of whether the respondent’s rights to
“liberty and security of the person” under s. 7 of the Canadian Charter of
Rights and Freedoms were violated by state-caused delay in the human rights
proceedings against him. In the alternative, should this Court find that s. 7
of the Charter was not engaged, it must be determined whether the
respondent was entitled to a remedy pursuant to principles of administrative
law, notwithstanding that he had not been prejudiced in his ability to respond to
the complaints against him.
2
I have concluded that the respondent’s rights to liberty and security of
the person were not implicated in the circumstances of this case. There is
therefore no need to determine whether the alleged violation was in accordance
with the principles of fundamental justice. While I accept that, under
administrative law principles, a denial of natural justice may occur for
reasons other than procedural unfairness to the respondent, I find that there
has been no denial of natural justice or abuse of process in the circumstances
of this case.
II. Factual
Background
3
In 1995, the respondent, Robin Blencoe, had been a member of the British
Columbia legislature for 12 years. In March of that year the respondent’s
assistant, Fran Yanor, went public with allegations that the respondent had
sexually harassed her. Following this allegation, the respondent stepped down
as Minister, but remained in Cabinet pending the results of an inquiry. On
April 4, 1995, Premier Harcourt removed the respondent from Cabinet and
dismissed him from the New Democratic Party caucus. Subsequently, in July and
August of 1995, two sexual harassment complaints were filed with the British
Columbia Council of Human Rights (“Council” or “Commission”) against the
respondent and the provincial Crown under the Human Rights Act, S.B.C.
1984, c. 22 (now the Human Rights Code, R.S.B.C. 1996, c. 210, since
January 1, 1997) (also referred to as the “Act” or the “Code”) by the appellant
Andrea Willis and the intervener, Irene Schell (“Complaints” or “Complaint”).
4
The Complaints centered around various incidents of sexual harassment
alleged to have occurred between March 1993 and March 1995. It is not
necessary, for the purposes of this appeal, that I comment on the particulars
of the Complaints in any detail. In brief, Ms. Willis worked as a senior clerk
in the respondent’s ministerial office and alleged that the respondent
discriminated against her because of her sex with respect to terms and
conditions of her employment, causing her to resign. The alleged incidents
occurred in August 1994 and March 1995. Ms. Schell represented a
government-funded sports association with which the respondent had contact in
his ministerial capacity. She alleged that the respondent had discriminated
against her because of her sex with respect to a service or facility
customarily available to the public. The alleged incidents occurred in March
1993 and on several occasions in July 1993 and July 1994.
5
While the events that followed in the human rights proceedings are
lengthy, they nevertheless merit recitation in some detail in order to
adequately address the alleged delay in the process. The following are what I
consider to be the most relevant facts regarding each of the Complaints.
A. The
Schell Complaint
6
The Schell Complaint dealt with conduct which allegedly occurred more
than six months before the Complaint was filed. For this reason, a threshold
issue of timeliness arose pursuant to s. 13(1)(d) of the Act. By letter dated
July 20, 1995, the respondent’s counsel was informed that the Commission was
considering whether to proceed with the investigation of the Schell Complaint and
that timeliness submissions should be made. Letters were sent by the
respondent on July 21 and July 28, 1995, requesting particulars of the
Complaint. Particulars were provided by the Commission by letter dated August
2, 1995.
7
On August 31, 1995, the respondent’s counsel notified the Commission
that the respondent would not provide a detailed submission on the timeliness
issue until Ms. Schell discharged the onus of proving that her Complaint was
filed in good faith. The Commission informed the respondent that it was not
necessary for Ms. Schell to adduce further material on this matter. The
respondent subsequently provided substantive submissions on the timeliness
issue on September 22, 1995.
8
On November 14, 1995, the respondent was informed that the Commission
had received Ms. Schell’s submissions on October 11, 1995, and that the
submissions of both parties were being considered. The respondent had not been
forwarded a copy of Ms. Schell’s submissions. Following two requests for such
by Mr. Blencoe, the Commission provided him with a copy of this document on
December 15, 1995, stating that the production of such document was a departure
from normal procedures. On February 8, 1996, the respondent provided the
Commission with a response to Ms. Schell’s timeliness submissions.
9
On February 21, 1996, the respondent was informed that the Council had
decided to proceed with the investigation and that he had 30 days to provide a
full response to the allegations. In letters dated March 1 and March 27, 1996,
the respondent requested the initial correspondence between Ms. Schell and the
Commission. The respondent maintained that he would not respond to the
particulars of allegation until such correspondence was produced. On April 1,
1996, the respondent was informed that such documents would not be disclosed
and that the investigation would continue on the basis of existing materials if
no response was received by April 10, 1996. A general denial to the
allegations was given by the respondent on April 10, 1996. On June 19, 1996,
the respondent received a letter from the Commission in response to his request
regarding how long he would be required to wait for a hearing date. He was
informed that a hearing could not be scheduled until the Commission determined
that a hearing was required.
10
On September 6, 1996, the respondent was notified that an investigator
had been assigned to the Schell Complaint. By letter dated November 8, 1996,
the Commission wrote to the respondent, requesting a response to certain
information obtained in the course of investigating the Schell Complaint. Such
information was provided by the respondent on December 23, 1996. On March 4,
1997, Mr. Blencoe’s counsel was provided with a copy of the investigation
report and asked for a written response by April 8, 1997. Such response was
given on March 27, 1997. On April 15, 1997, the respondent was provided with
the submissions received from Ms. Schell in response to the investigation
report. Mr. Blencoe was requested to reply by May 15, 1997. Such response was
provided on May 14, 1997.
11
By letter dated July 3, 1997, the respondent was notified that the
Schell Complaint would be referred to the British Columbia Human Rights
Tribunal (“Tribunal”) for a hearing, without specifying the hearing date. That
ended the involvement of the Commission in the Complaint. On September 10,
1997, the respondent was informed that the hearing was set for March 4, 5 and
6, 1998 and a pre-hearing conference in November of 1997. The hearing was thus
scheduled to take place approximately 32 months after the initial Complaint was
filed.
B. The
Willis Complaint
12
The respondent was informed of the Willis Complaint by letter dated
September 11, 1995. The respondent challenged the timeliness of the Complaint
and asked the Council to make a decision pursuant to s. 13(1)(d) of the Act.
The respondent was asked to provide submissions on timeliness within 15 days of
the letter dated September 21, 1995. Such submissions were provided by Mr.
Blencoe on October 11, 1995 with respect to both Complaints. On December 21,
1995, the respondent was sent a copy of Ms. Willis’s submissions on timeliness
which were dated October 16, 1995. It was standard practice of the Council not
to give respondents the complainant’s response submissions.
13
On January 9, 1996, the respondent wrote to the Council, requesting that
it refrain from making a decision regarding timeliness until he could reply to
Ms. Willis’s submissions. The respondent challenged both the timeliness of the
Complaints and whether they were made in good faith. He declined to provide
his response until such preliminary issues were addressed, contending that the
Complaints should not be addressed at all. The Council concluded that the
Complaints were timely, that there was no evidence of bad faith, and that the
Complaints should be fully investigated. On January 11, 1996, the respondent
was notified that the Commission was proceeding with its investigation of the
Willis Complaint. The decision to proceed with this Complaint had been reached
by the Council more than three weeks earlier, on December 18, 1995. The delay
was said to have resulted from Council not returning the decision on timeliness
file to the case management secretary and a temporary backlog in the clerical
area.
14
On January 29, 1996, the respondent informed the Council that he was
prepared to waive the investigation stage of the process and asked that the
Council set the matter for hearing. However, this waiver was not feasible
since the respondent was not prepared to concede that there was a sufficient
evidentiary basis to warrant a hearing.
15
In April 1996, Mr. Blencoe’s counsel inquired as to when the hearing was
expected to occur. In June 1996, he was informed that this could not be
determined until the investigation was completed. The respondent was also
informed that no investigator had been assigned to the Willis Complaint at that
time and that there was a backlog of investigation files. By letter dated
September 6, 1996, Mr. Blencoe was informed that an investigator had been
assigned to the Willis Complaint. On November 8, 1996, Mr. Blencoe was asked
to respond to certain information obtained during the investigation. Such
response was given on December 23, 1996. On March 3, 1997, the respondent was
provided with a completed investigation report and asked for written responses
which were provided by the respondent on March 27, 1997. In April 1997, the
respondent was sent the submissions of Ms. Willis. He replied to them on May
14, 1997.
16
On July 3, 1997, the respondent was informed that the Willis Complaint
would be referred to the Tribunal for hearing. That ended the involvement of
the Commission in the Complaint. On September 10, 1997, the respondent was
notified that the hearing was set for March 18, 19 and 20, 1998 and a
pre-hearing conference in November 1997. The hearing was thus scheduled to
take place approximately 32 months after the initial Complaint was filed.
17
Subsequent to the allegations of sex discrimination, the respondent and
his family have been hounded by the media. Mr. Blencoe has suffered from
severe depression and both he and his wife have sought psychological
counselling. The respondent did not stand for re-election when his province
went to the polls in 1996. Mr. Blencoe and his wife decided to move their
family to Ontario in August 1996, in order to escape the media
attention and seek employment. In May 1997, the family returned to Victoria,
allegedly because they could not escape the harassment of the media which
followed them to Ontario and because the respondent’s wife received an
excellent job offer in British Columbia. The respondent continues to be
clinically depressed and has been prescribed medication. He was prevented from
coaching his youngest son’s soccer team on the grounds that the soccer
association did not want him working with children. The respondent considers
himself “unemployable” in
British Columbia, due to the outstanding human rights Complaints against him.
18
On November 27, 1997, the respondent commenced proceedings for judicial
review, claiming that the Commission had lost jurisdiction due to unreasonable
delay in processing the human rights Complaints. The respondent alleged that
the unreasonable delay caused serious prejudice to him and his family which
amounted to an abuse of process and a denial of natural justice.
III. Judicial
History
A. British
Columbia Supreme Court (1998), 49 B.C.L.R. (3d) 201
19
The respondent’s application for judicial review
was dismissed by Lowry J. on February 11, 1998. The question before the court
was whether, given the time that had elapsed since the Complaints were first
made to the Commission, personal hardship attributable to the stigma attached
to the allegations justified the supervisory intervention of the court. The
respondent also alleged that, because two prospective witnesses had died and
the memories of other witnesses had faded, he would be unable to obtain a fair
hearing. The respondent did not make an express s. 7 argument before the lower
court, but relied instead on principles of natural justice, pursuant to
administrative law jurisprudence and common law protections against undue
delay. The respondent did however cite s. 7 jurisprudence to support his claim
that the prejudice he suffered was analogous to the prejudice that justifies a
stay of proceedings in the s. 7 context.
20
Lowry J. recognized that the allegations of sexual harassment had
significantly affected the respondent’s life and that his political career
appeared to be finished. However, he added that it was difficult to determine
to what extent such prejudice could be fairly attributed to any delay in the
proceedings.
21
Lowry J. rejected the contention that, absent any application of the Charter ,
personal hardship attributable to unacceptable delay in an administrative
process could, standing alone, constitute prejudice that entitled a respondent
to prerogative relief. He held that delay will only constitute a denial of
natural justice if the result of the delay is to directly prejudice the ability
of an affected party to respond. He concluded that Mr. Blencoe’s ability to
have a fair hearing had not been prejudiced, since he was able to respond to
the Complaints in an evidentiary sense.
22
Apart from an unexplained five-month period in the human rights process,
Lowry J. found that there had been no extended period of inactivity in the
processing of the Complaints from receipt to referral. Communication had been
ongoing between the Commission, solicitors and complainants, and the respondent
had not been ignored. Lowry J. thus concluded that there had been no
“unacceptable delay” in the human rights process. He also noted that the
respondent had not brought any of his personal hardship to the Commission’s
attention, nor had he requested a prioritization of the Complaints on that
basis.
B. British
Columbia Court of Appeal (1998), 49 B.C.L.R. (3d) 216
23
Before the Court of Appeal, Mr. Blencoe expressly argued that his s. 7
rights to liberty and security of the person were violated due to the length of
the delay in resolving the Complaints against him. On May 11, 1998, the Court
of Appeal (McEachern C.J.B.C. and Prowse J.A. for the majority, in separate
concurring reasons) allowed the appeal and directed that the human rights
proceedings against the respondent be stayed. Lambert J.A., in dissent, would
have upheld the judgment of the British Columbia Supreme Court.
(a) Majority Decision of McEachern C.J.B.C.
24
McEachern C.J.B.C. concluded that the undue delay and the continued
prejudice to privacy and human dignity could not be in accordance with the
principles of fundamental justice (para. 104). McEachern C.J.B.C. found that
the delay could not be attributed to Mr. Blencoe since he was unable to
identify any steps taken by the respondent to which he was not entitled in
defending himself. McEachern C.J.B.C. opined that the Complaints were not
complex, but were rather of the type that are “quickly resolved by courts and
tribunals all the time” (para. 37), such that “a week at the outside would have
sufficed” to complete the investigation (para. 51). He added (at paras. 47 and
51):
. . . a delay of over 30 months from the date of the complaints to a
hearing on the merits is far too long. If Mr. Blencoe had been charged in the
criminal courts with this type of sexual assault, the charge would very likely
be dismissed on grounds of delay . . . .
As I have already commented, the investigation was
necessarily one-dimensional as there were no eyewitnesses, and a week at the
outside would have sufficed.
25
Turning to the issue of prejudice, McEachern C.J.B.C. found that but for
these proceedings, “it might reasonably be expected that the overwhelming
[media] attention would have died away and [Blencoe] and his family could have
attempted to reconstruct their lives” (para. 53). He considered the contention
that the prejudice suffered by the respondent was not caused by the delay, but
rather by his dismissal from Cabinet. In this connection McEachern C.J.B.C.
held that the Supreme Court of Canada has elevated the “exacerbation” of an
existing deprivation to the same level as the creation of the deprivation
itself. He held that the excessive delay both created a substantial stigma
against the accused and exacerbated an existing state of affairs, thus
triggering the s. 7 right to security of the person.
26
McEachern C.J.B.C. noted that the jurisprudence surrounding the
application of s. 7 in a non-penal context was “fraught with considerable
difficulty” (para. 60). He identified two competing streams of jurisprudence
as to the scope of s. 7 in the Supreme Court. First, McEachern C.J.B.C. described
what he referred to as the “judicial domain” school, which limits s. 7
protection to criminal proceedings. This approach was then contrasted with a
broader approach to s. 7 which protects an individual’s right to “human
dignity” and “privacy” outside the arena of criminal proceedings. McEachern
C.J.B.C. adopted the more expansive approach (at para. 101):
. . . I feel constrained to follow what I regard as the emerging,
preferred view in the Supreme Court of Canada that s. 7 , under the rubric of
liberty and security of the person, operates to protect both the privacy and
dignity of citizens against the stigma of undue, prolonged humiliation and
public degradation of the kind suffered by [Blencoe] here. Everyone can be
made answerable, according to law, for his or her conduct or misconduct, but a
process established by law to provide accountability and appropriate remedies
cannot be completely open-ended in the sense that human dignity, even for
wrongdoers if such is the case, can be compromised for as long as it has
occurred in this case.
(b) Concurring Majority Judgment of Prowse J.A.
27
Prowse J.A. held that the allegations in this case were analogous to
allegations of sexual assault and thus engaged s. 7 of the Charter .
Having regard to the nature of the allegations and the extent of the prejudice
suffered by Mr. Blencoe, she agreed with McEachern C.J.B.C. that the delay of
over 30 months was unreasonable and breached the respondent’s right to security
of the person in a manner not in accordance with the principles of fundamental
justice.
(c) Dissenting Reasons of Lambert J.A.
28
In determining whether the delay was unacceptable, for the purposes of
an assessment of natural justice, Lambert J.A. held that such decision was an
issue of fact which was decided by the lower court. Consequently, he stated
that Lowry J.’s decision should only be interfered with if there was a
misconception of the evidence or if the decision was palpably wrong, neither of
which had occurred in this case. On the legal question of which sorts of
prejudice affect natural justice, Lambert J.A. agreed with Lowry J. that
prejudice arising from delay must go to the intrinsic fairness of the hearing
process and not merely to extrinsic factors such as stigma, stress or other
forms of suffering.
29
Turning to the Charter issue, Lambert J.A. found it unnecessary
to decide whether s. 7 of the Charter applies to non-criminal
proceedings or whether suffering induced by stigmatization, stress and
disruption of family life can constitute a deprivation of liberty or security
of the person in the human rights context. He found that the stigma suffered
by Mr. Blencoe, the stress and anxiety related thereto, the media publicity,
and Mr. Blencoe’s lack of employment, could not be attributed to the human
rights process, nor were they exacerbated by a breach of the principles of
fundamental justice. Lambert J.A. emphasized that Mr. Blencoe’s rights and
expectations had to be balanced against those of the two complainants, in the
context of the public interest in upholding an effective human rights process.
Concluding that the principles of fundamental justice arising in the human
rights process were not breached, Lambert J.A. would have found that the
respondent was not entitled to relief under ss. 7 and 24 of the Charter .
IV. Relevant
Constitutional Provisions
30
Canadian Charter of Rights and Freedoms
7. Everyone has the right to life, liberty
and security of the person and the right not to be deprived thereof except in
accordance with the principles of fundamental justice.
11. Any person charged with an offence has
the right
.
. .
(b) to be tried within a reasonable time;
24. (1) Anyone whose rights or freedoms,
as guaranteed by this Charter , have been infringed or denied may apply to a
court of competent jurisdiction to obtain such remedy as the court considers
appropriate and just in the circumstances.
32. (1) This Charter applies
(a) to the Parliament and government of Canada in respect of
all matters within the authority of Parliament including all matters relating
to the Yukon Territory and Northwest Territories; and
(b) to the legislature and government of each province in
respect of all matters within the authority of the legislature of each
province.
V. Issues
31
The following are the central issues to be determined for the
disposition of this appeal:
A.
Does the Charter apply to the actions of the British Columbia
Human Rights Commission?
B.
Have the respondent’s s. 7 rights to liberty and security of the person
been violated by state-caused delay in the human rights proceedings?
C.
If the respondent’s s. 7 rights were not engaged, or if the state’s
actions were in accordance with the principles of fundamental justice, was the
respondent entitled to a remedy pursuant to administrative law principles where
the delay did not interfere with the right to a fair hearing?
D.
If the respondent is entitled to a Charter or administrative law
remedy, was the stay of proceedings an appropriate remedy in the circumstances
of this case?
VI. Analysis
A. Does the Charter Apply to the
Actions of the British Columbia Human Rights Commission?
32
The scope of the Charter ’s application is delineated by s. 32(1)
of the Charter which states:
32. (1) This Charter applies
(a) to the Parliament and government of Canada in respect of
all matters within the authority of Parliament including all matters relating
to the Yukon Territory and Northwest Territories; and
(b) to the legislature and government of each province in
respect of all matters within the authority of the legislature of each
province.
It is clear that
both the federal Parliament and provincial legislatures are bound by the Charter .
However, one threshold issue which has been raised in this case is whether the
Commission and the Tribunal are agents of government pursuant to s. 32 of the Charter .
The following three factors have been put forth to support the argument that
these bodies are not bound by the Charter : (i) the organizations in
question are required to be independent of government; (ii) the challenge in
this case is not to any statutory provisions that might be said to be within
the legislative sphere; and (iii) the organizations in question must act
judicially since their functions are analogous to those exercised by courts of
law.
33
For the reasons I address below, these claims are misguided with respect
to their approach to the application of the Charter . Furthermore, for
the purposes of this appeal, it is only necessary to address the Charter ’s
applicability to the actions of the Commission since the prejudice suffered by
the respondent is alleged to have resulted from unreasonable delay in the
actions of the Commission.
34
The mere fact that a body is independent of government is not
determinative of the Charter ’s application, nor is the fact that a
statutory provision is not impugned. Being autonomous or independent from
government is not a conclusive basis upon which to hold that the Charter
does not apply.
35
Bodies exercising statutory authority are bound by the Charter
even though they may be independent of government. This was confirmed by
La Forest J., speaking for a unanimous Court in Eldridge v. British
Columbia (Attorney General), [1997] 3 S.C.R. 624, at para. 21:
There is no doubt, however, that the Charter also applies to
action taken under statutory authority. The rationale for this rule
flows inexorably from the logical structure of s. 32 . As Professor Hogg
explains in his Constitutional Law of Canada (3rd ed. 1992 (loose‑leaf)),
vol. 1, at pp. 34‑8.3 and 34‑9:
Action taken under statutory authority is valid only
if it is within the scope of that authority. Since neither
Parliament nor a Legislature can itself pass a law in breach of the Charter ,
neither body can authorize action which would be in breach of the
Charter . Thus, the limitations on statutory authority which are
imposed by the Charter will flow down the chain of statutory authority and
apply to regulations, by‑laws, orders, decisions and all other action
(whether legislative, administrative or judicial) which depends for its
validity on statutory authority.
There is no doubt that the Commission is created by statute and that
all of its actions are taken pursuant to statutory authority.
36
One distinctive feature of actions taken under statutory authority is
that they involve a power of compulsion not possessed by private individuals
(P. W. Hogg, Constitutional Law of Canada (loose-leaf ed.), vol. 2, at
p. 34‑12). Clearly the Commission possesses more extensive powers than a
natural person. The Commission’s authority is not derived from the consent of
the parties. The Human Rights Code grants various powers to the
Commission to both investigate complaints and decide how to deal with such
complaints. Section 24 of the Code specifically allows the Commissioner to
compel the production of documents. The relevant portions of this section
state:
24 (1) For the purpose of investigating a
complaint, the commissioner of investigation and mediation or a human rights
officer may
(a) require the production of books, documents,
correspondence or other records that relate or may relate to the complaint, and
(b) make any inquiry relating to the complaint of
any person, in writing or orally.
(2) If a person refuses to
(a) comply with a demand under subsection (1) (a)
for the production of books, documents, correspondence or other records, or
(b) respond to an inquiry made under subsection
(1) (b),
the commissioner of investigation and mediation or a human rights
officer may apply to the Supreme Court for an order requiring the person to
comply with the demand or respond to the inquiry.
.
. .
(4) For the purpose of investigating a
complaint, the commissioner of investigation and mediation or a human rights
officer may, with the consent of the owner or occupier, enter and inspect any
premises that in the opinion of that commissioner or the human rights officer
may provide information relating to the complaint.
37
The Commission in this case cannot therefore escape Charter
scrutiny merely because it is not part of government or controlled by
government. In Eldridge, a unanimous Court concluded that a hospital
was bound by the Charter since it was implementing a specific government
policy or program. The Commission in this case is both implementing a specific
government program and exercising powers of statutory compulsion.
38
With respect to the claim that the Commission exercises judicial
functions and is thereby not subject to the Charter , the decision of
this Court in Slaight Communications Inc. v. Davidson, [1989] 1 S.C.R.
1038, is conclusive. Lamer J. (as he then was), in partial dissent but
speaking for a unanimous Court on this point, held that the Charter
applies to the orders of a statutorily appointed labour arbitrator. This
determination was not open to challenge, as expressed by Lamer J., at pp.
1077-78:
The fact that the Charter applies to the
order made by the adjudicator in the case at bar is not, in my opinion, open to
question. The adjudicator is a statutory creature: he is appointed
pursuant to a legislative provision and derives all his powers from the
statute. [Emphasis added.]
39
The facts in Slaight and the case at bar share at least one
salient feature: the labour arbitrator (in Slaight) and the Commission
(in the case at bar) each exercise governmental powers conferred upon them by a
legislative body. The ultimate source of authority in each of these cases is
government. All of the Commission’s powers are derived from the statute. The
Commission is carrying out the legislative scheme of the Human Rights Code.
It is putting into place a government program or a specific statutory scheme
established by government to implement government policy (see Eldridge, supra,
at paras. 37 and 44, and Douglas/Kwantlen Faculty Assn. v. Douglas College,
[1990] 3 S.C.R. 570, at p. 584). The Commission must act within the limits of
its enabling statute. There is clearly a “governmental quality” to the
functions of a human rights commission which is created by government to
promote equality in society generally.
40
Thus, notwithstanding that the Commission may have adjudicatory
characteristics, it is a statutory creature and its actions fall under the
authority of the Human Rights Code. The state has instituted an
administrative structure, through a legislative scheme, to effectuate a
governmental program to provide redress against discrimination. It is the
administration of a governmental program that calls for Charter
scrutiny. Once a complaint is brought before the Commission, the subsequent
administrative proceedings must comply with the Charter . These entities
are subject to Charter scrutiny in the performance of their functions
just as government would be in like circumstances. To hold otherwise would
allow the legislative branch to circumvent the Charter by establishing
statutory bodies that are immune to Charter scrutiny. The above
analysis leads inexorably to the conclusion that the Charter applies to
the actions of the Commission.
B. Have
the Respondent’s Section 7 Rights to Liberty and Security of the Person
Been
Violated by State-caused Delay in Human Rights Proceedings?
(a) Court of Appeal Decisions on This Issue
41
Four appellate courts have dealt with the issue of whether s. 7 of the Charter
applies in circumstances similar to the case at bar, including the decision
under appeal. The majority of the Court of Appeal in Blencoe followed
the decision in Saskatchewan Human Rights Commission v. Kodellas (1989),
60 D.L.R. (4th) 143 (Sask. C.A.), to hold that s. 7 of the Charter was
violated. However, the Manitoba Court of Appeal in Nisbett v. Manitoba
(Human Rights Commission) (1993), 101 D.L.R. (4th) 744, and the Federal
Court of Appeal in Canadian Airlines International Ltd. v. Canada (Human
Rights Commission), [1996] 1 F.C. 638, refused to follow Kodellas,
holding that s. 7 cannot be applied to the consequences of delays in human
rights proceedings.
42
In Kodellas, between the date of the first complaint and the date
fixed for the hearing, almost four years had elapsed and three years and two
months had elapsed with respect to the second complaint. Bayda C.J.S.,
dissenting in part with respect to the appropriate remedy, held that the delay
violated Mr. Kodellas’s s. 7 security of the person. In reaching this
conclusion, Bayda C.J.S. referred to the dissenting judgment of Lamer J. in Mills
v. The Queen, [1986] 1 S.C.R. 863 (hereinafter “Mills (1986)”), at
p. 919, and reiterated in R. v. Rahey, [1987] 1 S.C.R. 588, at p. 605,
where, in the context of s. 11 (b) of the Charter , security of the
person encompasses protection against “overlong subjection to the vexations and
vicissitudes of a pending criminal accusation” (Kodellas, at p. 152).
The unreasonable delay in Kodellas was found to result in two forms of
prejudice to Mr. Kodellas. First, it extended his psychological trauma.
Second, it reduced Mr. Kodellas’s chances of a fair hearing (Kodellas,
at p. 161).
43
In Nisbett, the Manitoba Court of Appeal denied relief
sought by a medical doctor to prohibit the hearing of his employee’s complaint
of sexual harassment that had been outstanding for over three years. This
decision was reached despite the stigma attached to the allegations which was
described as “anxiety, the strain on family life, the
disruption of his professional practice, the quest for evidence of similar
conduct from former employees, the damage to his personal dignity and
professional standing, the loss of self‑esteem, and the continuing
uncertainty as to the final outcome of the proceedings”
(Nisbett, at p. 749) (quoting from the trial judgment (1992), 90 D.L.R.
(4th) 672, at p. 679). The Manitoba Court of Appeal refused
to follow Kodellas, questioning whether the impact of a criminal
proceeding for sexual assault can be equated with a human rights proceeding on
allegations of sex discrimination for the purposes of s. 7 . The Court of
Appeal concluded that s. 7 had no application to non-penal proceedings under
human rights legislation and that s. 11 of the Charter was restricted to
criminal cases.
44
In Canadian Airlines, there was a 50-month delay between the
filing of the complaint and the appointment of a tribunal to investigate. The
Federal Court of Appeal also refused to follow Kodellas, and concluded
that s. 7 did not apply to administrative proceedings of a non-criminal nature.
(b) Applicability of Section 7 Outside the Criminal Context
45
Although there have been some decisions of this Court which may
have supported the position that s. 7 of the Charter is restricted to
the sphere of criminal law, there is no longer any doubt that s. 7 of the Charter
is not confined to the penal context. This was most recently affirmed by this
Court in New Brunswick (Minister of Health and Community Services) v.
G. (J.), [1999] 3 S.C.R. 46, where Lamer C.J. stated that the
protection of security of the person extends beyond the criminal law (at para.
58). He later added (at para. 65):
. . . s. 7 is not limited solely to purely criminal
or penal matters. There are other ways in which the government, in the course
of the administration of justice, can deprive a person of their s. 7 rights to
liberty and security of the person, i.e., civil committal to a mental
institution: see B. (R.), supra, at para. 22.
46
Thus, to the extent that the above decisions of Nisbett and Canadian
Airlines stand for the proposition that s. 7 can never apply outside the
criminal realm, they are incorrect. Section 7 can extend beyond the sphere of
criminal law, at least where there is “state action which directly engages the
justice system and its administration” (G. (J.), at para.
66). If a case arises in the human rights context which, on its facts, meets
the usual s. 7 threshold requirements, there is no specific bar against such a
claim and s. 7 may be engaged. The question to be addressed, however, is not
whether delays in human rights proceedings can engage s. 7 of the Charter
but rather, whether the respondent’s s. 7 rights were actually engaged by
delays in the circumstances of this case. Various parties in this case seem to
have conflated the delay issue with the threshold s. 7 issue. However, whether
the respondent’s s. 7 rights to life, liberty and security of the person are
engaged is a separate issue from whether the delay itself was unreasonable. I
will now examine whether the s. 7 threshold requirements have been met and
whether the respondent has demonstrated a breach of his s. 7 rights.
(c) Section 7 – General Principles
47
Section 7 of the Charter provides that “[e]veryone has the right
to life, liberty and security of the person and the right not to be deprived
thereof except in accordance with the principles of fundamental justice.”
Thus, before it is even possible to address the issue of whether the
respondent’s s. 7 rights were infringed in a manner not in accordance with the
principles of fundamental justice, one must first establish that the interest
in respect of which the respondent asserted his claim falls within the ambit of
s. 7 . These two steps in the s. 7 analysis have been set out by La Forest
J. in R. v. Beare, [1988] 2 S.C.R. 387, at p. 401, as follows:
To trigger its operation there must first be a finding that there has
been a deprivation of the right to “life, liberty and security of the person”
and, secondly, that the deprivation is contrary to the principles of
fundamental justice.
Thus, if no
interest in the respondent’s life, liberty or security of the person is
implicated, the s. 7 analysis stops there. It is at the first stage in the s.
7 analysis that I have the greatest problem with the respondent’s s. 7
arguments.
48
McEachern C.J.B.C. collapsed the s. 7 interests of “liberty” and
“security of the person” into a single right protecting a person’s dignity
against the stigma of undue, prolonged humiliation and public degradation of
the kind suffered by the respondent. In Singh v. Minister of Employment and
Immigration, [1985] 1 S.C.R. 177, at pp. 204-5, Wilson J. emphasized that
“life, liberty and security of the person” are three distinct interests, and
that it is incumbent on the Court to give meaning to each of these elements.
This statement was endorsed by Lamer J. for a majority of this Court in Re
B.C. Motor Vehicle Act, [1985] 2 S.C.R. 486, at p. 500. In addressing the
issue of whether the respondent’s s. 7 rights have been breached in this case,
I also prefer to keep the interests protected by s. 7 analytically distinct to
the extent possible. For the purposes of this appeal, the outcome is dependent
upon the meaning to be given to the interests of “liberty” and “security of the
person”.
(d) Liberty Interest
49
The liberty interest protected by s. 7 of the Charter is
no longer restricted to mere freedom from physical restraint. Members of this
Court have found that “liberty” is engaged where state compulsions or
prohibitions affect important and fundamental life choices. This applies for
example where persons are compelled to appear at a particular time and place
for fingerprinting (Beare, supra); to produce documents or testify
(Thomson Newspapers Ltd. v. Canada (Director of Investigation and Research,
Restrictive Trade Practices Commission), [1990] 1 S.C.R. 425); and not to
loiter in particular areas (R. v. Heywood, [1994] 3 S.C.R. 761). In our free and democratic society, individuals are entitled to
make decisions of fundamental importance free from state interference. In B. (R.)
v. Children’s Aid Society of Metropolitan Toronto, [1995] 1 S.C.R. 315, at
para. 80, La Forest J., with whom L’Heureux‑Dubé, Gonthier and
McLachlin JJ. agreed, emphasized that the liberty interest protected by s. 7
must be interpreted broadly and in accordance with the principles and values
underlying the Charter as a whole and that it protects an individual’s
personal autonomy:
. . . liberty does not mean mere freedom from physical
restraint. In a free and democratic society, the individual must be left room
for personal autonomy to live his or her own life and to make decisions that
are of fundamental personal importance.
50
In R. v. Morgentaler, [1988] 1 S.C.R. 30, Wilson J., speaking for
herself alone, was of the opinion that s. 251 of the Criminal Code
violated not only a woman’s right to security of the person but her s. 7
liberty interest as well. She indicated that the liberty interest is rooted in
fundamental notions of human dignity, personal autonomy, privacy and choice in
decisions regarding an individual’s fundamental being. She conveyed this as
follows, at p. 166:
Thus, an aspect of the respect for human dignity on
which the Charter is founded is the right to make fundamental personal
decisions without interference from the state. This right is a critical
component of the right to liberty. Liberty, as was noted in Singh, is a
phrase capable of a broad range of meaning. In my view, this right, properly
construed, grants the individual a degree of autonomy in making decisions of
fundamental personal importance.
The above
passage was endorsed by La Forest J. in B. (R.), supra,
at para. 80. This Court in B. (R.) was asked to decide whether the
s. 7 liberty interest protects the rights of parents to choose medical
treatment for their children. The above passage from Wilson J. was applied by
La Forest J. to individual interests of fundamental importance in our society
such as the parental interest in caring for one’s children.
51
In Godbout v. Longueuil (City), [1997] 3 S.C.R. 844, at para. 66,
La Forest J., writing for L’Heureux‑Dubé J. and McLachlin J. (as she
then was), reiterated his position that the right to liberty in s. 7 protects
the individual’s right to make inherently private choices and that choosing
where to establish one’s home is one such inherently personal choice:
The foregoing discussion serves simply to reiterate
my general view that the right to liberty enshrined in s. 7 of the Charter
protects within its ambit the right to an irreducible sphere of personal
autonomy wherein individuals may make inherently private choices free from
state interference. I must emphasize here that, as the tenor of my comments in
B. (R.) should indicate, I do not by any means regard this sphere
of autonomy as being so wide as to encompass any and all decisions that
individuals might make in conducting their affairs. Indeed, such a view
would run contrary to the basic idea, expressed both at the outset of these
reasons and in my reasons in B. (R.), that individuals cannot, in
any organized society, be guaranteed an unbridled freedom to do whatever they
please. Moreover, I do not even consider that the sphere of
autonomy includes within its scope every matter that might, however
vaguely, be described as “private”. Rather, as I see it, the
autonomy protected by the s. 7 right to liberty encompasses only those matters
that can properly be characterized as fundamentally or inherently personal such
that, by their very nature, they implicate basic choices going to the core of
what it means to enjoy individual dignity and independence. As I
have already explained, I took the view in B. (R.) that parental
decisions respecting the medical care provided to their children fall within
this narrow class of inherently personal matters. In my view,
choosing where to establish one’s home is, likewise, a quintessentially private
decision going to the very heart of personal or individual autonomy. [Emphasis
added.]
La Forest
J. therefore spoke in Godbout of a narrow sphere of inherently personal
decision-making deserving of the law’s protection. Choosing where to establish
one’s home fell within that narrow class according to three members of this
Court.
52
Dissenting at the New Brunswick Court of Appeal in G. (J.),
I also favoured a more generous approach to the liberty interest that would protect
personal rights that are inherent to the individual and consistent with the
essential values of our society (New Brunswick (Minister of Health and
Community Services) v. J.G. (1997), 187 N.B.R. (2d) 81, at
para. 49). In this vein, the parental interest in raising and caring for one’s
children would be protected. I however agreed with La Forest J.’s caution
that the liberty interest would encompass only those decisions that are of
fundamental importance.
53
Professor Hogg, supra, at p. 44-9, supports a more cautious
approach to the interpretation of s. 7 such that s. 7 does not become a
residual right which envelopes all of the legal rights in the Charter .
Professor Hogg also addresses the deliberate omission of “property” from “life,
liberty and security of the person” in s. 7 , and states, at p. 44-12:
It also requires . . . that those terms [liberty and security of the
person] be interpreted as excluding economic liberty and economic security;
otherwise, property, having been shut out of the front door, would enter by the
back.
54
Although an individual has the right to make
fundamental personal choices free from state interference, such personal
autonomy is not synonymous with unconstrained freedom. In the
circumstances of this case, the state has not prevented the respondent from
making any “fundamental personal choices”. The interests sought to be
protected in this case do not in my opinion fall within the “liberty” interest
protected by s. 7 .
(e) Security of the Person
55
In the criminal context, this Court has held that state
interference with bodily integrity and serious state-imposed psychological
stress constitute a breach of an individual’s security of the person. In this
context, security of the person has been held to protect both the physical and
psychological integrity of the individual (Morgentaler, supra, at p. 56, per Dickson C.J., and at p. 173, per Wilson
J.; Rodriguez v. British Columbia (Attorney General), [1993] 3
S.C.R. 519, at p. 587, per Sopinka J.; Reference re
ss. 193 and 195.1(1)(c) of the Criminal Code (Man.), [1990] 1 S.C.R. 1123,
at p. 1177, per Lamer J.). These decisions relate to situations where
the state has taken steps to interfere, through criminal legislation, with
personal autonomy and a person’s ability to control his or her own physical or
psychological integrity such as prohibiting assisted suicide and regulating
abortion.
56
The principle that the right to security of the person encompasses
serious state-imposed psychological stress has recently been reiterated by this
Court in G. (J.), supra. At issue in G. (J.)
was whether relieving a parent of the custody of his or her children restricts
a parent’s right to security of the person. Lamer C.J. held that the parental
interest in raising one’s children is one of fundamental personal importance.
State removal of a child from parental custody thus constitutes direct state
interference with the psychological integrity of the parent, amounting to a
“gross intrusion” into the private and intimate sphere of the parent-child
relationship (at para. 61). Lamer C.J. concluded that s. 7 guarantees every
parent the right to a fair hearing where the state seeks to obtain custody of
their children (at para. 55). However, the former Chief Justice also set
boundaries in G. (J.) for cases where one’s psychological integrity
is infringed upon. He referred to the attempt to delineate such boundaries as
“an inexact science” (para. 59).
57
Not all state interference with an individual’s psychological integrity
will engage s. 7 . Where the psychological integrity of a person is at issue,
security of the person is restricted to “serious state-imposed psychological
stress” (Dickson C.J. in Morgentaler, supra, at p. 56). I think
Lamer C.J. was correct in his assertion that Dickson C.J. was seeking to convey
something qualitative about the type of state interference that would rise to
the level of infringing s. 7 (G. (J.), at para. 59). The words
“serious state-imposed psychological stress” delineate two requirements that
must be met in order for security of the person to be triggered. First, the
psychological harm must be state imposed, meaning that the harm must
result from the actions of the state. Second, the psychological prejudice must
be serious. Not all forms of psychological prejudice caused by
government will lead to automatic s. 7 violations. These two requirements will
be examined in turn.
(i) Was the Harm to Mr. Blencoe the Result
of State-Caused Delay in the Human Rights Process?
58
In G. (J.), Lamer C.J. found direct state interference with
the psychological integrity of the parent, describing the government action in
that case as “direct state interference with the parent-child relationship”
(para. 61). Later, at para. 66, Lamer C.J. referred to a child custody
application as “an example of state action which directly engages the
justice system and its administration” (emphasis added). He stressed that not
every state action which interferes with the parent-child relationship would
have triggered s. 7 .
59
Stress, anxiety and stigma may arise from any criminal trial,
human rights allegation, or even a civil action, regardless of whether the
trial or process occurs within a reasonable time. We are therefore not
concerned in this case with all such prejudice but only that impairment which
can be said to flow from the delay in the human rights process. It would be
inappropriate to hold government accountable for harms that are brought about
by third parties who are not in any sense acting as agents of the state.
60
While it is incontrovertible that the respondent has suffered serious
prejudice in connection with the allegations of sexual harassment against him,
there must be a sufficient causal connection between the state-caused delay and
the prejudice suffered by the respondent for s. 7 to be triggered. In Operation
Dismantle Inc. v. The Queen, [1985] 1 S.C.R. 441, at p. 447, Dickson J. (as
he then was) concluded that the causal link between the actions of government
and the alleged Charter violation was too “uncertain, speculative and
hypothetical to sustain a cause of action”. In separate concurring reasons,
Wilson J. also conveyed the need to have some type of direct causation between
the actions of the state and the resulting deprivation. She stated, at p. 490:
It is not necessary to accept the restrictive
interpretation advanced by Pratte J., which would limit s. 7 to protection
against arbitrary arrest or detention, in order to agree that the central
concern of the section is direct impingement by government upon the life,
liberty and personal security of individual citizens. At the very least,
it seems to me, there must be a strong presumption that governmental action
which concerns the relations of the state with other states, and which is
therefore not directed at any member of the immediate political community, was
never intended to be caught by s. 7 even although such action may have the
incidental effect of increasing the risk of death or injury that individuals
generally have to face. [Emphasis added.]
61
The appellants submit that the nexus between the harm to the respondent
and the alleged delay in processing the Complaints is remote. They assert that
the largest measure of prejudice to Mr. Blencoe resulted not from any delay but
from the publicity surrounding the events, especially his dismissal from
Cabinet and later from the NDP caucus. They add that the respondent himself
fought the allegations against him in the public domain. For the reasons I set
out below, I also have doubts whether, on the facts, the psychological harm
suffered by the respondent can be seen as the result of state-caused delay in
the human rights process.
62
On March 1, 1995, the respondent was informed by Premier Harcourt
that his former assistant, Fran Yanor, made sexual harassment allegations
against him. This allegation was made public one week later. On March 9,
1995, Mr. Blencoe stepped down as Minister but remained in
Cabinet, pending the results of an inquiry. He issued a press release, “vehemently denying the harassment allegations”. On March 10, 1995, the national and provincial press
began running stories about the respondent’s resignation and allegations
against him by Ms. Yanor and two other women. On April 4, 1995, Premier
Harcourt removed the respondent from Cabinet and dismissed him
from the NDP caucus.
63
While the respondent was only notified of the
Schell and Willis Complaints in July and September of 1995, the record demonstrates
that Mr. Blencoe had suffered the following prejudice or “stigmatization” prior
to that time: Mr. Blencoe and his family were hounded by the media from
the time that the Yanor harassment allegations were made public; the respondent and his wife feared press leaks and stopped
speaking to persons outside their close circle of family and friends; Mr.
Blencoe’s children were subjected to insults and name-calling at school; and Mr. Blencoe was under the care of a physician and was
prescribed antidepressants by April of 1995. The respondent himself admits
that from mid-March 1995 until August 1995, he was “extremely unwell”. From
April 11, 1995, to September 7, 1995, the respondent was on medical leave from
the legislature. In the Fall of 1995, Mr. Blencoe considered whether to
run in the upcoming election. Since he suspected that Premier Harcourt would
refuse to sign his nomination papers, he decided not to seek the NDP nomination
in his riding and resigned from the party on December 29, 1995. All of these
events had occurred prior to any delays in the proceedings.
64
There is no question that the respondent’s life and that of his
family have been terribly affected by the allegations of sexual harassment
against him. His political career appears to be finished and, as professed by
Lowry J., “[t]he impact on his family of what has
seemed at times an unrelenting media coverage has been traumatic” (para. 12). The respondent attributes this prejudice to
the delay in the human rights proceedings. McEachern C.J.B.C.
agreed, stating (at para. 53) that:
There can be no doubt that
[Blencoe] was severely wounded by the publicity surrounding his dismissal from
the Cabinet. Such is the price of public life. But for these
proceedings, however, it might reasonably be expected that the overwhelming
attention would have died away and [Blencoe] and his family could have
attempted to reconstruct their lives. [Emphasis added.]
With respect,
I cannot agree with McEachern C.J.B.C.’s speculation that the respondent would
have been able to reconstruct his life but for the proceedings (or I
should say, delay in the proceedings). A higher level of certainty is
required than “might reasonably be expected” in order to find that government has caused a deprivation
of an individual’s Charter rights.
65
Based on the above facts, the Willis and Schell allegations were clearly
not the first events in the sexual harassment claims against the respondent. Lambert J.A. asserted that “[t]he human rights process started with
the complaints in April, 1995” (para. 5 (emphasis in original)). Based
on the record, however, it is clear that the Willis and Schell Complaints were
only filed with the Commission in July and August of that year. The
respondent himself asserts that the complaints to the Premier’s office are what
resulted in his removal from Cabinet and caucus. He makes this assertion to
support his contention that the date from which the delay should be computed
should pre-date the official Complaints to the Commission. This
argument rather undermines the respondent’s assertion that the state caused his
prejudice. The central event leading to the intense media scrutiny was the
dismissal of the respondent from Cabinet and caucus in April 1995, following
the allegations of Fran Yanor. At that time, there had been no complaints to
the Commission. The Yanor allegations are thus more closely tied to the
dismissal from Cabinet, and consequently the stigma. I therefore find that the
most prejudicial impact on Mr. Blencoe was caused not by the actions of the
Commission but rather by the events prior to the Complaints which caused the
respondent to be ousted from Cabinet and caucus as well as the result of
actions by non-governmental actors such as the press, employers and a soccer
association. The harm to the respondent resulted from the publicity
surrounding the allegations themselves coupled with the political fall-out
which ensued rather than any delay in the human rights proceedings which had
yet to commence at the time that the respondent began to experience stigma.
66
Lambert J.A. rejected the connection between the delay and the
prejudice. Although recognizing that the respondent and his family had
suffered dreadfully, Lambert J.A. found that “[n]one of
that stigma was brought about by the processes under the Human Rights Act
or the Human Rights Code. Nor, in my opinion, was it much exacerbated
by those processes” (para. 29). Lambert J.A. was also
of the opinion that the stigma would not come to an end after the Tribunal had
made its decision, “no matter the content of that
decision” (para. 29).
67
I am in agreement with Lowry J. and Lambert J.A. on this issue.
My understanding is that there remains a civil suit pending against Mr. Blencoe
for sexual harassment and that Ms. Willis’s Complaint against the Government on
these very same issues has not been stayed. The prolongation of stigma from
this ongoing publicity was therefore likely regardless of the delay in the
human rights proceedings. At best, the respondent was deprived of a speedy
opportunity to clear his name.
68
While I conclude that the delay in the human rights process was not the
direct cause of the respondent’s prejudice, another question which arises is
whether it exacerbated his prejudice. According to McEachern C.J.B.C., the
excessive delay in the human rights proceedings both created a stigma against
Mr. Blencoe and exacerbated an existing prejudice, which, according to
the majority of the Court of Appeal, is tantamount to the creation of the
prejudice itself. McEachern C.J.B.C. relied on the decision of this Court in Rodriguez,
supra, to find that the Commission’s exacerbation of the deprivation of
security of the person that Mr. Blencoe suffered at the hands of the media,
triggered s. 7 (at para. 56). The respondent similarly argues that the delay
exacerbated the stigmatization, claiming that additional media stories surfaced
each time there was a new development in the processing of the Complaints. He
relies on this Court’s decision in Morgentaler, supra, to support
the position that it is sufficient if the delay is “a
contributing cause” of the prejudice.
69
First, with respect to this “contributing cause” argument, I find it very difficult to equate the situations
in Rodriguez and Morgentaler with that in the case at bar. In Rodriguez,
the Crown had erroneously characterized Mrs. Rodriguez’s deprivation of
security of the person as caused not by government but by her physical
disabilities. In rejecting that argument, Sopinka J. held that the Criminal
Code prohibition at s. 241 (b) would contribute to Mrs. Rodriguez’s
distress if she was prevented from managing her death (at p. 584). A Criminal
Code prohibition therefore directly deprived Mrs. Rodriguez of the ability
to terminate her life. The Court in Rodriguez surely did not eliminate
the need to establish a relationship between the harm complained of and the
state action. In Rodriguez, all of the members of the Court agreed that
government actions deprived Mrs. Rodriguez of the right to terminate her life
at the time of her choosing. In the absence of government involvement, Mrs.
Rodriguez would not have suffered a deprivation of her s. 7 rights. The same
cannot be said of the facts in the case at bar.
70
In the same vein, the Morgentaler case dealt with direct state
interference with a woman’s bodily integrity in that the delays in obtaining
therapeutic abortions were caused by the mandatory procedures in s. 251 of the Criminal
Code and resulted in a higher probability of complications and greater
health risks to women. In that case, it could not have been argued that the
cause of the deprivation is a woman’s pregnancy rather than the Criminal
Code prohibition. The decisions in Morgentaler and Rodriguez
do not, in my opinion, obviate the need to establish a significant connection
between the harm and the impugned state action to invoke the Charter .
71
Moreover, even accepting this exacerbation argument, it is difficult to
see how the respondent’s prejudice was seriously exacerbated by the delays. In
the absence of delays in the proceedings, the respondent would nevertheless
have faced unproven allegations of sexual harassment and discrimination and
suffered stigma as a result. It is thus clear that the respondent’s reputation
was harmed prior to the filing of the Complaints with the Commission. The
delays in the proceedings could only have extended the time that rumours were
circulating. As previously mentioned, the continuation of the concurrent
complaint and civil action must also be considered. As professed by L’Heureux‑Dubé
J. in R. v. O’Connor, [1995] 4 S.C.R. 411, at para. 119, with respect to
privacy, “once invaded, it can seldom be regained”. Much the same is true of reputation; it is quickly ruined
and difficult to re-establish. It is thus difficult to see how procedural
delay could have seriously increased the damage to the respondent’s reputation
that had already been done. The true prejudice to the respondent in this case
may only be the lost opportunity to clear his name rapidly.
72
At trial, Lowry J. made the following finding concerning the cause of
Mr. Blencoe’s suffering (at para. 13):
The stigma attached to the outstanding complaints has certainly
contributed in large measure to the very real hardship Mr. Blencoe has
experienced. His public profile as a Minister of the Crown rendered him
particularly vulnerable to the media attention that has been focused on him and
his family, and the hardship has, in the result, been protracted and severe.
73
Perhaps this statement supports the view that the outstanding
Complaints did contribute to the stigma to some degree and that it was
therefore a cause of the respondent’s suffering. Because I find in the next
section that the state has not directly intruded into a
private and intimate sphere of the respondent’s life, I assume without
deciding that there is a sufficient nexus between the state-caused delay and the
prejudice to Mr. Blencoe. I now turn to the question of whether this
interference amounts to a violation of the respondent’s security of the person.
(ii) Quality of the Interference
74
McEachern C.J.B.C. concluded that liberty and security of the person
under s. 7 protect both the privacy and dignity of individuals against the
stigma of undue, prolonged humiliation and public degradation of the kind
suffered by Mr. Blencoe (at para. 101). He therefore conflated s. 7 into a
general right to dignity and protection against the stigma of undue, prolonged
humiliation and public degradation suffered as a result of an administrative
proceeding. The question which arises is whether the rights of “liberty and
security of the person” protected by s. 7 of the Charter include a
generalized right to dignity, or more specifically, a right to be free from
stigma associated with a human rights complaint? In my opinion, they do not.
75
The “right to dignity” accepted by McEachern C.J.B.C. essentially rests
on several ideas. First, it is based on previous statements by this Court as
to the importance and value of dignity. Second, it is based on the recognition
in cases such as Morgentaler and O’Connor that state-induced
psychological stress can infringe s. 7 . Third, McEachern C.J.B.C. imports the
notion of “stigma” as developed under s. 11 (b) of the Charter in
the criminal law context. Each of these bases for a generalized right to
dignity under s. 7 will be addressed in turn.
1. Dignity
76
The Charter and the rights it guarantees are inextricably bound
to concepts of human dignity. Indeed, notions of human dignity underlie almost
every right guaranteed by the Charter (Morgentaler, supra,
at pp. 164-66, per Wilson J.). As professed by Dickson C.J. in his
discussion of s. 1 of the Charter in R. v. Oakes, [1986] 1 S.C.R.
103, at p. 136:
The Court must be guided by the values and principles essential to a
free and democratic society which I believe embody, to name but a few, respect
for the inherent dignity of the human person, commitment to social justice
and equality, accommodation of a wide variety of beliefs, respect for cultural
and group identity, and faith in social and political institutions which enhance
the participation of individuals and groups in society. The
underlying values and principles of a free and democratic society are the
genesis of the rights and freedoms guaranteed by the Charter and the
ultimate standard against which a limit on a right or freedom must be shown,
despite its effect, to be reasonable and demonstrably justified. [Emphasis
added.]
77
In Rodriguez, supra, Sopinka J. states that it is
unquestioned that respect for human dignity is an underlying principle upon which
our society is based (at p. 592). In O’Connor, supra, at para.
63, L’Heureux‑Dubé J. states that, “[t]his Court has repeatedly
recognized that human dignity is at the heart of the Charter ”. More
recently, this Court has stated in Law v. Canada (Minister of Employment and
Immigration), [1999] 1 S.C.R. 497, at para. 51, that the purpose of s.
15(1) of the Charter , “is to prevent the violation of essential human
dignity and freedom”. Respect for the inherent dignity of persons is clearly
an essential value in our free and democratic society which must guide the
courts in interpreting the Charter . This does not mean, however, that
dignity is elevated to a free-standing constitutional right protected by s. 7
of the Charter . Dignity has never been recognized by this Court as an
independent right but has rather been viewed as finding expression in rights,
such as equality, privacy or protection from state compulsion. In cases such
as Morgentaler, Rodriguez and B. (R.), dignity was
linked to personal autonomy over one’s body or interference with fundamental
personal choices. Indeed, dignity is often involved where the ability to make
fundamental choices is at stake.
78
In my view, the notion of “dignity” in the decisions of this Court is
better understood not as an autonomous Charter right, but rather, as an
underlying value. In Beare, supra, at p. 401, La Forest J.
cautions that s. 7 must not be interpreted too broadly, stating that:
Like other provisions of the Charter , s. 7 must be construed in
light of the interests it was meant to protect. It should be given a generous
interpretation, but it is important not to overshoot the actual purpose of the
right in question. . . .
While this
statement may have been obiter since the case was decided on the
principles of fundamental justice, this caution with respect to the
interpretation of “life, liberty and security of the person” is relevant
nevertheless. La Forest J. chose not to base his finding of a s. 7 deprivation
on any principle of “dignity or self-respect”, as did Bayda C.J.S. of the Court
of Appeal in that case. La Forest J. chose instead to find a deprivation
of liberty and security of the person for the reasons of Cameron J.A. in the
court below, based on the statutory requirement that a person surrender himself
into the custody of the authorities and submit to bodily intrusions on pain of
arrest and prosecution. La Forest J. conveys this, at p. 402:
The Court of Appeal, we saw, found that the
impugned provisions constituted an infringement of the right guaranteed by the
opening words of s. 7 , the majority because fingerprinting offends the “dignity
and self-respect” of at least those persons who because of their
self-perception or the perception of the community would feel demeaned by being
thus treated. In short, the majority thought that being subjected to
fingerprinting was to be treated like a criminal. This approach appears to
be broad and indefinite and to introduce an undesirable notion of differentiation
among those subjected to the procedure. For my part, I prefer the more
specific finding of Cameron J.A. that the impugned provisions infringe the
rights guaranteed by s. 7 because they require a person to appear at a specific
time and place and oblige that person to go through an identification process
on pain of imprisonment for failure to comply. [Emphasis added.]
79
According to the respondent, the human dignity of a person is closely
tied to a person’s reputation and privacy interests. Indeed, much of the harm
which has been suffered by Mr. Blencoe in this case has been the damage which
has been done to his reputation. Essentially, the respondent argues that his
reputation has been ruined through the stigma he has suffered as a result of
the publicity relating to the human rights proceedings against him. While this
Court found in Hill v. Church of Scientology of Toronto, [1995] 2 S.C.R.
1130, that reputation was a concept underlying Charter rights, it too is
not an independent Charter right in and of itself (at para. 120):
Although it is not specifically mentioned in the Charter ,
the good reputation of the individual represents and reflects the innate
dignity of the individual, a concept which underlies all the Charter
rights. It follows that the protection of the good reputation of an
individual is of fundamental importance to our democratic society. [Emphasis
added.]
80
Respect for a person’s reputation, like respect for dignity of the
person, is a value that underlies the Charter . These two values do not
support the respondent’s proposition that protection of reputation or freedom
from the stigma associated with human rights complaints are independent
constitutional s. 7 rights. Moreover, the above passages from Hill
regarding the protection of reputation were made in the context of a defamation
case. Defamation laws are intended to protect reputation. Dignity and
reputation are not self-standing rights. Neither is freedom from stigma. I
would therefore agree with the following passage from Reference re ss. 193
and 195.1(1)(c) of the Criminal Code, supra, at p. 1170, wherein
Lamer J. cautioned:
If liberty or security of the person under s. 7 of the Charter
were defined in terms of attributes such as dignity, self-worth and emotional
well-being, it seems that liberty under s. 7 would be all inclusive. In such a
state of affairs there would be serious reason to question the independent
existence in the Charter of other rights and freedoms such as freedom of
religion and conscience or freedom of expression.
2. State Interference with Psychological Integrity
81
In order for security of the person to be triggered in this case,
the impugned state action must have had a serious and profound effect on the
respondent’s psychological integrity (G. (J.), supra, at
para. 60). There must be state interference with an
individual interest of fundamental importance (at para. 61). Lamer C.J. stated
in G. (J.), at para. 59:
It is clear that the right to security of the person
does not protect the individual from the ordinary stresses and anxieties that a
person of reasonable sensibility would suffer as a result of government
action. If the right were interpreted with such broad sweep, countless
government initiatives could be challenged on the ground that they infringe the
right to security of the person, massively expanding the scope of judicial
review, and, in the process, trivializing what it means for a right to be constitutionally
protected.
He went on to state (at paras. 63-64):
Not every state action which interferes with the
parent‑child relationship will restrict a parent’s right to security of
the person. For example, a parent’s security of the person is
not restricted when, without more, his or her child is sentenced to jail or
conscripted into the army. Nor is it restricted when the child is
negligently shot and killed by a police officer: see Augustus v. Gosset,
[1996] 3 S.C.R. 268.
While the parent may
suffer significant stress and anxiety as a result of the interference with the
relationship occasioned by these actions, the quality of the “injury” to the parent
is distinguishable from that in the present case. In the aforementioned examples, the state is
making no pronouncement as to the parent’s fitness or parental status, nor is
it usurping the parental role or prying into the intimacies of the
relationship. In short, the state is not directly interfering
with the psychological integrity of the parent qua parent. The
different effect on the psychological integrity of the parent in the above
examples leads me to the conclusion that no constitutional rights of the parent
are engaged. [Emphasis added.]
82
The quality of the injury must therefore be assessed. In my opinion,
all of the cases which have come within the broad interpretation of “security
of the person” outside of the penal context differ markedly from the interests
that are at issue in this case. Violations of security of the person in this
context include only serious psychological incursions resulting from state
interference with an individual interest of fundamental importance.
83
It is only in exceptional cases where the state interferes in profoundly
intimate and personal choices of an individual that state-caused delay in human
rights proceedings could trigger the s. 7 security of the person interest.
While these fundamental personal choices would include the right to make
decisions concerning one’s body free from state interference or the prospect of
losing guardianship of one’s children, they would not easily include the type
of stress, anxiety and stigma that result from administrative or civil
proceedings.
84
In O’Connor, supra, this Court dealt with the disclosure
of therapeutic records of a complainant in a sexual assault case. L’Heureux‑Dubé
J. described the psychological trauma that could be faced by sexual assault
victims if forced to disclose their therapeutic records, at para. 112:
These people must contemplate the threat of disclosing to the very
person accused of assaulting them in the first place, and quite possibly in
open court, records containing intensely private aspects of their lives,
possibly containing thoughts and statements which have never even been shared
with the closest of friends or family.
Such a situation amounts to direct state interference with a
complainant’s psychological integrity. Moreover, O’Connor was reached
primarily on the basis of privacy concerns and animated by principles protected
by s. 8 of the Charter . In O’Connor, at para. 110, L’Heureux‑Dubé
J. listed the cases in which the Court “expressed sympathy” for the idea that
s. 7 includes a right to privacy. But she concluded that people have only a
“reasonable expectation of privacy” (emphasis deleted) because privacy “must be
balanced against legitimate societal needs” (para. 117). However, unlike
sexual assault victims who may be said to have a reasonable expectation of
privacy in their therapeutic records, the Commission in this case has not
invaded any of the respondent’s privacy interests. If there was any invasion
of the respondent’s privacy, it cannot be said to have resulted from state
action. Moreover, when one assumes a very prominent public office as the
respondent has, it is arguable that a certain amount of public scrutiny is to
be expected. The respondent injected himself into the public realm and the
public scrutiny that it entailed. An individual can have no more than a
reasonable expectation of privacy.
85
Where the therapeutic relationship between a sexual assault
complainant and his or her physician is threatened by the disclosure of private
records, this Court has recently held that security of the person is implicated
(R. v. Mills, [1999] 3 S.C.R. 668 (hereinafter “Mills (1999)”), at para. 85). However, this is because the therapeutic relationship
between doctor and patient is crucial to the patient’s psychological
integrity. This relationship must be protected to safeguard the mental
integrity of patients and to thereby aid victims in recovering from their
trauma. To disclose confidential records would undermine this relationship and
jeopardize the victim’s psychological integrity.
86
Few interests are as compelling as, and basic to individual
autonomy than, a woman’s choice to terminate her pregnancy, an individual’s
decision to terminate his or her life, the right to raise one’s children, and
the ability of sexual assault victims to seek therapy without fear of their
private records being disclosed. Such interests are indeed basic to individual
dignity. But the alleged right to be free from stigma associated with a human
rights complaint does not fall within this narrow sphere. The state has not
interfered with the respondent’s right to make decisions that affect his
fundamental being. The prejudice to the respondent in this case, as recognized
by Lowry J., at para. 10, is essentially confined to his personal hardship. He
is not “employable” as a
politician, he and his family have moved residences twice, his financial
resources are depleted, and he has suffered physically and psychologically. However, the state has not interfered with the respondent and his
family’s ability to make essential life choices. To accept that the prejudice
suffered by the respondent in this case amounts to state interference with his
security of the person would be to stretch the meaning of this right.
3. Importing the Notion of “Stigma” from the
Criminal Law Context
87
In Mills (1986), supra, at pp. 919-20, Lamer J., in
dissent, found that the combination of loss of privacy, stigma, and disruption
of family life engaged an individual’s security of the person in the context of
s. 11 (b) of the Charter , stating that:
. . . security of the person is not restricted to physical integrity;
rather, it encompasses protection against “overlong subjection to the vexations
and vicissitudes of a pending criminal accusation”. . . . These
include stigmatization of the accused, loss of privacy, stress and anxiety
resulting from a multitude of factors, including possible disruption of family,
social life and work, legal costs, uncertainty as to the outcome and sanction.
88
However, it must be emphasized that this statement was made in
the context of s. 11 (b) of the Charter which provides that a
person charged with an offence has the right “to be tried
within a reasonable time”. The qualifier to this right is that it
applies to individuals who have been “charged with an
offence”. The s. 11 (b) right
therefore has no application in civil or administrative proceedings. This
Court has often cautioned against the direct application of criminal justice
standards in the administrative law area. We should not blur concepts which
under our Charter are clearly distinct. The s. 11 (b) guarantee
of a right to an accused person to be tried within a reasonable time cannot be
imported into s. 7 . There is no analogous provision to s. 11 (b)
which applies to administrative proceedings, nor is there a constitutional
right outside the criminal context to be “tried” within a reasonable time.
89
Lamer C.J. later reiterated this statement from Mills
(1986) in G. (J.), at para. 62. In so doing, however, this Court
did not make freedom from stigma a free-standing right. Nor did it establish
that respondents in sexual harassment proceedings suffer so greatly that s. 11 (b)
principles should apply to them. As will be
demonstrated below, the nature of the harm caused by human rights delay is
different.
90
In Kodellas, supra, the Saskatchewan Court of Appeal
clearly equated criminal sexual assault charges with human rights sex
discrimination complaints. Bayda C.J.S. (dissenting on another issue) conveyed
this as follows, at pp. 152-53:
For the purpose of determining the effect upon the “security of the person” I see no
logical distinction of substance between the subjection to the vexations and
vicissitudes of “a pending criminal accusation” based upon sexual harassment and sexual assault and the
subjection to the vexations and vicissitudes of a pending accusation in penal (i.e.,
quasi‑criminal) proceedings under s. 35(2) of the Code, of
discrimination based upon sexual harassment and sexual assault. It is but a
small step from there to find that for the same purpose no distinction of
substance can be made between an accusation in a penal proceeding under the
Code and an identical accusation in remedial proceedings under ss. 27 to 33 of
the Code. Whether they occur in a criminal context, or in the context of a
penal proceeding, such as that provided for in the Code, or in the context of
remedial proceedings (which, as will be shown later, is the context relevant to
this case) the “vexations and vicissitudes” will invariably “include
stigmatization of the (alleged discriminator), loss of privacy, stress and
anxiety resulting from a multitude of factors, including possible disruption of
family, social life and work, legal costs, uncertainty as to the outcome and
sanction”. This is so because the hurt to the alleged
discriminator emanates from the accusation, not from the type of proceedings in
which the accusation is made. After all, it matters not a whit to all of the
relevant actors – the public, the persons who are the source of the hurt, those
who are indirectly affected by the hurt (such as the alleged discriminator’s
family) and the alleged discriminator, who is directly affected by the hurt and
who is the subject and direct object of the hurt – whether the accusation is
made in one procedural forum or another. What matters is the fact of
the accusation. . . .
In determining whether prejudice occurred in a
given situation, it is important to note that it is in the very nature of this
form of prejudice (i.e., feelings of mental hurt or “stigmatization”) that it arises automatically upon a formal accusation
being made. Lamer J. in Rahey, while elucidating this form of prejudice
(in the context of s. 11 (b) of the Charter ), recognized this when he
said at p. [609]:
With respect to the security of the
person, I do not believe that actual impairment need be proven by the accused
to render the section operative. An objective standard is the only realistic
means through which the security interest of the accused may be protected under
the section. Otherwise, each individual accused would have the burden of
demonstrating that he or she has subjectively suffered a form of anxiety,
stress or stigmatization as a result of the criminal charge. We are dealing
largely with the impairment of mental well-being, a matter which can only be
established with considerable difficulty at considerable cost. [Underlining
added; italics in original.]
91
The majority of the Court of Appeal in the case at bar followed the
above reasoning in Kodellas. The effect of the Appeal Court decision in
Blencoe was to import a requirement for a hearing within a reasonable
time into the processing of human rights complaints. Although the majority of
the Court of Appeal disclaimed a direct s. 11 (b) right, numerous
references were made in its reasons, equating sexual harassment proceedings to
criminal proceedings for sexual assault where s. 11 (b) would apply.
Indeed, the majority speaks of “this type of sexual
assault” (para. 47), “stigma
against the accused” (para. 56), “prosecution of these
complaints” (para. 58), a “straightforward case of
sexual assault” (para. 102), “[allegations]
which are tantamount to . . . sexual assault” (para.
108), and “unproven charges of sexual harassment” (para. 57). The basis for the majority of the Court of
Appeal’s reasons in this case is the treatment of sexual harassment human
rights complaints as akin to a pending criminal sexual assault charge.
92
With respect, the Court of Appeal in Kodellas and the
majority of the Court of Appeal in the case at bar have erred in transplanting
s. 11 (b) principles set out in the criminal law context to human rights
proceedings under s. 7 . Not only are there fundamental differences between
criminal proceedings and human rights proceedings that the majority failed to
recognize, but, more importantly, s. 11 (b) of the Charter is
restricted to a pending criminal case. The effect of the Court of Appeal’s
decision was to extract an element of s. 11 (b) – the element of stigma,
which may be sufficient in the context of criminal proceedings and s. 11 (b),
to create a deprivation of the security of the person – and apply it to a
process that differs with respect to objectives, consequences and procedures.
As this Court has recently confirmed in Mills (1999), supra, at
paras. 61 and 64, Charter rights must be interpreted
and defined in a contextual manner, because they often inform, and are
informed by, other similarly deserving rights and values at play in particular
circumstances. The Court of Appeal has failed to examine the
rights protected by s. 7 in the context of this case.
93
In the criminal law context, the test to be applied under s. 11 (b)
is an objective one, and prejudice may be inferred from unreasonable delay. This
stands in sharp contrast to the two-tiered approach to s. 7 of the Charter ,
where the mere passage of time in resolving a complaint does not automatically
give rise to the kind of prejudice that is presumed to follow from the laying
of a charge under s. 11 (b) of the Charter . In this regard, Lamer
J.’s comments in Mills (1986), supra, are premised on the fact
that there has already been an “overlong subjection to the vexations and
vicissitudes of a pending criminal accusation” (p. 919). This is a finding
that would be made not at the threshold stage of the s. 7 analysis but is
rather to be examined at the principles of fundamental justice stage. The
Court of Appeal in Kodellas and in the case at bar erred in conflating
the two stages of the s. 7 analysis. Philip Bryden similarly concluded that
the two stages of the s. 7 analysis were merged by the majority of the Court of
Appeal in this case (“Blencoe v. British Columbia (Human Rights
Commission): A Case Comment” (1999), 33 U.B.C. L. Rev. 153, at p.
158):
In my view, Chief Justice McEachern’s formulation
of when s. 7 applies tends to conflate the threshold question of whether
liberty or personal security have been denied with the ultimate question of
whether the process in place satisfies the requirements of fundamental
justice. The main reason we use threshold tests for the applicability of
constitutional protection is to focus our attention on the situations where we
believe the special safeguards associated with constitutional protection are needed.
94
In discussing the nature and purpose of s. 11 (b), Lamer J.
emphasized in Mills (1986), supra, that the need for protecting
the individual in such cases arises “from the nature of the criminal justice
system and of our society” (p. 920). He described the criminal justice process
as “adversarial and conflictual” and states that the very nature of the
criminal process will heighten the stress and anxiety that results from a
criminal charge. In contrast to the criminal realm, the filing of a human
rights complaint implies no suspicion of wrongdoing on the part of the state.
The investigation by the Commission is aimed solely at determining what took
place and ultimately to settle the matter in a non-adversarial manner. The
purpose of human rights proceedings is not to punish but to eradicate
discrimination. Tribunal orders are compensatory rather than punitive. The
investigation period in the human rights process is not one where the
Commission “prosecutes” the respondent. The Commission has an investigative
and conciliatory role until the time comes to make a recommendation whether to
refer the complaint to the Tribunal for hearing. These human rights
proceedings are designed to vindicate private rights and address grievances.
As stated by Dickson C.J. in Canada (Human Rights Commission) v. Taylor,
[1990] 3 S.C.R. 892, at p. 917:
It is essential, however, to recognize that, as an instrument
especially designed to prevent the spread of prejudice and to foster tolerance
and equality in the community, the Canadian Human Rights Act is very
different from the Criminal Code . The aim of human rights
legislation, and of s. 13(1) , is not to bring the full force of the state’s
power against a blameworthy individual for the purpose of imposing punishment. Instead,
provisions found in human rights statutes generally operate in a less
confrontational manner, allowing for a conciliatory settlement if possible and,
where discrimination exists, gearing remedial responses more towards compensating
the victim.
95
In criminal proceedings, the accusation alone may engage a security
interest because of the grave social and personal consequences to the accused –
including potential loss of physical liberty, subjection to social stigma and
ostracism from the community – which are the unavoidable consequences of an
open and adversarial judicial system. However, this Court in Taylor, supra,
at pp. 932-33, has commented directly on the diminished role of stigma in the
human rights context:
. . . the present appeal concerns an infringement of s. 2(b) in
the context of a human rights statute. The chill placed upon open expression
in such a context will ordinarily be less severe than that occasioned where
criminal legislation is involved, for attached to a criminal conviction is a
significant degree of stigma and punishment, whereas the extent of opprobrium
connected with the finding of discrimination is much diminished and the aim or
remedial measures is more upon compensation and protection of the victim. As
was stated in Canadian National Railway Co. v. Canada (Canadian Human Rights
Commission), [1987] 1 S.C.R. 1114, at p. 1134, under a human rights regime:
It is the (discriminatory) practice itself which is sought to be
precluded. The purpose of the Act is not to punish wrongdoing but to prevent
discrimination.
The last point is an important one and it deserves
to be underscored. There is no indication that the purpose of the Canadian
Human Rights Act is to assign or to punish moral blameworthiness.
96
I do not doubt that parties in human rights sex discrimination
proceedings experience some level of stress and disruption of their lives as a
consequence of allegations of complainants. Even accepting that the stress and
anxiety experienced by the respondent in this case was linked to delays in the
proceedings, I cannot conclude that the scope of his security of the person
protected by s. 7 of the Charter covers such emotional effects nor that
they can be equated with the kind of stigma contemplated in Mills
(1986), supra, of an overlong and vexatious pending criminal trial or in
G. (J.), supra, where the state sought to remove a child
from his or her parents. If the purpose of the impugned proceedings is to
provide a vehicle or act as an arbiter for redressing private rights, some
amount of stress and stigma attached to the proceedings must be accepted. This
will also be the case when dealing with the regulation of a business,
profession, or other activity. A civil suit involving fraud, defamation or the
tort of sexual battery will also be “stigmatizing”. The Commission’s
investigations are not public, the respondent is asked to provide his version
of events, and communication goes back and forth. While the respondent may be
vilified by the press, there is no “stigmatizing” state pronouncement as to his
“fitness” that would carry with it serious consequences such as those in G. (J.).
There is thus no constitutional right or freedom against such stigma protected
by the s. 7 rights to “liberty” or “security of the person”.
(f) Conclusion on Liberty and Security of the Person
97
To summarize, the stress, stigma and anxiety suffered by the respondent
did not deprive him of his right to liberty or security of the person. The
framers of the Charter chose to employ the words, “life, liberty and
security of the person”, thus limiting s. 7 rights to these three interests.
While notions of dignity and reputation underlie many Charter rights,
they are not stand-alone rights that trigger s. 7 in and of themselves.
Freedom from the type of anxiety, stress and stigma suffered by the respondent
in this case should not be elevated to the stature of a constitutionally
protected s. 7 right.
98
My conclusion that the respondent is unable to cross the first threshold
of the s. 7 Charter analysis in the circumstances of this case should
not be construed as a holding that state-caused delays in human rights
proceedings can never trigger an individual’s s. 7 rights. It may well
be that s. 7 rights can be engaged by a human rights process in a particular
case. I leave open the possibility that in other circumstances, delays in the
human rights process may violate s. 7 of the Charter .
99
Because of my conclusion that there was no deprivation of the
respondent’s right to liberty or security of the person, I need not proceed to
the second stage of the analysis to determine whether the alleged deprivation
was in accordance with the principles of fundamental justice. However, for the
reasons that immediately follow in the administrative law section, I express
the view that the delay, in the circumstances of this case, would not have
violated the principles of fundamental justice.
C. Was the Respondent Entitled to
a Remedy Pursuant to Administrative Law Principles?
100
While I have concluded that the respondent is not entitled to a remedy
under the Charter , I must still address the issue of whether the
respondent is entitled to a remedy under principles of administrative law.
This issue was pleaded before Lowry J. of the British Columbia Supreme Court.
Counsel were advised by us during the hearing that, notwithstanding that
pleadings were not made before this Court on administrative law per se,
we were nevertheless prepared to deal with this issue. The question to be
addressed in this section is whether the delay in this case could amount to a
denial of natural justice even where the respondent’s ability to have a fair
hearing has not been compromised.
(a) Prejudice to the Fairness of the Hearing
101
In my view, there are appropriate remedies available in the
administrative law context to deal with state-caused delay in human rights
proceedings. However, delay, without more, will not warrant a stay of
proceedings as an abuse of process at common law. Staying proceedings for the
mere passage of time would be tantamount to imposing a judicially created
limitation period (see: R. v. L. (W.K.), [1991] 1 S.C.R. 1091, at
p. 1100; Akthar v. Canada (Minister of Employment and Immigration),
[1991] 3 F.C. 32 (C.A.). In the administrative law context, there must be
proof of significant prejudice which results from an unacceptable delay.
102
There is no doubt that the principles of natural justice and the duty of
fairness are part of every administrative proceeding. Where delay impairs a
party’s ability to answer the complaint against him or her, because, for
example, memories have faded, essential witnesses have died or are unavailable,
or evidence has been lost, then administrative delay may be invoked to impugn
the validity of the administrative proceedings and provide a remedy (D. J. M.
Brown and J. M. Evans, Judicial Review of Administrative Action in Canada
(loose-leaf), at p. 9-67; W. Wade and C. Forsyth, Administrative Law
(7th ed. 1994), at pp. 435-36). It is thus accepted that the principles of
natural justice and the duty of fairness include the right to a fair hearing
and that undue delay in the processing of an administrative proceeding that
impairs the fairness of the hearing can be remedied (see, for example, J. M.
Evans, H. N. Janisch and D. J. Mullan, Administrative Law: Cases, Text, and
Materials (4th ed. 1995), at p. 256; Wade and Forsyth, supra, at pp.
435-36; Nisbett, supra, at p. 756; Canadian Airlines, supra;
Ford Motor Co. of Canada v. Ontario (Human Rights Commission) (1995), 24
C.H.R.R. D/464 (Ont. Div. Ct.); Freedman v. College of Physicians &
Surgeons (New Brunswick) (1996), 41 Admin. L.R. (2d) 196 (N.B.Q.B.)).
103
The respondent argued before the British Columbia Supreme Court that the
delay in the administrative process caused him prejudice that amounted to a
denial of natural justice in that he could no longer receive a fair hearing.
He alleged that two witnesses had died and that the memories of many witnesses
might be impaired by the passage of time. Lowry J. referred to these claims as
“vague assertions that fall far short of establishing an inability to prove
facts necessary to respond to the complaints” (para. 10). Lowry J. concluded
that the respondent’s opportunity to make full answer and defence had not been
compromised and thereby refused to terminate the proceedings.
104
The respondent also argued before Lowry J. that he was not provided with
a copy of Ms. Schell’s timeliness submissions for a two-month period and that
he had not received proper disclosure. Lowry J. did not consider the
respondent prejudiced in this regard. With respect to the alleged failure to
disclose information to the respondent, this is not, in my opinion, a case in
which the unfairness is so obvious that there would be a denial of natural
justice, or in which there was an abuse of process such that it would be
inappropriate to put the respondent through hearings before the Tribunal. I
would therefore adopt the finding of Lowry J. that the delay in this case is
not such that it would necessarily result in a hearing that lacks the essential
elements of fairness. The respondent’s right to a fair hearing has not been
jeopardized. Proof of prejudice has not been demonstrated to be of sufficient
magnitude to impact on the fairness of the hearing. This is a finding of fact
made by the trial judge that has not, in my opinion, been successfully attacked
on appeal. The question which must be addressed is therefore whether the delay
in this case could amount to a denial of natural justice or an abuse of process
even where the respondent has not been prejudiced in an evidentiary sense.
(b) Other Forms of Prejudice
105
It is trite law that there is a general duty of fairness resting on all
public decision-makers (Martineau v. Matsqui Institution Disciplinary Board,
[1980] 1 S.C.R. 602, at p. 628). The human rights processes at issue in this
case must have been conducted in a manner that is entirely consistent with the
principles of natural justice and procedural fairness. Perhaps the best
illustration of the traditional meaning of this duty of fairness in
administrative law can be discerned from the following words of Dickson J. in Martineau,
at p. 631:
In the final analysis, the simple question to be
answered is this: Did the tribunal on the facts of the particular case act
fairly toward the person claiming to be aggrieved? It seems to me that this is
the underlying question which the courts have sought to answer in all the cases
dealing with natural justice and with fairness.
106
Throughout the authorities in this area, terms such as “natural
justice”, “procedural fairness”, “abuse of process”, and “abuse of discretion”
are employed. In Martineau, at p. 629, Dickson J. (writing for three
judges, while all nine concurred in the result), stated that “the drawing of a
distinction between a duty to act fairly, and a duty to act in accordance with
the rules of natural justice, yields an unwieldy conceptual framework”. With
regard to these terms, I would adopt the following words of Sherstobitoff J.A.
of the Saskatchewan Court of Appeal in Misra v. College of Physicians &
Surgeons of Saskatchewan (1988), 52 D.L.R. (4th) 477, at p. 490:
There are two common denominators in each of the terms. The first is
the impossibility of precise definition because of their breadth and the wide
array of circumstances which may bring them into play. The other is the
concept of “fairness” or “fair play”. They clearly overlap. Unreasonable
delay is a possible basis upon which to raise any of them.
107
The respondent contends that the delay in the human rights proceedings
constitutes a breach of procedural fairness amounting to a denial of natural
justice and resulting in an abuse of process. The question is whether one can
look to the psychological and sociological harm caused by the delay rather than
merely to the procedural or legal effect, namely, whether the ability to make
full answer and defence has been compromised, to determine whether there has
been a denial of natural justice. This issue is a difficult one and there is
no clear authority in this area.
108
In cases where the Charter was held not to apply, most courts and
tribunals did not go further to decide whether the stress and stigma resulting
from an unacceptable delay were so significant as to amount to an abuse of
process. On the other hand, where courts did go further, they most often
adopted a narrow approach to the principles of natural justice. For example,
in Nisbett, supra, the Manitoba Court of Appeal concluded that
delay may amount to an abuse of process that the law will remedy only where “on
the record there has been demonstrated evidence of prejudice of sufficient
magnitude to impact on the fairness of the hearing” (p. 757). In Canadian
Airlines, supra, the Federal Court of Appeal followed Nisbett,
concluding that the prejudice must be such “as to deprive a party of his right
to a full and complete defence” (p. 641). In the case at bar, Lowry J. for the
British Columbia Supreme Court, found that unless there was prejudice to
hearing fairness, the type of personal hardship and psychological prejudice
suffered by Mr. Blencoe could not give rise to a breach of natural justice (at
para. 31):
. . . it cannot be said that the personal hardship Mr. Blencoe has
suffered, albeit protracted by the time the administrative process has taken,
gives rise to any Charter considerations. To my mind, it then becomes
difficult to see how it can nonetheless be said to be a prejudice giving rise
to a denial of natural justice. If it were, there would have been no need for
the Kodellas court to resort to section 7 of the Charter . And,
having rejected the applicability of section 7 , the Nisbett court would
have been bound to consider whether the personal hardship in that case
constituted a prejudice that supported the prerogative relief sought.
109
However, courts and tribunals have also referred to other types of
prejudice than trial fairness, holding that, where a commission or tribunal has
abused its process to the detriment of an individual, a court has the
discretion to grant a remedy. For example, in Stefani v. College of Dental
Surgeons (British Columbia) (1996), 44 Admin. L.R. (2d) 122 (B.C.S.C.), a
variety of effects on the petitioner were examined, including a cloud over his
professional reputation resulting from a delay of two years and three months
between the receipt of the complaint and the inspection, and an additional six-
or seven-month delay which followed. However, the delay in that case had also
resulted in an inability for the petitioner to have a fair hearing.
110
We have also been referred to the case of Brown v. Assn. of
Professional Engineers and Geoscientists of British Columbia, [1994] B.C.J.
No. 2037 (QL), where the British Columbia Supreme Court referred to the
petitioner’s right to a fair trial having been jeopardized as well as the
petitioner suffering harm to his reputation. In Brown, it took three
years to serve the petitioner with notice of the inquiry after receiving the
complaints. The delays were in no part caused by the petitioner.
111
In Misra, supra, a college disciplinary board elected to
await the completion of criminal proceedings against Misra, while suspending him
from the practice of medicine in the interim five-year period. After five
years, the criminal proceedings were abandoned and the board council decided to
hold a hearing. Sherstobitoff J.A. held for the court that (at p. 490):
The concept of natural justice or procedural
fairness as outlined by Dickson J. in Martineau is broad enough to
encompass principles which, in other contexts, have been termed abuse of
discretion or abuse of process because of delay and related matters. A court,
in exercising its supervisory function over an administrative tribunal is
entitled to prohibit abuse of that tribunal’s process in cases of unfairness or
oppression caused or contributed to by delay resulting in a denial of natural
justice.
112
The Court of Appeal found that Misra’s ability to defend himself would
likely be impaired and that he had already been punished by virtue of the
five-year suspension (at pp. 492-93). It is clear, however, that in Misra
the court felt that it is only in exceptional cases that delay will amount to
unfairness. Moreover, in Misra, an essential part of the prejudice
suffered was the result of the lengthy suspension. Finally, the court also
concluded that there was prejudice to Misra’s right to a fair hearing due to
the passage of a five-year period.
113
In Ratzlaff v. British Columbia (Medical Services Commission)
(1996), 17 B.C.L.R. (3d) 336, Hollinrake J.A. for the British Columbia Court of
Appeal agreed with the appellant that, “where the delay is so egregious that it
amounts to an abuse of power or can be said to be oppressive, the fact that the
hearing itself will be a fair one is of little or no consequence” (para. 19).
At issue in Ratzlaff was a lengthy delay in processing disciplinary
charges against a physician that had affected how the physician arranged his
finances. In not restricting abuse of process to procedural unfairness,
Hollinrake J.A. stated, at paras. 22-23:
Abuse of power is a broader notion, akin to oppression. It encompasses
procedural unfairness, conduct equivalent to breach of contract or of
representation, and, in my view, unjust delay. I should add that not all
lengthy delays are unjust; regard must be had to the causes of delay, and to
resulting reasonable changes of position.
Where a party in the position of the appellant
relies on delay as amounting to an abuse of power it is incumbent on that party
to demonstrate a resulting change of position. In my opinion, the very fact
that the appellant continued with his practice as he did and throughout the
whole period of time in issue is sufficient to establish such a change of
position.
114
Ratzlaff differs from the case at bar in that the physician
carried on his practice thinking that his problems were behind him. He had
even retired thinking that his billing disputes were over. Moreover, the
chambers judge found that the physician had literally requested that action be
taken but that it was three years before the Commission even communicated with
him (para. 11). In all, it had been seven years before the physician had
received a hearing notice.
115
I would be prepared to recognize that unacceptable delay may amount to
an abuse of process in certain circumstances even where the fairness of the
hearing has not been compromised. Where inordinate delay has directly caused
significant psychological harm to a person, or attached a stigma to a person’s
reputation, such that the human rights system would be brought into disrepute,
such prejudice may be sufficient to constitute an abuse of process. The doctrine
of abuse of process is not limited to acts giving rise to an unfair hearing;
there may be cases of abuse of process for other than evidentiary reasons
brought about by delay. It must however be emphasized that few lengthy delays
will meet this threshold. I caution that in cases where there is no prejudice
to hearing fairness, the delay must be clearly unacceptable and have directly
caused a significant prejudice to amount to an abuse of process. It must be a
delay that would, in the circumstances of the case, bring the human rights
system into disrepute. The difficult question before us is in deciding what is
an “unacceptable delay” that amounts to an abuse of process.
(c) Abuse of Process – Principles
116
The respondent’s case is that there has been an unacceptable delay in
the administrative process which has caused him to be prejudiced by the stigma
attached to the two Complaints to an extent that justifies the process being
terminated now. Abuse of process is a common law principle invoked principally
to stay proceedings where to allow them to continue would be oppressive. As
stated by Brown and Evans, supra, at pp. 9-71 and 9-72:
The stringency of the requirements for showing that
delay constitutes a breach of fairness would seem to be due, at least in part,
to the drastic nature of the only appropriate remedy. Unlike other instances
of procedural unfairness where it is open to a court to remit the matter for
redetermination in a procedurally fair manner, the remedy for undue delay
will usually be to prevent the tribunal from exercising its legislative
authority, either by prohibiting it from proceeding with the hearing, or by
quashing the resulting decision. [Emphasis added.]
117
In the context of a breach of s. 11 (b) of the Charter , a
stay has been found to constitute the only possible remedy (R. v. Askov,
[1990] 2 S.C.R. 1199). The respondent asked for the same remedy in his
administrative law proceedings before Lowry J. There is, however, no support
for the notion that a stay is the only remedy available in administrative law
proceedings. A stay accords very little importance to the interest of
implementing the Human Rights Code and giving effect to the
complainants’ rights to have their cases heard. Other remedies are available
for abuse of process. Where a respondent asks for a stay, he or she will have
to bear a heavy burden. The discussion that follows often links abuse of
process and the remedy of a stay because the stay, as I have said, is the only
applicable remedy in the context of a s. 11 (b) application.
Nevertheless, I wish to underline that my inquiry here is directed only at the
determination of the existence of an abuse of process on the facts of this
case.
118
In R. v. Jewitt, [1985] 2 S.C.R. 128, this Court
unanimously affirmed that the doctrine of abuse of process was available in
criminal proceedings. In so doing, and as professed by L’Heureux‑Dubé J.
in R. v. Power, [1994] 1
S.C.R. 601, at p. 613, the Court borrowed the comments of Dubin J.A. in R. v.
Young (1984), 40 C.R. (3d) 289 (Ont. C.A.), in describing the abuse of
process doctrine, stating that a stay of proceedings should be granted where
“compelling an accused to stand trial would violate those fundamental
principles of justice which underlie the community’s sense of fair play and
decency” or where the proceedings are “oppressive or vexatious”. The
Court also adopted the Ontario Court of Appeal’s warning in Young that
this is a power which can be exercised only in the “clearest of cases” (p. 614). This was reiterated on many occasions by this Court (see,
for example, R. v. Potvin, [1993] 2 S.C.R. 880; R. v. Scott,
[1990] 3 S.C.R. 979; Power, supra).
119
In R. v. Conway, [1989] 1 S.C.R. 1659, at p. 1667,
L’Heureux‑Dubé J. explained the underlying purpose of the doctrine of
abuse of process as follows:
Under the doctrine of abuse of process, the unfair
or oppressive treatment of an appellant disentitles the Crown to carry on with
the prosecution of the charge. The prosecution is set aside, not on
the merits (see Jewitt, supra, at p. 148), but because it is
tainted to such a degree that to allow it to proceed would tarnish the
integrity of the court. The doctrine is one of the safeguards
designed to ensure “that the repression of crime
through the conviction of the guilty is done in a way which reflects our
fundamental values as a society” (Rothman v. The
Queen, [1981] 1 S.C.R. 640, at p. 689, per Lamer J.) It acknowledges
that courts must have the respect and support of the community in order that
the administration of criminal justice may properly fulfil its
function. Consequently, where the affront to fair play and decency
is disproportionate to the societal interest in the effective prosecution of
criminal cases, then the administration of justice is best served by staying
the proceedings. [Emphasis added.]
120
In order to find an abuse of process, the court must be satisfied that,
“the damage to the public interest in the fairness of the administrative
process should the proceeding go ahead would exceed the harm to the public
interest in the enforcement of the legislation if the proceedings were halted”
(Brown and Evans, supra, at p. 9-68). According to L’Heureux‑Dubé
J. in Power, supra, at p. 616, “abuse of process” has been characterized
in the jurisprudence as a process tainted to such a degree that it amounts to
one of the clearest of cases. In my opinion, this would apply equally to abuse
of process in administrative proceedings. For there to be abuse of process,
the proceedings must, in the words of L’Heureux‑Dubé J., be “unfair to
the point that they are contrary to the interests of justice” (p. 616). “Cases
of this nature will be extremely rare” (Power, supra, at p.
616). In the administrative context, there may be abuse of process where
conduct is equally oppressive.
(d) Was the Delay Unacceptable?
121
To constitute a breach of the duty of fairness, the delay must have been
unreasonable or inordinate (Brown and Evans, supra, at p. 9-68). There
is no abuse of process by delay per se. The respondent must demonstrate
that the delay was unacceptable to the point of being so oppressive as to taint
the proceedings. While I am prepared to accept that the stress and stigma
resulting from an inordinate delay may contribute to an abuse of process, I am
not convinced that the delay in this case was “inordinate”.
122
The determination of whether a delay has become inordinate depends on
the nature of the case and its complexity, the facts and issues, the purpose
and nature of the proceedings, whether the respondent contributed to the delay
or waived the delay, and other circumstances of the case. As previously
mentioned, the determination of whether a delay is inordinate is not based on
the length of the delay alone, but on contextual factors, including the nature
of the various rights at stake in the proceedings, in the attempt to determine
whether the community’s sense of fairness would be offended by the delay.
123
With respect to the actual length of the delay in this case and whether
it had been “unacceptable”, Lowry J. noted that, unlike the cases to which he
had been referred, there was no extended period without any activity in the
processing of the Complaints from receipt to referral, except for an
inexplicable five-month period of inaction from April 10, 1996, when the
respondent provided his substantive response to the Complaints, to September 6,
1996, when human rights officers were assigned to investigate the Complaints.
The Commission’s counsel provided no explanation or excuses for this five-month
gap at the oral hearing. However, according to a letter to the complainant and
the respondent dated March 6, 1996, the Council referred to a period of
“adjustment” where investigative resources were being transferred from the
Employment Standards Branch to the Council and that from then on the Council was
to conduct its own investigations. This letter also stated that some
investigations would be commenced prior to April 1, 1996, beginning with those
complaints that had experienced the longest delays. The Council stated that it
appreciated the parties’ patience in waiting to be notified as to when the
investigation would begin. Lowry J. found that, other than during this
five-month period, communication had been ongoing between the Council,
solicitors and complainants, and the respondent had not been ignored. There
had been a continuous dialogue between the parties (at para. 39).
124
With respect to calculating the delay, Lowry J. found that the only time
that could be considered for the delay was between the filing of the Complaint
to the end of the investigation process, in July. He stated that the Tribunal
could not be criticized for not setting the hearing dates earlier as the
respondent did not press for earlier dates, did not question the fixed dates
and cancelled the pre-hearing conference. While the respondent did at one
point inquire as to whether one of the Complaints could be set for hearing
without investigation, this would have required a concession that there was
sufficient evidence to warrant a hearing, a concession which Mr. Blencoe was not
prepared to make. Following Lowry J.’s reasoning, the delay would be computed
until July 1997, thus reducing the delay from 32 months to 24 months.
125
During those 24 months, the Commission also had to deal with a challenge
by the respondent as to the lateness of the Complaints and his accusation that
the Complaints were in bad faith. The respondent refused to respond to the
allegations until this determination was made. As a result, the process was
delayed for some eight months. The respondent was perfectly entitled to bring
forward allegations of bad faith and to question the timeliness of the
Complaints. However, the Commission should not be held responsible for
contributing to this part of the delay. In this regard, Lowry J. stated (at para.
42):
It is not suggested that Mr. Blencoe was not entitled to challenge the
complaints, as he did at the outset, but having done so, and having been
unsuccessful, it is not in my view open to him now to claim that the events of
the eight months elapsed contributed to an unacceptable delay.
Thus, while
the respondent was entitled to take the steps he did, the Court of Appeal
wrongly considered the delay attributable to the aforementioned challenges in
computing the delay caused by the Commission. Clearly much of this delay
resulted from the respondent’s actions, though there appear to be other delays
caused by the Commission. As expressed by Lambert J.A., at para. 29, some of
the delay was attributable to the Commission, some to the respondent, but very
little of it was attributable to either of the two complainants – Ms. Schell or
Ms. Willis.
126
The arguments advanced by the parties before us rely heavily on criminal
judgments where delay was considered in the context of s. 11 (b) or s. 7 of
the Charter . It must be kept in mind, as mentioned in paras. 93-95,
that the human rights process of receiving complaints, investigating them,
determining whether they are substantial enough to investigate and report and
then to refer the matter to the Tribunal for hearing is a very different
process from the criminal process. The British Columbia human rights process
is designed to protect respondents by ensuring that cases are not adjudicated
unless there is some basis for the claims to go forward and unless the issue
cannot be disposed of prior to adjudication. Pursuant to s. 27 of the Human
Rights Code, the Commission may dismiss a complaint if, inter alia,
it is brought too late, the acts alleged do not contravene the Code, there is
no reasonable basis for referring the complaint to a hearing, if it does not
appear to be in the interest of the group bringing the complaint, the complaint
was filed for improper motives or if the complaint was made in bad faith. The
Commission therefore performs a gatekeeping or screening function, preventing
those cases that are trivial or insubstantial from proceeding. There is also
the goal of settlement through mediation which is lacking in the criminal
context. The human rights process thus takes a great deal more time prior to
referring a complaint to the Tribunal for hearing.
127
The principles of natural justice also require that both sides be given
an opportunity to participate in reviewing documents at various stages in the
process and to review the investigation report. The parties therefore have a
chance to make submissions before a referral is made to the Tribunal. These
steps in the process take time. Indeed, the Commission was under a statutory
obligation to proceed as it did. The process itself was not challenged in this
case. True, the Commission took longer than is desirable to process these
Complaints. I am not condoning that. Nevertheless, McEachern C.J.B.C. has
exaggerated in stating that “a week at the outside would have sufficed” to
investigate these Complaints (para. 51). While the case may not have been an
extremely complicated one, these stages are necessary for the protection of the
respondents in the context of the human rights complaints system.
128
The Commission seems to have handled the Complaints against Mr. Blencoe
in the same manner as it handles all of its human rights complaints. The
respondent argues that the Commission should have been sensitive to his
particular needs and to have consequently expedited his Complaints on a
priority basis. However, as professed by Lowry J., there is, “little if
anything in the record to suggest that Mr. Blencoe raised with the Commission
any of the hardship he has suffered or that he sought to be afforded any
priority on that basis” (para. 45).
129
In Kodellas, supra, the Saskatchewan Court of Appeal held
that the determination of whether the delay is unreasonable is, in part, a
comparative one whereby one can compare the length of delay in the case at bar
with the length of time normally taken for processing in the same jurisdiction
and in other jurisdictions in Canada. While this factor has limited weight, I
would note that in this regard, on average, it takes the Canadian Human Rights
Commission 27 months to resolve a complaint (J. Simpson, “Human Rights
Commission Mill Grinds Slowly”, The Globe & Mail (October 1, 1998),
p. A18, as quoted in R. E. Hawkins, “Reputational Review III: Delay,
Disrepute and Human Rights Commissions” (2000), 25 Queen’s L.J. 599, at
p. 600). In Ontario, the average length of complaints, according to the Annual
Report 1997-1998 of the Ontario Human Rights Commission (1998), at p. 24,
is 19.9 months. The respondent’s counsel at the oral hearing quoted a report
of the British Columbia Ministry where the average time to get to a hearing in
British Columbia is three years.
130
The delay in the case at bar should be compared to that in analogous
cases. In Nisbett, the sexual harassment complaint had been outstanding
for approximately three years. In Canadian Airlines, there was a
50-month delay between the filing of the complaint and the appointment of an
investigator. In Stefani, there was a delay of two years and three
months between the complaint and the inspection and an additional six- or
seven-month delay which followed. In Brown, a three-year period had
elapsed prior to serving the petitioner with notice of the inquiry. In Misra,
there was a five-year delay during which time Misra was suspended from the
practice of medicine. Finally, in Ratzlaff, it had been seven years
before the physician received a hearing notice.
131
A review of the facts in this case demonstrates that, unlike the
aforementioned cases where there was complete inactivity for extremely lengthy
periods, the communication between the parties in the case at bar was ongoing.
While Lowry J. acknowledged the five-month delay of inactivity, on balance, he
found no unacceptable delay and considered the time that elapsed to be nothing
more “than the time required to process complaints of this kind given the
limitations imposed by the resources available” (para. 47). Lowry J. concluded
as follows (at para. 49):
In my view, it cannot be said that the Commission
or the Tribunal have acted unfairly toward Mr. Blencoe. They have caused
neither an unacceptable delay in the process nor a prejudice to him whereby
fairness of the hearings scheduled to be conducted next month have been
compromised. There has been no denial of natural justice and, accordingly, Mr.
Blencoe’s petition for judicial review cannot succeed.
132
As expressed by Salmon L.J. in Allen v. Sir Alfred McAlpine &
Sons, Ltd., [1968] 1 All E.R. 543 (C.A.), at p. 561, “it should not be too
difficult to recognise inordinate delay when it occurs”. In my opinion, the
five-month inexplicable delay or even the 24-month period from the filing of
the Complaints to the referral to the Tribunal was not so inordinate or
inexcusable as to amount to an abuse of process. Taking into account the
ongoing communication between the parties, the delay in this case does not
strike me as one that would offend the community’s sense of decency and
fairness. While I would not presume to fix a specified period for a reasonable
delay, I am satisfied that the delay in this case was not so inordinate as to
amount to an abuse of process.
133
As noted in the discussion pertaining to the application of s. 7 of the Charter
(paras. 59 to 72), I am also concerned with the causal connection in this
case. There must be more than merely a lengthy delay for an abuse of process;
the delay must have caused actual prejudice of such magnitude that the public’s
sense of decency and fairness is affected. While Mr. Blencoe and his family
have suffered obvious prejudice since the various sexual harassment allegations
against him were made public, as explained above, I am not convinced that such
prejudice can be said to result directly from the delay in the human rights
proceedings. As in the Charter analysis above, I have simply assumed
without deciding, for the purpose of my analysis, that the delay caused by the
Commission was a contributory cause of the respondent’s prejudice.
VII. Conclusion
134
To summarize, it cannot be said that the respondent’s s. 7 rights were
violated nor that the conduct of the Commission amounted to an abuse of
process. However, I emphasize that nothing in these reasons has any bearing on
the merits of the case before the Tribunal.
135
Nevertheless, I am very concerned with the lack of efficiency of the
Commission and its lack of commitment to deal more expeditiously with
complaints. Lack of resources cannot explain every delay in giving
information, appointing inquiry officers, filing reports, etc.; nor can it
justify inordinate delay where it is found to exist. The fact that most human
rights commissions experience serious delays will not justify breaches of the
principles of natural justice in appropriate cases. In R. v. Morin,
[1992] 1 S.C.R. 771, at p. 795, the Court stated that in the context of s. 11 (b)
of the Charter , the government “has a constitutional obligation to
commit sufficient resources to prevent unreasonable delay”. The demands of
natural justice are apposite.
136
I would allow the appeal. The Court of Appeal decision is set aside and
the Tribunal should proceed with the hearing of the Complaints on their
merits. Considering the lack of diligence displayed by the Commission, I would
nevertheless exercise the Court’s discretion under s. 47 of the Supreme
Court Act, R.S.C., 1985, c. S-26 , to award costs against the appellant
Commission in favour of Robin Blencoe, Andrea Willis and Irene Schell.
The reasons of Iacobucci, Binnie, Arbour and LeBel JJ. were delivered
by
137
Lebel J. (dissenting in
part) – The reasons of Justice Bastarache fully review the judicial history and
the factual background of this case, and I do not intend to summarize them
again. I shall refer only to such elements of the evidence and of the history
of this case, as may be required, for the purpose of my analysis.
I. The
Issues
138
The parties have fought this case mainly on Charter issues. In
the end, this approach turned into a constitutional problem, something that it
was not. The important and determinative issue should have been the role of
judicial review and administrative law principles in the control of undue delay
in administrative tribunal proceedings. Given that human rights commissions are
administrative law creations, the first place we should look for solutions to
problems in their processes is in the realm of administrative law. If the
relevant administrative law remedy had been applied, the trial judge should
have found that there had been undue delay in the process of the British
Columbia Human Rights Commission (formerly the British Columbia Council of
Human Rights), that this delay was abusive, and that some form of remedy should
have been granted to the respondent Blencoe.
139
Nevertheless, I agree that a stay of proceedings was not warranted in
the circumstances of the case and should be lifted, as suggested by Bastarache
J. Such a remedy took no consideration of the interest of the complainants
Irene Schell and Andrea Willis in the proceedings of the British Columbia Human
Rights Commission (“Commission”). Nobody benefits from delay, but the
interests of innocent parties must influence our choice of remedy. The Court
of Appeal seems to have dealt with this case as if it were a pure conflict
between the respondent and the state, without taking into account that the
complainants Schell and Willis also had an important interest in an efficient
disposition of their allegations against Blencoe and in the correct and timely
application of the appropriate administrative law remedies.
II. The
Administrative Law Doctrine of Abuse of Process and the Control of Undue Delay
140
Unnecessary delay in judicial and administrative proceedings has long
been an enemy of a free and fair society. At some point, it is a foe that has
plagued the life of almost all courts and administrative tribunals. It’s a
problem that must be brought under control if we are to maintain an effective
system of justice, worthy of the confidence of Canadians. The tools for this
task are not to be found only in the Canadian Charter of Rights and Freedoms ,
but also in the principles of a flexible and evolving administrative law
system.
141
The legal doctrines that have developed both under the common law and
under the Charter to respond to delay are certainly not simple. But the
facts of this case point to one inescapable conclusion: the respondent, Robin
Blencoe, faced unreasonable delay that violated administrative law principles
of fairness in the management of the process of an administrative tribunal or
body. Those principles concern not only the fairness of the hearing and of the
final decision, but the very conduct of the procedures leading to the
disposition in the matter. In these reasons, I shall now examine those
principles and the nature of the remedy that appears just and appropriate after
giving due consideration to the interests of all parties concerned by this long
and frustrating judicial debate.
III. The
Application for Judicial Review
142
This case came before the courts when Blencoe brought a petition for
judicial review. Lowry J., in the British Columbia Supreme Court, denied any
remedy under administrative law principles because, in his opinion, Blencoe had
not established any prejudice that related “directly to the ability to respond
to the complaint in an evidentiary sense” ((1998), 49 B.C.L.R. (3d) 201, at
para. 37). Judicial review would thus be essentially limited to assessing the
impact of the delay on the hearing and the decision.
143
Some case law did support this approach. In Nisbett v. Manitoba
(Human Rights Commission) (1993), 101 D.L.R. (4th) 744, the Manitoba Court
of Appeal searched for delay that caused prejudice to an individual’s right to
a fair and full hearing. In Ford Motor Co. of Canada v. Ontario (Human Rights
Commission) (1995), 24 C.H.R.R. D/464, at p. 466, the Ontario Divisional
Court explicitly followed the Nisbett analysis.
144
However, these decisions seem to have been exceptions in an otherwise
steady progression toward a broader vision of administrative law abuse of
process doctrine and the remedies that it provides for unreasonable delay.
Administrative law abuse of process doctrine is fundamentally about protecting
people from unfair treatment by administrative agencies. In Martineau v.
Matsqui Institution Disciplinary Board, [1980] 1 S.C.R. 602, at p. 631,
Dickson J. (as he then was) described the administrative law principle of
fairness in these classic terms:
In the final analysis, the simple question to be
answered is this: Did the tribunal on the facts of the particular case act
fairly toward the person claiming to be aggrieved? It seems to me that this is
the underlying question which the courts have sought to answer in all the cases
dealing with natural justice and fairness.
When we ask
whether there has been an administrative law abuse of process, we ask the same
fundamental question: has an administrative agency treated people inordinately
badly?
IV. Historical
Context
145
This question, however, does not exist outside of a legal historical
context, through which we must trace the role of courts on these kinds of
questions up to the present day. Two fundamental aspects of the common law’s
history are relevant to the rules in this area: (1) the common law system’s abhorrence
of delay; and (2) the common law’s development as to the power of courts to
monitor the processes of administrative bodies.
146
The notion that justice delayed is justice denied reaches back to the
mists of time. In Magna Carta in 1215, King John promised: “To none
will we sell, to none will we deny, or delay, right or justice”
(emphasis added). As La Forest J. put it, the right to a speedy trial has been
“a right known to the common law . . . for more than 750 years” (R. v.
Rahey, [1987] 1 S.C.R. 588, at p. 636). In criminal law cases, this Court
had no difficulty determining in R. v. Askov, [1990] 2 S.C.R. 1199, at
p. 1227, that “the right to be tried within a reasonable time is an aspect of
fundamental justice protected by s. 7 of the Charter ”. Outside the
criminal law context, legislators have devised limitation periods, and courts
have developed equitable doctrines such as that of laches. For centuries,
those working with our legal system have recognized that unnecessary delay strikes
against its core values and have done everything within their powers to combat
it, albeit not always with complete success.
147
Under the common law, courts have gradually developed the power to
monitor the processes of administrative bodies and their legality. There is
today no doubt that “[t]he superior courts have the inherent power to review
the legality of administrative actions” (D. P. Jones and A. S. de Villars, Principles
of Administrative Law (3rd ed. 1999), at p. 6). Unnecessary delay is not excluded
from the scope of judicial review.
148
This supervisory power over administrative processes developed from the
very beginnings of the prerogative writ most apropos in the case before us.
Mandamus is a storied writ. At its origins, it empowered the Court of King’s
Bench to order a court or an administrative body to do its duty: W. Holdsworth,
A History of English Law (7th ed. 1956), vol. I, at p. 229; Sir W.
Blackstone, Commentaries on the Laws of England (4th ed. 1768), Book
III, at p. 110. In the original cases that recognized it, the writ was used
largely to prevent the procedurally illegitimate exclusion of citizens who were
members of certain disliked groups from municipal offices: see Bagg’s Case
(1615), 11 Co. Rep. 93b, 77 E.R. 1271; and Andover Case (1700), Holt.
K.B. 441, 90 E.R. 1143, at p. 1143. But there was always the possibility of
something much greater in the writ, and Lord Mansfield would go so far as to
announce its prospective use “upon all occasions where the law has established
no specific remedy, and where in justice and good government there ought
to be one” (R. v. Barker (1762), 3 Burr. 1265, 97 E.R. 823, at pp.
824-25 (emphasis added). Cf. Bagg’s Case, supra, at pp. 1277-78,
referring generally to “misgovernment”.) The writ always promised the
possibility of ensuring that governmental officers would not shirk their duty
to keep processes operating efficiently. Perhaps significantly, the very words
of the original form of the writ referred to “debitam et festinam justiciam” –
due and speedy justice (Holdsworth, supra, app. XV, at p. 659).
V. Modern
Developments
149
Today, there is no doubt that mandamus may be used to control procedural
delays. In the middle of the last century, a British Columbia Court of Appeal
judgment recognized the principles behind mandamus, stating that “[t]he high
prerogative writ of mandamus was brought into being to supply defects in
administering justice” (The King ex rel. Lee v. Workmen’s Compensation
Board, [1942] 2 D.L.R. 665, at p. 678). It went on to note that the
granting of mandamus was “to be governed by considerations which tend to the
speedy and inexpensive as well as efficacious administration of justice” (at p.
678, cited with approval in Harelkin v. University of Regina, [1979] 2
S.C.R. 561). Members of our Court have on occasion alluded to the use of
mandamus specifically to control delay. (See notably: R. v. Bradley,
[1941] S.C.R. 270, at p. 277, per Duff C.J.; Rourke v. The Queen,
[1978] 1 S.C.R. 1021, at p. 1027, per Laskin C.J.; and Rahey, supra,
at pp. 624-25, per Wilson J., and p. 631, per La Forest J.) And
there exists a specific line of case law in the administrative context of
immigration law that endorses just such a development, particularly where delay
creates hardship: e.g., Muia v. Canada (Minister of Citizenship and
Immigration) (1996), 113 F.T.R. 234; Dass v. Canada (Minister of
Employment and Immigration), [1996] 2 F.C. 410 (C.A.), at para. 24; Dee
v. Canada (Minister of Citizenship & Immigration) (1998), 46 Imm. L.R.
(2d) 278 (F.C.T.D.); and Kiani v. Canada (Minister of Citizenship &
Immigration) (1999), 50 Imm. L.R. (2d) 81 (F.C.T.D.), at para. 34. In such
a context in Bhatnager v. Minister of Employment and Immigration, [1985]
2 F.C. 315 (T.D.), at p. 317, Strayer J. offers this widely quoted statement:
But mandamus can issue to require that some decision be made.
Normally this would arise where there has been a specific refusal to make a
decision, but it may also happen where there has been a long delay in
the making of a decision without adequate explanation. [Emphasis added.]
150
The common law system has always abhorred delay. In our system’s
development of the courts’ supervisory role over administrative processes
through mandamus, we see a crystallizing potential to compel government
officers to do their duty and, in so doing, to avoid delay in administrative
processes. The historical context in which our case law is rooted is a soil of
well-established principles. This ground’s more modern seedlings must now be
examined.
VI. Undue
Delay and Procedural Fairness
151
English case law began in the last decades to bring these old streams of
the common law together. In R. v. Secretary of State for the Home Department,
Ex parte Phansopkar, [1976] Q.B. 606, the English Court of Appeal was
prepared to act against unreasonable delay based on the Magna Carta
itself, as reinforced by the European Convention on Human Rights. In Re
Preston, [1985] A.C. 835, the House of Lords made clear that there could be
judicial review of any delay amounting to an abuse of power or breach of
natural justice. In R. v. Chief Constable of the Merseyside Police, Ex
parte Calveley, [1986] 1 Q.B. 424, the English Court of Appeal applied this
to a lengthy delay in notifying police officers of disciplinary charges against
them. In the judgment of May L.J., at pp. 439-40, this was abusive and a
breach of fairness because it disregarded the possibility of prejudice accruing
to the officers on account of the delay. Unreasonable delay in administrative
processes triggers the ancient rights of individuals who suffer prejudice as a
result, and it gives the courts good reason to intervene against injustice.
The modern English position, stated by W. Wade and C. Forsyth, Administrative
Law (7th ed. 1994), at p. 649, is clear: “A statutory duty must be
performed without unreasonable delay, and this may be enforced by
mandamus” (emphasis added).
152
With the few exceptions I noted at the outset of these reasons, modern
Canadian courts have begun building on those historical principles and the
developments in the English case law discussed above to develop a framework
within which they may assess unreasonable delay. First, courts have linked the
idea of procedural fairness with a bar on abuse of process through unreasonable
delay: e.g., Misra v. College of Physicians & Surgeons of Saskatchewan
(1988), 52 D.L.R. (4th) 477 (Sask. C.A.) (leave to appeal to SCC granted,
[1989] 1 S.C.R. viii, but appeal later discontinued, [1992] 1 S.C.R. vii).
Second, even on a traditional analysis, courts have expressed their
preparedness to consider different kinds of adverse effects of delay, such as
damage to individuals’ reputations or other aspects of their lives, in
conjunction with the traditionally recognized effects on the hearing: see,
e.g., Brown v. Assn. of Professional Engineers and Geoscientists of British
Columbia, [1994] B.C.J. No. 2037 (QL) (S.C.); and Stefani v. College of
Dental Surgeons (British Columbia) (1996), 44 Admin. L.R. (2d) 122
(B.C.S.C.).
153
Third, these two evolutions have become fused along with a realization
that other adverse effects can create an abusive situation independently
of evidentiary prejudice. In Ratzlaff v. British Columbia (Medical Services
Commission) (1996), 17 B.C.L.R. (3d) 336 (C.A.), at para. 22,
Hollinrake J.A. set out a theoretical framework within which the courts may
consider unreasonable delay, along with some of the relevant factors in
assessing it:
Abuse of power is a broader notion, akin to oppression. It encompasses
procedural unfairness, conduct equivalent to breach of contract or of
representation, and, in my view, unjust delay. I should add that not
all lengthy delays are unjust; regard must be had to the causes of
delay, and to resulting reasonable changes of position. [Emphasis
added.]
This
analytical method, in which unreasonable delay is assimilated to a type of
abuse, helped Hollinrake J.A. to recognize that adverse effects other than on
hearing fairness can be considered independently. He writes at para. 19,
“where the delay is so egregious that it amounts to an abuse of power or can be
said to be oppressive, the fact that the hearing itself will be a fair one is
of little or no consequence”.
154
Abusive administrative delay is wrong and it does not matter if it
wrecks only your life and not your hearing. The cases that have been part of
this evolution have sometimes expressed the point differently, but the key
consideration is this: administrative delay that is determined to be
unreasonable based on its length, its causes, and its effects is abusive and
contrary to the administrative law principles that exist and should be applied
in a fair and efficient legal system.
155
Unreasonable delay is not limited to situations that bring the human
rights system into disrepute either by prejudicing the fairness of a hearing or
by otherwise rising above a threshold of shocking abuse. Otherwise, there
would not be any remedy for an individual suffering from unreasonable delay
unless this same individual were unlucky enough to have suffered sufficiently
to meet an additional, external test of disrepute resulting to the human rights
system. Such a limitation may arise from a fear that the main remedy available
would be the blunt instrument of the stay of proceedings. However, as we will
see below, a remedy other than a stay may be appropriate in other cases where
ongoing delay is abusive. It is true that some of the cases that have most
developed the doctrine of abusive delay involved lengthier periods of time
that, in conjunction with other factors, warranted stays of proceedings (see,
e.g., the cases cited by Bastarache J. at paras. 117-18). They were cases that
passed the highest threshold of abusiveness. Because of this, they did not
discuss a lower threshold of unreasonable delay that might warrant some kind of
judicial action and different, less radical, remedies than a stay in the
administrative proceedings.
VII. Assessing
Unreasonable Delay
156
The authorities and policy considerations that have been reviewed thus
far confirm that modern administrative law is deeply averse to unreasonable
delay. But nobody suggests the elimination of all delay per se – and
with good reason. At the limit, a prohibition on delay per se would ban
any and all delay. This would be an absurd result that would undermine rather
than uphold a fair judicial system. Such an approach would, for example, deny
parties on both sides the chance to prepare for the hearing (cf. R. v.
Conway, [1989] 1 S.C.R. 1659, at p. 1694). Thus, unreasonable delays must
be identified within the specific circumstances of every case.
157
In assessing a particular delay in the process of a specific
administrative body, we must keep in mind two principles: (1) not all delay is
the same; and (2) not all administrative bodies are the same. First, there are
different kinds of delay. There are two kinds of delay in an administrative
context: general delay and individual delay. Each of these, in turn, may
encompass both necessary and unnecessary delay. General delay may include
certain kinds of delay due to substantive and procedural complexities inherent
in the kind of matter the tribunal deals with, but it may also include delays
from systemic problems. Individual delay may relate to the special complexity
of a particular decision, but it may also include delays from inattention to a
particular file. (See generally: S. N. McMurtrie, “The Waiting Game – The
Parliamentary Commissioner’s Response to Delay in Administrative Procedures”,
[1997] Public Law 159; and L. S. Skiffington, “Federal Administrative
Delay: Judicial Remedies and Application in the Natural Resource Context”
(1982), 28 Rocky Mtn. Min. L. Inst. 671.)
158
Second, not all administrative bodies are the same. Indeed, this is an
understatement. At first glance, labour boards, police commissions, and milk
control boards may seem to have about as much in common as assembly lines,
cops, and cows! Administrative bodies do, of course, have some common
features, but the diversity of their powers, mandate and structure is such that
to apply particular standards from one context to another might well be
entirely inappropriate. Thus, inevitably, a court’s assessment of a particular
delay in a particular case before a particular administrative body has to
depend on a number of contextual analytic factors.
159
In order to differentiate reasonable and unreasonable delay, a balancing
exercise becomes necessary. Courts must, indeed, remain alive not only to the
needs of administrative systems under strain, but also to their good faith
efforts to provide procedural protections to alleged wrongdoers. One must
approach matters with some common sense and ask whether a lengthy delay that
profoundly harms an individual’s life is really justified in the circumstances
of a given case.
160
As indicated above, the central factors toward which the modern
administrative law cases as a whole propel us are length, cause, and effects.
Approaching these now with a more refined understanding of different kinds and
contexts of delay, we see three main factors to be balanced in assessing the reasonableness
of an administrative delay:
(1) the
time taken compared to the inherent time requirements of the matter before
the particular administrative body, which would encompass legal complexities
(including the presence of any especially complex systemic issues) and factual
complexities (including the need to gather large amounts of information or
technical data), as well as reasonable periods of time for procedural
safeguards that protect parties or the public;
(2) the
causes of delay beyond the inherent time requirements of the matter, which
would include consideration of such elements as whether the affected individual
contributed to or waived parts of the delay and whether the administrative body
used as efficiently as possible those resources it had available; and
(3) the
impact of the delay, considered as encompassing both prejudice in an
evidentiary sense and other harms to the lives of real people impacted by the
ongoing delay. This may also include a consideration of the efforts by various
parties to minimize negative impacts by providing information or interim
solutions.
(See
generally: Ratzlaff, supra, at p. 346; Saskatchewan (Human
Rights Commission) v. Kodellas (1989), 60 D.L.R. (4th) 143 (Sask.
C.A.); R. v. Morin, [1992] 1 S.C.R. 771; McMurtrie, supra; and
Skiffington, supra.) Obviously, considering all of these factors
imposes a contextual analysis. Thus, our Court should avoid setting specific
time limits in such matters. A judge should consider the specific content of
the case he or she is hearing and make an assessment that takes into account
the three main factors that have been identified above.
161
A number of parties have raised the objection that the consideration of
some of those factors may extend “special treatment” to certain kinds of
individuals, whether these be people who commit more stigmatizing wrongs or who
are more susceptible to harms like damage to their reputations. Some
interveners were afraid that the application of such factors might indeed
require preferential treatment for powerful and influential people. These
objections and fears are misplaced. It appears sound administrative practice
for decision-making bodies to recognize the relevance of the identified factors
while deciding how to process a particular case. For example, task forces
analysing delay report that it is simply a good case management practice to
send to different tracks cases of differing levels of complexity: see, e.g.,
Brookings Task Force on Civil Justice Reform, Justice for All: Reducing
Costs and Delay in Civil Litigation (1989), at p. 3. Similarly, it only
makes sense for administrative bodies seeking to minimize their negative
impacts on real people to consider the ramifications of their failure to act
expeditiously. In any event, every case should be processed with due dispatch.
VIII. Delays
Before the British Columbia Human Rights Commission in This Case
162
Unreasonable delay in administrative proceedings is illegal under
administrative law. It is a breach of the duty to conduct administrative
proceedings fairly. Because of the highly contextual nature of any assessment
of delay, I turn now to an analysis of the identified factors in the case at
bar. I eventually conclude that inefficiency in the Commission’s handling of
this matter has led to abuse of process that must be addressed with the
appropriate remedies in the circumstances of the case and in consideration of
the interests of the complainants.
A. Length
of Delay
163
The first factor to be considered is the time taken relative to the
inherent time requirements of the matter. In the Court of Appeal, McEachern
C.J.B.C. characterized the allegations in the case at bar as “relatively simple
complaints” ((1998), 49 B.C.L.R. (3d) 216, at para. 37), stated that “[t]hese
kinds of disputes are quickly resolved by courts and tribunals all the time,
and there are no complex legal or factual issues” (para. 37), and concluded
that “a week at the outside would have sufficed” (para. 51) for the
investigation. Although McEachern C.J.B.C. perhaps puts matters a bit
optimistically in suggesting that the investigation could have been wrapped up
within a week, there is a good measure of truth in what he says.
164
At this point, a closer scrutiny of the facts is necessary in order to
establish the inherent time requirements of the case. Different kinds of
“allegations of sexual discrimination” may be more or less complex. A pay
equity case might properly involve complex statistical analysis and innovative
legal arguments and take time for those reasons. A case about other forms of
well-concealed systemic discrimination might involve numerous witnesses and take
time for that reason. But other cases that involve “allegations of sexual
harassment” between individuals may have few complex legal or factual elements
and thus appropriately should take much less time.
165
Considering the complexity of the allegations should not be seen to
reflect in any way on their merits. This being said, the case at bar falls
within a relatively less complex category. The allegations with respect to
Willis, an aide to Blencoe, were that Blencoe made sexual overtures to her and
inappropriately kissed her when she came to work one evening in August 1994 and
that he had subsequently put his arm on her arm in a sexual manner in March
1995. The allegations with respect to Schell were that Blencoe in March 1993
had inappropriately kissed and hugged Schell, who worked for a sports
organization deriving funding from Blencoe’s ministry, and that he had
subsequently on several occasions between July 1993 and July 1994 given her
unwanted attention by inviting her for a drink. There were no other direct
witnesses to any of the incidents, although there was some corroborating
evidence from a small number of other witnesses. Blencoe denied some aspects
of the allegations and admitted others.
166
Recognizing that this case is far less complex than many other sexual
discrimination cases does not alleviate the seriousness of the allegations, but
it is clear from the record that the allegations were not of a nature that
could justify a prolonged investigation. Ultimately, the case was about a “he
said /she said” scenario concerning which there should have been an
adjudication. In this sense, there was little or nothing to investigate, and
there was no reason for the pre-hearing investigation to take a long period of
time.
167
Lowry J. expressed serious misgivings about the delays in this case. He
wrote at para. 46:
It may well be that the structure of the Commission
should be such that, given the nature of the complaints made by Ms. Schell and
Ms. Willis, two years would not be required to determine that they warrant a
hearing. [Emphasis added.]
While Lowry J.
went on to attribute the delay to a lack of resources, he questioned the
effectiveness of the Commission, and his finding that two years was an
inappropriately long time confirms my conclusion on this branch of the
analysis. The inherent time requirements in this case were minimal.
168
By contrast, the time taken was anything but minimal. After five to six
months spent on determining that it could hear the complaints, and once Blencoe
had a chance to respond, the Commission then mysteriously took the five
months from April 1996 to September 1996 to appoint the same investigator who
had been working on the file all along despite having told Blencoe that it
expected to do so within two months (appellants’ record, at p. 229). The
investigation took some four months. The trial judge found at para. 44 that
this investigation was concluded in January 1997. Given this finding, then
after this conclusion of the investigation, it apparently took the investigator
another two months to write and forward a 12-page report in early March
1997, and this only after letters from Blencoe’s lawyer asking about the delay
(appellants’ record, at pp. 322-35). After another four months, in July 1997,
the Commission finally told Blencoe that the matter would proceed to a Tribunal
hearing. It then took another two months to get a date set for the hearing,
which was scheduled to be some six months later in March 1998. In all, the
time for the Commission to make the determination that the complaints should go
to a hearing was approximately two years. The time from the initial filing of
the complaints to the scheduled hearing was approximately 32 months. While it
is true that the Commission’s decision to send the matter to a hearing involved
a number of steps, every one of these steps involved a significant delay.
169
A particularly egregious example of the Commission’s unacceptable lack
of diligence may be found in the events during the period from October 16, 1995
to December 21, 1995. During that time, the Commission breached procedural
fairness by failing to send to Blencoe Willis’s October 16 response to his
submissions on the timeliness of her complaint. In response to an inquiry,
Blencoe received the Commission’s letter dated December 21 on December 27.
Although the December 21 letter denied that a decision had been made on this
issue, a January 22, 1996 letter revealed that the Commission had actually
already made the decision on December 18, before it even sent Blencoe the
documents to which he had wished to reply and that the Commission had possessed
for three months (see pp. 290-300 of the appellants’ record). The Commission
essentially failed even to keep those affected by its decisions up to date with
what was going on.
170
Regardless of any arguments that parts of the time were necessary for
procedural safeguards, the facts are that the Commission was slow at every
step along the way. This eventually added up to a delay measured in years for
a decision that was not inherently complex. Although a few letters back and
forth might have been appropriate, nothing in the inherent time requirements of
the case came close to requiring the delay that occurred.
B. Cause
of the Delay
171
The second factor that we must consider is the cause of delay beyond the
inherent time requirements of the matter. It is true that Blencoe sought to
use those defences available to him, including an argument about whether the
complaints had been correctly filed within the limitation period provided by the
statute. But in so doing, he did not become responsible for the sheer
inefficiency of the Commission in dealing with these and other matters.
172
A measure of Blencoe’s determination to seek an end to the delay is that
even after matters had been delayed to this point largely on account of the
Commission’s failures to comply with basic procedural fairness, he offered to
forego the investigative stage of the complaints to bring them to a hearing.
In so doing, we may infer that he made clear to the Commission that he was
seeking a way past the delay and red tape in which his life had become bound.
In his request, he was rebuffed, as the Commission would have required him to
make major concessions on the existence of a prima facie case against
him, if he wanted to proceed to the hearing. (Although Blencoe made the offer
only on the Willis complaint, this seems to be explained by the fact that he
was simultaneously trying to find out whether a decision on the timeliness
issue in the Schell complaint had been made without notification as had
occurred with the Willis complaint (see the appellants’ record at pp. 220 and
301).) On numerous other occasions as well, Blencoe asked about when there
would be a decision on the complaints. Indeed, Blencoe’s inquiries of this
nature comprise a significant number of the letters in the record. There can
be no doubt that there was serious delay on both complaints and that Blencoe
tried to find a way to end it. After being thus rebuffed, his counsel was
under no obligation to beg and cry for an expedited hearing to demonstrate to
the Human Rights Commission the seriousness of his requests.
173
A further measure of the Commission’s behaviour with respect to delay is
that even at the Supreme Court of Canada, the Commission admits that it cannot
explain what was going on for five months of the time that it was dealing with
the allegations against Blencoe. On a matter that ideally should not even have
taken five months, a five-month period of unexplained delay remains
surprising and troubling. Lowry J. characterized this period as a “five-month
hiatus when there appears to have been no activity in relation to the
complaints” (para. 47). After the gap, the Commission sent Blencoe a letter
dated September 6, 1996 to advise him that it was appointing the same person as
investigator as had up to that point been dealing with the pre-investigation
report. In other words, in five months, nothing happened. This
five-month lapse is just the high mark of the Commission’s ineptitude.
C. Impact
of Delay on the Respondent
174
The third factor that we must consider is the harm accruing as a result
of the delay. Although Lowry J. found “that no clear case of prejudice in
terms of an inability to defend has been made out” (para. 10), there is no
doubt that Blencoe and his family suffered serious harm in other ways. Lowry
J. went so far as to write at para. 50:
There is, however, substance to the contention that the hardship Mr.
Blencoe, his wife, and his children have suffered, and continue to suffer, is
markedly disproportionate to the value there can now be in an adjudicated
resolution. [Emphasis added.]
175
There can be no doubt about the impact of the allegations on the
respondent and his family. The respondent’s career is finished. He and his
family have been chased twice across the country in their attempts to make a
new life. He was under medical care for clinical depression for many months.
In the wake of the outstanding complaints before the Commission, even such a
normal aspect of life as coaching his youngest son’s soccer team has been
denied to Blencoe, since he has faced stigmatization in the form of presumed
guilt as a sexual harasser. As Lowry J. wrote at para. 13:
The point need not be further stressed. The
stigma attached to the outstanding complaints has certainly contributed in
large measure to the very real hardship Mr. Blencoe has experienced. His
public profile as a Minister of the Crown rendered him particularly vulnerable
to the media attention that has been focused on him and his family, and the
hardship has, in the result, been protracted and severe. [Emphasis
added.]
176
Although I do not deny that Blencoe might have taken additional steps to
make the Commission more fully aware of the impact on him of continued delay,
he did try to move matters along. The Commission showed next to no regard for
the possible impacts of its delays, often taking long periods of time even to
respond to requests for information as to the progress of the file. It
certainly did nothing to minimize the impact of the delay on the respondent.
177
It is true that administrative delay was not the only cause of the
prejudice suffered by the respondent. Nevertheless, it contributed
significantly to its aggravation. It must be added, though, that this delay
also frustrated the complainants in their desire for a quick disposition of
their complaints. Finally, the inefficient and delay-filled process at the
Commission linked with the specific blunders made in the management of those
particular complaints harmed all parties involved in this sorry process. Its
flaws were such that it may rightly be termed to have been abusive in respect
of the respondent. In this connection, I note that my colleague, Bastarache
J., despite coming to the conclusion that the conduct of the Commission did not
amount to an abuse of process, nevertheless found it necessary to award costs
against the Commission in light of the “lack of diligence [it] displayed”
(para. 136). In my view, this further demonstrates the tension in this appeal
and the fact that the conduct of the Commission in dealing with this matter was
less than acceptable.
IX. Administrative
Remedy
178
In the end, the specific and unexplained delay entitles Blencoe to some
kind of remedy. The choice of the appropriate redress requires, though, a
careful analysis of the circumstances of the case, in order to identify the
causes and nature of the delay and its impact on the process, because the
courts always have some discretion on orders of remedies founded on the old
prerogative writs. The selection of an appropriate remedy may also impose a
delicate balancing exercise between competing interests. In proceedings like
those that gave rise to this appeal, we must factor in the interest of the
respondent, that of the complainants themselves and finally, the public
interest of the community itself which wants basic rights enforced efficiently
but fairly. As we have seen above, the courts must also consider the stage of
the proceedings which has been affected by the delay. A distinction must be
drawn between the process leading to the hearing and the hearing itself. A
different balance between conflicting interests may have to be found at
different stages of the administrative process.
179
Several kinds of remedies are available either to prevent or remedy
abusive delay within an administrative process. The main forms of redress that
we need address here are a stay of proceedings, orders for an expedited hearing
and costs.
180
Whoever asks for a stay of proceedings carries a heavy burden. In a
human rights proceeding, such an order not only stops the proceedings and
negates the public interest in the enforcement of human rights legislation, but
it also affects, in a radical way, the interest of the complainants who lose
the opportunity to have their complaints heard and dealt with. The stay of
proceedings should not generally appear as the sole or even the preferred form
of redress: see R. v. O’Connor, [1995] 4 S.C.R. 411 , at para. 68. A
more prudent approach would limit it to those situations that compromise the
very fairness of the hearing and to those cases where the delay in the conduct
of the process leading to it would amount to a gross or shocking abuse of the
process. In those two situations, the interest of the respondent and the
protection of the integrity of the legal system become the paramount
considerations. The interest of the complainants would undoubtedly be
grievously affected by a stay, but the prime concern in such cases becomes the
safeguarding of the basic rights of the respondent engaged in a human rights
proceeding and the preservation of the essential fairness of the process
itself: see Ratzlaff, supra, at para. 19. Whatever its
consequences, a stay may thus become the sole appropriate remedy in those
circumstances.
181
I note that my approach on the matter of a stay here is consistent with
the approach that our Court has adopted in the slightly different context in Canada
(Minister of Citizenship and Immigration) v. Tobiass, [1997] 3 S.C.R. 391.
There, the Court, following O’Connor, supra, recognized a stay as
appropriate in situations where the fairness of the hearing had been
compromised as well as in situations falling within a residual category. For a
residual case to give rise to a stay, the Court held in Tobiass, at
paras. 90-91 that a stay could be granted where it was the only reasonable
means of stopping an abuse that would be perpetuated and aggravated through the
conduct of a trial. For a stay to be appropriate as a remedy for an abuse that
has already occurred, the abuse must rise to a level such that the mere
carrying forward of the case will offend society’s sense of justice (Tobiass,
at para. 91): i.e., in my analysis, where there is a gross or shocking
abuse, or where the societal interest in proceeding does not outweigh the considerations
I have enumerated.
182
The approach of the courts should change when it appears that the
hearing will remain fair, in spite of the delay and when the delay has not
risen to the level of a shocking abuse, notwithstanding its seriousness.
More limited and narrowly focused remedies would then become appropriate. In
the context of a judicial review procedure akin to mandamus, the first
objective of any intervention by a court should be to make things happen, where
the administrative process is not working adequately. An order for an
expedited hearing within such time frame and with such conditions as the Court
might set would be the most practical and effective means of judicial action.
Used at the right moment, such a remedy may safeguard the interest of all
parties to the process. A litigant who believes he or she is facing undue
delay should probably take that route rather than letting the process decay in
the hope of stopping the old process on some future date.
183
An order for costs is a third kind of remedy. It will not address the
delay directly, but some of its consequences. If a party must resort to the
courts to secure a timely hearing or to speed up the process in which he or she
is engaged, some form of compensation for costs should at least be considered
by the courts in their discretion.
Whenever
parties are compelled to seek judicial interventions to safeguard their rights,
costs must be considered to compensate at least in part the time, money and
efforts expended in obtaining redress. Even if costs cannot indemnify the
party for all the losses and prejudice arising from administrative delay, they
afford at least a measure of compensation.
184
In the present appeal, the remedy of a pure stay of proceeding appears
both excessive and unfair. First, in spite of the seriousness of the problems
faced by Blencoe, the delay does not seem to compromise the fairness of the
hearing. As the trial judge found at para. 10, the respondent has not
established that the delay has deprived him of evidence or information
important to his defence. The delay rather concerns the process leading to the
hearing. It arises from a variety of causes that do not evince an intent from
the Commission to harm him wilfully, but rather demonstrate grave negligence
and important structural problems in the processing of the complaints. Second,
a stay of proceedings in a situation that does not compromise the fairness of
the hearing and does not amount to shocking or gross abuse requires the
consideration of the interest of the complainants in the choice of the proper
remedy (Tobiass, supra, at para. 92). In the present matter, the
judgment of the Court of Appeal completely omitted any consideration of this
interest (see para. 39). The lifting of the stay is thus both justified and
necessary.
185
However, rejecting the stay as a proper remedy in the present case does
not mean that Blencoe should be deprived of any redress. On the contrary, an
order for an expedited hearing should have been considered as the remedy of
choice. There will be some irony in granting such a remedy more than five
years after the proceedings began. Such an outcome offers the respondent
little solace. Nevertheless, in spite of its rather symbolic value, at the present
stage of the proceedings, it appears as a critically important remedy that
should have been used at an earlier stage to prod the Commission along and to
control the inefficiency of its process.
186
In spite of the partial success of this appeal, as I agree that the stay
should be lifted, Blencoe is entitled to some compensation in the form of costs
in our Court and in the courts below. Section 47 of the Supreme Court Act,
R.S.C., 1985, c. S-26 , grants our Court broad discretion when awarding costs.
In the present case, it would be both fair and appropriate to use this power as
the respondent has established that the process initiated against him was
deeply flawed and that its defects justified his search for a remedy, at least
in administrative law. He had to fight for his rights, and it would be unfair
for him to bear the costs personally. Although ultimately unsuccessful in his
application for a stay, Blencoe brought to the attention of the courts the
grave deficiency of the administrative processes of the Commission. He should
at least not be penalized for this mixture of success and failure (e.g., Schachter
v. Canada, [1992] 2 S.C.R. 679, at p. 726).
X. Section
7 of the Charter
187
The application of the general principles of administrative law would
have justified the intervention of the trial court without any need to
demonstrate a breach of an interest protected by s. 7 of the Charter .
As I think that this matter should have been resolved on the basis of
administrative law principles, I do not think I have to express a definite
opinion on the application of s. 7 of the Charter in the present case.
188
We must remember though that s. 7 expresses some of the basic values of
the Charter . It is certainly true that we must avoid collapsing the
contents of the Charter and perhaps of Canadian law into a flexible and
complex provision like s. 7 . But its importance is such for the definition of
substantive and procedural guarantees in Canadian law that it would be
dangerous to freeze the development of this part of the law. The full impact
of s. 7 will remain difficult to foresee and assess for a long while yet. Our
Court should be alive to the need to safeguard a degree of flexibility in the
interpretation and evolution of s. 7 of the Charter . At the same time,
the Court should remind litigants that not every case can be reduced to a Charter
case.
189
Assuming that the Charter must solve every legal problem
would be a recipe for freezing and sterilizing the natural and necessary
evolution of the common law and of the civil law in this country. In the
present appeal, the absence of a Charter remedy does not mean that
administrative law remedies could not have been identified and applied, as we
have seen above.
XI. Disposition
190
For these reasons, I would allow the appeal in part, lift the stay of
proceedings and order an expedited hearing of the complainants Schell and
Willis. I would also order the appellant British Columbia Human Rights
Commission to pay costs on a party-to-party basis to the respondent Blencoe in
this Court and in the British Columbia courts.
Appeal allowed with costs against the appellant
Commission, Iacobucci,
Binnie, Arbour and LeBel JJ. dissenting in part.
Solicitors for the appellants the British Columbia
Human Rights Commission and the Commissioner of Investigation and Mediation:
Davis & Company, Vancouver.
Solicitors for the appellant the British Columbia
Human Rights Tribunal: Morley & Ross, Victoria.
Solicitor for the appellant Andrea Willis: Robert
B. Farvolden, Victoria.
Solicitors for the respondent: Arvay
Finlay, Victoria.
Solicitors for the intervener Irene
Schell: Allard & Company, Vancouver.
Solicitor for the intervener the Attorney General
of British Columbia: The Ministry of the Attorney General, Victoria.
Solicitor for the intervener the Attorney General
for Ontario: The Ministry of the Attorney General, Toronto.
Solicitor for the intervener the Saskatchewan Human
Rights Commission: Milton Woodard, Saskatoon.
Solicitors for the intervener the Ontario Human
Rights Commission: Cathryn Pike and Jennifer Scott, Toronto.
Solicitor for the intervener the Nova Scotia Human
Rights Commission: Lara J. Morris, Halifax.
Solicitor for the intervener the Manitoba Human
Rights Commission: Manitoba Justice, Winnipeg.
Solicitor for the intervener the Canadian Human
Rights Commission: Fiona Keith, Ottawa.
Solicitor for the intervener the Commission des
droits de la personne et des droits de la jeunesse: Hélène Tessier,
Montréal.
Solicitor for the intervener the British Columbia
Human Rights Coalition: Community Legal Assistance Society,
Vancouver.
Solicitors for the intervener the Women’s Legal
Education and Action Fund: Jennifer L. Conkie and Dianne Pothier,
Vancouver.
See Erratum [2001] 2 S.C.R. iv