SUPREME
COURT OF CANADA
Between:
Jeyakannan
Kanthasamy
Appellant
and
Minister
of Citizenship and Immigration
Respondent
- and -
Canadian
Council for Refugees, Justice for Children and Youth, Barbra Schlifer
Commemorative Clinic, Canadian Centre for Victims of Torture, Canadian
Association of Refugee Lawyers and Parkdale Community Legal Services
Interveners
Coram: McLachlin C.J. and Abella, Cromwell, Moldaver, Karakatsanis,
Wagner and Gascon JJ.
Reasons
for Judgment:
(paras. 1 to 61)
|
Abella J. (McLachlin C.J. and Cromwell,
Karakatsanis and Gascon JJ. concurring)
|
Dissenting
Reasons:
(paras. 62 to 146)
|
Moldaver J. (Wagner J. concurring)
|
Kanthasamy v. Canada (Citizenship and Immigration), 2015 SCC 61, [2015] 3 S.C.R. 909
Jeyakannan Kanthasamy Appellant
v.
Minister of Citizenship and
Immigration Respondent
and
Canadian Council for Refugees,
Justice for Children and Youth,
Barbra Schlifer Commemorative Clinic,
Canadian Centre for Victims of Torture,
Canadian Association of Refugee Lawyers
and
Parkdale Community Legal
Services Interveners
Indexed as: Kanthasamy v.
Canada (Citizenship and Immigration)
2015 SCC 61
File No.: 35990.
2015: April 16; 2015: December 10.
Present: McLachlin C.J. and Abella, Cromwell, Moldaver,
Karakatsanis, Wagner and Gascon JJ.
on appeal from the federal court of appeal
Immigration
— Judicial review — Refugee claim — Humanitarian and compassionate
considerations — Best interests of child — 17-year-old refugee claimant from
Sri Lanka seeking humanitarian and compassionate exemption to apply for
permanent residence from within Canada — Whether decision to deny relief was
reasonable exercise of humanitarian and compassionate discretion — Proper role
of Ministerial Guidelines used by immigration officers in determining whether
humanitarian and compassionate considerations warrant relief — Immigration and
Refugee Protection Act, S.C. 2001, c. 27, s. 25(1) .
K
is a Tamil from northern Sri Lanka. In April 2010, fearing for his safety after
he was subjected to detention and questioning by the Sri Lankan army and
police, K’s family arranged for him to travel to Canada to live with his uncle.
He was 16 years old. When he arrived in Canada, he made a claim for
refugee protection which was refused. K’s application for a pre‑removal
risk assessment was also rejected. K additionally filed an application for
humanitarian and compassionate relief under s. 25(1) of the Immigration
and Refugee Protection Act seeking to apply for permanent resident status
from within Canada. The Officer reviewing his application concluded that relief
was not justified as she was not satisfied that a return to Sri Lanka would
result in hardship that was unusual and undeserved or disproportionate. On
judicial review, the Federal Court found that the Officer’s decision to deny
relief was reasonable. The Federal Court of Appeal agreed.
Held
(Moldaver and Wagner JJ. dissenting): The appeal should be allowed.
The Officer’s decision was unreasonable and should be set aside. The matter is
remitted for reconsideration.
Per
McLachlin C.J. and Abella, Cromwell, Karakatsanis and Gascon JJ: Section 25(1) of the Immigration and Refugee Protection Act gives
the Minister discretion to exempt foreign nationals — individuals who are
neither citizens nor permanent residents — from the ordinary requirements of
the Act if the Minister is of the opinion that such relief is justified
by humanitarian and compassionate considerations. Those considerations are to
include the best interests of a child directly affected. The
purpose of s. 25(1) is to offer equitable relief. That purpose was
furthered in Ministerial Guidelines intended to assist immigration officers in
determining whether humanitarian and compassionate considerations warrant
relief under s. 25(1) . They state that the determination of whether there
are sufficient grounds to justify granting a humanitarian and compassionate
application under s. 25(1) is done by an “assessment of hardship”. What
warrants relief will vary depending on the facts and context of the case, but officers
making humanitarian and compassionate determinations must substantively
consider and weigh all the relevant facts and factors before them. An officer
can take the underlying facts adduced in refugee determination proceedings into
account in determining whether the applicant’s circumstances warrant
humanitarian and compassionate relief.
The
Guidelines state that applicants must demonstrate either “unusual and
undeserved” or “disproportionate” hardship for relief under s. 25(1)
to be granted. “Unusual and undeserved hardship” is defined in the Guidelines
as hardship that is “not anticipated or addressed” by the Act or its
regulations, and is “beyond the person’s control”. “Disproportionate hardship”
is defined as “an unreasonable impact on the applicant due to their personal
circumstances”.
While
the Guidelines are useful, they are not legally binding and are not intended to
be either exhaustive or restrictive. Officers should not fetter their
discretion by treating them as if they were mandatory requirements that limit
the equitable humanitarian and compassionate discretion anticipated by s. 25(1) .
The words “unusual and undeserved or disproportionate hardship” should instead
be treated as descriptive, not as creating three new thresholds for relief
separate and apart from the humanitarian purpose of s. 25(1) . As a result,
officers should not look at s. 25(1) through the lens of the three
adjectives as discrete and high thresholds. This has the result of using the
language of “unusual and undeserved or disproportionate hardship” in a way that
limits the officer’s ability to consider and give weight to all relevant
humanitarian and compassionate considerations in a particular case. The three
adjectives should be seen as instructive but not determinative, allowing s.
25(1) to respond more flexibly to the equitable goals of the provision.
Section
25(1) also refers to the need to take into account the best interests of a
child directly affected. Where, as here, the legislation specifically directs
that the best interests of a child who is “directly affected” be considered,
those interests are a singularly significant focus and perspective. The “best
interests” principle is highly contextual because of the multitude of factors
that may impinge on the child’s best interests. A decision under s. 25(1)
will therefore be found to be unreasonable if the interests of children
affected by the decision are not sufficiently considered.
It
is difficult to see how a child can be more directly affected than when he or
she is the applicant. The status of the applicant as a child triggers not only
the requirement that the “best interests” be treated as a significant factor in
the analysis, it should also influence the manner in which the child’s other
circumstances are evaluated. And since children will rarely, if ever, be
deserving of any hardship, the concept of unusual or undeserved hardship
is presumptively inapplicable to the assessment of the hardship invoked by a
child to support his or her application for humanitarian and compassionate
relief. Because children may experience greater hardship than adults faced with
a comparable situation, circumstances which may not warrant humanitarian and
compassionate relief when applied to an adult, may nonetheless entitle a child
to relief.
In
this case, the Officer failed to consider K’s circumstances as a whole and took
an unduly narrow approach to the assessment of his circumstances. The Officer
failed to give sufficiently serious consideration to K’s youth, his mental
health, and the evidence that he would suffer discrimination if he were
returned to Sri Lanka. Instead, she took a segmented approach, assessing each
factor to see whether it represented hardship that was “unusual and undeserved
or disproportionate”. The Officer’s literal obedience to those words, which do
not appear anywhere in s. 25(1) , rather than looking at K’s circumstances
as a whole, led her to see each of them as a distinct legal test, rather than
as words designed to help reify the equitable purpose of the provision. This
had the effect of improperly restricting her discretion, rendering her decision
unreasonable.
The
Officer accepted the diagnosis in the psychological report of post‑traumatic
stress disorder, yet required K to adduce additional evidence about
whether he did or did not seek treatment, whether any was even available, or
what treatment was or was not available in Sri Lanka. Once she accepted that he
had post‑traumatic stress disorder, adjustment disorder, and depression
based on his experiences in Sri Lanka, requiring further evidence of the
availability of treatment, either in Canada or in Sri Lanka, undermined the
diagnosis and had the problematic effect of making it a conditional rather than
a significant factor. In her exclusive focus on whether treatment was available
to K in Sri Lanka, the Officer ignored what the effect of removal from Canada
would be on his mental health. The fact that K’s mental health would likely
worsen if he were to be removed to Sri Lanka is a relevant consideration that
must be identified and weighed regardless of whether there is treatment
available in Sri Lanka to help treat his condition. And while the Officer did
not dispute the psychological report presented, she found that the medical
opinion rested mainly on hearsay because the psychologist was not a witness to
the events that led to the anxiety experienced by K. This disregards the
unavoidable reality that psychological reports like the one in this case will
necessarily be based to some degree on hearsay. Only rarely will a mental
health professional personally witness the events for which a patient seeks
professional assistance. To suggest that applicants for relief on humanitarian
and compassionate grounds may only file expert reports from professionals who have
witnessed the facts or events underlying their findings, is unrealistic and
results in the absence of significant evidence. A psychologist need not be an
expert on country conditions in a particular country to provide expert
information about the probable psychological effect of removal from Canada.
The
Officer considered the discrimination K would likely endure in Sri Lanka, but
effectively concluded that in the absence of evidence from K that he would be
personally targeted by discriminatory action, there was no evidence of
discrimination. This approach however, failed to account for the fact that
discrimination can be inferred where an applicant shows that he or she is a
member of a group that is discriminated against. Evidence of discrimination
experienced by others who share the applicant’s identity is relevant under
s. 25(1) , whether or not the applicant has evidence that he or she has
been personally targeted.
Further,
the Officer here did not appear to turn her mind to how K’s status as a child
affected the evaluation of the other evidence raised in his application. This
approach is inconsistent with how hardship should be uniquely addressed for
children. Moreover, by evaluating K’s best interests through the same literal
approach she applied to each of his other circumstances — whether the hardship
was “unusual and undeserved or disproportionate” — the Officer misconstrued the
best interests of the child analysis, most crucially disregarding the guiding
admonition that children cannot be said to be deserving of hardship.
The
Officer therefore avoided the requisite analysis of whether, in light of the
humanitarian purpose of s. 25(1) , the evidence as a whole justified
relief. This approach unduly fettered her discretion and led to its unreasonable
exercise.
Per
Moldaver and Wagner JJ. (dissenting): While there is agreement with much
of the majority’s discussion on the meaning of the phrase “justified by
humanitarian and compassionate considerations”, there is no agreement with the
test proposed for granting relief under s. 25(1) . The scheme of the
Immigration and Refugee Protection Act and the intention of Parliament in
enacting s. 25(1) suggest that this provision is meant to provide a
flexible — but exceptional — mechanism for relief. Giving it an overly broad
interpretation risks creating a separate, freestanding immigration process,
something Parliament clearly did not intend. Parliament recognized that cases
could arise in which the strict application of the rules would not reflect
Canada’s policy goals, or would lead to an arbitrary or inhumane result. That
said, Parliament did not intend to provide relief on a routine basis. The test
for humanitarian and compassionate (“H&C”) relief must balance the dual
characteristics of stringency and flexibility and reflect the broad range of
factors that may be relevant.
The
hardship test is a good test in that it achieves the degree of stringency
required to grant H&C relief. If an applicant can demonstrate “unusual and
undeserved or disproportionate hardship”, he or she should be granted relief. However,
the test falls down on the flexibility side as it risks excluding or
diminishing the weight that some factors may deserve in deciding whether
H&C relief should be granted. Section 25(1) does not limit when
the relevant H&C considerations must occur; nor does it require that they
be viewed only from the applicant’s perspective. It asks only that decision
makers look at H&C considerations relating to the applicant.
Section 25(1) is framed in broad terms because it is impossible to foresee
all situations in which it might be appropriate to grant relief to someone
seeking to enter or remain in Canada. A more comprehensive approach is
therefore required.
Bearing
in mind the purpose and context of s. 25(1) , and the fact that the
hardship test used to date may, in some circumstances, be overly restrictive,
the test for granting relief should be reframed as follows: whether, having
regard to all of the circumstances, including the exceptional nature of H&C
relief, the applicant has demonstrated that decent, fair‑minded Canadians
would find it simply unacceptable to deny the relief sought. To be “simply
unacceptable”, a case should be sufficiently compelling to generate a broad
consensus that exceptional relief should be granted. This test maintains the
stringency of the hardship test — but does not exceed it. At the same time, it
is more flexible than the hardship test. It asks decision makers to turn their
minds to all of the relevant circumstances when deciding whether refusing
relief would be “simply unacceptable”. This prevents decision makers from
excluding relevant H&C considerations because they do not fit within the
future‑oriented hardship framework or because they do not involve
hardship experienced solely by the applicant. The test proposed by the majority
does not provide any guidance to decision makers as to the kinds of factors
outside the hardship test that would be sufficient to justify relief. Even more
problematic, by introducing equitable principles, it runs the risk of watering
down the stringency of the hardship test.
The
Officer’s decision in this case falls within the range of possible, acceptable
outcomes which are defensible in respect of the facts and law, and was therefore
reasonable. Decision making under s. 25(1) is highly discretionary and is
entitled to deference. Care must be taken not to overly dissect or parse an
officer’s reasons. Rather, reasonableness review entails respectful attention
to the reasons offered or which could be offered in support of a decision. As
is the case with every other court, this Court has no licence to find an
officer’s decision unreasonable simply because it would itself have come to a
different result, lest we be accused of adopting a “do as we say, not what we
do” approach to reasonableness review.
In
evaluating the application, the decision maker must not segment the evidence
and require that each piece either rise above the hardship threshold or be
discounted entirely. Rather, the decision maker must fairly consider the
totality of the circumstances and base the disposition on the evidence as a
whole. Likewise, the decision maker must not fetter his or her discretion by
applying the Guidelines — the “unusual and undeserved or disproportionate
hardship” framework — as a strict legal test to the exclusion of all other
factors. Taken as a whole, the Officer’s decision in this case denying K’s
H&C application is transparent. She provided intelligible reasons for
concluding that K did not meet his onus of establishing, on balance, that he
should be permitted to apply for permanent residency from within Canada for
H&C reasons. She did not use the hardship framework in a way that fettered
her discretion or caused her to discount relevant evidence. Her conclusions are
reasonable, and well‑supported by the record. While aspects of K’s
situation warrant sympathy, sympathetic circumstances alone do not meet the
threshold required to obtain relief.
It
was open to the Officer to find that the record did not justify relief under
s. 25(1) . While the Officer’s reasons could have engaged more fully with
the psychological evidence and while it would have been helpful had she
specifically addressed the issue of the impact of removal on K’s mental health,
her failure to do so does not render her decision unreasonable. The Officer’s
approach to the issue of discrimination was also not unreasonable, nor did it
render her decision unreasonable. The applicant need only show that the denial
of relief would pose a certain risk of harm. However, that risk must
necessarily be a “personalized risk”, in the sense that the applicant must fall
within the category of people who, on the evidence submitted, would face that
risk. When viewed in context, the Officer’s conclusion that K had failed to
provide sufficient evidence to support his statements that he will be
personally discriminated against simply reiterated the wording of his
submissions. Lastly, the Officer’s analysis and conclusion on K’s best
interests as a child were also reasonable. It was highly relevant that K was
only one day away from turning 18 when he initially applied for H&C relief.
K was a teenager on the verge of adulthood. On the record before her, it was
open to the Officer to conclude that removal to Sri Lanka would not impair K’s
best interests, because he would be returning to his immediate family rather
than being separated from them.
Although
the Officer applied the hardship standard from the Guidelines, she did not do
so in a way that fettered her discretion. Further, had she applied the test reframed,
she would inevitably have come to the same result. The Officer’s decision to
deny an exemption to K was reasonable.
Cases Cited
By Abella J.
Referred
to: Minister of Manpower and Immigration v. Hardayal, [1978] 1
S.C.R. 470; Chirwa v. Canada (Minister of Citizenship and Immigration)
(1970), 4 I.A.C. 338; Baker v. Canada (Minister of Citizenship and
Immigration), [1999] 2 S.C.R. 817; United States of America v.
Johnson (2002), 62 O.R. (3d) 327; Diarra v. Canada (Minister of Citizenship
and Immigration), 2006 FC 1515; Love v. Canada (Minister of Citizenship and
Immigration), 2004 FC 1569, 43 Imm. L.R. (3d) 111; Agraira v. Canada
(Public Safety and Emergency Preparedness), 2013 SCC 36, [2013] 2 S.C.R.
559; Rizvi v. Canada (Minister of Citizenship and Immigration), 2009 FC
463; Irimie v. Canada (Minister of Citizenship and Immigration) (2000),
10 Imm. L.R. 206; Flores v. Canada (Minister of
Citizenship and Immigration), 2013 FC 1002; Sivagurunathan
v. Canada (Minister of Citizenship and Immigration),
2013 FC 233; Park v. Canada (Minister of Citizenship
and Immigration), 2012 FC 528; Lim v. Canada (Minister of
Citizenship and Immigration), 2002 FCT 956; Chen v. Canada (Minister of
Citizenship and Immigration), 2003 FCT 447, 232 F.T.R. 118; Hawthorne v. Canada (Minister of Citizenship and Immigration), 2002 FCA 475, [2003] 2 F.C. 555; Singh v. Canada (Minister of Citizenship and Immigration), 2014 FC
621; Maple Lodge Farms Ltd. v. Canada, [1982] 2 S.C.R. 2; Ha v. Canada (Minister of Citizenship and
Immigration), 2004 FCA 49, [2004] 3 F.C.R. 195; Canadian
Foundation for Children, Youth and the Law v. Canada (Attorney General), 2004
SCC 4, [2004] 1 S.C.R. 76; Gordon v. Goertz, [1996] 2 S.C.R. 27; A.C.
v. Manitoba (Director of Child and Family Services), 2009 SCC 30, [2009] 2
S.C.R. 181; A.B. v. Bragg Communications Inc., 2012 SCC 46, [2012] 2 S.C.R. 567; MacGyver v. Richards (1995),
22 O.R. (3d) 481; Legault v. Canada (Minister of Citizenship
and Immigration), 2002 FCA 125, [2002] 4 F.C. 358; Kolosovs v. Canada (Minister of Citizenship and
Immigration), 2008 FC 165, 323
F.T.R. 181; Kim v. Canada (Citizenship
and Immigration), 2010 FC 149, [2011] 2 F.C.R. 448; Hilewitz
v. Canada (Minister of Citizenship and Immigration), 2005 SCC 57, [2005] 2
S.C.R. 706; Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190; Chieu v. Canada (Minister of Citizenship and Immigration), 2002 SCC 3, [2002] 1 S.C.R. 84; Davis v. Canada (Minister of
Citizenship and Immigration), 2011 FC 97, 96 Imm. L.R. (3d) 267; Martinez
v. Canada (Minister of Citizenship and Immigration), 2012 FC 1295, 14 Imm.
L.R. (4th) 66; Divakaran v. Canada (Minister of Citizenship and
Immigration), 2011 FC 633; Andrews v. Law Society of British Columbia,
[1989] 1 S.C.R. 143; British Columbia (Public Service Employee Relations
Commission) v. BCGSEU, [1999] 3 S.C.R. 3; Quebec (Attorney General) v. A,
2013 SCC 5, [2013] 1 S.C.R. 61; Aboubacar v. Canada (Minister of Citizenship
and Immigration), 2014 FC 714; Williams v. Canada (Minister of
Citizenship and Immigration), 2012 FC 166.
By
Moldaver J. (dissenting)
Lim
v. Canada (Minister of Citizenship and Immigration), 2002 FCT 956; Pan
v. Canada (Minister of Citizenship and Immigration), 2008 FC 1303; Rizvi
v. Canada (Minister of Citizenship and Immigration), 2009 FC 463; Chieu
v. Canada (Minister of Citizenship and Immigration), 2002 SCC 3, [2002] 1
S.C.R. 84; Baker v. Canada (Minister of Citizenship and Immigration),
[1999] 2 S.C.R. 817; Paz v. Canada (Minister of Citizenship and
Immigration), 2009 FC 412; Legault v. Canada (Minister of Citizenship
and Immigration), 2002 FCA 125, [2002] 4 F.C. 358, leave to appeal refused,
[2002] 4 S.C.R. vi; Pannu v. Canada (Minister of Citizenship and Immigration),
2006 FC 1356; Jacob v. Canada (Minister of Citizenship and Immigration),
2012 FC 1382, 423 F.T.R. 1; Kindler v. Canada (Minister of Justice),
[1991] 2 S.C.R. 779; R. v. Babos, 2014 SCC 16, [2014] 1 S.C.R. 309; Chirwa
v. Canada (Minister of Citizenship and Immigration) (1970), 4 I.A.C. 338; Dunsmuir
v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190; Newfoundland and
Labrador Nurses’ Union v. Newfoundland and Labrador (Treasury Board), 2011
SCC 62, [2011] 3 S.C.R. 708; Communications, Energy and Paperworkers Union
of Canada, Local 30 v. Irving Pulp & Paper, Ltd., 2013 SCC 34, [2013] 2
S.C.R. 458.
Statutes and Regulations Cited
Balanced Refugee Reform Act, S.C. 2010,
c. 8, s. 4 .
Canadian
Charter of Rights and Freedoms, s. 7 .
Immigration Act, R.S.C. 1952,
c. 325, s. 8.
Immigration
Act, R.S.C. 1985, c. I‑2, s. 114(2).
Immigration
Act, 1976, S.C. 1976‑77, c. 52, s. 115(2).
Immigration
and Refugee Protection Act, S.C. 2001, c. 27, ss. 11(1) , 25(1) , (1.3) , 62 to 71 , 96 , 97 .
Immigration and Refugee Protection Regulations, SOR/2002‑227, s. 6.
Immigration Appeal Board Act, S.C. 1966‑67,
c. 90, s. 15.
Treaties and Other International Instruments
Convention on the Rights of the Child,
Can. T.S. 1992 No. 3, art. 3(1).
Guidelines on International Protection No. 8: Child Asylum
Claims under Articles 1(A)2 and 1(F) of the 1951 Convention and/or 1967
Protocol relating to the Status of Refugees, HCR/GIP/09/08,
December 22, 2009.
Authors Cited
Brown, Donald J. M., and John M. Evans, with the
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in Canada, vol. 3. Toronto: Carswell, 2014 (loose‑leaf updated
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APPEAL
from a judgment of the Federal Court of Appeal (Blais C.J. and Sharlow and
Stratas JJ.A.), 2014 FCA 113, [2015] 1 F.C.R. 335, 459 N.R. 367, 372 D.L.R.
(4th) 539, 77 Admin. L.R. (5th) 181, 27 Imm. L.R. (4th) 1, [2014] F.C.J. No. 472
(QL), 2014 CarswellNat 1435 (WL Can.), affirming a decision of Kane J., 2013 FC
802, [2014] 3 F.C.R. 438, 437 F.T.R. 120, [2013] F.C.J. No. 848 (QL), 2013
CarswellNat 2568 (WL Can.), dismissing an application for judicial review.
Appeal allowed, Moldaver and Wagner JJ. dissenting.
Barbara Jackman and Ksenija Trahan, for the appellant.
Marianne Zoric and Kathryn
Hucal, for
the respondent.
Jamie Liew, Jennifer
Stone and Michael Bossin, for the intervener the Canadian
Council for Refugees.
Emily Chan and Samira
Ahmed, for
the intervener Justice for Children and Youth.
Alyssa Manning, Laila Demirdache, Aviva Basman and Rathika Vasavithasan, for the interveners the Barbra
Schlifer Commemorative Clinic and the Canadian Centre for Victims of Torture.
Audrey Macklin, Joo
Eun Kim and Laura Brittain, for the intervener the Canadian
Association of Refugee Lawyers.
Ronald Poulton and Toni Schweitzer, for the intervener Parkdale Community Legal Services.
The
judgment of McLachlin C.J. and Abella, Cromwell, Karakatsanis and Gascon JJ.
was delivered by
[1]
Abella J. — The Immigration and Refugee Protection Act consists of a number of
moving parts intended to work together to ensure a fair and humane immigration
system for Canada. One of those parts is refugee policy. Under s. 25(1) of the Act,
the Minister has a discretion to exempt foreign nationals from the Act’s
requirements if the exemption is justified by humanitarian and compassionate
considerations, including the best interests of any child directly affected.
The issue in this appeal is whether a decision to deny relief
under s. 25(1) to a 17 -year-old applicant was a reasonable exercise of the
humanitarian and compassionate discretion. In my respectful view, it was not.
Background
[2]
Jeyakannan Kanthasamy is a Tamil from northern
Sri Lanka. In April 2010, fearing for his safety after he was subjected to
detention and questioning by the army and the police, his family arranged for
him to travel to Canada to live with his uncle. He was 16 years old.
[3]
When he arrived in Canada, he made a claim for
refugee protection under ss. 96 and 97 , which permit applicants to seek refugee
status based on a “well-founded” fear of persecution. His claim was based on a
fear that because he is a Tamil, the army, the Eelam People’s Democratic Party,
the police, or others would arrest or harm him upon his return to Sri Lanka on
suspicion that he supports the Liberation Tigers of Tamil Eelam. The
Immigration and Refugee Board refused his claim in February 2011, concluding
that the authorities in Sri Lanka had taken steps to improve the situation of
Tamils, and that he did not have a profile that would put him at risk if he
were returned to that country.
[4]
In August 2011, he applied for a pre-removal
risk assessment, which determines whether an applicant can safely be removed
from Canada. The process assesses new risk developments arising after the
refugee hearing, but is not a second refugee determination hearing: Martin
Jones and Sasha Baglay, Refugee Law (2007), at p. 332. The Officer who
decided his pre-removal risk assessment found that Jeyakannan Kanthasamy was credible
and accepted the evidence that young Tamils faced discrimination and harassment
in Sri Lanka. But she concluded that since this treatment did not rise to the
level of persecution, his application should be rejected.
[5]
Around the same time, he also filed an
application for humanitarian and compassionate relief under s. 25(1) of the Immigration
and Refugee Protection Act , seeking to apply for permanent resident status
from within Canada. He was then 17 years old. The denial of relief would
result in his removal from Canada.
[6]
The Officer who reviewed the application
concluded that the relief was not justified by humanitarian and compassionate
considerations. Drawing on language set out in Guidelines prepared by the
Minister, the Officer said she was “not satisfied that return to Sri Lanka
would result in hardship that is unusual and undeserved or disproportionate”.
[7]
On judicial review, the Federal Court held that
the test was whether the hardship was “unusual and undeserved or
disproportionate” in accordance with the Guidelines, and found that the
Officer’s decision to deny relief was reasonable. The Federal Court of Appeal
largely agreed with both the test and the result. While it concluded that s.
25(1) was not intended to duplicate refugee proceedings, the evidence from
those proceedings can nonetheless be considered for the purpose of determining
whether the applicant will face “unusual and undeserved, or disproportionate
hardship” if returned to the foreign state.
[8]
For the following reasons, I do not, with
respect, agree with the conclusion that the Officer’s decision was reasonable.
Analysis
[9]
The Immigration and Refugee Protection Act governs
the admissibility, eligibility and removal of non-citizens. Under the Act
and its accompanying regulations, foreign nationals — individuals who are
neither citizens nor permanent residents — seeking permanent resident status
must apply for and obtain a visa before entering Canada: Immigration and
Refugee Protection Act, s. 11(1) ; Immigration and Refugee
Protection Regulations, SOR/2002-227, s. 6. A permanent resident
visa may be issued where the foreign national is not inadmissible and meets the
requirements of the Act: Immigration and Refugee Protection Act,
s. 11(1) .
[10]
Section 25(1) of the Immigration and Refugee
Protection Act gives the Minister discretion to exempt foreign nationals
from the ordinary requirements of the Act if the Minister is of the
opinion that such relief is justified by humanitarian and compassionate
considerations. Those considerations are to include the best interests of a
child directly affected. At the relevant time, s. 25(1) stated:
25. (1) The Minister must, on request of a foreign national in Canada
who is inadmissible or who does not meet the requirements of this Act, and may,
on request of a foreign national outside Canada, examine the circumstances
concerning the foreign national and may grant the foreign national permanent
resident status or an exemption from any applicable criteria or obligations of
this Act if the Minister is of the opinion that it is justified by
humanitarian and compassionate considerations relating to the foreign national,
taking into account the best interests of a child directly affected.
A brief
history helps explain the purpose of humanitarian and compassionate relief
under this provision.
[11]
Under the 1952 Immigration Act, R.S.C.
1952, c. 325, the Minister had an almost unlimited discretion to allow
individuals into Canada: Freda Hawkins, Canada and Immigration: Public
Policy and Public Concern (1972), at pp. 101-3. Although humanitarian and
compassionate considerations were not explicitly part of the legislative scheme
at the time, the Minister retained the authority to issue permits to allow
certain applicants to remain in Canada: Immigration Act (1952), s. 8.
These permits “introduced an element of flexibility and humanitarianism into
the administration of immigration law”: Minister of Manpower and Immigration
v. Hardayal, [1978] 1 S.C.R. 470, at p. 476.
[12]
A discretion to grant relief on the basis of
humanitarian and compassionate considerations became an express part of the
legislative scheme in the Immigration Appeal Board Act, S.C. 1966-67, c.
90, which created a quasi-judicial, independent Immigration Appeal Board.
Section 15(1) of the Immigration Appeal Board Act gave the new Board the
power to stay or quash a deportation order based on “compassionate or
humanitarian considerations that in the opinion of the Board warrant the
granting of special relief”: s. 15(1)(b)(ii). The reason for this power
was explained by John Munro, then Parliamentary Secretary for the Minister of
Manpower and Immigration:
The law establishes general
rules as to who may come to Canada and who may stay in Canada. The rules
necessarily are general. They cannot precisely accommodate all the variety of
individual circumstances. They must be capable of being tempered in their
application, according to the merits of individual cases. There will
sometimes be humanitarian or compassionate reasons for admitting people who,
under the general rules, are inadmissible. [Emphasis added.]
(House
of Commons Debates, vol. XII, 1st Sess., 27th Parl., February 20, 1967, at
p. 13267)
[13]
The meaning of the phrase “humanitarian and
compassionate considerations” was first discussed by the Immigration Appeal
Board in the case of Chirwa v. Canada (Minister of Citizenship and
Immigration) (1970), 4 I.A.C. 338. The first Chair of the Board, Janet
Scott, held that humanitarian and compassionate considerations refer to “those
facts, established by the evidence, which would excite in a reasonable man [sic]
in a civilized community a desire to relieve the misfortunes of another — so
long as these misfortunes ‘warrant the granting of special relief’ from the
effect of the provisions of the Immigration Act”: p. 350. This definition was
inspired by the dictionary definition of the term “compassion”, which covers
“sorrow or pity excited by the distress or misfortunes of another, sympathy”: Chirwa,
at p. 350. The Board acknowledged that “this definition implies an element of
subjectivity”, but said there also had to be objective evidence upon which
special relief ought to be granted: Chirwa, at p. 350.
[14]
The Chirwa test was crafted not only to
ensure the availability of compassionate relief, but also to prevent its undue
overbreadth. As the Board said:
It is clear that
in enacting s. 15 (1) (b) (ii) Parliament intended to give this Court
the power to mitigate the rigidity of the law in an appropriate case, but it is
equally clear that Parliament did not intend s. 15 (1) (b) (ii) of the
Immigration Appeal Board Act to be applied so widely as to destroy the
essentially exclusionary nature of the Immigration Act and Regulations. [p.
350]
[15]
In proceedings before the Special Joint
Committee of the Senate and the House of Commons on Immigration Policy in 1975,
Janet Scott elaborated on the importance of being able to guard against the
unfairness of deportation in certain cases:
. . . it was recognized that
deportation might fall with much more force on some persons . . . than on
others, because of their particular circumstances, and the Board was
therefore empowered to mitigate the rigidity of the law in an appropriate case.
Section 15 is a humanitarian and equitable section, which gives the Board
power to do what the legislator cannot do, that is, take account of particular
cases. [Emphasis added.]
(Minutes
of Proceedings and Evidence of the Special Joint Committee of the Senate and of
the House of Commons on Immigration Policy, Issue No. 49, 1st Sess., 30th
Parl., September 23, 1975, at p. 12)
[16]
In 1977, Parliament passed comprehensive
immigration reforms that introduced humanitarian and compassionate discretion
into other areas of the immigration scheme: Immigration Act, 1976, S.C.
1976-77, c. 52. Notably, under s. 115(2), the Governor in Council was given
broad authority to facilitate the admission of “any person” on the basis of
humanitarian or compassionate considerations:
115. (2) The Governor in Council may by regulation exempt any person from
any regulation made under subsection (1) or otherwise facilitate the admission
of any person where the Governor in Council is satisfied that the person should
be exempted from such regulation or his admission should be facilitated for
reasons of public policy or due to the existence of compassionate or
humanitarian considerations.
[17]
The role of this discretion was explained by
this Court in Baker v. Canada (Minister of Citizenship and Immigration),
[1999] 2 S.C.R. 817:
[The] words [humanitarian and
compassionate considerations] and their meaning must be central in determining
whether an individual [humanitarian and compassionate] decision was a
reasonable exercise of the power conferred by Parliament. The legislation and
regulations direct the Minister to determine whether the person’s admission
should be facilitated owing to the existence of such considerations. They show
Parliament’s intention that those exercising the discretion conferred by the
statute act in a humanitarian and compassionate manner. This Court has found
that it is necessary for the Minister to consider [a humanitarian and
compassionate] request when an application is made . . . . Similarly, when
considering it, the request must be evaluated in a manner that is respectful of
humanitarian and compassionate considerations. [Emphasis deleted; citation
omitted; para. 66.]
[18]
More recently, in 2001, Parliament passed
another set of comprehensive reforms by enacting the Immigration and Refugee
Protection Act . The humanitarian and compassionate discretion previously
found in s. 115(2) of the Immigration Act, 1976 was incorporated into
the new s. 25(1) : United States of America v. Johnson (2002), 62 O.R.
(3d) 327 (C.A.), at para. 47; Diarra v. Canada (Minister of
Citizenship and Immigration), 2006 FC 1515, at para. 8 (CanLII); Love v. Canada (Minister of Citizenship and Immigration)
(2004), 43 Imm. L.R. (3d) 111 (F.C.), at para. 15.
[19]
The Legislative Summary of Bill C-11, the Bill
that led to the enactment of the Immigration and Refugee Protection Act ,
explained that s. 25 “continue[d] the important power
of the Minister to override the provisions of the Act and grant permanent
residence, or an exemption from any applicable criteria or obligation under the
Act, on humanitarian and compassionate grounds or for reasons of public
policy”: Library of Parliament, “Bill C-11:
The Immigration and Refugee Protection Act ”, Legislative Summary LS-397E,
by Jay Sinha and Margaret Young, March 26, 2001, at p. 12 (footnote omitted); Agraira
v. Canada (Public Safety and Emergency Preparedness), [2013] 2 S.C.R. 559,
at para. 41. The humanitarian and compassionate discretion in s. 25(1) was,
therefore, like its predecessors, seen as being a flexible and responsive
exception to the ordinary operation of the Act, or, in the words of
Janet Scott, a discretion “to mitigate the rigidity of the law in an
appropriate case”.
[20]
As noted, Chirwa was decided in the
context of an appeal to the Immigration Appeal Board under s. 15 of the Immigration
Appeal Board Act. Under the current legislative scheme, the Immigration
Appeal Division can similarly exercise that discretion for a number of
statutorily defined purposes: see ss. 62 to 71 of the Immigration and
Refugee Protection Act . The exercise of humanitarian and compassionate
discretion under s. 25(1) of the Immigration and Refugee Protection Act ,
on the other hand, is limited to situations where a foreign national applies
for permanent residency but is inadmissible or does not meet the requirements
of the Immigration and Refugee Protection Act .
[21]
But as the legislative history suggests, the
successive series of broadly worded “humanitarian and compassionate” provisions
in various immigration statutes had a common purpose, namely, to offer
equitable relief in circumstances that “would excite in a reasonable [person]
in a civilized community a desire to relieve the misfortunes of another”: Chirwa,
at p. 350.
[22]
That purpose was furthered in Ministerial Guidelines
designed to assist officers in determining whether humanitarian and
compassionate considerations warrant relief under s. 25(1) . They state that the
determination of whether there are sufficient grounds to justify granting a
humanitarian and compassionate application under s. 25(1) , is done by an
“assessment of hardship”.
[23]
There will inevitably be some hardship associated
with being required to leave Canada. This alone will not generally be
sufficient to warrant relief on humanitarian and compassionate grounds under s.
25(1) : see Rizvi v. Canada (Minister of Citizenship and Immigration),
2009 FC 463, at para. 13 (CanLII); Irimie v. Canada (Minister of Citizenship
and Immigration) (2000), 10 Imm. L.R. 206 (F.C.T.D), at para. 12. Nor was
s. 25(1) intended to be an alternative immigration scheme: House of Commons,
Standing Committee on Citizenship and Immigration, Evidence, No. 19, 3rd
Sess., 40th Parl., May 27, 2010, at 15:40 (Peter MacDougall); see also Evidence,
No. 3, 1st Sess., 37th Parl., March 13, 2001, at 9:55 to 10:00 (Joan
Atkinson).
[24]
And, as is stated in s. 25(1.3) , added to
the Act in 2010 (S.C. 2010, c. 8 ), s. 25(1) is not meant to duplicate
refugee proceedings under s. 96 or s. 97(1) , which assess whether the applicant
has established a well-founded fear of persecution, risk of torture, risk to
life, or risk of cruel and unusual treatment or punishment.
[25]
What does warrant relief will clearly
vary depending on the facts and context of the case, but officers making
humanitarian and compassionate determinations must substantively
consider and weigh all the relevant facts and factors before them:
Baker, at paras. 74-75.
[26]
According to the Guidelines, applicants must
demonstrate either “unusual and undeserved” or “disproportionate”
hardship for relief under s. 25(1) to be granted. “Unusual and undeserved
hardship” is defined as hardship that is “not anticipated or addressed” by the
Immigration and Refugee Protection Act or its regulations, and is “beyond
the person’s control”. “Disproportionate hardship” is defined as “an
unreasonable impact on the applicant due to their personal circumstances”:
Citizenship and Immigration Canada, Inland Processing, “IP 5:
Immigrant Applications in Canada made on Humanitarian or Compassionate Grounds”
(online), s. 5.10 .
[27]
The Guidelines further explain the application of the
“unusual and undeserved or disproportionate hardship” standard by
setting out a non-exhaustive list of factors that may be relevant:
5.11. Factors to consider in assessment of
hardship
[Section 25(1) ] provides the flexibility to
grant exemptions to overcome the requirement of obtaining a permanent residence
visa from abroad, to overcome class eligibility requirements and/or
inadmissibilities, on humanitarian and compassionate grounds.
Officers must assess the hardship that would
befall the applicant should the requested exemption not be granted.
Applicants may base their requests for
[humanitarian and compassionate] consideration on any number of factors including,
but not limited to:
•
establishment in Canada;
•
ties to Canada;
•
the best interests of any children affected by their application;
•
factors in their country of origin (this includes but is not
limited to: Medical inadequacies, discrimination that does not amount to
persecution, harassment or other hardships that are not described in [ss. 96
and 97 ]);
•
health considerations;
•
family violence considerations;
•
consequences of the separation of relatives;
•
inability to leave Canada has led to establishment; and/or
•
any other relevant factor they wish to have considered not
related to [ss. 96 and 97 ]. [Emphasis added.]
(Inland Processing, s. 5.11)
[28]
The Guidelines confirm that the humanitarian and
compassionate determination under s. 25(1) is a global one, and that relevant
considerations are to be weighed cumulatively as part of the determination of
whether relief is justified in the circumstances:
. . . the officer should
assess all facts in the application and decide whether a refusal to grant the
request for an exemption would, more likely than not, result in unusual and
undeserved or disproportionate hardship.
. . .
Individual [humanitarian and
compassionate] factors put forward by the applicant should not be considered in
isolation in a determination of the hardship that an applicant would face; rather,
hardship is determined as a result of a global assessment of [humanitarian and
compassionate] considerations put forth by the applicant. In other words,
hardship is assessed by weighing together all of the [humanitarian and
compassionate] considerations submitted by the applicant. [Emphasis added.]
(Inland
Processing, ss. 5.8 and 5.10)
[29]
To date, there appear to be two schools of thought on how to approach
the factors to be considered in assessing whether humanitarian and
compassionate considerations apply under s. 25(1) . A number of Federal Court
decisions have implicitly rejected the language in Chirwa and have,
instead, treated the Guidelines, and the words “unusual and undeserved or
disproportionate hardship”, as setting out the test the applicant must meet in
order to receive an exemption on the basis of humanitarian and compassionate
grounds. In Flores v. Canada (Minister of Citizenship and Immigration),
2013 FC 1002, for example, the Federal Court talks about unusual and undeserved
or disproportionate as being the “correct test” in humanitarian and
compassionate applications: paras. 36-39 (CanLII). Similarly, in Sivagurunathan
v. Canada (Minister of Citizenship and Immigration), 2013 FC 233, the
Federal Court noted that it was the applicant’s burden to satisfy the
immigration officer that there was unusual and undeserved or disproportionate
hardship: para. 13 (CanLII). The Federal Court observed that “[t]his is the
test” and that the disadvantages demonstrated by the applicant had to meet this
threshold: para. 13. Also see Park v. Canada (Minister of Citizenship and
Immigration), 2012 FC 528, at paras. 46-47 (CanLII).
[30]
A second approach is found in decisions which treat Chirwa less
categorically, using the language in Chirwa as co-extensive with the
Guidelines: see Lim v. Canada (Minister of Citizenship and Immigration),
2002 FCT 956, at paras. 16-17 (CanLII); Chen v. Canada (Minister of
Citizenship and Immigration), 232 F.T.R. 118, at para. 15. In these
decisions, the Federal Court and Federal Court of Appeal have made it clear
that the Guidelines and the “unusual and undeserved or disproportionate
hardship” threshold merely provide assistance to the immigration officer but
that they should not be interpreted as fettering the immigration officer’s
discretion to consider factors other than those listed in the Guidelines. In Hawthorne
v. Canada (Minister of Citizenship and Immigration), [2003] 2 F.C. 555, the
Federal Court of Appeal noted that the Guidelines are “not meant as ‘hard and
fast’ rules” and are, rather, “an attempt to provide guidance to decision
makers when they exercise their discretion”: para. 9. And in Singh v. Canada
(Minister of Citizenship and Immigration), 2014 FC 621, the Federal Court
noted that humanitarian and compassionate considerations “are not limited . . .
to hardship” and that the “Guidelines can only be of limited use because they
cannot fetter the discretion given by Parliament”: paras. 10 and 12 (CanLII).
[31]
This second approach, which seems to me to be more consistent with the
goals of s. 25(1) , focuses more on the equitable underlying purpose of the humanitarian
and compassionate relief application process. It sees the words in the
Guidelines as being helpful in assessing when relief should be granted in a
given case, but does not treat them as the only possible formulation of when
there are humanitarian and compassionate grounds justifying the exercise of
discretion.
[32]
There is no doubt, as this Court has recognized,
that the Guidelines are useful in indicating what constitutes a reasonable
interpretation of a given provision of the Immigration and Refugee
Protection Act : Agraira, at para. 85. But as the
Guidelines themselves acknowledge, they are “not legally binding” and are “not
intended to be either exhaustive or restrictive”: Inland Processing, s.
5. Officers can, in other words, consider the Guidelines in the exercise of
their s. 25(1) discretion, but should turn “[their] mind[s] to the specific
circumstances of the case”: Donald J. M. Brown and The Honourable John M. Evans
with the assistance of Christine E. Deacon, Judicial Review of
Administrative Action in Canada (loose-leaf), at p. 12-45. They should not
fetter their discretion by treating these informal Guidelines as if they were
mandatory requirements that limit the equitable humanitarian and compassionate
discretion granted by s. 25(1) : see Maple Lodge Farms Ltd. v. Canada,
[1982] 2 S.C.R. 2, at p. 5; Ha v. Canada (Minister of Citizenship and
Immigration), [2004] 3 F.C.R. 195 (C.A.), at para. 71.
[33]
The words “unusual and undeserved or
disproportionate hardship” should therefore be treated as descriptive, not as
creating three new thresholds for relief separate and apart from the
humanitarian purpose of s. 25(1) . As a result, what officers should not do, is
look at s. 25(1) through the lens of the three adjectives as discrete and high
thresholds, and use the language of “unusual and undeserved or disproportionate
hardship” in a way that limits their ability to consider and give weight to all
relevant humanitarian and compassionate considerations in a particular case.
The three adjectives should be seen as instructive but not determinative,
allowing s. 25(1) to respond more flexibly to the equitable goals of the
provision.
[34]
This brings us to the fact that s. 25(1) refers to the need to
take “into account the best interests of a child directly affected”. In Agraira,
LeBel J. noted that these interests include “such matters as children’s
rights, needs, and best interests; maintaining connections between family
members; and averting the hardship a person would suffer on being sent to a
place where he or she has no connections”: para. 41. As the Guidelines note,
the “best interests” principle applies to all children under 18 years of age:
In an examination of the circumstances of a
foreign national under [s. 25(1) ], [the Immigration and Refugee Protection
Act ] introduces a statutory obligation to take into account the best
interests of a child who is directly affected by a decision under this section.
This codifies departmental practice into legislation, eliminating any doubt
that the interests of a child will be taken into account. This applies to
children under the age of 18 years as per the Convention on the Rights of the
Child.
(Inland Processing,
s. 5.12)
[35]
The “best interests” principle is “highly contextual” because of the
“multitude of factors that may impinge on the child’s
best interest”: Canadian Foundation for Children, Youth and the Law v.
Canada (Attorney General), [2004] 1 S.C.R. 76, at para. 11; Gordon v.
Goertz, [1996] 2 S.C.R. 27, at para. 20. It must therefore be applied in a
manner responsive to each child’s particular age, capacity, needs and maturity:
see A.C. v. Manitoba (Director of Child and Family Services), [2009] 2
S.C.R. 181, at para. 89. The child’s level of development will guide its
precise application in the context of a particular case.
[36]
Protecting children through the “best interests of the child” principle
is widely understood and accepted in Canada’s legal system: A.B.
v. Bragg Communications Inc., [2012] 2 S.C.R. 567, at para. 17. It means “[d]eciding what . . . appears most likely in the
circumstances to be conducive to the kind of environment in which a particular
child has the best opportunity for receiving the needed care and attention”: MacGyver
v. Richards (1995), 22 O.R. (3d) 481 (C.A.), at p. 489.
[37]
International human rights instruments to which Canada
is a signatory, including the Convention on the
Rights of the Child, also stress the centrality
of the best interests of a child: Can. T.S. 1992 No. 3; Baker,
at para. 71. Article 3(1) of the Convention in particular confirms the
primacy of the best interests principle:
In all actions concerning
children, whether undertaken by public or private social welfare institutions,
courts of law, administrative authorities or legislative bodies, the best
interests of the child shall be a primary consideration.
[38]
Even before it was expressly included in s. 25(1) , this Court in Baker
identified the “best interests” principle as an “important” part of the
evaluation of humanitarian and compassionate grounds. As this Court said in Baker:
. . . attentiveness and
sensitivity to the importance of the rights of children, to their best
interests, and to the hardship that may be caused to them by a negative
decision is essential for [a humanitarian and compassionate] decision to be
made in a reasonable manner. . . .
. . . for the exercise of
the discretion to fall within the standard of reasonableness, the
decision-maker should consider children’s best interests as an important
factor, give them substantial weight, and be alert, alive and sensitive to
them. That is not to say that children’s best interests must always
outweigh other considerations, or that there will not be other reasons for
denying [a humanitarian and compassionate] claim even when children’s interests
are given this consideration. However, where the interests of children
are minimized, in a manner inconsistent with Canada’s humanitarian and
compassionate tradition and the Minister’s guidelines, the decision will be
unreasonable. [paras. 74-75]
[39]
A decision under s. 25(1) will therefore
be found to be unreasonable if the interests of children affected by the
decision are not sufficiently considered: Baker, at para. 75.
This means that decision-makers must do more than simply state that the
interests of a child have been taken into account: Hawthorne, at para.
32. Those interests must be “well identified and
defined” and examined “with a great deal of attention” in light of all the
evidence: Legault v. Canada (Minister of Citizenship and Immigration),
[2002] 4 F.C. 358 (C.A.), at paras. 12 and 31; Kolosovs v. Canada (Minister of
Citizenship and Immigration), 323 F.T.R. 181, at paras. 9-12.
[40]
Where, as here, the legislation specifically directs that the
best interests of a child who is “directly affected” be considered, those
interests are a singularly significant focus and perspective: A.C., at
paras. 80-81. The
Minister’s Guidelines set out relevant considerations for this inquiry:
Generally, factors relating to
a child’s emotional, social, cultural and physical welfare should be taken into
account when raised. Some examples of factors that applicants may raise include
but are not limited to:
•
the age of the child;
•
the level of dependency between the child and
the [humanitarian and compassionate] applicant or the child and their sponsor;
•
the degree of the child’s establishment in
Canada;
•
the child’s links to the country in relation to
which the [humanitarian and compassionate] assessment is being considered;
•
the conditions of that country and the potential
impact on the child;
•
medical issues or special needs the child may
have;
•
the impact to the child’s education; and
•
matters related to the child’s gender.
(Inland
Processing, s. 5.12)
[41]
It is difficult to see how a child can be more “directly
affected” than where he or she is the applicant. In my view, the status
of the applicant as a child triggers not only the requirement that the “best
interests” be treated as a significant factor in the analysis, it should also
influence the manner in which the child’s other circumstances are evaluated. And since “[c]hildren will rarely, if ever, be deserving of
any hardship”, the concept of “unusual and undeserved hardship” is
presumptively inapplicable to the assessment of the hardship invoked by a child
to support his or her application for humanitarian and compassionate relief: Hawthorne,
at para. 9. Because children may experience greater hardship than
adults faced with a comparable situation, circumstances which
may not warrant humanitarian and compassionate relief when applied to an adult,
may nonetheless entitle a child to relief: see Kim
v. Canada (Citizenship and Immigration), [2011] 2
F.C.R. 448 (F.C.), at para. 58; UNHCR, Guidelines on International
Protection No. 8: Child Asylum Claims under Articles 1(A)2 and 1(F) of the 1951
Convention and/or 1967 Protocol relating to the Status of Refugees,
HCR/GIP/09/08, December 22, 2009.
Application
[42]
In considering the standard of review, this Court “step[s] into
the shoes” of the reviewing court: Agraira, at para. 46. This means that
the question for this Court is whether the reviewing court identified the
appropriate standard of review and applied it properly: Agraira, at
para. 45.
[43]
In this case, the Federal Court applied a reasonableness
standard. The Federal Court of Appeal, however, concluded that the appropriate
standard of review was correctness because there was a certified question. It
suggested that this Court’s approach in Agraira, where the standard of
review was reasonableness despite the presence of a certified question, was at
odds with the prior case law. I respectfully disagree.
[44]
The Federal Court of Appeal refers to one case from this Court to
support this point: Hilewitz v. Canada (Minister of Citizenship and
Immigration), [2005] 2 S.C.R. 706. This case is not particularly
helpful. It was decided before Dunsmuir v. New Brunswick, [2008] 1
S.C.R. 190, there was no discussion of the impact of a certified question on
the issue of standard of review, and the parties asked that correctness be
applied: para. 71. In any event, the case law from this Court confirms that
certified questions are not decisive of the standard of review: Baker,
at para. 58; Chieu v. Canada (Minister of Citizenship and Immigration),
[2002] 1 S.C.R. 84, at para. 23. As the Court
said in Baker, at para. 12, the certification of a question of general
importance may be the “trigger” by which an appeal is permitted. The subject of
the appeal is still the judgment itself, not merely the certified question. The
fact that the reviewing judge in this case considered the question to be of
general importance is relevant, but not determinative. Despite the presence of a certified question, the
appropriate standard of review is reasonableness: Baker, at para. 62.
[45]
Applying that standard, in my respectful view, the Officer failed
to consider Jeyakannan Kanthasamy’s circumstances as a whole, and took an
unduly narrow approach to the assessment of the circumstances raised in the
application. She failed to give sufficiently serious consideration to his
youth, his mental health and the evidence that he would suffer discrimination
if he were returned to Sri Lanka. Instead, she took a segmented approach,
assessed each factor to see whether it represented hardship that was “unusual
and undeserved or disproportionate”, then appeared to discount each from her
final conclusion because it failed to satisfy that threshold. Her literal
obedience to those adjectives, which do not appear anywhere in s. 25(1) , rather
than looking at his circumstances as a whole, led her to see each of them as a
distinct legal test, rather than as words designed to help reify the equitable
purpose of the provision. This had the effect of improperly restricting her
discretion and rendering her decision unreasonable.
[46]
In discussing the effect removal would have on Jeyakannan Kanthasamy’s
mental health, for example, the Officer said she “[did] not dispute the
psychological report” and “accept[ed] the diagnosis”. The report
concluded that he suffered from post-traumatic stress disorder and adjustment
disorder with mixed anxiety and depressed mood resulting from his experiences
in Sri Lanka, and that his condition would deteriorate if he was removed from
Canada. The Officer nonetheless inexplicably discounted the report:
. . . the applicant has provided
insufficient evidence that he has been or is currently in treatment regarding
the aforementioned issues or that he could not obtain treatment if required in
his native Sri Lanka or that in doing so it would amount to hardship that is
unusual and undeserved or disproportionate.
[47]
Having accepted the psychological diagnosis, it is unclear why the
Officer would nonetheless have required Jeyakannan Kanthasamy to adduce additional
evidence about whether he did or did not seek treatment, whether any was even
available, or what treatment was or was not available in Sri Lanka. Once she
accepted that he had post-traumatic stress disorder, adjustment disorder, and
depression based on his experiences in Sri Lanka, requiring further evidence of
the availability of treatment, either in Canada or in Sri Lanka, undermined the
diagnosis and had the problematic effect of making it a conditional rather than
a significant factor.
[48]
Moreover, in her exclusive focus on whether treatment was available in
Sri Lanka, the Officer ignored what the effect of removal from Canada would be
on his mental health. As the Guidelines indicate, health considerations in
addition to medical inadequacies in the country of origin, may be relevant:
Inland Processing, s. 5.11. As a result, the very fact that
Jeyakannan Kanthasamy’s mental health would likely worsen if he were to be
removed to Sri Lanka is a relevant consideration that must be identified and
weighed regardless of whether there is treatment available in
Sri Lanka to help treat his condition: Davis v. Canada (Minister of
Citizenship and Immigration) (2011), 96 Imm. L.R. (3d) 267 (F.C.); Martinez
v. Canada (Minister of Citizenship and Immigration) (2012), 14 Imm. L.R.
(4th) 66 (F.C.). As previously noted, Jeyakannan Kanthasamy was arrested,
detained and beaten by the Sri Lankan police which left psychological scars.
Yet despite the clear and uncontradicted evidence of such harm in the
psychological report, in applying the “unusual and undeserved or
disproportionate hardship” standard to the individual factor of the
availability of medical care in Sri Lanka — and finding that seeking such care
would not meet that threshold — the Officer discounted Jeyakannan Kanthasamy’s
health problems in her analysis.
[49]
And while the Officer did not “dispute the psychological report
presented”, she found that the medical opinion “rest[ed] mainly on hearsay”
because the psychologist was “not a witness of the events that led to the
anxiety experienced by the applicant”. This disregards the unavoidable reality
that psychological reports like the one in this case will necessarily be based
to some degree on “hearsay”. Only rarely will a mental health professional
personally witness the events for which a patient seeks professional
assistance. To suggest that applicants for relief on humanitarian and
compassionate grounds may only file expert reports from professionals who have
witnessed the facts or events underlying their findings, is unrealistic and
results in the absence of significant evidence. In any event, a psychologist
need not be an expert on country conditions in a particular country to provide
expert information about the probable psychological effect of removal from
Canada.
[50]
The Officer applied a similarly constricted approach to her
analysis of whether Jeyakannan Kanthasamy would face
discrimination. The Officer took particular note of s.
25(1.3) , which led her to decline to consider elements of his application that
related to “fear of persecution, torture, risk to life or cruel and unusual
treatment . . . on the basis of his race and nationality” as a young Tamil,
which she suggested are part of the determination of refugee status or the
pre-removal risk assessment.
[51]
As the Federal Court of Appeal concluded in this
case, s. 25(1.3) does not prevent the admission into evidence of facts adduced
in proceedings under ss. 96 and 97 . The role of the officer making a
determination under s. 25(1) is to ask whether this evidence, along with any
other evidence an applicant wishes to raise, though insufficient to support a
s. 96 or s. 97 claim, nonetheless suggests that “humanitarian and compassionate
considerations” warrant an exemption from the normal application of the Immigration
and Refugee Protection Act . In other words, the officer does not determine
whether a well-founded fear of persecution, risk to life, and risk of cruel and
unusual treatment or punishment has been established — those determinations are
made under ss. 96 and 97 — but he or she can take the underlying facts into
account in determining whether the applicant’s circumstances warrant
humanitarian and compassionate relief.
[52]
The Officer agreed to consider the hardship
Jeyakannan Kanthasamy would likely endure as discrimination in Sri Lanka against
young Tamil men. She also accepted evidence that there was discrimination
against Tamils in Sri Lanka, particularly against young Tamil men from the
north, who are routinely targeted by police. In her view, however, young
Tamils are targeted only where there is suspicion of
ties to the Liberation Tigers of Tamil Eelam,
and the government had been making efforts to improve the situation for
Tamils. She concluded that “the onus remains on the applicant to demonstrate
that these country conditions would affect him personally”.
[53]
This effectively resulted in the Officer
concluding that, in the absence of evidence that Jeyakannan
Kanthasamy would be personally targeted by discriminatory action, there was no
evidence of discrimination. With respect, the Officer’s approach failed to
account for the fact that discrimination can be inferred where an applicant
shows that he or she is a member of a group that is discriminated against.
Discrimination for the purpose of humanitarian and compassionate applications “could
manifest in isolated incidents or permeate systemically”, and even “[a] series
of discriminatory events that do not give rise to persecution must be
considered cumulatively”: Jamie Chai Yun Liew and Donald Galloway, Immigration
Law (2nd ed. 2015), at p. 413, citing Divakaran v. Canada (Minister of
Citizenship and Immigration), 2011 FC 633.
[54]
Here, however, the Officer required Jeyakannan
Kanthasamy to present direct evidence that he would face such a risk of
discrimination if deported. This not only undermines the humanitarian purpose
of s. 25(1) , it reflects an anemic view of discrimination that this Court
largely eschewed decades ago: Andrews v. Law Society of British Columbia,
[1989] 1 S.C.R. 143, at pp. 173-74; British Columbia (Public Service
Employee Relations Commission) v. BCGSEU, [1999] 3 S.C.R. 3; Quebec
(Attorney General) v. A, [2013] 1 S.C.R. 61, at paras. 318-19 and 321-38.
[55]
Even the Guidelines, expressly relying on this
Court’s decision in Andrews, encourage an approach to discrimination
that does not require evidence that the applicant will be personally targeted:
5.16.
[Humanitarian and compassionate] and hardship: Factors in the country of
origin to be considered
While [ss. 96 and 97 ] factors may not be
considered, the decision-maker must take into account elements related to the
hardships that affect the foreign national. Some examples of what those
“hardships” may include are:
. . .
•
discrimination which does not amount to persecution;
•
adverse country conditions that have a direct negative impact on
the applicant.
. . .
Discrimination
Discrimination is: A distinction based on the
personal characteristics of an individual that results in some disadvantage to
that individual.
In Andrews,
[the] Court wrote:
“Discrimination may be described as a
distinction, whether intentional or not but based on grounds relating to
personal characteristics of the individual or group, which has the effect of
imposing burdens, obligations, or disadvantages on such individual or group not
imposed upon others, or which withholds or limits access to opportunities,
benefits, and advantages available to other members of society. Distinctions
based on personal characteristics attributed to an individual solely on the
basis of association with a group will rarely escape the charge of
discrimination, while those based on an individual’s merits and capacities will
rarely be so classed.”
(Inland Processing,
s. 5.16)
[56]
As these passages suggest, applicants need only
show that they would likely be affected by adverse conditions such as
discrimination. Evidence of discrimination experienced by others who share the
applicant’s identity is therefore clearly relevant under s. 25(1) , whether or
not the applicant has evidence of being personally targeted, and reasonable
inferences can be drawn from those experiences. Rennie J. persuasively
explained the reasons for permitting reasonable inferences in such
circumstances in Aboubacar v. Canada (Minister of Citizenship and
Immigration), 2014 FC 714:
While
claims for humanitarian and compassionate relief under section 25 must be
supported by evidence, there are circumstances where the conditions in the
country of origin are such that they support a reasoned inference as to the
challenges a particular applicant would face on return . . . .
This is not speculation, rather it is a reasoned inference, of a
non-speculative nature, as to the hardship an individual would face, and thus
provides an evidentiary foundation for a meaningful, individualized analysis .
. . . [para. 12 (CanLII)]
[57]
Finally, even though Jeyakannan Kanthasamy’s current age makes this
issue one that no longer requires intervention, the Officer’s analysis of the
“best interests” factor cannot be characterized as anything other than
perfunctory. She simply stated, in a single paragraph, that Jeyakannan
Kanthasamy’s best interests lay in returning to Sri Lanka where he had grown up
and where his immediate family continued to reside. In my view, this fails to
accord with the “serious weight and consideration” this Court in Baker identified
as essential to a proper appreciation of a child’s best interests: para. 65.
[58]
At no point did the Officer appear to turn her
mind to how his status as a child affected the evaluation of the other
evidence raised in his application. Instead, she atomized her evaluation of
each of the other elements of his application, referring to his status as a
child only in isolation. In her assessment of his level of establishment in
Canada, for example, she wrote:
. . . a person in Canada making a claim to refugee
status is afforded the tools such as a study permit that would allow one to be
self-sufficient and to integrate into the Canadian community. Therefore, in the
case at hand, it is expected that a certain level of establishment would have
taken place during the applicant’s stay in Canada. It is understandable that
[Jeyakannan Kanthasamy] would like to remain in Canada and I accept that
[Jeyakannan Kanthasamy’s] removal to Sri Lanka would be an inconvenience;
however, I am not satisfied that he has established himself to such a degree
that return to Sri Lanka would amount to unusual and undeserved or
disproportionate hardship. [Emphasis added.]
Nowhere did the Officer ask
whether the effect of separating Jeyakannan Kanthasamy from the people he was
close to in Canada would be magnified by the fact that his relationships with
them developed when he was a teenager. This approach is inconsistent with how
hardship should be uniquely addressed for children.
[59]
Moreover, by evaluating Jeyakannan Kanthasamy’s best interests
through the same literal approach she applied to each of his other
circumstances — whether the hardship was “unusual and undeserved or
disproportionate” — she misconstrued the best interests of the child analysis,
most crucially disregarding the guiding admonition that “[c]hildren will
rarely, if ever, be deserving of any hardship”: Hawthorne, at para. 9.
See also Williams v. Canada (Minister of Citizenship and
Immigration), 2012 FC 166, at paras. 64-67
(CanLII).
[60]
Finding that no single factor amounted to hardship that was “unusual and
undeserved or disproportionate”, the Officer ultimately concluded that
humanitarian and compassionate relief was not warranted. But these three
adjectives are merely descriptive, not separate legal thresholds to be strictly
construed. Finally, the Officer not only unreasonably discounted both the
psychological report and the clear and uncontradicted evidence of a risk of
discrimination, she avoided the requisite analysis of whether, in light of the
humanitarian purpose of s. 25(1) of the Immigration and Refugee Protection
Act , the evidence as a whole justified relief. This approach unduly
fettered her discretion and, in my respectful view, led to its unreasonable
exercise.
[61]
I would therefore allow the appeal with costs, set aside the Officer’s
decision, and remit the matter for reconsideration in light of these reasons.
The
reasons of Moldaver and Wagner JJ. were delivered by
Moldaver J. (dissenting) —
I.
Overview
[62]
Jeyakannan Kanthasamy applied for a humanitarian
and compassionate (“H&C”) exemption under s. 25(1) of the Immigration
and Refugee Protection Act, S.C. 2001, c. 27 (“IRPA ”). The exemption
would have allowed him to apply for permanent resident status from within
Canada. His application was rejected. He seeks to overturn that decision on the
grounds that the Senior Immigration Officer (the “Officer”) applied the wrong
legal test and unreasonably denied his application.
[63]
Section 25(1) is a safety valve that supplements
the two normal streams by which foreign nationals can come to Canada
permanently: the immigration classes and the refugee process. It empowers the
Minister of Citizenship and Immigration (the “Minister”) to grant applicants
relief from the requirements of the IRPA when such relief is justified
by H&C considerations. Properly construed, it provides a flexible means of
relief for applicants whose cases are exceptional and compelling. For reasons
that will become apparent, I am of the view that in deciding whether to grant
relief under s. 25(1) , decision makers must determine whether, having regard to
all of the circumstances, including the exceptional nature of H&C relief, decent, fair-minded Canadians would find it
simply unacceptable to deny the relief sought.
[64]
Measured against this
standard, and bearing in mind the deference that is owed to decisions made
under s. 25(1) , the Officer’s decision was reasonable. Accordingly, I would uphold that decision and dismiss Mr. Kanthasamy’s appeal.
II.
Factual Background
[65]
Mr. Kanthasamy is a Tamil who grew up in
northern Sri Lanka during that country’s civil war. Although the war ended in
2009, the situation in Sri Lanka remained unstable, and young Tamil men in
particular faced a heightened risk of being subjected to discriminatory security
measures. Mr. Kanthasamy’s family feared for his safety and arranged to send
him to Canada. He arrived here using a false passport in April 2010. He was 16
years old.
A.
Procedural History
[66]
One month following Mr. Kanthasamy’s arrival in
Canada, he made a claim for refugee protection. That claim was denied in
February 2011. In denying his claim, the Refugee Protection Division tribunal
determined that he did not have a well-founded fear of persecution in Sri
Lanka, and that removal to Sri Lanka would not subject him personally to a risk
of death, torture, or cruel and unusual treatment or punishment. His
application seeking leave to have this decision judicially reviewed was
dismissed in May 2011.
[67]
In July 2011, Mr. Kanthasamy applied under s.
25(1) to be exempted from the requirement that he apply for permanent resident
status from outside Canada (the “H&C application”). His H&C application
was received one day before his 18th birthday. He also applied for a Pre-Removal
Risk Assessment (“PRRA”) in August 2011.
[68]
Both his PRRA and H&C application were
denied in January 2012. In the PRRA decision, the immigration officer concluded
that Mr. Kanthasamy would not face “more than a mere possibility of persecution
in Sri Lanka”, and that, on balance, he was not likely “to face a danger of
torture, or a risk to life, or a risk of cruel and unusual treatment or
punishment”. Mr. Kanthasamy initially sought leave for judicial review of his
PRRA denial, but in March 2012, after securing an agreement from the Minister to
reconsider his H&C application, he withdrew his application for leave.
[69]
On reconsideration, Mr. Kanthasamy’s H&C
application was again denied. Initial reasons for decision were provided in
April 2012 and an addendum was released in July 2012. These two sets of reasons
comprise the Officer’s decision. Mr. Kanthasamy challenged that decision by way
of judicial review in the Federal Court. His application for judicial review
was dismissed, as was his subsequent appeal to the Federal Court of Appeal. He
now appeals with leave to this Court.
B.
Facts Underlying Mr. Kanthasamy’s H&C
Application
[70]
The factual record underlying Mr. Kanthasamy’s
H&C application can be distilled into four categories: (1) his past
mistreatment by Sri Lankan authorities; (2) the conditions he would face if he
were removed to Sri Lanka; (3) the psychological consequences of his return to
Sri Lanka; and (4) his establishment in Canada.
(1)
Mistreatment by Sri Lankan Authorities
[71]
The evidence of past mistreatment focuses on two
incidents which occurred shortly before Mr. Kanthasamy left Sri Lanka. In March
2010, he was arrested at his home and taken to an army camp in his village,
where he was detained for one day. During his detention, he was held in a dark
room for three to four hours. Soldiers visited him sporadically and touched him
with their guns, kicked him, and threatened to kill him if he did not cooperate.
The soldiers wanted Mr. Kanthasamy to identify supporters of the Liberation
Tigers of Tamil Eelam (“LTTE”), an anti-government militant group. He was
ultimately released with the warning that he would be re-arrested if he helped
to conceal LTTE supporters in his village.
[72]
After his release, members of a pro-government
paramilitary group came to his home, questioned him, and pressured him to join
their group. They warned Mr. Kanthasamy’s father to watch him, as the LTTE was
trying to recruit young Tamil men. His father was concerned for Mr.
Kanthasamy’s safety, and arranged to send him from his home village in northern
Sri Lanka to the capital, Colombo, where he could obtain passage to Canada.
[73]
The second incident of mistreatment occurred in
Colombo in April 2010. Mr. Kanthasamy was arrested by police and detained for
one day. During his detention, he was threatened, physically assaulted, and
interrogated once again about any involvement with the LTTE. He was released
after paying money to the police, but was warned that he could not stay in
Colombo. Shortly after this incident, Mr. Kanthasamy made his way to Canada
using a false passport.
(2)
Present-Day Conditions in Sri Lanka
[74]
The record contains conflicting evidence about
conditions in Sri Lanka and the extent to which the treatment of Tamils had
improved since the end of the civil war and the defeat of the LTTE in 2009. Mr.
Kanthasamy put forward evidence suggesting that young Tamil men in northern Sri
Lanka still faced “frequent harassment” and “abusive behaviour” by government
and paramilitary forces, and that security measures targeted Tamils in a
disproportionate and discriminatory manner. He also submitted evidence that the
Sri Lankan government continued to engage in torture and that some failed Tamil
asylum seekers had faced arbitrary arrest and torture upon their return to Sri
Lanka. On the other hand, two research packages prepared by the Immigration and
Refugee Board, which summarized reports from news, academic and other sources
on the treatment of Tamils in Sri Lanka, contained evidence that the harassment
and government surveillance of Tamils had decreased since 2009.
(3)
Psychological Consequences of Return to Sri
Lanka
[75]
Mr. Kanthasamy was examined by a clinical
psychologist in March 2012, and he submitted a psychological assessment in
support of his H&C application. The psychologist, Dr. Kanagaratnam,
outlined Mr. Kanthasamy’s history in Sri Lanka, including the two instances of
arrest and interrogation. Mr. Kanthasamy described to her how the ongoing
immigration proceedings had caused him to experience difficulty sleeping,
difficulties with concentration and recall, and a reduced appetite. She noted
that he also reported symptoms of hyper-arousal and hyper-vigilance when he saw
military vehicles or heard the sounds of aircraft. According to Mr. Kanthasamy,
he began experiencing these additional symptoms one to three months prior to
his psychological evaluation.
[76]
Dr. Kanagaratnam diagnosed Mr. Kanthasamy with
anxiety, depression and post-traumatic stress disorder. Noting that “events that evoke elements of past trauma”
can trigger the re-emergence of these conditions, she concluded that due to “a
realistic and imminent threat to his safety, it is most likely that [Mr.
Kanthasamy’s] condition [would] further deteriorate psychologically if he
[were] to be deported” (emphasis added).
(4)
Establishment in Canada
[77]
Mr. Kanthasamy’s parents and three of his four
siblings live in Sri Lanka. He had been living in Canada with his uncle, aunt
and three cousins. To establish the strength of his attachment to Canada, Mr.
Kanthasamy submitted evidence that he was “very close” to his Canadian
relatives and they would be “very upset” if he had to return to Sri Lanka. At
the time of his H&C application, he was enrolled in high school, worked
part-time in his uncle’s hair salon and volunteered at a local temple. He had
spent approximately 16 months in Canada.
III.
Decisions Below
A.
Decision on Mr. Kanthasamy’s H&C Application
[78]
Mr. Kanthasamy raised four factors in support of
his application for relief under s. 25(1) : (1) personalized risk of
discrimination; (2) establishment in Canada; (3) the psychological impact of
removal from Canada; and (4) his best interests as a child.
[79]
In her reasons for dismissing his H&C
application, the Officer stated that Mr. Kanthasamy bore the burden of
establishing that the “hardship . . . would be . . . unusual and undeserved or
. . . disproportionate”. This test initially appeared in the Minister’s
immigration processing manual some three decades ago (Employment and
Immigration Canada, Immigration Manual (1986), s. 1.39). It has been
repeatedly applied by the Federal Court since then (see, for example, Lim v.
Canada (Minister of Citizenship and Immigration), 2002 FCT 956; Pan
v. Canada (Minister of Citizenship and Immigration), 2008 FC 1303; Rizvi
v. Canada (Minister of Citizenship and Immigration), 2009 FC 463). The
current manual employs the same hardship test and provides a non-exhaustive
list of factors for immigration officers to consider when assessing
applications under s. 25(1) (Citizenship and Immigration Canada, Inland
Processing, “IP 5: Immigrant Applications in Canada made on Humanitarian or
Compassionate Grounds”, ss. 5.10 and 5.11 (the “Guidelines”)). It is against
this backdrop that the Officer evaluated the factors raised by Mr. Kanthasamy.
[80]
The Officer accepted that young Tamil males continued to face
discriminatory treatment by authorities. However, she noted that the focus of
the government’s attention was on suspected LTTE supporters and that Mr.
Kanthasamy had failed to present sufficient evidence that he would be
personally targeted by security forces. While
recognizing Mr. Kanthasamy’s establishment in Canada, the Officer observed that it had occurred while he was under a
removal order, and concluded that returning to Sri Lanka would not rise to the
level of hardship. In evaluating the psychological evidence, the Officer
accepted Dr. Kanagaratnam’s medical diagnoses, but was not satisfied that Mr. Kanthasamy would be unable to obtain treatment for his
conditions in Sri Lanka. Regarding “the best interests of the child”, the
Officer concluded that it was in Mr. Kanthasamy’s best interests to return to
Sri Lanka where he would have the care and support of his parents and
siblings.
[81]
Reviewing the record in its entirety, the
Officer was unpersuaded that return to Sri Lanka would subject Mr. Kanthasamy
to unusual and undeserved or disproportionate hardship. She concluded that
H&C considerations did not justify granting an exemption.
B.
Judicial Review and Appeal
[82]
On judicial review, Mr. Kanthasamy challenged
the Officer’s decision on several grounds (2013 FC 802, [2014] 3 F.C.R. 438).
Among them, he claimed the Officer unreasonably concluded that he would not
face a personalized risk of discrimination in Sri Lanka. Further, she
unreasonably discounted evidence relating to his establishment in Canada and
the psychological impact of deportation to Sri Lanka. Finally, she did not
adequately consider his best interests as a child.
[83]
Kane J. dismissed the application for judicial
review. In her view, the Officer’s conclusions on these points were reasonable.
The Federal Court of Appeal unanimously dismissed Mr. Kanthasamy’s appeal (2014
FCA 113, [2015] 1 F.C.R. 335, Blais C.J., Sharlow and Stratas JJ.A.). Writing
for the court, Stratas J.A. concluded that subject to this Court holding
otherwise, the hardship test reflected the appropriate standard to be applied
under s. 25(1) (paras. 47-49). He cautioned against applying the list of
factors in the Guidelines as a closed list, but concluded the Officer had not
done so in this case (paras. 51-53). The Officer had instead weighed the
evidence and come to a reasonable decision.
IV.
Analysis
[84]
This case raises two issues. The first issue is
one of statutory interpretation: the meaning of the phrase “justified by
humanitarian and compassionate considerations” in s. 25(1) of the IRPA .
At the time of Mr. Kanthasamy’s application, s. 25(1) read as follows:
25. (1) The Minister . . . may grant the foreign national permanent
resident status or an exemption from any applicable criteria or obligations of
this Act if the Minister is of the opinion that it is justified by humanitarian
and compassionate considerations relating to the foreign national, taking into
account the best interests of a child directly affected.
[85]
My colleague Justice Abella has considered the
meaning of the phrase in question and I agree with much of what she says. With
respect, however, I cannot agree with the test she proposes for granting relief
under s. 25(1) . The scheme of the IRPA and the intention of Parliament
in enacting s. 25(1) and its predecessors all suggest that s. 25(1) is meant to
provide a flexible — but exceptional — mechanism for relief. Giving it an
overly broad interpretation risks creating a separate, freestanding immigration
process, something Parliament clearly did not intend.
[86]
The second issue is whether, in light of the
meaning of s. 25(1) , the Officer’s decision to deny Mr. Kanthasamy an exemption
was reasonable. Unlike my colleague, I am respectfully of the view that it was.
A.
Standard of Review
[87]
I find it unnecessary to decide whether the
standard of review applicable to the Officer’s interpretation of s.
25(1) is correctness or reasonableness. For reasons that will become apparent,
had she applied the test set out in these reasons, she would inevitably have
come to the same result.
B.
The Role of Section 25(1) Within the IRPA
[88]
The IRPA and its regulations create a
carefully tailored scheme, with two normal streams by which foreign nationals
can come to Canada permanently: the immigration classes and the refugee
process. Within each stream, Parliament has established a set of criteria that
reflect Canada’s immigration and refugee policy goals and international
obligations. These criteria anticipate most circumstances in which foreign
nationals should be admitted to Canada. Parliament has also established
procedures for determining whether an applicant meets these criteria, and
procedural safeguards designed to ensure that these criteria have been properly
applied, such as internal appeals, judicial review and the PRRA process.
[89]
However, as with any administrative scheme,
Parliament recognized that cases could arise in which the strict application of
the rules would not reflect Canada’s policy goals, or would lead to an
arbitrary or inhumane result. With this in mind, it empowered the Minister to
grant some applicants special relief if they could convince the Minister that
the relief sought was “justified by humanitarian and compassionate
considerations” (IRPA, s. 25(1) ).
[90]
The legislative history of the H&C provision
makes clear that the provision was not intended as a separate category for
admission to Canada, but rather as a safety valve for exceptional cases (see House
of Commons Debates, vol. XII, 1st Sess., 27th Parl., February 20, 1967, at
pp. 13267-68). Though the terms “humanitarian” and “compassionate” have
remained unchanged since the provision was first enacted, the provision has
been debated, revised and re-enacted multiple times (see Immigration Appeal
Board Act, S.C. 1966-67, c. 90, s. 15(1)(b)(ii); Immigration Act,
R.S.C. 1985, c. I-2, s. 114(2); Immigration and Refugee Protection Act,
S.C. 2001, c. 27, s. 25(1) ; Balanced Refugee Reform Act, S.C. 2010, c.
8, s. 4 ). Notably, when Parliament amended the provision in 2010, it did so
with a view to emphasizing the provision’s original purpose. As Peter
MacDougall, the Director General of Refugees at the Department of Citizenship
and Immigration, put it at the time:
. . . the original intent of
the H and C provision was to provide the government with the flexibility to
approve exceptional and compelling cases not anticipated in the Immigration and
Refugee Protection Act . It was never intended to be an alternate immigration
stream or an appeal mechanism for failed asylum claimants. It should be
reserved for exceptional cases.
But what has happened is that some failed asylum claimants use the
humanitarian and compassionate provision in another process to try to remain in
Canada. In fact, more than half of the humanitarian and compassionate backlog
is now made up of failed asylum claimants. [Emphasis added.]
(House
of Commons, Standing Committee on Citizenship and Immigration, Evidence,
No. 19, 3rd Sess., 40th Parl., May 27, 2010, at 15:40)
[91]
Mr. MacDougall’s comments pertained, inter
alia, to what is now s. 25(1.3) of the IRPA , which reads as follows:
25. . . .
(1.3) In examining the request of a foreign national in Canada, the
Minister may not consider the factors that are taken into account in the
determination of whether a person is a Convention refugee under section 96 or a
person in need of protection under subsection 97(1) but must consider elements
related to the hardships that affect the foreign national.
The interpretation of
this provision arises in this case. In the Federal Court of Appeal, Stratas
J.A. concluded that it was “not meant to change the overall standard” for
granting s. 25(1) relief (para. 66). As he explained, “the evidence adduced in
previous proceedings under sections 96 and 97 . . . is admissible in subsection
25(1) proceedings” (para. 73). Section 25(1.3) requires officers to “assess
that evidence through the lens of the subsection 25(1) test” and “not to
undertake another section 96 or 97 risk assessment or substitute [their]
decision for the Refugee Protection Division’s” (paras. 73-74).
[92]
I agree with Stratas J.A.’s interpretation of s.
25(1.3) . This subsection reminds decision makers that the H&C provision is
not meant to be a second refugee proceeding with a lower threshold for
admission. However, it does not prevent decision makers from looking at the
facts and circumstances raised in the ss. 96 and 97 proceedings.
[93]
In keeping with this legislative history, courts
have recognized the exceptional nature of the H&C provision. This Court has
described it as a “plea to the executive branch for special consideration” (Chieu
v. Canada (Minister of Citizenship and Immigration), 2002 SCC 3, [2002] 1
S.C.R. 84, at para. 64) and as “involv[ing] the exercise of considerable
discretion” (Baker v. Canada (Minister of Citizenship and Immigration),
[1999] 2 S.C.R. 817, at para. 31). The Federal Court at both the trial and
appellate level has emphasized that the provision is both exceptional and
discretionary (see, for example, Paz v. Canada (Minister of Citizenship and
Immigration), 2009 FC 412, at para. 15; Legault v. Canada (Minister of
Citizenship and Immigration), 2002 FCA 125, [2002] 4 F.C. 358 (leave to
appeal refused, [2002] 4 S.C.R. vi), at para. 15; Pannu v. Canada (Minister
of Citizenship and Immigration), 2006 FC 1356, at para. 29 (CanLII)).
[94]
In short, s. 25(1) is intended to provide
flexibility and a means of relief for applicants who do not fall strictly
within the rules governing the admission of foreign nationals to Canada. That
said, Parliament did not intend to provide relief on a routine basis. Section
25(1) was meant to operate as an exception, not the rule.
C.
The Approach to Evaluating H&C Applications
Requires Flexibility and Stringency
[95]
As noted, s. 25(1) empowers the Minister to
grant applicants relief from the requirements of the IRPA when such
relief is “justified by humanitarian and compassionate considerations” (IRPA,
s. 25(1) ). The Minister has described the approach immigration officers should
take under s. 25(1) in the Guidelines. The Guidelines require applicants to
demonstrate that denial of relief would cause them “unusual and undeserved” or
“disproportionate” hardship. Though the Federal Courts have adopted this test,
as I have observed, it did not originate there or in Parliament. Instead, it
appeared in the Minister’s immigration manual as early as 1986.
[96]
To recapitulate, the test for H&C relief
must balance the dual characteristics of stringency and flexibility. The
hardship test is a good test in that it achieves the degree of stringency
required to grant H&C relief. If an applicant can demonstrate “unusual and
undeserved or disproportionate hardship”, he or she should be granted relief.
With respect, however, the test falls down on the flexibility side. Put simply,
it risks excluding or diminishing the weight that some factors may deserve in
deciding whether H&C relief should be granted.
[97]
In the Federal Court of Appeal, Stratas J.A.
described the hardship test as “requiring proof that the applicant will
personally suffer unusual and undeserved, or disproportionate hardship arising
from the application of . . . the normal rule” (para. 41 (emphasis added)).
Read literally, this test is future-oriented and focuses solely on the
applicant. It asks how the applicant is likely to be affected in the future if
relief is denied. As such, it runs the risk of excluding from consideration otherwise
relevant H&C factors such as past hardship the applicant may have suffered
or the impact that denying relief is likely to have on persons other than the
applicant.
[98]
Though the Guidelines direct decision makers to
consider a broad range of factors such as family violence and establishment in
Canada, the hardship lens might lead a decision maker to disregard these
factors or give them less weight than they deserve. For example, a
future-oriented analysis may not adequately account for the past hardship of
sponsored spouses who leave abusive spouses or whose spouses become ineligible
to sponsor them by virtue of a conviction involving domestic violence (H.
Neufeld, “Inadequacies of the Humanitarian and Compassionate Procedure for
Abused Immigrant Spouses” (2009), 22 J.L. & Soc. Pol’y 177, at p.
205). Likewise, a decision maker applying the hardship test literally might
disregard the impact denying relief would have on other adults who are
dependent on the applicant for their care and well-being (see, for example, Jacob
v. Canada (Minister of Citizenship and Immigration), 2012 FC 1382, 423
F.T.R. 1, at para. 33).
[99]
Neither the future-oriented analysis nor the
exclusive focus on the applicant flows from the statute. Section 25(1) does not
limit when the relevant H&C considerations must occur; nor does it
require that they be viewed only from the applicant’s perspective. It asks only
that decision makers look at H&C considerations relating to the
applicant. Section 25(1) is framed in broad terms because it is impossible to
foresee all situations in which it might be appropriate to grant relief to
someone seeking to enter or remain in Canada. A more comprehensive approach is
therefore required.
[100]
Given that s. 25(1) is intended to act as a
safety valve by providing flexibility to the normal operation of the IRPA ,
the test should reflect the broad range of factors that may be relevant. As the
Minister is empowered to grant an exceptional remedy, the test should also
convey the level of intensity that those factors must reach — that is, the
stringent threshold for relief.
[101]
Bearing in mind the purpose and context of s.
25(1) , and the fact that the hardship test used to date may, in some
circumstances, be overly restrictive, I would reframe the test for granting
relief as follows: whether, having regard to all of the circumstances,
including the exceptional nature of H&C relief, the applicant has
demonstrated that decent, fair-minded Canadians would find it simply
unacceptable to deny the relief sought. To be simply unacceptable, a
case should be sufficiently compelling to generate a broad consensus that
exceptional relief should be granted.
[102]
This test maintains the stringency of the
hardship test — but does not exceed it. The hardship test requires applicants
to demonstrate “unusual and undeserved or disproportionate” hardship. If an
applicant meets the hardship test, he or she should be granted relief. To do
otherwise would be simply unacceptable.
[103]
At the same time, it is more flexible than the
hardship test. It asks decision makers to turn their minds to all of the
relevant circumstances when deciding whether refusing relief would be “simply
unacceptable”. This prevents decision makers from excluding relevant H&C
considerations because they do not fit within the future-oriented hardship
framework or because they do not involve hardship experienced solely by the
applicant.
[104]
The “simply unacceptable” test I am proposing
should not be seen as wordsmithing; nor, in my view, will it lead to more
confusion than clarity. It uses concepts that are well-understood and regularly
applied in Canadian law. For example, the test for whether extradition would
violate s. 7 of the Canadian Charter of Rights and Freedoms “on account
of the penalty which may be imposed in the requesting state” is whether the
penalty would be “simply unacceptable” (Kindler v. Canada (Minister of
Justice), [1991] 2 S.C.R. 779, at p. 849). Similarly, in criminal law,
abuse of process may be established where conduct would violate the community’s
sense of fair play and decency (R. v. Babos, 2014 SCC 16, [2014] 1
S.C.R. 309, at para. 41).
[105]
The appellant submits that the hardship test is
too stringent and proposes that the test found in Chirwa v. Canada (Minister
of Citizenship and Immigration) (1970), 4 I.A.C. 338, be adopted as a less
stringent alternative. He argues that relief should be granted in circumstances
which “would excite in a reasonable [person] in a civilized community a desire
to relieve the misfortunes of another” (Chirwa, at p. 350).
[106]
My colleague discusses the Chirwa test at
length. She acknowledges that it was developed for a different decision-making
context than the hardship test (para. 20), but appears to conclude nonetheless
that the correct approach is to import it into s. 25(1) and apply it in conjunction
with the hardship test (paras. 30-33). In her view, the requirements of the
hardship test — that the hardship must be unusual and undeserved or
disproportionate — should be treated as “instructive but not determinative”, so
that s. 25(1) may “respond more flexibly to the equitable goals of the
provision” (para. 33).
[107]
With respect, the test that my colleague
proposes is amorphous. It does not provide any guidance to decision makers as
to the kinds of factors outside the hardship test that would be sufficient to
justify relief. Even more problematic, by introducing equitable principles, it
runs the risk of watering down the stringency of the hardship test. Relief
could be granted in cases which arouse strong feelings of sympathy in an
individual decision maker, but which do not reach the stringent standard that
the hardship test demands. Setting the bar this low is inconsistent with
Parliament’s goal and risks turning s. 25(1) into an alternate immigration
scheme, or an appeal mechanism for good faith but unsuccessful refugee
claimants.
[108]
The threshold that denial of relief must, in the
circumstances, be simply unacceptable to decent, fair-minded
Canadians aware of the exceptional nature of H&C relief provides the
appropriate mix of flexibility and stringency. Canada is a desirable place to
live. It is a thriving democracy with a high standard of living, a relatively
low rate of violent crime and a generous social safety net. Understandably,
many people want to come to Canada, and it is natural to feel sympathy for
those whose home countries do not have the same advantages. However, most decent,
fair-minded Canadians aware
of the exceptional nature of H&C relief would
not find it simply unacceptable that we exclude individuals who do not
meet our legal requirements, even if such persons evoke our sympathy and would
be better off here than in their home countries.
[109]
With these thoughts in mind, I turn to the
review of the Officer’s decision in this case.
D.
The Reasonableness of the Officer’s Decision
[110]
Mr. Kanthasamy submits, and my colleague agrees,
that the Officer did not exercise her discretion reasonably in denying his
H&C application. According to my colleague, the Officer erred in her
overall approach by considering the relevant factors on a piecemeal basis and
by treating the hardship test, identified in the Guidelines, as an
all-inclusive “distinct legal test”, thereby fettering her discretion (para. 45).
Additionally, she takes issue with certain aspects of the Officer’s reasons,
maintaining that the Officer failed to properly assess several points raised by
Mr. Kanthasamy.
[111]
With respect, I cannot agree. In my view, the
Officer’s decision falls within the range of possible, acceptable outcomes
which are defensible in respect of the facts and law, and was therefore
reasonable. Decision making
under s. 25(1) is highly discretionary and is entitled to deference. Care must
be taken not to overly dissect or parse an officer’s reasons. Rather,
reasonableness review entails respectful attention to the reasons offered or
which could be offered in support of a decision (Dunsmuir
v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190,
at para. 48; Newfoundland and Labrador Nurses’ Union v. Newfoundland and Labrador
(Treasury Board), 2011 SCC 62, [2011] 3 S.C.R. 708,
at paras. 11-12).
[112]
In particular, I am concerned that my colleague
has not given the Officer’s reasons the deference which, time and again, this
Court has said they deserve. In her reasons, she parses the Officer’s decision
for legal errors, resolves ambiguities against the Officer, and reweighs the
evidence. Lest we be accused of adopting a “do as we say, not what we do”
approach to reasonableness review, this approach fails to heed the admonition
in Newfoundland and Labrador Nurses — that reviewing courts must be
cautious about substituting their own view of the proper outcome by designating
certain omissions in the reasons to be fatal (para. 17). As is the case with
every other court, this Court has no licence to find an officer’s decision
unreasonable simply because it considers the result unpalatable and would
itself have come to a different result.
(1)
The Officer Considered the Evidence as a Whole
and Did Not Fetter Her Discretion
[113]
As I have stated, to obtain H&C relief, an
applicant bears the onus of demonstrating, having regard to all of the
circumstances, that decent,
fair-minded Canadians aware of the exceptional nature of H&C relief would
find it simply unacceptable to deny the relief sought. In evaluating the
application, the decision maker must not segment the evidence and require that
each piece either rise above this threshold or be discounted entirely. Rather,
the decision maker must fairly consider the totality of the circumstances and
base the disposition on the evidence as a whole. Likewise, the decision maker
must not fetter his or her discretion by applying the Guidelines — the “unusual
and undeserved or disproportionate hardship” framework — as a strict legal test
to the exclusion of all other factors. In my view, the Officer’s decision does
not fall down on either basis.
[114]
It is true that the Officer’s reasons address
each of Mr. Kanthasamy’s submissions separately, and discuss the level of
hardship associated with each factor. This is not an example of improper
segmentation, however, but rather an uncontroversial method of legal analysis.
In fact, had the Officer failed to discuss each factor individually, and
instead simply listed the facts and stated her conclusion on the evidence as a
whole, this appeal might well have been before us on the basis of insufficient
reasons.
[115]
The issue, therefore, is not whether the Officer
analyzed the factors individually, but whether in doing so she failed to step
back and consider the evidence as a whole. I find no such error in the
Officer’s reasons. She stated that she “reviewed and considered the grounds”
raised by Mr. Kanthasamy, and “considered all information and evidence
regarding this application in its entirety”. In the July addendum, she listed
seven additional pieces of evidence received from Mr. Kanthasamy, and stated
that she “reviewed all of the evidence mentioned [therein] in conjunction with
the evidence [she] previously reviewed”. It is apparent that the Officer gave
careful consideration to the full record in reaching her determination.
[116]
Moreover, the Officer’s use of the “unusual and
undeserved or disproportionate hardship” standard to guide her analysis was
entirely appropriate. As I have stated above, while the Guidelines do not
establish the applicable test, the
hardship analysis is neither irrelevant nor inappropriate. The degree of
hardship demonstrated by the applicant is highly probative. In many cases, a
hardship analysis may be dispositive. The decision maker must simply avoid
applying the standard from the Guidelines in a way that fetters his or her
discretion or causes relevant evidence to be improperly discounted.
[117]
In my view, the Officer gave full and fair
consideration to each of the factors supporting Mr. Kanthasamy’s application.
On the issue of personalized risk, she recognized the conflicting evidence of
present-day conditions in Sri Lanka, and accepted that challenges remained. She
found that while some Tamils were singled out by the government, this attention
was primarily focused on suspected LTTE supporters. She concluded that there
was insufficient evidence that Mr. Kanthasamy would personally be discriminated
against.
[118]
On the issue of establishment, the Officer
accepted the evidence of Mr. Kanthasamy’s relationships with friends and
relatives in Canada, his integration into his school and religious communities,
and his employment. She found that his degree of establishment was
“commendable”, and recognized that removal to Sri Lanka would involve some
hardship. However, she concluded that his establishment in Canada — for approximately
two years, and all while under a removal order — was no more than would be
expected under the circumstances and was not so compelling that it justified an
H&C exemption.
[119]
On the psychological evidence, the Officer
expressed concern that the psychologist’s conclusions relied heavily on Mr.
Kanthasamy’s own observations and explanations, which were not otherwise in the
record. While the Officer ultimately accepted the medical diagnoses, she found
that there was no evidence that mental health treatment would be unavailable in
Sri Lanka, and therefore the psychological evidence did not establish hardship
warranting H&C relief.
[120]
On “the best interests of the child”, the
Officer concluded that it was in Mr. Kanthasamy’s best interests to return to
his immediate family in Sri Lanka. His relationships with friends and family in
Canada might be weakened, but they could nonetheless be maintained even after
his removal.
[121]
Taken as a whole, the
Officer’s decision denying Mr. Kanthasamy’s H&C application is transparent.
She provided intelligible reasons for concluding that he did not meet his
onus of establishing, on balance, that he should be permitted to apply for
permanent residency from within Canada for H&C reasons. She did not use the
hardship framework in a way that fettered her discretion or caused her to
discount relevant evidence. Her conclusions are reasonable, and well-supported
by the record before her.
[122]
At bottom, it was open
to the Officer to find that the record did not justify relief under s. 25(1) . While aspects of Mr. Kanthasamy’s situation warrant sympathy, sympathetic circumstances alone
do not meet the threshold required to obtain relief. I find no error in the
Officer’s approach requiring this Court’s intervention.
(2)
The Officer’s Analysis of the Psychological
Evidence, the Risk of Discrimination, and the Best Interests of the Child
[123]
Mr. Kanthasamy alleges that the Officer failed
to properly assess the psychological evidence, the issue of discrimination, and
his best interests as a child. With respect, I disagree. As I have already
indicated, decision making under s. 25(1) is entitled to deference, and in line
with that approach, Mr. Kanthasamy’s arguments do not justify setting aside the
Officer’s decision.
(a)
The Psychological Evidence
[124]
Mr. Kanthasamy submits that the Officer failed
to adequately consider the impact of removal on his mental health. By focusing
exclusively on the availability of treatment in Sri Lanka, she discounted the
evidence that his return to Sri Lanka would harm his mental health. Mr.
Kanthasamy asserts that her failure to consider this aspect of the evidence
rendered her decision unreasonable.
[125]
I would not give effect to this submission.
While I agree that the Officer’s reasons could have more fully engaged with the
psychological evidence, and that it would have been helpful had she
specifically addressed the issue of the impact of removal on Mr. Kanthasamy’s
mental health, her failure to do so does not render her decision unreasonable.
[126]
The Officer rejected the premise underlying the
psychologist’s opinion on the harm of deportation, and was therefore entitled
to reject the opinion itself. The psychologist concluded that “[w]ith what
seems to be a realistic and imminent threat to his safety, it is most
likely that [Mr. Kanthasamy’s] condition will further deteriorate
psychologically if he was to be deported from Canada” (emphasis added). The
phrasing of this opinion reveals that the ultimate conclusion — that Mr.
Kanthasamy’s mental health would deteriorate upon his return to Sri Lanka — is
premised on the assumption that removal poses a “realistic and imminent threat
to his safety”.
[127]
The Officer rejected this underlying assumption.
She found that removal would not pose a serious risk to Mr. Kanthasamy’s
safety. There was sufficient evidence in the record on conditions in Sri Lanka
to support this conclusion. Though she did not say so expressly, by logical
implication, it was on this basis that she rejected the psychologist’s opinion
as to the impact of removal on Mr. Kanthasamy’s mental health. Immigration
officers must be allowed to evaluate an expert’s assumptions in the context of
the other evidence. If a report rests on an assumption that is contradicted by
other evidence, decision makers must be entitled to reject or give little weight
to that report’s conclusions.
[128]
It bears repeating that reasonableness review
requires this Court to give respectful attention to the reasons which, though
not stated, could have been offered in support of a decision. This point is
emphatically made in Newfoundland and Labrador Nurses, where the Court
stressed that “even if the reasons in fact given do not seem wholly adequate to
support the decision, the court must first seek to supplement them before it
seeks to subvert them” (para. 12, quoting D. Dyzenhaus, “The Politics of
Deference: Judicial Review and Democracy”, in M. Taggart, ed., The Province
of Administrative Law (1997), 279, at p. 304). The fact that the Officer
did not explicitly set out this aspect of her reasoning does not render her
decision unreasonable.
[129]
My colleague takes issue with the Officer’s
comment that Mr. Kanthasamy provided insufficient evidence that he had received
or was receiving treatment in Canada for his psychological condition. She says
that once the Officer accepted the diagnosis, “requiring further evidence of
the availability of treatment, either in Canada or in Sri Lanka, undermined the
diagnosis and had the problematic effect of making it a conditional rather than
a significant factor” (para. 47).
[130]
With respect, I disagree. There was no evidence
before the Officer that Mr. Kanthasamy ever sought treatment in Canada. The
Officer’s comments on this point do not amount to questioning the diagnosis.
Instead, they support her conclusion that removal from Canada would not meet
the hardship test since no existing course of treatment would be
interrupted. I fail to see how losing access to a service which Mr. Kanthasamy
never attempted to access can be viewed as a hardship. This is especially so
given the Officer’s further finding that he could receive treatment in Sri
Lanka.
[131]
In my view, there are two ways in which Mr.
Kanthasamy’s mental health could give rise to hardship: either because
returning him to Sri Lanka would aggravate his condition, or because it would
affect his treatment, by interrupting an existing course of treatment or by
precluding access to treatment altogether. The Officer, on the basis of the
record before her, found that neither situation existed. In this context,
asking for evidence regarding treatment did not improperly change the diagnosis
from a “significant” to a “conditional” factor. The significance of the
diagnosis always depended on the hardship that removal would cause.
(b)
Personalized Risk of Discrimination
[132]
Mr. Kanthasamy submits that the Officer’s
approach to the issue of discrimination was flawed. After noting the effect of
s. 25(1.3) , the Officer stated that “the onus remains on the applicant to
demonstrate that these country conditions would affect him personally”. Mr.
Kanthasamy asserts that it was a legal error for the Officer to require
evidence that he would be personally targeted by discriminatory action. Rather,
he submits that she should have considered more generally whether his profile
as a young Tamil male from northern Sri Lanka would subject him to a risk of
discriminatory mistreatment.
[133]
While the Officer’s reasons could perhaps have
been more clearly articulated, I do not share the view that her approach to the
issue of discrimination was unreasonable, nor that it rendered her decision
unreasonable. With respect to the effect of s. 25(1.3) , the Officer’s approach
is consistent with that set out by Stratas J.A., which I have endorsed. The
Officer’s statement that she had “not considered the applicant’s risk” in the
context of the refugee and PRRA factors must not be overly parsed or dissected.
She engaged with the evidence relating to the treatment of Tamil males in
northern Sri Lanka and analyzed it through the lens of the criteria for
granting H&C relief. This approach was reasonable and did not lead her to
disregard any relevant evidence.
[134]
On the issue of personalized risk of
discrimination, I agree with my colleague that an applicant need not produce
direct evidence showing that discrimination against the applicant himself or
herself had occurred or would necessarily occur. Whether in the context of an
H&C application, the PRRA process or a refugee claim, certainties are rare.
The applicant need only show that the denial of relief would pose a certain
risk of harm.
[135]
However, that risk must necessarily be a
“personalized risk”, in the sense that the applicant must fall within the
category of people who, on the evidence submitted, would face that risk. For
example, in order to establish the harm of removal to a country where
discrimination against a certain ethnic minority was alleged, the applicant
would need to establish not only that this discrimination was ongoing
and sufficiently severe, but also that he or she was a member (or would
be perceived to be a member) of the group facing discrimination.
[136]
The Officer accepted that the conditions in Sri
Lanka posed some risk of discrimination to certain subsets of the Tamil
population, but concluded that government harassment and surveillance was
focused on those suspected of being LTTE supporters. The Officer impliedly
concluded that Mr. Kanthasamy was not suspected of being an LTTE supporter. She
also noted that the government had attempted to improve the situation for
Tamils. As a result, she found there was insufficient evidence that he would be
personally targeted or personally discriminated against. This conclusion was
open to her on the record. Though, as my colleague notes, the Officer was
permitted to draw inferences from the experiences of other Tamils in order to
find a personalized risk of discrimination, the record did not require that she
draw that inference here.
[137]
I note that on this point, the Officer’s
conclusion largely mirrors the finding made on Mr. Kanthasamy’s refugee claim,
which he enclosed with his H&C submissions. In that decision, while the Immigration
and Refugee Board accepted Mr. Kanthasamy’s description of the two incidents of
arrest and detention, it noted that “[t]here were no conditions placed on the
claimant before he was released by the army or the police after they had
questioned him”, and concluded that “[neither] the police [nor] the army would
have released the claimant in the manner described” had they suspected Mr.
Kanthasamy of LTTE support or sympathy. The refugee claim was rejected because
“on a balance of probabilities . . . [Mr. Kanthasamy’s] profile is not one that
would particularly attract any undue attention or reprisal . . . if he returns
to his family in Sri Lanka”.
[138]
In reaching a similar conclusion in evaluating
his H&C application, the Officer arrived at a reasonable result that was
supported by the record. Reviewing judges ought not to parse a decision maker’s
word choices in “a line-by-line treasure hunt for error” (Communications,
Energy and Paperworkers Union of Canada, Local 30 v. Irving Pulp & Paper,
Ltd., 2013 SCC 34, [2013] 2 S.C.R. 458, at para. 54). The Officer’s reasons
must be viewed in the context of the record as a whole, including Mr.
Kanthasamy’s submissions. Before the Officer, Mr. Kanthasamy submitted that he
“has been personally affected by discrimination . . . and will continue
to be so affected” (emphasis added). When viewed in context, the Officer’s
conclusion that Mr. Kanthasamy had “failed to provide sufficient evidence to
support his statements that he will be personally discriminated against” simply
reiterated the wording of his submissions. The Officer’s word choice is not
determinative. It is her reasoning that counts. I find nothing in her analysis
on the issue of discrimination that warrants this Court’s intervention.
(c)
Mr. Kanthasamy’s Best Interests as a Child
[139]
Mr. Kanthasamy submits that the Officer’s
analysis of his best interests as a child was superficial and that she failed
to give adequate weight to his status as a child.
[140]
Again, I accept that the Officer’s reasons could
have been more expansive on this point. However, in my view, both her analysis
and conclusion on Mr. Kanthasamy’s best interests as a child were reasonable.
[141]
In the context of Mr. Kanthasamy’s application,
it was highly relevant that he was one day away from turning 18 when he
initially applied for H&C relief. Mr. Kanthasamy was not a young child,
born in Canada, facing the prospect of his parents’ deportation and being left
here without support. He was a teenager on the verge of adulthood. Removal
would reunite him with his parents and siblings in Sri Lanka.
[142]
The Officer considered factors unique to Mr.
Kanthasamy’s status as a child, including friendships forged during his teenage
years in Canada and his efforts at completing high school. She found that
removal to Sri Lanka would not necessarily bring an end to these friendships.
She was also unpersuaded that he “would be unable to attend school . . . upon
his return to Sri Lanka”. In the totality of his circumstances, she concluded
that it was in Mr. Kanthasamy’s best interests as a child to return to the
support and care of his immediate family in Sri Lanka.
[143]
On the record before her, it was open to the
Officer to conclude that removal to Sri Lanka would not impair Mr. Kanthasamy’s best interests, because he
would be returning to his immediate family rather than being separated from
them. The Officer was obliged to be “alert, alive and
sensitive” to the best interests of the child factor (Baker, at para.
75). In my view, her reasons demonstrate that she was, and I see no basis to disturb her findings on
this issue.
V.
Conclusion
[144]
As I have explained,
the test for granting relief under s. 25(1) is not the “unusual and undeserved
or disproportionate hardship” test set out in the Guidelines. Nonetheless, the
Guidelines remain relevant. They can continue to serve their original purpose — describing the
majority of situations appropriate for relief — and can be applied in a way that does not
fetter the discretion of immigration officers.
[145]
The Officer here used
the hardship framework to guide her analysis. Had she applied the test that I
have outlined — whether, having regard to all of the circumstances, decent,
fair-minded Canadians aware of the exceptional nature of H&C relief would
find it simply unacceptable to deny the relief sought — she would inevitably
have reached the same conclusion.
[146]
The Officer’s decision to deny an exemption to
Mr. Kanthasamy was reasonable. Although she separately analyzed each factor
raised in support of his application, she did not improperly discount the
cumulative weight of each factor. Rather, after analyzing each piece of
evidence in detail, she reached a conclusion which was grounded in Mr.
Kanthasamy’s circumstances as a whole. Although she applied the hardship
standard from the Guidelines, she did not do so in a way that fettered her
discretion. Accordingly, I would dismiss Mr. Kanthasamy’s appeal, and affirm
the Officer’s decision to deny his H&C application.
Appeal
allowed with costs, Moldaver and Wagner
JJ. dissenting.
Solicitors
for the appellant: Jackman, Nazami & Associates, Toronto.
Solicitor
for the respondent: Attorney General of Canada, Toronto.
Solicitors
for the intervener the Canadian Council for Refugees: Neighbourhood Legal
Services, Toronto; Ottawa Community Legal Services, Ottawa.
Solicitor
for the intervener Justice for Children and Youth: Justice for Children
and Youth, Toronto.
Solicitors
for the interveners the Barbra Schlifer Commemorative Clinic and the Canadian
Centre for Victims of Torture: Refugee Law Office, Toronto; Ottawa
Community Legal Services, Ottawa; Barbra Schlifer Commemorative Clinic,
Toronto.
Solicitors
for the intervener the Canadian Association of Refugee Lawyers: University
of Toronto, Toronto; Refugee Law Office, Toronto.
Solicitors for the
intervener Parkdale Community Legal Services: Poulton Law Office, Toronto;
Parkdale Community Legal Services, Toronto.