Date:
20130909
Docket: A-497-11
Citation: 2013 FCA 199
CORAM: EVANS
J.A.
STRATAS
J.A.
MAINVILLE
J.A.
BETWEEN:
PAUL SLANSKY
Appellant
and
ATTORNEY GENERAL OF CANADA,
HER MAJESTY THE QUEEN
Respondents
and
CANADIAN JUDICIAL COUNCIL
Intervener
REASONS FOR JUDGMENT
EVANS J.A.
A. INTRODUCTION
[1]
The
Canadian Judicial Council (CJC) has a statutory responsibility to investigate
complaints of misconduct made against federally appointed judges. This may
result in a recommendation to the Minister of Justice that a judge has become
unable to perform judicial duties by virtue of misconduct, and should be removed
from office. The CJC’s disciplinary function is delicate: it engages issues of
judicial independence and accountability, and of confidentiality and
transparency. Consideration of these issues must be driven by the public
interest in the administration of justice in both its broadest and more
specific senses.
[2]
This
case raises an important issue about the CJC’s investigative process. If a complainant
applies for judicial review of a decision by the Chairperson of the Judicial
Conduct Committee (Chairperson) to dismiss a complaint against a judge, must
the CJC disclose a confidential report prepared by outside counsel to assist the
Chairperson in considering the complaint?
[3]
In
August 2004, Paul Slansky, a Toronto criminal lawyer, complained to the CJC about
the conduct of Justice Robert Thompson (Judge), an Ontario Superior Court
Judge. He alleged that the Judge had been guilty of serious misconduct during a
long and difficult first-degree murder trial before a jury, in which Mr Slansky
was representing the accused.
[4]
The
Chairperson, Chief Justice Scott of Manitoba, dismissed the complaint and
closed the file without referring it to an Inquiry Committee (hearing panel) of
the CJC. In making this decision, the Chairperson relied on a report from counsel,
Professor Martin Friedland, whom he had retained to make further inquiries into
Mr Slansky’s allegations.
[5]
Mr
Slansky brought an application for judicial review of the Chairperson’s decision
to dismiss his complaint and not to refer it to a hearing panel. Although Professor
Friedland’s report had been taken into account by the Chairperson in making this
decision, the CJC refused to disclose it as part of the tribunal record requested
by Mr Slansky pursuant to rule 317 of the Federal Courts Rules,
SOR/98-106 (Rules). The CJC said that the report constituted legal advice and
was thus protected by solicitor-client privilege, and was also subject to public
interest privilege.
[6]
Mr
Slansky brought a motion to compel disclosure of the report as part of the
CJC’s record. In the alternative, he argued that the Court should exercise its
discretion under subsection 18.4(2) of the Federal Courts Act, R.S.C.
1985, c. F-7, to order the conversion of the application into an action, so
that he would have the benefits of trial process, including discovery and viva
voce evidence.
[7]
Subject
to the redaction of pages in the report that she considered to be legal advice,
Prothonotary Milczynski granted the motion and rejected the CJC’s privilege arguments.
Having ordered disclosure of most of the report, she did not have to, and did
not, determine the conversion issue. Her decision is reported at 2011 FC 476.
[8]
The
CJC brought a motion under rule 51 of the Rules to set aside the Prothonotary’s
decision. Justice de Montigny of the Federal Court allowed the motion and reversed
the Prothonotary’s decision. He found that Professor Friedland’s report was
subject to both legal advice and public interest privilege. He declined to
sever parts of the report, but ordered the CJC to disclose the 6,000 pages of
trial transcript examined by Professor Friedland, as well as other publicly
available materials that he had considered in preparing his report. Justice de
Montigny exercised his discretion not to convert the application into an
action. His decision is reported at 2011 FC 1467.
[9]
Mr
Slansky appeals to this Court from that decision. For the reasons that follow,
I have concluded that the Friedland Report is covered by legal advice privilege.
In addition, I agree with my colleague Justice Mainville that the report is also
subject to public interest privilege. I am not persuaded that Justice de
Montigny committed any error in refusing Mr Slansky’s request to convert the
application into an action.
[10]
Accordingly,
I would dismiss the appeal, but vary the Federal Court’s
order by requiring the CJC to disclose pages 31-32 of the Report as part of its
tribunal record because they are not relevant to Professor Friedland’s
investigation of Mr Slansky’s complaint against the Judge.
B. FACTUAL BACKGROUND
[11]
In
a 16-page complaint to the CJC, dated August 12, 2004 (Appeal Book, pp. 39-54),
Mr Galati, who was representing Mr Slansky, alleged serious misconduct by the
Judge during the trial: discourteous, abusive and impatient behaviour towards
Mr Slansky; bias, refusal to hear arguments and unduly interfering with Mr
Slansky’s cross-examination of witnesses; improper motives; abuse of office;
and knowingly acting contrary to law.
[12]
In
turn, the Judge, through the Assistant Deputy Attorney General of Ontario,
complained to the Law Society of Upper Canada about Mr Slansky’s conduct at the
trial. This complaint was dismissed without being referred to a hearing, on the
ground that the conduct in question did not warrant discipline.
[13]
The
pre-trial motions and the murder trial before Justice Thompson lasted from
September 2002 to July 2004, including 130 days for the trial itself, which was
much longer than anyone anticipated. It involved dozens of motions and
required the Judge to make numerous difficult procedural and evidentiary
rulings. A complicating factor throughout was that it was a re-trial following the
Ontario Court of Appeal’s reversal of the accused’s conviction at the first
trial, a fact that the Judge had to keep from the jury. The fact that Mr
Slansky was convinced of his client’s innocence, while the Judge seems to have
been equally convinced that the accused was guilty, only made the management of
the trial more challenging.
[14]
After
receiving Mr Slansky’s complaint against the Judge, the Chairperson engaged
Professor Friedland of the University of Toronto’s Faculty of Law to conduct
further inquiries into it and to report back to him. Professor Friedland is a
member of the Ontario Bar, a distinguished criminal law scholar, and the author
of an influential report prepared for the CJC, A Place Apart:
Judicial Independence and Accountability in Canada (Ottawa: Canadian
Judicial Council, 1995).
[15]
The
scope of Professor Friedland’s mandate was set out in a letter, dated May 3,
2005, in which Norman Sabourin, the Executive Director and General Counsel of
the CJC, confirmed Professor Friedland’s appointment: Appeal Book, pp. 56-58.
The letter defined the scope of his role by quoting from the CJC’s Policy
with Respect to Counsel Retained in Judicial Conduct Matters, dated
September 2002 (Policy).
The role of Counsel in conducting
further inquiries is, essentially, to gather further information. Persons
familiar with the circumstances surrounding the complaint, including the judge
who is the subject of the complaint, will be interviewed. Documentation may
be collected and analyzed. [Emphasis added] It is not the role of Counsel
conducting further inquiries to weigh the merits of a complaint or to make any
recommendation as to the determination that a Chairperson or a Panel should
make. […]
This role is sometimes referred
to as that of a “fact finder”. This description is accurate if it is limited to
the gathering or clarification of facts. It would not be accurate if it were
intended to encompass adjudicative fact-finding in the sense of making
determinations based on the relative credibility of witnesses or the
persuasiveness of one fact over another. The role of Counsel conducting further
inquiries is simply to attempt to clarify the allegations against the judge and
gather evidence which, if established, would support or refute those
allegations. The Counsel must obtain the judge’s response to these allegations
and evidence, and present all of this information to the Chairperson or Panel.
The role of Counsel undertaking
further inquiries is to focus on the allegations made. However, if any
additional, credible and serious allegations of inappropriate conduct or
incapacity on the part of the judge come to the Counsel’s attention, Counsel is
not precluded from inquiry into those matters as well.
[16]
In
an affidavit affirmed on February 9, 2007 (Appeal Book, pp. 293-94) for the
purpose of Mr Slansky’s motion before the Prothonotary, Mr Sabourin put something
of a gloss on the terms of the CJC’s Policy reproduced in Professor Friedland’s
letter of engagement. He indicated that counsel’s role of “fact finder” was broader
than might be inferred from reading the Policy.
[17]
Thus,
Mr Sabourin said that he was responsible for directing the scope of counsel’s
inquiries and “the nature of the advice they provide” (emphasis added).
Further, he said, counsel is expected “to provide a lawyer’s analysis and
recommendations” (emphasis added) in respect of the allegations of the
complaint. Mr Sabourin concluded that his expectation, as well as that of the
Chairperson, was that counsel’s report would constitute legal advice because
… we retain legal counsel and
seek a solicitor’s investigation of the facts and a solicitor’s analysis and
recommendations concerning those facts in the context of the legal mandate and
obligations of the Council when considering a complaint. Indeed, this is
why the Complaints Procedures provide that it must be a lawyer that
conducts such inquiries; otherwise, this work could be ably conducted by an
investigator without legal credentials. [Emphasis added]
[18]
That
Professor Friedland shared this understanding of his mandate is suggested by
the fact that he stamped his report “CONFIDENTIAL and subject to
SOLICITOR-CLIENT PRIVILEGE”.
[19]
In
a 10-page letter, dated March 9, 2006, Mr Sabourin advised Mr Slansky of the
bases of the Chairperson’s decision that his complaint did not warrant further
consideration: Appeal Book, pp. 311-20.
[20]
According
to Mr Sabourin, it was the Chairperson’s opinion that when viewed in the
context of this difficult trial, and taking into account Mr Slansky’s own
conduct, the Judge’s management of the trial, while far from perfect, did not
constitute judicial misconduct. The Chairperson had concluded that, although
not all the Judge’s rulings were necessarily correct, they did not evidence
bias or a knowing disregard of the law.
[21]
Mr
Sabourin also described Professor Friedland’s methodology in preparing his
report (Appeal Book, p. 312), which included: the examination of 6,000 pages of
trial transcript, minutes of the proceedings prepared by the court registrars
during the trial, and 78 of the rulings made by the Judge before and during the
trial; and interviews conducted by Professor Friedland with the Judge, Mr
Slansky, named Crown counsel, the Regional Director of Crown Attorneys, and the
Regional Senior Justice. Professor Friedland also listened to tapes of the
parts of the trial that had become particularly intense.
[22]
Mr
Sabourin noted that the Chairperson had not adopted Mr Galati’s suggestion that
“the local bar” be interviewed, because the interviews conducted by Professor
Friedland provided sufficient information to enable him to assess the
complaint. Moreover, the Judge’s predilections in matters of criminal justice,
and sentencing in particular, were evident from interviews with the Judge and
from some of his reported decisions.
[23]
In
his application for judicial review of the dismissal of the complaint, Mr
Slansky alleged, among other things, that the CJC’s investigation of the
complaint was inadequate, the interpretation of the Judge’s conduct was wrong
in law, and the CJC had exceeded its jurisdiction by passing “erroneous and
flawed judgment” on Mr Slansky’s conduct at trial as an excuse for the Judge’s
misconduct.
C. LEGISLATIVE FRAMEWORK
[24]
The
Judges Act, R.S.C. 1985, c. J-1, is the primary legislation relevant to
this appeal. Subsection 59(1) establishes the CJC, which is composed of the
Chief Justice of Canada, who is the chair of the CJC, and the federally
appointed chief justices, associate chief justices, and other specified senior
judges, from across Canada.
[25]
Subsection
60(1) defines the objects of the CJC. Subsection 60(2) set out the CJC’s means
of furthering these objects; paragraph (c) is directly relevant to this
appeal.
60. (1) The objects of the Council
are to promote efficiency and uniformity, and to improve the quality of
judicial service, in superior courts.
(2) In furtherance of its
objects, the Council may
…
(c) make the
inquiries and the investigation of complaints or allegations described in
section 63; and
…
|
60. (1) Le Conseil a pour
mission d'améliorer le fonctionnement des juridictions supérieures, ainsi que
la qualité de leurs services judiciaires, et de favoriser l'uniformité dans
l'administration de la justice devant ces tribunaux.
(2) Dans le cadre de sa
mission, le Conseil a le pouvoir :
[…]
c) de procéder aux enquêtes
visées à l’article 63;
[…]
|
[26]
Section
62 authorizes the CJC to engage the services of others as it deems necessary
for performing its functions, including the services of counsel to assist in
the conduct of inquiries or investigations.
62. The Council may engage
the services of such persons as it deems necessary for carrying out its
objects and duties, and also the services of counsel to aid and assist the
Council in the conduct of any inquiry or investigation described in section
63.
|
62. Le Conseil peut
employer le personnel nécessaire à l’exécution de sa mission et engager
des conseillers juridiques pour l’assister dans la tenue des enquêtes visées
à l’article 63.
|
[27]
Subsection 63(2)
provides that the CJC may investigate any complaint or allegation made in
respect of a federally appointed judge. Subsection 63(5) authorizes the CJC to
prevent the publication of information arising from an investigation under this
section, and subsection 63(6) permits an investigation to be held in public or
private, unless the Minister of Justice requires it to be held in public.
63. (5) The Council may
prohibit the publication of any information or documents placed before it in
connection with, or arising out of, an inquiry or investigation under this
section when it is of the opinion that the publication is not in the public
interest.
(6) An inquiry or investigation
under this section may be held in public or in private, unless the Minister
requires that it be held in public.
|
63. (5) S’il estime qu’elle ne
sert pas l’intérêt public, le Conseil peut interdire la publication de tous
renseignements ou documents produits devant lui au cours de l’enquête ou
découlant de celle-ci.
(6) Sauf ordre contraire du
ministre, les enquêtes peuvent se tenir à huis clos.
|
[28]
After
the completion of an investigation, the CJC must report its conclusions to the
Minister and may recommend that the judge be dismissed from office if it
concludes that the judge is incapacitated or disabled from the due execution of
the office of judge by, among other things, misconduct.
65. (1) After an inquiry or
investigation under section 63 has been completed, the Council shall report
its conclusions and submit the record of the inquiry or investigation to the
Minister.
(2) Where, in the opinion of
the Council, the judge in respect of whom an inquiry or investigation has been
made has become incapacitated or disabled from the due execution of the
office of judge by reason of
…
(b) having been guilty
of misconduct,
…
the Council, in its report to
the Minister under subsection (1), may recommend that the judge be removed from
office.
|
65. (1) À l’issue de l’enquête,
le Conseil présente au ministre un rapport sur ses conclusions et lui
communique le dossier.
(2) Le Conseil peut, dans son
rapport, recommander la révocation s’il est d’avis que le juge en cause est
inapte à remplir utilement ses fonctions pour l’un ou l’autre des motifs
suivants :
[…]
b) manquement à l’honneur et à
la dignité;
[…]
|
[29]
The
statutory provisions establishing the disciplinary powers and process of the
CJC are in addition to the existing powers to remove a judge from office.
71. Nothing in, or done or
omitted to be done under the authority of, any of sections 63 to 70 affects
any power, right or duty of the House of Commons, the Senate or the Governor
in Council in relation to the removal from office of a judge or any other
person in relation to whom an inquiry may be conducted under any of those
sections.
|
71. Les articles 63 à 70 n’ont
pas pour effet de porter atteinte aux attributions de la Chambre des
communes, du Sénat ou du gouverneur en conseil en matière de révocation des
juges ou des autres titulaires de poste susceptibles de faire l’objet des
enquêtes qui y sont prévues.
|
[30]
The
CJC’s Procedures for Dealing with Complaints Made to the Canadian Judicial
Complaints about Federally Appointed Judges (Ottawa: Canadian Judicial
Council, approved 2002) (Complaints Procedures) puts some flesh on the
skeletal statutory provisions about the process by which the CJC investigates
complaints against judges. The Complaints Procedures were amended in
2010. However, since the 2002 version is the one relevant to this appeal, its
terms are reproduced in these reasons.
[31]
Section
3.2 of the Complaints Procedures describes the initial step after the
CJC has received a complaint.
3.2 The Executive Director
shall refer a file to either the Chairperson or a Vice-Chairperson of the
Judicial Conduct Committee in accordance with the directions of the
Chairperson of the Committee. The Chairperson or a Vice-Chairperson shall not
deal with a file involving a judge of their court.
|
3.2 Le directeur exécutif
transmet un dossier au président ou à un vice-président du comité sur la
conduite des juges conformément aux directives du président du comité. Ni le
président non plus que les vice-présidents ne doivent examiner un dossier mettant
en cause un juge qui est membre de la même cour qu’eux.
|
[32]
If
the Chairperson does not summarily close the file on the ground that the
complaint is, among other things, manifestly without basis or outside the
jurisdiction of the CJC (paragraph 3.5(a)), the Chairperson may ask the
complainant for more information or solicit comments from the judge against
whom the complaint has been made (paragraphs 3.5(b) and (c)).
Section 5.1 sets out the options available to the Chairperson after considering
the responses to these requests. Paragraph 5.1(c) is directly relevant
to this appeal.
5.1 The Chairperson shall
review the response from the judge and the judge’s chief justice, as well as
any other relevant material received in response to the complaint, and may
(a) close the file
where:
(i) the Chairperson
concludes that the complaint is without merit or does not warrant further
consideration, or
(ii) the judge
acknowledges that his or her conduct was inappropriate and the Chairperson is
of the view that no further measures need to be taken in relation to the
complaint; or
(b) hold the file in
abeyance pending pursuit of remedial measures pursuant to section 5.3;
or
(c) ask Counsel to
make further inquiries and prepare a report, if the Chairperson is of the
view that such a report would assist in considering the complaint; or
(d) refer the file to a
Panel.
|
5.1 Le président examine la
réponse du juge et du juge en chef, de même que tout autre document pertinent
reçu en réponse à la plainte. Il peut prendre l’une ou l’autre des décisions
suivantes :
a) fermer le dossier dans l’un
ou
l’autre cas suivant :
(i) il conclut que
la plainte est dénuée de fondement ou qu’elle ne nécessite pas un examen plus
poussé,
(ii) le juge
reconnaît que sa conduite était déplacée et le président est d’avis qu’il
n’est pas nécessaire de prendre d’autres mesures en ce qui concerne la
plainte;
b) mettre le dossier en suspens
en attendant l’application de mesures correctives conformément à l’article
5.3;
c) demander à un avocat de
mener une enquête supplémentaire et de rédiger un rapport, si le président
est d’avis qu’un tel rapport faciliterait l’examen de la plainte;
d) déférer le dossier à un
comité
d’examen.
|
[33]
Section
1 of the Complaints Procedures defines “Counsel” as follows.
"Counsel" means a
lawyer who is not an employee of the Council;
|
« avocat » Un avocat qui n'est
pas un employé du Conseil.
|
[34]
Section
7 contains two provisions that apply when the Chairperson asks counsel to make
further inquiries under paragraph 5.1(c).
7.1 If the Chairperson asks
Counsel to make further inquiries under paragraph 5.1(c), the
Executive Director shall so inform the judge and his or her chief justice.
7.2 Counsel shall provide to
the judge sufficient information about the allegations and the material
evidence to permit the judge to make a full response and any such response
shall be included in the report of Counsel.
|
7.1 Si le président demande à
un avocat de mener une enquête supplémentaire en vertu de l’alinéa 5.1c),
le directeur exécutif en informe le juge et son juge en chef.
7.2 L’avocat fournit au juge
suffisamment de renseignements sur les allégations formulées et les éléments
de preuve qui s’y rapportent pour lui permettre de présenter une réponse
complète à leur égard; toute réponse du juge est incorporée au rapport de
l’avocat.
|
[35]
If,
after reviewing counsel’s report, the Chairperson decides to close the file on
any of the grounds set out in section 5.1, the Executive Director must provide
the judge with a copy of the letter informing the complainant that the file is
closed (section 8.2).
[36]
The
CJC’s Policy contains further detail on the role of counsel when engaged by the
Chairperson under paragraph 5.1(c) of the Complaints Procedure
“to make further inquiries and prepare a report” to assist the Chairperson in
considering a complaint. The provisions of that Policy relevant to this appeal
are quoted in paragraph 15 of these reasons.
D. DECISION OF THE
PROTHONOTARY
[37]
Prothonotary
Milczynski granted Mr Slansky’s motion to compel disclosure of the Friedland
Report pursuant to rule 318 of the Rules as part of the administrative record
of the CJC’s dismissal of his complaint, which he was challenging in an
application for judicial review. She held that the relationship between the CJC
and Professor Friedland was not that of solicitor and client because its stated
purpose was investigative or “fact-gathering”, not the provision of legal
advice.
[38]
Consequently,
she held that the report was not exempted from disclosure by legal advice privilege
in so far as it was limited to its purpose, that is, fact gathering. However,
she found that Professor Friedland had also gone on to provide legal analysis
relevant to how the Chairperson should proceed with the complaint, including
the allegation of bias. She ordered counsel representing the CJC on the motion
to identify the portions of the report that constituted legal advice in order
to assist the Court in determining how much should be redacted before
disclosure.
[39]
The
Prothonotary also rejected the CJC’s claim for public interest privilege, on
the ground that the non-disclosure of the report would both damage public
confidence in the integrity of the complaints process and impede Mr Slansky’s
right to have his application for judicial review conducted in a meaningful
manner. She noted that there was no precedent for extending public interest
privilege to the facts gathered in an investigation, and concluded that there
was no evidence that disclosure would hamper the CJC’s investigative process.
E. DECISION OF THE FEDERAL
COURT JUDGE
[40]
Justice
de Montigny granted the CJC’s motion under rule 51 to set aside the decision of
the Prothonotary. On the claim for legal advice privilege, the Judge found
that, in light of all the circumstances, a relationship of solicitor and client
existed between Professor Friedland and the CJC. In this regard, it was a
mistake to focus on a single document, such as the CJC’s Policy or the letter
of engagement. He concluded (at para. 52) that the task of sorting out the
facts relevant to the decision that the Chairperson had to make was
“fundamentally a legal exercise”, and that the factual components of the report
could not be severed. However, he ordered the disclosure of publicly available
materials consulted by Professor Friedland, including 6,000 pages of trial
transcript.
[41]
The
Judge rejected the protection of judicial independence as the basis for public
interest privilege. However, he found that the public interest in safeguarding
the integrity of the CJC’s informal investigative process warranted the non-disclosure
of the report, especially since, in this case, Mr Sabourin’s letter to Mr
Slansky gave sufficient information about the bases of the Chairpersons’s
decision to inform him of the case he had to meet.
[42]
Finally,
he held that summary applications for judicial review are only converted into
actions in exceptional circumstances, which did not exist here. Mr Sabourin had
provided extensive information to Mr Slansky about the bases of the
Chairperson’s decision. Moreover, even if it were possible for Mr Slansky to
identify all those interviewed by Professor Friedland, it was unclear whether
they could provide relevant evidence if summoned as witnesses at a trial.
F. ISSUES AND ANALYSIS
[43]
The
principal issue to be considered in these reasons is whether the Friedland
Report is covered by the legal advice branch of solicitor-client privilege.
Before addressing this question, I shall deal briefly with three other issues.
(i) standard of review
[44]
Counsel
for Mr Slansky argued that the Judge made an error of law by failing to apply a
deferential standard of review to the Prothonotary’s decision on a question
(the disclosure of the Friedland Report) that no one contended was vital to the
final issue in the application for judicial review: see Canada v. Aqua-Gem
Investments Ltd., [1993] 2 F.C. 425 (C.A.); Z.I. Pompey Industrie v.
ECU-Line N.V., 2003 SCC 27, [2003] 1 S.C.R. 450 at para. 18.
[45]
For
this reason, and because it was not suggested that the Prothonotary had misapprehended
the facts, Justice de Montigny held (at para. 32) that her decision could be
reversed only on
… a clear showing that it is wrong, in the sense
that it rests upon a wrong principle
or a misunderstanding of the law.
[46]
Counsel
submitted that although Justice de Montigny had correctly formulated the
applicable legal test for reviewing decisions of prothonotaries, he had in fact
simply substituted his opinion for that of the Prothonotary on questions that
were not pure questions of law or principle. I do not accept this
argument.
[47]
Justice
de Montigny disagreed with the Prothonotary’s finding on the legal advice privilege
issue that a solicitor-client relationship had not been established. He held
that she had not considered all the circumstances relevant to this issue,
including the nature of the task entrusted to Professor Friedland. Instead, she
had focused too narrowly on the letter of engagement and the provisions of the
CJC’s Policy on the role of counsel. Justice de Montigny also held that it was
an error of law to sever the factual portions of a privileged communication. In
my view, these are questions of law or principle on which a Prothonotary is not
entitled to deference.
[48]
As
for the issue of public interest privilege, I view the error of principle that
warranted the Judge’s intervention as the Prothonotary’s apparent insistence
that the CJC had to adduce evidence that those interviewed by Professor
Friedland would have been less forthcoming if they had known that his report
would be disclosed in the course of judicial proceedings. The Prothonotary also
attached virtually no weight to the additional resources that would be required
if the CJC were forced to resort regularly to formal hearings before a panel,
because the efficacy of its informal investigative process had been undermined
by an inability to maintain the confidentiality of counsel’s report.
[49]
In
my view, the Judge did not err by failing to apply a deferential standard of
review to the Prothonotary’s decision.
(ii) waiver
[50]
A
suggestion arose during argument before this Court that the CJC had waived any
privilege that it might have with respect to the Friedland Report. The
suggestion was based on the following statement in the Prothonotary’s reasons
(at para. 31):
The Court was advised at the hearing of the motion
that the CJC subsequently provided a copy of the Friedland Report to the Law
Society of Upper Canada to be included in its investigation of the complaint
filed by Justice Thompson against Mr Slansky, and that a further copy was sent
to the Deputy Attorney General at the request of Justice Thompson for this
purpose.
Nonetheless, the Prothonotary concluded that any
disclosure to the Law Society for the purpose of its investigation of the
complaint against Mr Slansky did not constitute a waiver of privilege because
the CJC and the Law Society had a common interest in the due disposition of
complaints
against those engaged in the administration of
justice. She did not mention the further copy allegedly forwarded to the Deputy
Attorney General.
[51]
In
addition, Mr Slansky stated in a supplementary affidavit, sworn on June 8, 2009
(Appeal Book, p. 341) that during a regulatory meeting of the Law Society in
connection with the complaint against him, a lawyer had told him that Professor
Friedland had said that Mr Slansky’s jury address in the murder trial was one
of the best he had ever read. Because Professor Friedland had also said this to
him during the interview, Mr Slansky inferred that the CJC must have made the
report available to the Law Society for use in its disciplinary proceedings
against Mr Slansky. However, this inference is not warranted because it is
equally plausible that the lawyer had learned of this compliment during a
conversation with Professor Friedland.
[52]
These
are the only indications in the record that the CJC might have disclosed the
Friedland Report to the Law Society and to the Deputy Attorney General of
Ontario. Mr Slansky appears not to have pursued the issue of waiver before
Justice de Montigny, nor did counsel raise it in his memorandum of fact and law
in the appeal to this Court. When it arose at the hearing in this Court as a
result of questions from the Bench, counsel for the CJC consulted Mr Sabourin,
and reported that Mr Sabourin had told him that he had no knowledge of any
disclosure of the report. Counsel for Mr Slansky did not comment.
[53]
In
my view, there is insufficient evidence in the record to establish that the CJC
had waived its privilege by providing copies of the report to either the Law Society
or the Deputy Attorney General of Ontario.
(iii) conversion
[54]
The
conversion of the application into an action only arises as an issue in this
case if the Friedland Report is privileged. Since the Prothonotary found that
it was not, she did not have to decide this question.
[55]
Having
held the report to be privileged, Justice de Montigny was required to consider
Mr Slansky’s request to convert his application for judicial review into an
action under section 18.4 of the Federal Courts Act. Because his refusal
to convert was discretionary in nature, it will only be set aside on appeal if
it was either unreasonable in light of the facts or wrong in law.
[56]
In
his careful consideration of this issue (at paras. 86-94), Justice de Montigny
correctly stated that a court should grant a request for a conversion “only in
exceptional circumstances” (at para. 87). He inferred this from the text of
subsection 18.4(1) which provides that applications “shall be heard and
determined without delay and in a summary way”. The Federal Court’s discretion
to convert an application into an action under subsection 18.4(2) is very much
an exception to the general rule in subsection (1), as affirmed by the case law
cited by Justice de Montigny (at paras. 88-89).
[57]
He
noted (at para. 90) that the only basis on which Mr Slansky relied to support
the request for a conversion was that the facts relevant to his challenge to
the CJC’s dismissal of his complaint could not be established by affidavit
evidence, which could not make good the “various evidentiary gaps,
inconsistencies, and factual issues”. However, Justice de Montigny held that
any “gaps” were adequately filled by the detailed explanation of the
Chairperson’s decision that Mr Sabourin had provided to Mr Slansky. Moreover,
he said, if gaps existed, it was by no means clear that they could be filled by
viva voce evidence, especially since Mr Slansky would not have access to
the privileged report.
[58]
Justice
de Montigny concluded (at para. 93) that the key question was whether affidavit
evidence would be inadequate for the fair disposition of the allegations made
in the application for judicial review, and not whether trial evidence might be
superior. Applying this test, he was not persuaded that the circumstances of
this case justified converting the application into an action.
[59]
This
is the only issue on which counsel for the Attorney General took a position.
Like the CJC, he supported Justice de Montigny’s decision that conversion was
not appropriate.
[60]
In
my view, Justice de Montigny’s analysis contains no error warranting this
Court’s interference with his exercise of discretion. In substance, much of
counsel’s argument in this Court was designed to show that trial evidence was
likely to be better than the affidavits. But that is not the test.
[61]
Counsel
for Mr Slansky relied heavily on Payne v. Ontario Human Rights Commission
(2000), 192 D.L.R. (4th) 315 (Ont. C.A.). However, in my view, this case is not
of much assistance to Mr Slansky since it concerned a different issue, to which
a different test applied: whether the applicant was entitled to serve a Notice
of Examination on the Commission’s registrar under Rule 39.03 of the Ontario
Rules of Civil Procedure in order to obtain all the documents in the
Commission’s possession relevant to the case.
[62]
In
any event, if the Friedland Report is privileged – and the issue of conversion
only arises if it is – it could not be discovered in a trial. Further, Mr
Slansky has been informed of the publicly available documents on which
Professor Friedland relied and has been given a full explanation of the bases
of the Chairperson’s decision.
[63]
In
these circumstances, I would not interfere with Justice de Montigny’s exercise
of discretion to refuse to convert the application into an action.
ISSUE 1: Is the
Friedland Report subject to solicitor-client privilege?
(i) introduction
[64]
In
considering the CJC’s claim for solicitor-client privilege for the Friedland
Report, I have kept in mind the following four features of the privilege and of
legal advice privilege in particular.
[65]
First,
solicitor-client privilege has two branches: litigation and legal advice
privilege. The only branch claimed for the Friedland Report is legal advice
privilege. This attaches to communications between solicitor and client for the
purpose of obtaining or giving legal advice. It is the privilege of the client,
not the lawyer.
[66]
The
rationale for legal advice privilege is that individuals who require the
assistance of a lawyer must be able to disclose fully and frankly to the lawyer
all the information that the lawyer requires in order to provide sound advice
in a legal context: see, for example, Canada (Privacy Commissioner) v. Blood
Tribe Department of Health, 2008 SCC 44, [2008] 2 S.C.R. 574 at para. 9 (Blood
Tribe).
[67]
Without
this guarantee of confidentiality, individuals may be unwilling to reveal all
to their lawyer and, as a result, their ability to successfully assert their
legal rights, or to discharge their legal duties, may be prejudiced, and the
integrity of the administration of justice undermined: R. v. McClure,
2001 SCC 14, [2001] 1 S.C.R. 445 at para. 2. Thus, the rule of law is the
ultimate justification of the privilege: Three Rivers District Council v.
Governor and Company of the Bank of England, 2004 U.K.H.L. 48 (Eng. H.L.)
at para. 34.
[68]
Second,
the privilege extends not only to communications from client to lawyer, but
also from lawyer to client, including a lawyer’s advice on legal issues on
which she or he had been consulted by a public official or body in connection
with the discharge of statutory responsibilities. Thus, for example, in Pritchard
v. Ontario (Human Rights Commission), 2004 SCC 31, [2004] 1 S.C.R. 809
(Pritchard), privilege was successfully claimed for a legal opinion
provided by in-house counsel, on which the Commission had relied in deciding
not to exercise its statutory power to refer a complaint of discrimination to
adjudication.
[69]
It
follows from the rationale for legal advice privilege that it does not protect the
confidentiality of communications by third parties to a lawyer, at least when
the third party was not acting on behalf of the client: General Accident
Assurance Co. v. Chrusz (1999)
180 D.L.R. (4th) 241 (Ont. C.A.) at paras 120-22 (per Doherty J.A.) (Chrusz);
College of
Physicians and Surgeons of B.C. v. British Columbia (Information and Privacy
Commissioner),
2002 BCCA 665, 9 B.C.L.R (4th) 1 at paras. 45-58 (College of Physicians and
Surgeons of B.C.).
[70]
Hence, any
discussion in the report of statements made in confidence to Professor
Friedland by those he interviewed is not covered by legal advice privilege.
Whether public interest privilege applies is, however, another matter.
[71]
Third,
when legal advice privilege for a communication has been established on the
facts of a given case, and none of the limited exceptions apply (on which, see
Adam M. Dodek, “Reconceiving Solicitor-Client Privilege” (2009), 35 Queen’s
L.J. 493 at 514-16), the privilege is “as close to absolute as possible” and,
once established, “does not involve a balancing of interests on a case-by-case
basis”: R. v. McClure, 2001 SCC 14, [2001] 1 S.C.R. 445 at para. 35. In
this latter respect, legal privilege differs from public interest privilege. I
would also add that, if a communication is found to be privileged, it is not
for the Court to opine on the wisdom of the decision to make the claim.
[72]
The
search for truth in litigation should not be taken to be the one “true”
principle, to which claims for the confidentiality of a communication on the
basis of solicitor-client privilege are subsidiary and “a necessary evil to be
tolerated only in the clearest of situations”: Chrusz at para. 67. Rule
317 and 318 are not a statutory abrogation of solicitor-client privilege: Pritchard
at paras. 32-36.
[73]
Fourth,
legal privilege is based on the class to which the communication belongs, not
on the content of that communication. Thus, once it is established that a
communication falls within the definition of the scope of the privilege, the
court does not consider the content of the document in question in order to
determine whether its disclosure is likely to prejudice the free flow of
information that legal privilege is designed to protect.
(ii) the elements of legal
advice privilege
[74]
The
four elements of the test for determining whether a communication qualifies for
legal advice privilege are well established: (1) it must have been between a
client and solicitor; (2) it must be one in which legal advice is sought or
offered; (3) it must have been intended to be confidential; and (4) it must not
have had the purpose of furthering unlawful conduct: see R. v. Solosky,
[1980] 1 S.C.R. 821 at 835; Pritchard at para. 15.
[75]
Counsel
for Mr Slansky did not dispute that the report was intended to be confidential.
Professor Friedland stamped it as such. As already noted, I am not persuaded
that the CJC subsequently waived its confidentiality. The fourth element of the
Solosky test is not relevant to this appeal.
[76]
The
central question in this case is whether the Chairperson engaged Professor
Friedland in his capacity as a lawyer to provide legal advice to assist him in
deciding whether to dismiss the complaint or refer it to a hearing.
[77]
Legal
advice has been held to include not only telling clients the law, but also
giving advice “as to what should prudently and sensibly be done in the relevant
legal context”: Balabel v. Air India, [1988] Ch. 317 (Eng. C.A.) at 330,
quoted with approval in Blood Tribe v. Canada (Attorney General), 2010
ABCA, 317 D.L.R. (4th) 634 at para. 126.
[78]
Further,
as Steel J.A. observed in Gower v. Tolko Manitoba Inc., 2001 MBCA 11,
196 D.L.R. (4th) 716 at para. 22 (Gower), this question is “closely
related to whether the solicitor was acting in a professional legal capacity as
a solicitor.”
[79]
In
Blood Tribe, Justice Binnie somewhat broadened the scope of legal advice
privilege by stating (at para. 10) that solicitor-client privilege is
… applicable to all interactions
between a client and his or her lawyer when the lawyer is engaged in
providing legal advice or otherwise acting as a lawyer rather than as a
business counsellor or in some other non-legal capacity: … [emphasis added]
Thus, a solicitor-client relationship is established
for privilege purposes if the lawyer has been asked either to give legal advice
or otherwise to act as a lawyer, that is, to perform services related to a
legal issue pertaining to the client for which the professional skills and
knowledge of a lawyer are required.
(iii) lawyers and
investigations: the jurisprudence
[80]
Gower
is
the leading authority on legal advice privilege respecting a report by a lawyer
who has been instructed by a client to investigate a complaint of improper
conduct. The issue in Gower was whether the plaintiff in a wrongful
dismissal action was entitled to the production of a report written by a lawyer
at the request of the defendant, the plaintiff’s employer.
[81]
The
lawyer had been retained to conduct an investigation into a complaint against
the plaintiff of sexual harassment “as counsel on behalf of the employer for
the purpose of providing a fact finding report and giving legal advice based on
the report” (para. 4). The Court held (at para. 12) that the entire report,
including the section on findings of fact, was subject to legal advice
privilege, on the ground that “the entire report forms an investigative report
leading to legal advice”.
[82]
As
to what constitutes “legal advice” for the purpose of the privilege, the Court
stated (at para. 19):
... legal advice is not confined to merely
telling the client the state of the law. It includes advice as to what should
be done in the relevant legal context. It must, as a necessity, include
ascertaining or investigating the facts upon which the advice will be rendered.
Courts have consistently recognized that investigation may be an important part
of a lawyer’s legal services to a client so long as they are connected to the
provision of those legal services.
[83]
The
Court held (at para. 37) that if the lawyer had been asked only to investigate
and to find the facts, that would not have constituted the giving of legal
advice, and the report would not have been privileged. However, the Court was satisfied
(at para. 38) that the lawyer was also asked to provide recommendations and to
advise on their legal implications. Since the fact finding was inextricably
linked to the provision of that legal service, the portion of the report dealing
with the lawyer’s findings of fact was also covered by the privilege.
[84]
College of
Physicians and Surgeons of B.C.arose from a complaint of misconduct by a physician.
One issue was whether experts’ reports obtained by the College’s in-house
lawyer in the course of her investigation of the complaint were covered by
legal advice privilege.
[85]
Adopting
the approach in Gower, the Court in College of Physicians and Surgeons of B.C. stated that legal
advice privilege may attach to a communication by a lawyer to a committee of
the regulatory body made in the context of providing legal advice on the
performance of its statutory duty to decide whether a complaint should be
subject to further inquiry. The Court found (at para. 42) that the lawyer’s
instructions were
… to obtain the facts necessary to render legal
advice to the [College’s Sexual Conduct Committee] concerning its legal
obligations arising out of the complaint. As such, she was engaged in giving
legal advice to her client.
However, on the basis of Chrusz, the Court
held that the experts’ reports were not covered by solicitor-client privilege
because they were communications to the lawyer by third parties who were not
acting on behalf of the College, the lawyer’s client.
[86]
In
an earlier case, Wilson v. Favelle (1994), 26 C.P.C. (3d) 273 BCSC(Wilson),
the Master emphasized the importance of the scope of the role assigned to a lawyer
in determining whether legal advice privilege applies. An outside lawyer had
been retained by the British Columbia Ministry of Health to investigate a
complaint of misconduct by the plaintiff, an employee of the Ministry. The
plaintiff sought production of the lawyer’s report, which the Province opposed
on the ground that it was subject to solicitor-client privilege.
[87]
The
contract between the lawyer and the Ministry stated that the lawyer was to
investigate the allegations by interviewing the complainant. The lawyer was
then to prepare a report for the Deputy Minister documenting the facts, and
advise on any breaches of the standards of conduct applicable to public service
employees and on any damage to either the Ministry’s ability to perform its
functions or the reputation of the Crown or its employees. The terms of the
contract were subsequently characterized in an affidavit as including the
provision of legal advice to the Deputy Minister.
[88]
The
Master granted the motion for production on the ground that the terms of the
lawyer’s contract did not establish a solicitor-client relationship. He gave no
weight to the affidavit’s after-the-fact re-characterization of the
instructions.
[89]
Unlike
the situation in Gower and College
of Physicians and Surgeons of B.C., Professor Friedland’s letter of engagement did
not expressly include the provision of legal advice to the Chairperson. Indeed,
he was specifically instructed not to advise the Chairperson on the decision he
should make regarding the complaint. However, Blood Tribe has somewhat modified
the law as formulated in these cases in that a lawyer and client relationship
will be established if the lawyer had been engaged to provide services in a
legal context for which a lawyer’s skills and knowledge are necessary, even if
the services might not be regarded as the provision of legal advice in the
ordinary sense, because, for example, the lawyer neither informs the client
about their legal rights or duties, nor expressly advises on action to be taken
by the client given the client’s legal position.
[90]
Whether
Professor Friedland was retained to give legal advice or otherwise to act as a
lawyer depends on the answers to two questions. First, what was the scope of
the mandate given to him by the CJC? Second, is that mandate properly
characterized as “providing legal advice or otherwise acting as a lawyer”?
(iv) Professor Friedland’s
mandate
[91]
Counsel
for Mr Slansky says that the terms of the CJC’s Policy form the basis of Professor
Friedland’s letter of engagement. They establish that, as counsel, his role was
limited to investigating the complaint by gathering facts and clarifying the
allegations, so as to assist the Chairperson in deciding how to proceed with
the complaint.
[92]
Further,
he argues, it is clear from Gower, College of Physicians and Surgeons of B.C, and Wilson that the reports of
lawyers who are instructed to investigate the facts of a complaint are not
subject to legal advice privilege, unless their mandate also includes the
provision of legal advice.
[93]
Counsel
submits that Professor Friedland’s role was not to provide legal advice or
other legal services, but rather was analogous to that of human rights
investigators who investigate complaints of discrimination and report to the
Commission on whether an adjudicative hearing is warranted. He says that these
investigators have not generally been lawyers, and their reports are normally
disclosed as a matter of fairness to complainants.
[94]
There
might be much to be said for this view if the nature of Professor Friedland’s
mandate was to be determined only by reference to the CJC’s Policy incorporated
into the letter of engagement, without any consideration of context. However,
while the retainer is important evidence of whether a solicitor-client relationship
has been established, the terms of the retainer are not necessarily conclusive
(Gower at para. 40), and must be construed in light of all the relevant
circumstances.
[95]
The
description of Professor Friedland’s mandate in the letter of engagement was
based on the CJC’s Policy respecting the role of counsel. The parts of the
Policy quoted in the letter state that the role of counsel in conducting
further inquiries into a complaint is to “gather further information”, “attempt
to clarify the allegations” and “gather evidence which, if established, would
support or refute those allegations”. In addition, the Policy provides that
“documentation may be collected and analyzed”(emphasis added) by
counsel.
[96]
The
Policy provides no further positive explanation of what “fact gathering”
entails, but it does say what it does not include. First, while sometimes
described as a fact finder, counsel is not an adjudicative fact finder who must
make factual determinations based on a weighing of the evidence. Second, it is
not counsel’s role to recommend the decision that the Chairperson should make
on the complaint. The Policy does not mention the provision of legal analysis
or advice, although, depending on the nature of the particular complaint, this
could be implicit in counsel’s mandate, including the instruction to provide an
analysis of documentation.
[97]
Professor
Friedland’s letter of engagement did not expressly relate the terms of the
Policy to the nature of the inquiries he was to make in respect of Mr Slansky’s
complaint. However, in my view this can be inferred from the complaint itself,
which included allegations that the Judge’s conduct of the trial included
highly improper, non-judicial behaviour, bias, and procedural and evidentiary
rulings that the Judge knew to be wrong.
[98]
Inquiring
into these allegations in order to assist the Chairperson in making a decision
on whether to refer the complaint to a hearing panel called for an analysis of
documents and tapes that required the skills and knowledge of a lawyer. And not
just any lawyer, but one like Professor Friedland who had an extensive
knowledge of criminal law and criminal trial process.
[99]
Thus,
Professor Friedland examined 6,000 pages of trial transcript, and listened to
tape recordings of parts of the trial, in order to clarify the allegation of
misconduct by the Judge in the manner in which he managed a difficult trial. Sifting
through this material to understand the dynamics of the trial, identifying
exchanges involving the Judge that might constitute judicial misconduct and not
just give rise to an appeal, and providing an analysis of these findings, all
called for a lawyer’s knowledge and skills. Similarly, Professor Friedland’s
analysis of the Judge’s rulings in this case, as well as of his other reported
decisions, for indications of bias, bad faith, or improper motives, was also
uniquely within a lawyer’s competence.
[100]
These
activities are certainly included in the analysis of documentation that the
CJC’s Policy states is part of the role of counsel. The documents that had to
be analyzed to enable Professor Friedland to conduct further inquiries into Mr
Slansky’s allegations clearly called for a lawyer’s expertise.
[101]
The
context in which Professor Friedland was retained under paragraph 5.1(c)
of the Complaints Procedures as counsel to conduct further inquiries
into the complaint of judicial misconduct was to assist the Chairperson in
making a decision as to whether to refer the complaint to a hearing panel. This
is an essential aspect of the legal context in which he provided his services.
[102]
In
order for Professor Friedland in this case to provide the assistance
contemplated by paragraph 5.1(c), he also had to be sensitive to the
line between judicial errors that are appropriately remedied by an appeal and
misconduct that might warrant removal from the Bench. This is always an
especially delicate matter when the CJC is investigating a complaint, like Mr
Slansky’s, that relates to a judge’s legal rulings and conduct of a trial,
issues that are at the heart of judicial independence and for which an appeal
is normally the appropriate recourse.
[103]
In
my view, a lawyer’s knowledge was required to make that distinction in this
case. Professor Friedland’s special legal expertise, as both a criminal lawyer
and the author of a study of judicial discipline and judicial independence,
made him particularly qualified for this role.
[104]
There
are undoubtedly similarities between the role of non-lawyer human rights
investigators and that of counsel appointed under paragraph 5.1(c). In
my view, however, these are outweighed in the present case by the differences.
Human rights investigations are typically heavy on fact and light on law, and
can be capably undertaken by suitably trained persons, whether or not they are
lawyers. In contrast, the investigation of Mr Slansky’s allegations inherently
required factual and legal analysis peculiarly within a lawyer’s expertise.
[105]
Thus,
despite the engagement letter’s description of counsel’s role as that of a
gatherer and finder of the facts, it can be inferred from the nature of the
allegations into which the letter stated that Professor Friedland was to
conduct his inquiries that his role involved legal and factual analyses that
required the skills and knowledge of a lawyer. Accordingly, when engaged to assist
the Chairperson in deciding how to proceed with the complaint, Professor
Friedland was engaged in his capacity as a lawyer. As a result, his report to
the Chairperson is subject to solicitor-client privilege as legal advice.
[106]
Indeed,
it is frankly inconceivable that, when read in the context of Mr Slansky’s
complaint, the letter of engagement mandates Professor Friedland simply to
gather the facts by assembling the raw data (the trial transcript and the
Judge’s rulings in this case, as well as other of his criminal law decisions),
and to leave their analysis to the Chairperson. Indeed, the Policy specifically
includes the analysis of documentation in the role of counsel, which in this
case called for a legal analysis. The raw documentary data collected by
Professor Friedland that is already in the public domain is not privileged.
Justice de Montigny ordered its disclosure to Mr Slansky.
[107]
The
view I have taken of Professor Friedland’s “fact finding” role in this case is
reinforced by the affidavit of Mr Sabourin, where he states that, in engaging
counsel, he and the Chairperson expect a lawyer’s analysis and recommendations
in respect of the allegations. In addition, the fact that the CJC’s Complaints
Procedures stipulates that counsel must be a lawyer suggests that their
task calls for a lawyer’s skills. I do not accept that this is a cynical
attempt by the CJC to ensure that it can keep all investigative reports secret.
[108]
Nonetheless,
in the interests of transparency, and to avoid future misunderstandings, the
description of the role of counsel contained in the CJC’s Complaints
Procedures should be modified to reflect more clearly the scope of the
tasks that they are expected to undertake. The terms of letters of engagement
should also provide more specific instructions regarding the particular
complaint that counsel was engaged to investigate.
[109]
In
summary, when Professor Friedland was engaged to conduct further inquiries into
Mr Slansky’s allegations, and to submit a report on them to assist the Chairperson
to discharge his legal duty to decide on how to proceed with the complaint, he
was engaged in his professional capacity as a lawyer. In view of the
complexity and nature of the complaint, any analysis of the data that would assist
the Chairperson required the skills and knowledge of a lawyer. Hence, when the
letter of engagement is read in the context of this complaint, it is my view
that Professor Friedland was engaged to provide legal advice or otherwise to
act as a lawyer. The report of his inquiries is therefore subject to legal
advice privilege.
ISSUE
2: Are the factual components of the report severable?
[110]
Having
concluded that Professor Friedland was engaged by the Chairperson to provide
legal advice, or otherwise to act in his capacity as a lawyer, and that the
confidential report of his further inquiries is therefore privileged as legal
advice, I can deal quite briefly with the argument that the factual parts of
the report should be severed and disclosed.
[111]
In
my view, the short answer to this argument is that, while holding that the
factual analysis in the report could not be severed, Justice de Montigny
nonetheless ordered the disclosure of the publicly available documentary
materials that Professor Friedland had consulted in the preparation of his
report. These documents contained the “facts”. However, the legal and factual
analysis of this material, which Professor Friedland undertook to assist the
Chairperson with his decision, is the core of the communication covered in this
case by legal advice privilege.
[112]
As
the Court observed in Gower, it is not permissible to sever findings of
fact made in an investigative report covered by solicitor-client privilege when
they form the basis of, and are inextricably linked to, the legal advice provided.
[113]
Without
necessarily adopting every aspect of Justice de Montigny’s analysis of
severance, subject to the two relatively minor reservations described below I
agree that the disclosure of documents that he ordered substantively satisfied
any possible duty to sever. To go further would erode the confidentiality on
which the lawyer-client relationship fundamentally rests.
[114]
First,
I have already indicated at paragraphs 69 and 70 of these reasons that
statements made by those interviewed by Professor Friedland in the course of
his inquiries are not subject to legal advice privilege because they were not
made on behalf of the client, the CJC. Accordingly, any account of those
interviews in the report cannot be withheld from disclosure on the basis of
solicitor-client privilege.
[115]
My
second reservation concerns pages 31-32 of the report. These deal with a
general policy issue that Professor Friedland recommends that the CJC should
take on as one of its initiatives, namely, the handling of mega trials.
[116]
While
this recommendation arises from Professor Friedland’s inquiries into this
complaint, it does not form the basis of his analysis of Mr Slansky’s
allegations. In my view, it is essentially policy advice and is insufficiently
connected to Professor Friedland’s mandate to fall within the scope of the
privilege. However, it will be for the Judge who hears the application for
judicial review to decide what relevance, if any, these pages have to the
issues raised in the application.
“John M.Evans”
MAINVILLE J.A. (Concurring reasons)
[117] I have read the
reasons of my colleagues Evans J.A., and I adopt his description of the factual
background, of the applicable legislative framework and of the decisions of the
Federal Court. For the reasons given by him, which I also adopt, I agree (a)
that Justice de Montigny did not err with respect to the standard of review;
(b) that there is insufficient evidence in the record to establish that the
Canadian Judicial Council (also referred to in these reasons as the “Council”)
waived its privilege; and (c) that we should not interfere with Justice de
Montigny’s exercise of discretion to refuse to convert the application into an
action.
[118] On the substantive
issue of legal advice privilege, I also agree with my colleague Evans J.A. that
the analysis and advice contained in the confidential report prepared and
submitted to the Canadian Judicial Council by Professor Martin Friedland (the
“Friedland Report” or “report”) is subject to such privilege.
[119] I also agree with my
colleague Evans J.A. that the disclosure of the publicly available documentary
materials that Professor Friedland had consulted contain most of the facts
which were the subject of his report. However the report also contains other
facts, including brief summaries of interviews carried out by Professor
Friedland with the trial judge and various third parties. I agree that legal
advice privilege does not normally protect the confidentiality of
communications by third parties, at least when the third party was not acting
on behalf of the client. I however neither find it useful nor necessary to
determine whether these communications are severable from the remainder of the
report since they are, in any event, subject to a public interest privilege.
[120] My colleague Evans
J.A. suggests at paragraph 108 of his reasons that the Canadian Judicial
Council should give greater thought to the role and mandate of outside counsel.
I concur. I note in particular that pursuant to general principles of
administrative fairness and natural justice which are reflected in section 64
of the Judges Act, R.S.C. 1985, c. J-1 and section 7.2 of the Council’s Complaints
Procedures, the Council has a legal duty to provide to a judge who is the
subject of investigation sufficient information about the allegations and the
material evidence to permit the judge to make a full response. Thus, a judge
under investigation is entitled to such information, and this right cannot be
thwarted through solicitor-client privilege claims over the fact findings of
outside counsel.
[121] That being said, there
may be appropriate circumstances where information included in a report from
outside counsel, including communications from third parties, become subject to
a public interest privilege. I address in my reasons the public interest
privilege which applies in this case.
Background
[122] One of the
responsibilities of the Canadian Judicial Council is to maintain public
confidence in the federal judiciary. For this purpose, and pursuant to the
statutory mandate vested in it by Parliament under the Judges Act, the
Canadian Judicial Council is empowered to carry out investigations and
inquiries into the conduct of a superior court judge.
[123] In the course of such
inquiries and investigations, questions may arise as to the disclosure of
certain information, such as the disclosure of statements given to the Canadian
Judicial Council under an undertaking of confidentiality. In such
circumstances, the Council must determine whether maintaining public confidence
in the judiciary is better served by disclosing or withholding the information.
[124] It is the prerogative
and responsibility of the Canadian Judicial Council to decide in which
circumstances and to what extent it is in the public interest not to disclose
information obtained in the course of an investigation into the conduct of a
judge. This public interest privilege flows in part from the constitutional
principle of judicial independence. A large degree of deference is owed to the
Council on this matter. However, in the context of a judicial proceeding where
the issue may arise, it is the role of the court to balance the harm to
judicial independence and the Council’s processes that may result from a
disclosure against the prejudice to the administration of justice that may
result from non-disclosure.
[125] In this case, the
Canadian Judicial Council decided to disclose a considerable amount of
information with respect to its investigation into the conduct of the
Honourable Justice Thompson of the Superior Court of Justice of Ontario (the “trial
judge”) during a long and difficult murder trial held before a jury in Owen
Sound from October 2003 to May 2004 (the “trial”). This investigation was
carried out in response to a complaint by one of the counsel acting at that
trial, the appellant Paul Slansky. The Council explained in writing to Mr.
Slansky the process it followed to investigate his complaint. In a letter, the
Council set out a detailed review of all the salient and relevant facts,
explained its review of the conduct of the trial judge during the trial, and
provided clear, cogent and detailed reasons supporting its conclusion that his
complaint did not warrant further consideration.
[126] The Council did not
however disclose to Mr. Slansky the confidential report prepared and submitted
to it by Professor Martin Friedland, a lawyer and law professor it had engaged
to assist it with its investigation. The Council claims solicitor-client
privilege over the report, since Professor Friedland was hired as a legal
counsel. This claim has been dealt with by Evans J.A. in concurring reasons. The
Council also claims a public interest privilege over the report. I will address
this claim in these reasons.
[127] The Council raised the
following reasons to refuse disclosure of the Friedland Report to Mr. Slansky
on the ground of public interest privilege: (a) the need to protect judicial
independence; (b) that individuals who had conveyed information to Professor
Friedland had done so on the basis of an undertaking of confidentiality; (c)
that the integrity and effectiveness of the Council’s summary complaints
process requires it to have the ability to obtain full and frank disclosures
from affected judges and third parties with the knowledge that their statements
would not be disclosed to the public; and (d) that the privacy interests of the
affected judge must be protected.
[128] Justice de Montigny of
the Federal Court found that the Council could raise a public interest
privilege in this case, principally on the ground of the integrity and
effectiveness of the Council’s complaints process. He also found that, in the
circumstances of this case, the public interest privilege outweighed any
argument for disclosure. He noted that the information and documents already
provided to Mr. Slansky by the Council were fulsome and complete, and clearly
sufficient to properly undertake a judicial review of the decision of the
Council not to pursue further his complaint.
[129] For the reasons set
out below, I find that the report of Professor Friedland is subject to public
interest privilege on the grounds raised by the Canadian Judicial Council.
Judicial independence and public
interest privilege
[130] When the disclosure of
information would be contrary to public interest, the common law may recognize
a public interest privilege of non-disclosure: Hubbard, Magotiaux and Duncan, The
Law of Privilege in Canada, Canada Law Book, Toronto, loose-leaf ed. at
sections 3.10 and 3.50. Several statutory provisions also provide for
protection against disclosure on the ground of a specified public interest,
notably sections 37, 38 and 39 of the Canada Evidence Act, R.S.C. 1985,
c. C-5. The public interest privilege of non-disclosure is usually raised by
the Executive branch of government, but it also extends to the legislative
branch under the concept of Parliamentary privilege. In appropriate
circumstances, the judicial branch may also raise public interest privilege.
[131] Through the combined
effect of subsections 61(2), 63(5) and 63(6) of the Judges Act,
Parliament has recognized that it may not be in the public interest to disclose
certain information gathered within the context of an inquiry or an
investigation into the conduct of a superior court judge. The relevant public
interest here is judicial independence – a constitutional principle – and the integrity
of the Canadian Judicial Council’s process for enabling it to discharge its
mandate effectively.
[132] Canadian
constitutional history and Canadian constitutional law establish the deep
roots, vitality and vibrancy of the principle of judicial independence in
Canada. This principle requires that the courts be completely separate in
authority and function from all other participants in the justice system. At a
minimum, this means that no outsider – be it government, a pressure group, an
individual or even another judge – should interfere, or attempt to interfere,
with the way in which a judge conducts a case and makes a decision: Beauregard
v. Canada, [1986] 2 S.C.R. 56 at pp. 69-70 and 73 (“Beauregard”).
Moreover, judicial independence also means that security of tenure and
financial security must be assured for a judge, and the institutional
independence of the court to which the judge belongs must be preserved: Valente
v. The Queen, [1985] 2 S.C.R. 673, at p. 687 (“Valente”).
[133] The concept of
judicial independence has both individual and institutional aspects: Reference
re Remuneration of Judges of the Provincial Court of Prince Edward Island,
[1997] 3 S.C.R. 3 at paras. 121 to 130 (“Reference re Remuneration”).
For the purposes of this appeal, it is sufficient to note that judicial
independence requires that a judge be free from outside interference in
conducting and deciding cases, and that, while acting in a judicial capacity, a
judge should not fear that he or she may have to answer for the ideas expressed
or the words used in open court or in a judgment: Moreau-Bérubé v. New
Brunswick (Judicial Council), 2002 SCC 11, [2002] 1 S.C.R. 249 at paras.
56-57 (“Moreau-Bérubé”).
[134] The principle of
judicial independence has resulted in concomitant immunities, most notably (a)
the immunity of a judge from suit and prosecution, and (b) the immunity of a
judge from testifying about or otherwise justifying the reasons for a
particular decision beyond those given in open court: MacKeigan v. Hickman,
[1989] 2 S.C.R. 796, at p. 830 (“MacKeigan”).
[135] The immunity of a
judge from suit and prosecution has long been recognized as necessary to
maintain public confidence in the judicial system: Garnet v. Ferrand (1887),
6 B. & C. 611, at pp. 625-626, quoted approvingly in Morier and Boily v.
Rivard, [1985] 2 S.C.R. 716 (“Morier”) at p. 737. The immunity
serves to ensure that the judge is free in thought and independent in judgment:
Morier at pp. 737 to 745. As noted by Lord Denning in Sirros v. Moore,
[1975] 1 Q.B. 118, quoted approvingly in Morier at p. 739 and in R.
v. Lippé, [1991] 2 S.C.R. 114 at pp. 155-156:
If the reason underlying this
immunity is to ensure “that they may be free in thought and independent in
judgment,” it applies to every judge, whatever his rank. Each should be
protected from liability to damages when he is acting judicially. Each should
be able to do his work in complete independence and free from fear. He should
not have to turn the pages of his books with trembling fingers, asking himself:
“If I do this, shall I be liable to damages?”
[136] The additional
immunity from accounting for or justifying judicial decisions beyond those
reasons provided in open court also serves to ensure the independence of judges
and to instil public confidence in the judicial process: MacKeigan at
pp. 828 to 830. As noted by McLachlin J. (as she then was), at p. 831 of that
decision, “[t]o entertain the demand that a judge testify before a civil body,
an emanation of the legislature or executive, on how and why he or she made his
or her decision would be to strike at the most sacrosanct core of judicial
independence.”
[137] It is important to
bear in mind that these immunities are there not for the benefit of individual
judges; rather they exist for the benefit of the community as a whole. Indeed,
an independent judiciary free from improper influence is an essential component
of a free and democratic society.
[138] Unfortunately, it may
happen that a judge’s conduct amounts to an abuse of judicial independence.
Such abuse is extremely serious since it threatens the integrity of the
judiciary as a whole. If actions or expressions of a judge raise concern about
the integrity of the judicial function, the process that is put in place to
investigate the conduct of the judge is, in effect, an investigation into
allegations of abuse of judicial independence: Moreau-Bérubé at para.
58. An effective mechanism for holding judges to account for misconduct is thus
essential to maintaining public confidence in the judiciary and hence,
ultimately, judicial independence.
[139] Through Part II of the
Judges Act, Parliament has entrusted the Canadian Judicial Council with
the responsibility of conducting investigations and inquiries into the conduct
of superior court judges. Parliament has granted the Council a large degree of
discretion to carry out this public interest task. Indeed, the Council has been
vested with all the powers of a superior court in investigating complaints and
conducting inquiries (subsection 63(4)). It has the authority to make by-laws
respecting the conduct of its inquiries and investigations (paragraph 61(3)(c)).
It has been given large discretionary authority to direct the manner in which
it carries out its own work, which includes how it chooses to handle complaints
(subsection 61(2)). It may engage the services of counsel to aid and assist it
in its inquiries and investigations (section 62). It may prohibit the
publication of information or documents arising out of an inquiry or
investigation (subsection 63(5)). It may also call for an inquiry or
investigation to be held in private (subsection 63(6)).
[140] Pursuant to these
statutory powers, the Council has adopted Complaints Procedures
(approved by the Council on September 27, 2002 and revised effective October
14, 2010). These procedures provide for a gradation of steps in the analysis of
complaints against superior court judges, going from a refusal to open a file
when the complaint is irrational or an obvious abuse of process, to a full
public inquiry carried out by an Inquiry Committee constituted under subsection
63(3) of the Judges Act, with intermediary steps in between.
[141] Many provinces have
enacted similar legislation entrusting judges with the responsibility to
oversee the conduct of provincial court judges, for example in Ontario the Courts
of Justice Act, R.S.O. 1990, c. C-43 at sections 49 to 51.12. Indeed,
judicial independence requires that such investigations and inquiries into the
conduct of judges be dealt with primarily by other judges: Therrien (Re),
2001 SCC 35, [2001] 2 S.C.R. 3 at paras. 39 and 57; Moreau-Bérubé at
para. 47.
[142] A judicial council
investigating allegations of judicial misconduct has a unique mandate to
consider the allegations in light of the constitutional principle of judicial
independence. This unique mandate was explained in Therrien (Re), above
at paras. 147-148, and restated as follows in Moreau-Bérubé at para. 51:
... Gonthier J. noted in Therrien,
supra, at para. 147 [...], that “before making a recommendation that a
judge be removed, the question to be asked is whether the conduct for which he
or she is blamed is so manifestly and totally contrary to the impartiality,
integrity and independence of the judiciary that the confidence of individuals
appearing before the judge, or of the public in its justice system, would be
undermined, rendering the judge incapable of performing the duties of his
office”. In making such a determination, issues surrounding bias, apprehension
of bias, and public perceptions of bias all require close consideration, all
with simultaneous attention to the principle of judicial independence. This,
according to Gonthier J., creates “a very special role, perhaps a unique one,
in terms of both the disciplinary process and the principles of judicial
independence that our Constitution protects” (para. 148).
[Emphasis added]
[143] When undertaking an
examination of the conduct of a judge, the Canadian Judicial Council must
ensure that the examination respects the underlying purpose of the
constitutional principle of judicial independence. Throughout its
investigation, it must act in a manner that does not materially impair the
independence and impartiality of the judiciary more than is necessarily
inherent in the discharge of its statutory responsibility of preserving the
integrity of the judiciary: As noted by La Forest J. in MacKeigan at p.
813:
To conclude, bodies which are set
up or which in the course of their duties are required to undertake an
examination of the conduct of a superior court judge in the exercise of
judicial functions must be so constructed as to respect the letter and the
underlying purpose of the judicature provisions of the Constitution. Nor can
investigatory bodies act in a manner that might materially impair the
protection accorded by s. 99 or the independence and impartiality of the
judiciary.
[144] It may be necessary,
in appropriate circumstances, to refuse to disclose information gathered in the
course of an examination into a judge’s conduct, particularly when such
disclosure risks impairing the independence and impartiality of the judiciary.
The Judges Act recognizes this.
[145] Significantly, the
Canadian Judicial Council is not subject to the Access to Information Act,
R.S.C. 1985, c. A-1. Moreover, pursuant to subsection 63(6) of the Judges
Act, an inquiry or investigation carried out by the Council may be held in
public “or in private”, unless the Minister of Justice of Canada requires that
it be held in public. Pursuant to subsection 63(5) of the Judges Act,
the Canadian Judicial Council may prohibit the publication of any information
or documents placed before it in connexion with, or arising out of, such an
inquiry or investigation “when it is of the opinion that the publication is not
in the public interest.” Pursuant to subsection 61(2) of the Judges Act
“the work of the Council shall be carried out in such manner as the Council may
direct.”
[146] All these provisions
serve to protect judicial independence, while giving the Council the tools
required for ensuring public confidence in the judiciary through effective and
appropriately transparent inquiry and investigation processes. Though the Judges
Act does not specifically refer to a public interest privilege or to
solicitor-client privilege within the context of an investigation carried out
by the Council, these privileges flow from the common law, and at least in the
case of the public interest privilege, from the constitution itself which
recognizes judicial independence as a fundamental concept.
[147] The apt comments below
by Arbour J. in Moreau-Bérubé at para. 46, made in relation to
provincial disciplinary bodies must also be understood as applying to the task
of the Canadian Judicial Council when it carries out an investigation or
inquiry into the conduct of a superior court judge:
Despite provincial variations in
their composition, discipline bodies that receive complaints about judges all
serve the same important function. In Therrien (Re), [2001] 2 S.C.R. 3,
2001 SCC 35, Gonthier J. described, at para. 58, the committee of inquiry in
Quebec as “responsible for preserving the integrity of the whole of the
judiciary” (also see Ruffo v. Conseil de la magistrature, [1995] 4
S.C.R. 267). The integrity of the judiciary comprises two branches which may at
times be in conflict with each other. It relates, first and foremost, to the
institutional protection of the judiciary as a whole, and public perceptions of
it, through the disciplinary process that allows the Council to investigate,
reprimand, and potentially recommend the removal of judges where their conduct
may threaten judicial integrity (Therrien, supra, at paras. 108-12 and
146-50). Yet, it also relates to constitutional guarantees of judicial
independence, which includes security of tenure and the freedom to speak
and deliver judgment free from external pressures and influences of any kind
(see R. v. Lippé, [1991] 2 S.C.R. 114; Beauregard v. Canada,
[1986] 2 S.C.R. 56; Valente, supra.
[Emphasis added.]
[148] This is a task for
which the Canadian Judicial Council is particularly well suited, since it
consists of the Chief Justice of Canada, and the Chief Justices and senior
judges of all Canadian superior courts. In light of its statutory mandate,
which is closely related to the preservation of both judicial independence and
judicial integrity, it is the responsibility of the Canadian Judicial Council
to determine in which circumstances and to what extent it is in the public
interest not to disclose information arising out of an investigation or inquiry
concerning a judge.
[149] A large degree of
deference is owed to the Canadian Judicial Council on these matters: Moreau-Bérubé
at paras. 51 to 53; Taylor v. Canada (Attorney General), 2003 FCA 55,
[2003] 3 F.C. 3 at paras. 46 to 55.
[150] Canada is not unique
in this regard. As an example, in the United Kingdom, subsection 40(4) of The
Judicial Discipline (Prescribed Procedures) Regulation 2006, S.I. 2006/676
allows for the public disclosure of information about disciplinary action where
the Lord Chancellor and the Lord Chief Justice agree that the maintenance of
public confidence in the judiciary requires that such information be disclosed.
At the federal level in the USA, under the Judicial Conduct and Disability
Act of 1980, U.S.C. 28 s. 360, all papers, documents, and records of
proceedings related to investigations conducted under the act are confidential,
and are not to be disclosed in any proceeding unless (i) the judicial council,
at its discretion, chooses to release the report of a special committee to the
complainant and the judge, (ii) unless the material is necessary for an impeachment
proceeding or trial of a judge, or (iii) unless written authorization is
provided by the judge subject to the complaint.
[151] The Supreme Court of
Canada has referred to international instruments to flesh out the content of
the principle of judicial independence: Beauregard at pp. 74-75; R.
v. Lippé, above, at p. 153. With this in mind, I note that the United
Nations General Assembly has endorsed the Basic Principles on the
Independence of the Judiciary: UN General Assembly resolutions 40/32 of 29
November 1985 and 40/146 of 13 December 1985. Those basic principles were
specifically referred to approvingly by Lamer C.J. in Reference re
Remuneration at para. 194. As a fundamental component of judicial
independence, these principles call for the confidentiality of the disciplinary
process, at least at the initial stage:
17. A charge or complaint made
against a judge in his/her judicial and professional capacity shall be
processed expeditiously and fairly under an appropriate procedure. The judge
shall have the right to a fair hearing. The examination of the matter at the
initial stage shall be kept confidential, unless otherwise requested by the
judge. [Emphasis added].
[152] As this basic
principle emphasizes, confidentiality is particularly important at the investigation
stage of a complaint made against a judge. This is so for many reasons: (a)
disclosure of information surrounding unsubstantiated complaints could risk
undermining a judge’s authority in carrying out his or her judicial functions: Guardian
News & Media Limited v. Information Commissioner; [2009] Information
Tribunal, EA/2008/0084; (b) the effectiveness of the investigation process
itself may be affected, since without the capability to ensure some form of
confidentiality, the ability to obtain full and frank disclosures at the
investigation stage may be compromised, thus affecting in the long term the
public’s confidence in the process; moreover, without an effective screening
process, more complaints would end up before a hearing panel leading to additional
delays and expenditures without any obvious additional benefit; (c) the judge
who is the subject of an investigation may have legitimate privacy concerns
over the information; and (d) most compelling, in my view, is the overriding
need to protect judicial independence.
[153] The independence of
the judiciary ultimately rests on the public’s confidence in its integrity.
This may certainly be enhanced by appropriate transparency in the Canadian
Judicial Council’s processing of complaints. Circumstances however vary from
case to case, and ultimately, it is the responsibility and prerogative of the
Council to determine what approach to disclosure of information best serves the
public interest in any given case, while preserving judicial independence.
[154] However, the Canadian
Judicial Council’s view that judicial independence and the integrity of its
process will be better served by not disclosing certain information is not the
only consideration when a decision of the Council respecting a complaint
against a judge is subject to judicial review or to some other form of judicial
proceeding. There is also a public interest in the due administration of
justice that may be harmed if a party is deprived of access to material
relevant to the litigation. The Canadian Judicial Council, within its treatment
of a complaint under the Judges Act, is entitled to deference on its
determination of whether certain information should be withheld. On the other
hand, the court dealing with litigation in which such information may be pertinent
has to balance the harm to judicial independence and to the integrity of the
Council’s process against the prejudice to the administration of justice as a
result of non-disclosure.
[155] I will now summarize
my findings. Pursuant to the Judges Act, the Canadian Judicial Council
is the judicial body which must consider and evaluate complaints made against
superior court judges. It thus plays an important and crucial role in
preserving public confidence in the judiciary and in protecting judicial independence.
In determining the extent to which disclosure should not be made of certain
information obtained in the course of an investigation or inquiry into the
conduct of a judge, the Council must balance various important factors,
including (but not limited to) the value of transparency, the constitutional
principle of judicial independence, and the integrity of its processes. The
Council is particularly well suited to carry out this function, and its
decision to raise the public interest privilege in the course of an
investigation deserves a large degree of respect and deference. However, in the
context of a judicial proceeding where the issue may arise, it is the role of
the court to balance the harm to judicial independence and the Council’s
processes that may result from a disclosure against the prejudice to the
administration of justice that may result from non-disclosure.
Application to the circumstances
of this case
[156] In this case, the
Canadian Judicial Council acted with great transparency. It provided to the
complainant, Mr. Slansky, a 10 page letter dated March 9, 2006 setting out
detailed reasons why his complaint against the trial judge did not warrant
further consideration: Appeal Book (“AB”) at pp. 83 to 92. This letter fully
sets out the process followed by the Council in reviewing the complaint, as
well as the conclusions reached from its investigation resulting from that
complaint. It explains that the Council retained Professor Friedland as
counsel, the process followed by Professor Friedland, including his review of
the minutes of the trial, of an additional 6,000 pages of trial transcripts,
and of 78 of the rulings that the trial judge rendered before and during the
trial. It moreover sets out in detail Chief Justice Scott’s review of the
salient and relevant facts, including his review of the conduct of the trial
judge during the trial. Finally, the letter provides clear, cogent and detailed
reasons supporting the conclusion that the complaint did not warrant further
consideration.
[157] In addition, it has
been clear since the beginning of the judicial review proceedings that the
Canadian Judicial Council would be providing Mr. Slansky with other material in
its possession regarding his complaint: see letter dated May 17, 2006 from the
Council reproduced at AB pp. 120-121. This includes the 6,000 pages of trial
transcripts reviewed by Professor Friedland, the minutes of the trial, and the
trial judge’s 78 rulings.
[158] Justice de Montigny closely
reviewed the Friedland report to determine if its disclosure would be required
for a fair and proper determination of the judicial review proceedings. He found
that the information already provided to Mr. Slansky was “clearly sufficient to
judicially review the decision made by the [Canadian Judicial Council], and
contrary to what Mr. Slansky claims, he is not left in the dark but is quite
aware of the onus he has to meet before the Federal Court, in order to be
successful” (at para. 84 of his reasons). I agree with this assessment.
[159] Like Justice de
Montigny, I find that the Canadian Judicial Council’s decision that the Friedland
Report should not be disclosed on the ground of public interest privilege is
reasonable in the circumstances of this case. Any resulting damage to the
public interest in the due administration of justice is non-existent or minimal
at best. On the other hand, the disclosure of the report would negate, without
justification, the undertakings of confidentiality provided by the Council to
the third parties who participated in the process, undertakings which were made
at the behest of Mr. Slansky himself.
[160] First, the thrust of Mr.
Slansky’s complaint against the trial judge was that the judge’s management of
the trial was improper, and that the decisions he rendered before and during
the trial were unfair to the defendant. As I have already noted, judicial
independence requires that a judge be immune from having to account for and
justify his or her decisions beyond the reasons given in open court. From a
practical point of view, this immunity should not be raised in order to impede
an investigation by the Canadian Judicial Council. However, this does not mean
that the immunity becomes meaningless when the Council carries out an
investigation or an inquiry. Rather, the Canadian Judicial Council must carefully
assess whether disclosing information provided by the judge in order to explain
these rulings would infringe upon judicial independence.
[161] Though the trial judge
may well have provided justifications to the Council concerning his conduct of
the trial or his decisions, this does not mean that these justifications must
be disclosed to Mr. Slansky or to the Federal Court. To put it simply, the
trial judge does not report to Mr. Slansky or to the Federal Court. Under the
principle of judicial independence, he need not (and should not) justify his
conduct of the trial, or any of his judicial decisions, to either the appellant
or the Federal Court. The trial judge may well wish to explain to the Council
his management of the trial and the reasons for his trial decisions, but that
does not entail that he must do so publicly. As noted by the Executive Director
of the Canadian Judicial Council at para. 24 of his affidavit dated February 9,
2007 (AB at p. 66): “The maintenance of this confidentiality also enables
Counsel to obtain information from a judge (who is the subject of a complaint)
that might be important in explaining the judge’s conduct but that might not be
volunteered if it were to be made public. Indeed, judicial independence may be
threatened if Council cannot give assurances of confidentiality about
information provided by a judge regarding a judge’s state of mind during the
deliberative or decision-making process.” I agree.
[162] Second, in his complaint to
the Council, Mr. Slansky recognized himself that in the “early stages of any
investigation, assurances of confidentiality may be necessary to obtain
information”; he, in fact, insisted that confidentiality undertakings be
extended to witnesses in the course of the Council’s investigation: AB at p.
53. As noted in the Council’s letter dated March 9, 2006, the trial judge also
agreed that assurances of confidentiality should be extended to third parties
involved in the investigation: AB at p. 84. Professor Friedland’s interviews
were thus carried out on the basis of confidentiality undertakings requested or
agreed to by both Mr. Slansky and the trial judge. It would be
unacceptable on the part of the Council to now breach the trust of those to
whom it extended these undertakings without a valid, important and cogent
reason to do so. No such explanation has been provided in these proceedings as
to why these confidentiality undertakings, made in part at the behest of Mr.
Slansky, should now be set aside and ignored.
[163] Third, as authorized by
Parliament under paragraph 61(3)(c) of the Judges Act, the
Canadian Judicial Council has established an investigations process that seeks
to obtain candid views from persons with knowledge about the matters at issue
in a complaint, as well as a candid assessment from the outside counsel
appointed to assist it under section 62 of the Judges Act. The
respective positions of a judge and of a complainant in such a candid
investigation process are substantially different.
[164] Confidentiality is
somewhat limited vis-à-vis a judge who is the subject of the inquiry and who is
directly affected by its outcome. The judge is entitled to notice of the
subject-matter of the investigation, and he must be provided sufficient
information about the material evidence gathered: Judges Act, s. 64 and Complaints
Procedures of the Council at section 7.2. In investigating a complaint
against a judge, the Council is in effect determining whether the judge’s
conduct could amount to an abuse that merits a further inquiry to determine
whether the judge should be removed from office. Since the rights of the judge
may be directly and substantially affected by the ultimate outcome, the Council
owes the judge a high duty of procedural fairness throughout the process so as
to afford the judge an effective opportunity to respond.
[165] However, since the
complainant’s only legal right is to make a complaint, the content of any duty
of fairness that the Council may owe to the complainant in dismissing the
complaint is at the low end of the spectrum: Taylor v. Canada (Attorney
General), 2001 FCT 1247, [2002] 3 F.C. 91 at paras. 50 to 52; Hon. Lori
Douglas v. Canada (Attorney General), 2013 FC 451 at paras. 20 to 22; see
by analogy Jacko v. Ontario (Chief Coroner) 2008, 247 O.A.C. 318, 306
D.L.R. (4th) 126 at para. 18. The limited duty of disclosure owed under the
Council’s Complaints Procedures is simply to inform the complainant of
the disposition of the complaint. This was amply discharged in this case. The
Council owes no further duty of disclosure to Mr. Slansky.
[166] Fourth, the privacy concerns
of the judge who is the subject of the investigation must be taken into
account. As noted by the Executive Director of the Canadian Judicial Council in
his affidavit, at para. 24 (AB p. 66): “The Council is also mindful of the
privacy interests of the judge against which the complaint is brought. Even
when a decision of the Council results in the complete exoneration of a judge,
the report of Counsel in the matter might include information that the judge
would rightly consider personal and confidential. This information may relate
to medical conditions, family situations, or a judge’s state of mind during the
deliberative process.”
[167] Since, in this case,
the Canadian Judicial Council justifiably raised a public interest privilege
over the Friedland Report, and since the disclosure of this report is not
necessary in order for Mr. Slansky to pursue his judicial review application,
Justice de Montigny did not commit an error in concluding that the motion
seeking its disclosure should have been dismissed by the prothonotary.
[168] I would dispose of
this appeal in the manner proposed by my colleague Evans J.A.
“Robert M. Mainville”
STRATAS J.A. (Dissenting
reasons)
A. Introduction
[169] Mr.
Slansky, a defence lawyer, complained to the Canadian Judicial Council about
Justice Thompson’s conduct in the open courtroom during a criminal trial.
[170] When
it looked into the complaint, the Council did not do its own investigation of
the facts. Instead, it retained Professor Friedland to gather information about
what had happened.
[171] Professor
Friedland reviewed the minutes, transcripts and tapes of the trial. He also
interviewed Mr. Slansky, Justice Thompson, three Crown counsel involved in the
case, the Regional Director of Crown Attorneys, seven members of court staff,
and Regional Senior Justice Bruce Durno.
[172] In
the letter retaining Professor Friedland, the Council told him not to make any
recommendations concerning how the Council should deal with the complaint. The
letter went further: Professor Friedland was not to assess the facts or
determine the credibility of witnesses. Those were Council’s tasks.
[173] Professor
Friedland delivered his report to the Council, setting out the information
gathered. Contrary to the retainer letter, the Friedland Report contained
limited legal analysis and recommendations. But that is of no consequence, as
Mr. Slansky does not ask to see these portions of the Report.
[174] After
reviewing the information in the Friedland Report, the Council summarily
dismissed Mr. Slansky’s complaint.
[175] As is
his right, Mr. Slansky has applied to the Federal Court for judicial review of
the Council’s decision, raising, among other things, the unreasonableness of
the decision. He says the decision cannot be supported by the facts placed
before the Council. He adds that the investigation of the available facts was
inadequate.
[176] The
Friedland Report describes the investigation and communicates most of the facts
relied upon by the Canadian Judicial Council. In its decision, the Council
often refers to the Friedland Report or the facts in it. Many of the facts
relate to what happened in open court and how the judge, a public official,
behaved.
[177] Within
the judicial review, Mr. Slansky has moved for an order requiring that the
Friedland Report be placed before the Federal Court. Without it, he says, the
Federal Court cannot determine whether the Council had sufficient factual
support for its decision or whether the investigation of the available facts
was inadequate.
[178] For
the purpose of determining Mr. Slansky’s motion, the Prothonotary, a Federal
Court judge, and the three of us have accessed the Friedland Report under seal.
As the Prothonotary recorded at paragraph 31 of her reasons, complete copies of
the Report have also found their way to Mr. Slansky’s professional regulatory
body (the Law Society of Upper Canada) and one of Mr. Slansky’s clients (the
Attorney General of Ontario).
[179] Given
the centrality of the Friedland Report to the issues in Mr. Slansky’s judicial
review, the public nature of much of what the Report describes, and the fact
that many others have seen the Report, one would think that the Court sitting
in review of the Council’s decision would also be able to see it.
[180] But
one would be wrong. The Council says the reviewing court cannot see the
Friedland Report it considered and relied upon. The Council says solicitor-client
privilege and public interest privilege apply.
[181] I
disagree. The prerequisites for the privileges are not present here. Beyond
that, a contrary finding in these circumstances would extend these privileges
beyond the purposes they serve. It would be secrecy for secrecy’s sake,
hobbling the reviewing court in its task of supervising the Council and vetting
its decision to determine if it was acceptable and defensible on the facts and
the law.
[182] Therefore,
I would allow Mr. Slansky’s appeal and grant his motion in large part. As we
shall see, I would attach terms to the Court’s order. My
colleagues would dismiss Mr. Slansky’s appeal. Regrettably, I dissent.
[183] The Council has
asserted two bases for privilege: solicitor-client privilege and public
interest privilege. I shall examine these in turn.
B. Solicitor-client
privilege
[184] The Canadian
Judicial Council submits that the Friedland Report must not form part of the
tribunal record on judicial review because of solicitor-client privilege.
[185] For the reasons
below, I reject the Canadian Judicial Council’s submission. The Friedland
Report is not covered by solicitor-client privilege. Many of the prerequisites
for the privilege are not met – a matter well-illustrated by the fact that the
application of the privilege here would take it beyond the purposes the
privilege is meant to serve. Even if the prerequisites were met, in two ways
privilege has been waived.
(1) General
principles
[186] Solicitor-client
privilege protects communications between a solicitor and client, intended to
be confidential and related to the seeking and giving of legal advice: Solosky
v. The Queen, [1980] 1 S.C.R. 821 at page 837. “Legal advice of any kind”
is very much the gist of the privilege: see Descôteaux et al. v. Mierzwinski,
[1982] 1 S.C.R. 860 at page 872 and R. v. Campbell, [1999] 1 S.C.R. 565
at paragraph 49, quoting with approval the description of solicitor-client privilege
in Wigmore on Evidence, vol. 8 (McNaughton rev. 1961), at
paragraph 2292.
[187] Legal advice
includes “opinion or analysis”: College
of Physicians of B.C. v. British Columbia (Information and Privacy Commissioner), 2002 BCCA 665, 2 W.W.R. 279 at paragraph 31. It also includes
advice as
to what should prudently and sensibly be done in the relevant legal context.
[188] To assess
whether legal advice, legal opinion or legal analysis of any kind is present in
the relationship between Professor Friedland and the Canadian Judicial Council,
we are to assess the nature of the relationship, the subject matter of the
advice and the circumstances in which it is sought and rendered: Campbell,
supra at paragraph 50.
[189] The
privilege enables individuals to obtain effective legal assistance, recognizing
that such assistance requires that clients be able to discuss matters with
their lawyers without fear of consequences. The Supreme Court often uses this
purpose to help define the boundaries of solicitor-client privilege: see, e.g.,
Descôteaux
et al.,
supra, at pages 876-877 and R. v.
Cunningham, 2010 SCC 10, [2010] 1 S.C.R. 331 at paragraphs
25-34.
As we shall see, this is a useful approach in this case.
(2) The
role of retainer letters in the assessment of a privilege claim
[190] The Federal
Court judge in this case found (at paragraph 47) that “in order to determine
whether the solicitor-client privilege attaches to a particular situation, one
must not focus on any particular document, be it the retaining letter, but
rather to the circumstances as a whole.” I disagree.
[191] In assessing a
claim of privilege, where there is a retainer letter, it must predominate: Gower v. Tolko
Manitoba Inc.,
2001 MBCA 11, 196 D.L.R. (4th) 716 at paragraph 40. The retainer letter, if one
exists, defines, with binding contractual force, the nature of the
relationship, the purpose of the lawyer’s retainer,
whether any advice is to be given, and the nature of that advice. A retainer
letter also often discloses the circumstances which have prompted the retainer,
including the reasons for it.
[192] The retainer
letter is the best evidence of these matters, the matters that Campbell
says must be examined. The retainer letter is written and agreed upon at the
outset of the relationship, before any controversy over solicitor-client
privilege. An affidavit is written and filed after controversy has arisen.
[193] Accordingly, in
the usual case, an affidavit that seeks to add a gloss upon, modify, or
supplant matters addressed in the retainer letter must be approached with
caution, perhaps even with suspicion.
[194] Indeed, it may
not even be admissible. The contractual nature of the retainer letter must be
kept front of mind. Absent ambiguity, normally we do not admit affidavits
tendered for the purpose of adding a gloss upon, modifying, or supplanting the
matters explicitly addressed in a contract: United
Brotherhood of Carpenters and Joiners of America, Local 579 v. Bradco Construction
Ltd.,
[1993] 2 S.C.R. 316 at pages 341-342.
[195] In some
solicitor-client relationships, there might be more to the story than the
retainer letter. There could be contemporaneous shared oral understandings that
are the equivalent of collateral contracts or later shared understandings that
affect matters in the retainer letter.
[196] But not in this
case. Before us is a retainer letter signed by Mr. Sabourin, in-house counsel
for the Council, the client in the solicitor-client relationship. If there were
any contemporaneous oral understandings or later communications supplementing
or amending the retainer letter, one would expect that Mr. Sabourin would tell
us about them.
[197] He has not.
Accordingly, we must proceed on the basis that there were none. In this case, the
agreed-upon, contractual words of the retainer letter stand alone.
(3) The
retainer letter
[198] By
retainer letter dated May 3, 2005, Mr. Sabourin retained Professor Friedland.
Professor Friedland accepted the retainer.
[199] The
letter carefully defines Professor Friedland’s task. It does so by quoting a
policy setting out the role he was to play. My colleague has reproduced the
relevant portion of the letter at paragraph 15 of his reasons.
[200] Overall,
the retainer letter shows that Professor Friedland was nothing more than an
information gatherer who, if necessary, could clarify any ambiguities in the
complaint.
[201] Specifically,
the retainer letter tells us that Professor Friedland’s “role…is, essentially,
to gather further information” and “simply to attempt to clarify the
allegations against the judge and gather evidence which, if established, would
support or refute [the] allegations.”
[202] In
his information gathering, Professor Friedland was to focus on “the allegations
made.” Should he uncover further allegations of inappropriate conduct or
incapacity on the part of the judge, he was instructed to look into those
allegations as well.
[203] Professor
Friedland was not instructed to provide any legal advice, opinion or analysis.
Specifically, he was instructed “not…to weigh the merits of a complaint or to
make any recommendation as to the determination that a Chairperson or a Panel
should make.” Rather, he was to interview “[p]ersons familiar with the
circumstances surrounding the complaint, including the judge,” “obtain the
judge’s response to these allegations and evidence,” and “to gather further
information.”
[204] Having
collected this information, Professor Friedland was instructed to “present all
of [it] to the Chairperson or Panel.” He could not engage in “[a]djudicative
fact-finding in the sense of making determinations based on the relative
credibility of witnesses or the persuasiveness of one fact over another.”
[205] As
part of his information gathering task, the retainer letter mentions that
“[d]ocumentation may be collected and analyzed” by Professor Friedland. In
paragraph 15, my colleague, Justice Evans, emphasizes the word “analyzed” and
suggests that Professor Friedland was performing legal analysis. That is a leap
too far. It would run counter to the retainer letter’s explicit instruction
that Professor Friedland was “not…to weigh the merits of a complaint” or make
any “recommendation as to the determination a Chairperson or a Panel should
make.” As mentioned, Professor Friedland could not even engage in adjudicative
fact-finding, as opposed to information gathering.
[206] Viewed
in light of the tasks the retainer letter assigns to Professor Friedland and,
more importantly, the restrictions on what he could do, the word “analyzed” can
only mean identifying, gathering, and summarizing bits of information from the
documents and interviews.
(4) Mr.
Sabourin’s affidavit
[207] Before
us is an affidavit of Mr. Sabourin, in-house counsel for the Council. He swore
it after the controversies giving rise to this matter arose.
[208] Nowhere
in the affidavit does he disavow any of the text in the retainer letter.
Nowhere in it is there a suggestion that any of the words in the letter should
be altered or interpreted in a particular way. Nowhere in it is there a hint of
any discussion with Professor Friedland that might alter or qualify those
words. In short, Mr. Sabourin, acting under oath, did not displace the words of
the retainer letter. Neither should we.
[209] Mr.
Sabourin deposes that Professor Friedland was “appointed and requested to make
further inquiries” (affidavit, paragraph 16). In the context of the words of
the retainer letter, this can only be understood as inquiries to gather
information.
[210] Mr.
Sabourin deposes that Professor Friedland presented “findings and analysis” and
“recommendations and advice” in the Friedland Report (affidavit, paragraph 19).
The Report has been confidentially filed before us and is under seal. I agree
that small, severable parts of the Friedland Report contain analyses,
recommendations, and advice. So, in a technical sense, Mr. Sabourin’s statement
that the Friedland Report contains such things is accurate. But none of these
things were solicited in the retainer letter.
[211] Can a
lawyer take a purely informational document and suddenly make it wholly secret
by unilaterally inserting analyses, recommendations and advice that formed no
part of the retainer? I think not. And there is no authority to support such a
proposition.
[212] In
any event, Mr. Slansky does not seek any of the gratuitous legal observations
made by Professor Friedland. When those are severed from the Report – and, as
we shall see and as the Prothonotary found, they are easily severed – all that
is left is a dry recitation of information gathered without any analysis,
recommendations or advice, exactly what Professor Friedland was retained to do.
[213] On
the nature of Professor Friedland’s retainer, Mr. Sabourin offers the following
(affidavit, paragraph 26):
Counsel are instructed to gather information about
the allegations surrounding the complaint and to provide a lawyer’s analysis
and recommendations in respect of those allegations, for consideration by the
Chairperson of the Judicial Conduct Committee. In the case of the instant
report, Professor Friedland did provide analysis and recommendations to the
Chairperson on how to address the complaint.
[214] At
best, the first sentence is nothing more than evidence of a general practice –
it may be taken to be what Mr. Sabourin normally instructs counsel to do. But
nowhere does Mr. Sabourin say this general practice was followed here. Nowhere
does he say Professor Friedland was so instructed. Nor can he: in the retainer
letter, he instructed Professor Friedland “not…to weigh the merits of a
complaint” or make any “recommendation as to the determination a Chairperson or
a Panel should make.”
[215] The
second sentence in the above passage says nothing more than Professor Friedland
went beyond his instructions and gratuitously offered some analysis and
recommendations. As I have said, this is of no consequence.
[216] Mr.
Sabourin further deposes (affidavit, at paragraph 27):
My expectations, and those of the Chairperson, in
relation to mandate [sic] given to Counsel in conducting further inquiries, is
that Counsel’s report will constitute legal advice because we retain legal
counsel and seek a solicitor’s investigation of the facts and a solicitor’s
analysis and recommendations concerning those facts in the context of the legal
mandate and obligations of the Council when considering a complaint. Indeed,
this is why the Complaints Procedures provide that it must be a lawyer
that conducts such inquiries; otherwise this work could be ably conducted by an
investigator without legal credentials.
[217] Again,
these expectations might be the usual expectations. But, tellingly, Mr. Sabourin
stops short of saying that these were the expectations when Professor Friedland
was retained. We must take care not to extend these words to go where Mr.
Sabourin was unwilling to go – to suggest that the retainer letter does not
mean what it says.
[218] Mr
Sabourin suggests that lawyers are retained in Canadian Judicial Council
proceedings “to give a solicitor’s analysis and recommendations
concerning…facts.” That may have been the usual expectation. But, again, the
retainer letter here specifically forbade Professor Friedland from weighing the
information gathered and offering recommendations and assessments. He was asked
to gather information, nothing more.
[219] More
arises from the above passage. It is best discussed in the following section of
these reasons, in the context of some broader legal principles.
(5) Legal
advice is the gist of the privilege
[220] In
paragraph 27 of Mr. Sabourin’s affidavit, quoted just above, we are told that
the Complaints Procedures require a lawyer to be retained because the
lawyer is investigating matters within the Council’s legal mandate, one
incumbent with legal obligations. Before us, the Council urged that this
triggered solicitor-client privilege over the Friedland Report.
[221] In
essence, the Council’s submission is that if a person, working within a legal
mandate and subject to legal obligations, chooses to hire a lawyer rather than
an ordinary investigator to conduct a factual inquiry, privilege arises.
[222] I
reject this. The mere fact that a lawyer is involved does not make a report
generated by the lawyer privileged: Pritchard v. Ontario (Human Rights
Commission),
2004 SCC 31, [2004] 1 S.C.R. 809 at paragraphs 19-20; Campbell, supra
at paragraph 50
(“not everything done
by a…lawyer…attracts solicitor client privilege”).
[223] Instead, the documents
or information said to be privileged must themselves be for the dominant
purpose of giving or receiving legal advice or closely and directly related to
the seeking, formulating or giving of legal advice: Pritchard, supra,
at
paragraph 15; R. v. McClure, 2001 SCC 14, [2001] 1 S.C.R. 445 at
paragraph 36; Campbell, supra, at paragraph 49; Descôteaux et al., supra,
at page 872-873; Solosky, supra, at page 835; Thompson
v. Canada (Minister of National Revenue), 2013 FCA 197
at paragraph 40.
[224] By virtue of
their special training and experience, lawyers are often retained to do things
other than provide legal advice. For example, lawyers can be retained to sit on
a corporate board or give input on the design of a new
courthouse but their activities are not privileged. Lawyers can be retained to
handle trust monies and account for them – indeed, bar admission materials
offer much instruction on this – but this, by itself, does not make these
activities privileged, nor is the factual information about the payment or
non-payment of fees necessarily privileged: Re Ontario Securities Commission
and Greymac Credit Corp. (1983), 41 O.R. (2d) 328 (Div. Ct.); R. v.
Joubert (1992), 69 C.C.C. (3d) 553 (B.C.C.A.); R. v. Cunningham, supra at paragraphs 25-34. A distinction
should be drawn between a privileged communication related to advice and
“evidence of an act or transaction”: Thompson, supra at paragraph
46.
[225] Similarly,
through years of experience, some lawyers become adept at gathering and
handling information – some, in fact, have spent much of their lives
interviewing potential witnesses – and, thus, are retained for that limited
purpose. But I am unaware of any authority suggesting that such activities,
without more, trigger solicitor-client
privilege.
[226] In the context
of investigations, a line exists between a lawyer retained only to gather
information and a lawyer who is retained to gather information as part of the
larger exercise of providing legal advice. Reports concerning the former – such
as the Friedland Report – are not privileged. The information supplied has
nothing to do with providing legal advice.
[227] On this, the
British Columbia Court of Appeal has drawn a bright line:
Legal advice privilege
arises only where a solicitor is acting as a lawyer, that is, when giving legal
advice to the client. Where a lawyer acts only as an investigator, there is no
privilege protecting communications to or from her.
(College of Physicians of B.C. v. British
Columbia (Information and Privacy Commissioner), supra at paragraph
32.)
[228] The Manitoba
Court of Appeal has also articulated this line. In Gower, supra,
it confirmed that a lawyer retained to gather facts, nothing more, is just an
investigator and so the privilege does not apply (at paragraph 37):
In the situation at hand, it is
clear from the evidence that [the lawyer] was asked to investigate and perform
a fact-finding function. If that is all she was asked to do then, regardless of
the fact that she is a lawyer, she would not have been providing legal advice
and would have been acting as an investigator, not as a lawyer. Consequently,
legal advice privilege would not have been available.
[229] However, if, as
in Gower, the lawyer is fact-finding as part of the exercise of
providing legal advice or if the fact-finding is “connected to
the provision of…legal services” (at paragraph 19), the privilege can
apply:
However,
there is strong evidence that [the lawyer] was asked to do more. The
investigation to determine the veracity of the allegations made against the
plaintiff was only one part of her tasks. It is clear that the client requested
Janzen make recommendations based on the facts that she gathered and provided
advice with respect to the legal implications of those recommendations. Thus,
the fact gathering was inextricably linked to the second part of the tasks, the
provision of legal advice.
(Gower, supra
at paragraph 38.)
[230] In the course of
its reasons, the Manitoba Court of Appeal in Gower cited with approval
the authority of Wilson v. Favelle, 1994 CanLII 1152, 26 C.P.C. (3d) 273 (B.C.S.C.). Wilson
indeed is an authority consistent with Gower and somewhat close to the
facts of this case.
[231] In Wilson,
a government retained a lawyer to conduct an investigation into a complaint of
misconduct against an employee and produce a report. The purpose of the report
was to document the facts relating to the allegations and to provide advice
regarding any violations of non-legal standards of conduct for public service
employees. The Court found that the lawyer was hired as a mere investigator. Of
interest is the Court’s focus upon the contractual language in the lawyer’s
retainer and not the affidavit filed by the government once the matter had
become litigious.
[232] I accept that,
in assessing on what side of the line a case falls, “advice” must be broadly
construed. It includes “advice as to what should prudently and sensibly
be done in the relevant legal context,” in other words, practical advice
mindful of the legalities or advice on a course of action informed by the legalities:
Blood Tribe v. Canada (Attorney General), 2010 ABCA 112, 317 D.L.R.
(4th) 634 at paragraph 26, quoting with approval Balabel v. Air India,
[1988] Ch. 317 at page 330 (Eng. C.A.); Gower, supra at paragraph
19.
[233] But
Professor Friedland was asked to gather information, not to give any sort of
advice. Indeed, the retainer letter expressly forbade him from doing any such
thing.
[234] The
Council infers from the legal complexity of the allegations in Mr. Slansky’s
complaint – allegations which included bias, misconduct, and knowingly acting
contrary to law – that Professor Friedland was required to provide legal
advice, opinion, or analysis.
[235] I
disagree. The retainer letter shows that the Council decomposed the overall
task into factual and legal parts. It assigned to Professor Friedland a subset
of the factual part – information gathering – leaving for itself the task of
reviewing the facts gathered, applying the relevant law, and reaching a
conclusion on the merits of Mr. Slansky’s complaint.
[236] At
its highest, Professor Friedland’s task required him to assess what was
material and what was not. This resembles the task of insurance adjusters or
other skilled investigators who must assess materiality to some extent when
gathering evidence relevant to an accident that might constitute a tort
actionable in law. Yet, their investigation reports are not privileged: General
Accident Assurance Company v. Chrusz (1999), 45 O.R.(3d) 321 (C.A.).
[237] In
this case, information gathering cannot be said to be the exclusive preserve of
a lawyer. Indeed, non-lawyers could have done Professor Friedland’s job. There
are many who can appreciate what information is relevant to the conduct of a
judge in a courtroom.
[238] True,
a lawyer might do it better, and Professor Friedland almost certainly can do it
better than many lawyers. But that does not transform the nature of the task
and the skills brought to bear on it from information gathering to the giving
of legal advice or practical advice related to the legalities.
[239] This
is sufficient to dismiss the Council’s claim of solicitor-client privilege over
the Friedland Report. However, I wish to address another submission of the
Council, one that my colleague, Justice Evans, has accepted.
(6) The Blood Tribe case did not
extend the scope of solicitor-client privilege
[240] As
explained above, a necessary condition of solicitor-client privilege is the
seeking and giving of legal advice or practical advice related to the
legalities. However, before us, the Council sought to extend the scope of solicitor-client
privilege far beyond the decided cases. It sought to shift the analytical focus
from whether legal advice has been sought to whether the skills of a lawyer
were required for the assigned task.
[241] This
is based upon the Supreme Court’s comment at paragraph 10 of Canada
(Privacy Commissioner) v. Blood Tribe Department of Health, 2008
SCC 44, [2008] 2 S.C.R. 574 that solicitor-client privilege extends
to “all interactions between a client and his or her lawyer when the lawyer is
engaged in providing legal advice or otherwise acting as a lawyer”
(emphasis added). This comment appears as an introduction to the Supreme
Court’s legal analysis.
[242] The
precise issue in Blood Tribe was whether the Privacy Commissioner could
access documents that were covered by solicitor-client privilege. Whether the
documents were privileged was not in issue. Therefore, this introductory comment
is surplusage.
[243] Further,
in adding the comment, “otherwise acting as a lawyer,” I query whether the
Supreme Court might have been alluding, infelicitously, to a different
privilege, litigation privilege. Under that privilege, lawyers acting as a
lawyer under a litigation retainer enjoy a zone of privacy. Of note, some of
the cases cited in the same paragraph deal mainly with litigation privilege or,
indeed, a different concept, professional secrecy under Quebec civil law. None
of the cases cited support the proposition that solicitor-client privilege
includes situations where a lawyer is “otherwise acting as a lawyer.”
[244] Outside
of this infelicitously worded introduction in Blood Tribe, the Supreme
Court has never considered “otherwise acting as a lawyer” to be enough for
solicitor-client privilege to apply. Indeed, that would be contrary to its own
authorities that the privilege is not triggered just because a lawyer is
involved, and many other authorities to the effect that the activities of
lawyers doing things typically done by lawyers are not necessarily privileged: Pritchard,
supra at
paragraphs 19-20; Campbell, supra
at paragraph 50; authorities cited above at paragraphs 224-232.
[245] Have
decades of well-accepted jurisprudence in the law of solicitor-client privilege
suddenly been swept aside by a sidewind – a fleeting, introductory comment in Blood
Tribe? I think not.
[246] In my
view, it is not open to us to pluck the words “otherwise acting as a lawyer”
from the introductory part of the Supreme Court’s reasoning in Blood Tribe,
reify them to the level of a general principle, and then, contrary to authority,
apply that principle to impose secrecy over an information gathering report
that formed the basis of a public administrative decision.
(7) An assertion of privilege beyond its
proper purposes
[247] Not
only is the extension of solicitor-client privilege proffered by the Council
inconsistent with the case law that binds this Court. It also takes solicitor-client
privilege beyond its proper purposes.
[248] As my colleague
Justice Evans suggests in paragraphs 65 and 66 above, the privilege exists to
allow the seeking of legal advice and the full and frank disclosure of
information necessary for that advice.
[249] Without
the privilege, people may not reveal necessary information to their lawyer,
impairing proper understanding of their legal rights. All persons,
whether natural, corporate, or governmental, must have access to expert legal
counsel without fear that this recourse may be used to their detriment: Smith
v. Jones, [1999] 1 S.C.R. 455, at page 474-475; R. v. Gruenke, [1991] 3 S.C.R.
263
at
page 289. This is a basic democratic right.
[250] The
Supreme Court has characterized this purpose as protecting and promoting the
seeking of legal advice: Solosky, supra, at pages 834-835; Descôteaux
et al., supra, at page 871; Campbell, supra at
paragraph 49; Pritchard, supra at
paragraph 14; Blood Tribe, supra at paragraph 9. Provided legal advice or
practical advice drawing upon knowledge of legalities is sought, all
communications within the relationship, even mundane administrative matters in
the relationship, can conceivably fall within its scope. As Lamer J. (as he
then was) in Descôteaux et al., supra stated (at pages 892-893):
In summary, a lawyer’s client is
entitled to have all communications made with a view to obtaining legal advice
kept confidential. Whether communications are made to the lawyer himself or to
employees, and whether they deal with matters of an administrative nature such
as financial means or with the actual nature of the legal problem, all
information which a person must provide in order to obtain legal
advice and which is given in confidence for that purpose enjoys the
privileges attached to confidentiality. This confidentiality attaches to all
communications made within the framework of the solicitor-client relationship,
which arises as soon as the potential client takes the first steps, and
consequently even before the formal retainer is established. [emphasis added]
See also Adriane Keane,
James Griffiths & Paul McKeown, The Modern Law of Evidence, 8th ed.
(Oxford: Oxford University Press, 2010) at page 607. Legal advice, liberally construed, is the gist of the
privilege.
[251] Protecting
factual information from disclosure where no legal advice of any kind has been
sought – indeed where, as here, the instructions are not to give advice
of any kind – does not further the purposes of privilege. This is especially so
where the disclosure of factual information reveals nothing about legalities or
legal views held by the author. What possible interests, other than
secrecy for secrecy’s sake, are being served here? We are far from the realm of
clients needing secrecy so that they may speak candidly to their lawyers and
obtain necessary legal advice. To the extent confidentiality interests exist
here, they relate to the claim of public interest privilege, not
solicitor-client privilege.
[252] For the
foregoing reasons, I conclude that the Friedland Report is not covered by solicitor-client
privilege. But even if it were, the privilege has been waived.
(8) If
the privilege exists, it was waived
[253]
Professor
Friedland was retained to gather information, nothing more, and to report that
information to Chief Justice Scott for his screening decision. In the
circumstances, the Friedland Report was Chief Justice Scott’s main source of
factual information. In the public decision letter dismissing the complaint,
some of the content of the Friedland Report and the facts recounted in it were
disclosed. Further, the report has found its way into the hands of a third
party without explanation. These two things have worked a waiver of any
privilege that might have attached to the Friedland Report.
[254] First,
the Council waived any privilege by voluntarily giving the Friedland Report to
a third party.
[255] In
her reasons, reproduced at paragraph 50 of Justice Evans’ reasons, the
Prothonotary found that a copy of the Friedland Report had found its way into
the hands of the Law Society of Upper Canada and the Deputy Attorney General of
Ontario.
[256] Voluntarily
giving a document to third parties is an “obvious scenario” of waiver, because
confidentiality, the prerequisite to the maintenance of privilege, has been
lost: Alan W. Bryant, Sidney N. Lederman & Michelle K. Fuerst, The Law
of Evidence in Canada, 3d ed. (Canada: LexisNexis Canada, 2009) at page 957;
C. Tapper, Cross and Tapper on Evidence, 11th ed. (Oxford: Oxford
University Press, 2007) at page 472; Hodge M. Malek, Q.C, ed., Phipson on
Evidence (London: Sweet & Maxwell, 2010) at page 645. If a client
receives a letter in confidence from the solicitor and forwards it to third
parties, privilege in it is lost absent a “joint” or “common” interest between
the client and the third parties. See Bryant et al. at pages 927-28.
[257] In this
case, the Prothonotary found that a common interest existed between the Council
and the Law Society, namely, an interest in investigating complaints of
misconduct. Consequently, in her view, giving the report to the Law Society did
not waive the privilege. This is a finding of mixed fact and law suffused by
facts that cannot be set aside absent palpable and overriding error. None has
been demonstrated.
[258] However,
the Prothonotary did not make any finding of common interest concerning the
arrival of the Friedland Report into the hands of the Deputy Attorney General.
At the time this happened, the Attorney General was retaining Mr. Slansky in
some cases to prosecute charges under provincial labour legislation. In short,
the Friedland Report
has
been transmitted to one of Mr. Slansky’s clients.
[259] This
loss of confidentiality over the Friedland Report calls for explanation, but
none has been given by the Council, upon whom the burden of establishing
privilege rests. For example, the Council has not offered evidence showing the
transmission of the Friedland Report was unauthorized or that it is trying to
recover the document. It has not offered evidence establishing some common
interest between it and the Deputy Attorney General. To the extent there was
ever any privilege over the Friedland Report, it has been lost.
[260] Second,
in its decision letter, the Council has disclosed some of the facts set out in
the Friedland Report, but not all. For example, it describes some of the
contents of the witness interviews described in the Friedland Report, but not
all of the contents.
[261] A party cannot disclose part of the content of a privileged
document and unfairly withhold the rest of it: David M. Paciocco and Lee
Stuesser, The Law of Evidence, 6th ed. (Toronto: Irwin Law, 2011) at
page 220. Privilege is not a swinging door, open when
there is information to communicate, but slammed shut when information is
sought. See, e.g., Bone v. Person, 2000 CanLII 26955, 145 Man.
R.(2d) 85 at paragraph 14 (C.A.); Ranger v. Penterman, 2011 ONCA
412, O.J. No. 2414 at paragraph 16. A party may not cherry-pick
privileged communications, disclosing what is helpful to it and withholding the
rest: Guelph
(City) v. Super Blue Box Recycling Corp., 2004 CanLII
34954, [2004] O.J. No. 4468 at paragraph 78 (S.C.J.).
[262] The
Council should not be permitted to disclose bits of information in the
Friedland Report that support its decision, but withhold the rest of it. In the
interests of fairness and consistency, the Council should be taken to have
waived whatever privilege might have existed over all of the Friedland Report.
(9) Severance
[263] Even
if Professor Friedland’s task included providing legal advice, and even if the
Council did not waive any privilege which existed, the Friedland Report should
be included in the record of the Court, with any privileged portions severed.
[264] At
paragraph 112 of his reasons, my colleague, Justice Evans, states that courts
may not “sever findings of fact made in an investigative report covered by solicitor-client
privilege when they form the basis of, and are inextricably linked to, the
legal advice provided.” He concludes (at paragraph 113) that in this case
disclosing the factual portions of the report would “erode the confidentiality
on which the lawyer-client relationship fundamentally rests.”
[265] With
respect, I disagree.
[266] First,
severance is possible, legally speaking. This Court has held that privileged
statements can be severed from non-privileged statements: Canada (Public
Safety and Emergency Preparedness) v. Information Commissioner of Canada,
2013 FCA 104, 444 N.R. 268 (in the context of the Access to Information Act,
R.S.C. 1985 c. A-1).
[267] Second,
severance is possible, practically speaking. The factual portions are not
linked inextricably to the gratuitous recommendations and analyses contained in
the report. Nor are the factual portions recounted by the client, let alone
recounted for the purpose of legal advice. The Prothonotary so found (at
paragraph 30):
…it is possible to sever the ‘fact-gathering’ investigative work
product prepared by ‘Counsel’…These facts are separate and distinct from the
advice given on legal issues that is privileged.
|
This finding, mainly one of fact,
should be respected: Housen v. Nikolaisen, 2002 SCC 33, [2002] 2 S.C.R.
235; H.L. v. Canada (Attorney General), 2005 SCC 25, [2005] 1 S.C.R.
401.
[268] Third,
whether severing facts from legal advice would, as my colleague says, “erode
the confidentiality on which the lawyer-client relationship fundamentally
rests,” depends on the context. If a lawyer recites facts provided by a client,
privilege likely applies. Protecting those facts advances the purpose of solicitor-client
privilege – enabling clients to speak candidly to their lawyers. On the other
hand, if the lawyer acts more like a conduit for information flowing from third
parties, privilege does not apply, and the underlying information can be
severed: see, e.g., College
of Physicians of B.C., supra,
at paragraphs 60-69 (lawyer’s summary of the oral opinions of two experts
severed from legal advice based on those opinions).
[269] Fourth,
severance –
the redaction
of isolated, privileged material – plays a regular
and important role in Canadian litigation. Justice Corbett aptly described this
role in Guelph (City), supra at paragraph 119:
The
practice of “redacting” documents has been in wide use in commercial litigation
in Ontario for at least two decades. It follows a practice developed in
American jurisdictions to balance the goals of full disclosure and protection
of privilege. It is very common for documents that are
otherwise producible to contain a portion that deals with receipt of legal
advice on the topic at hand. For example, the minutes of a board meeting might
contain twelve business items, one of which concerned receipt of legal advice
pertaining to litigation. An “all or nothing” approach to disclosure would see
the document entirely produced (thus breaching solicitor client privilege in
respect to the advice given concerning the litigation), or entirely suppressed
(depriving the opposing party with the record of the balance of the
document). The proper solution is to produce the portion of the document
that is not privileged, delete the portion that is
privileged, and show the deletion on the face of the document to alert the
opposing party that privileged material has been removed. [footnote
omitted]
See also Canada
(Public Safety and Emergency Preparedness), supra, where this court
redacted three paragraphs out of seventeen, albeit under legislation which
contemplated redaction. See also Southern
Railway of British Columbia Ltd. v. Canada (Deputy Minister of National Revenue), 1991 CanLII 2083, [1991] 1 C.T.C. 432 (B.C.S.C.); PSC
Industrial Services Canada Inc. v. Thunder Bay (City), 2006 CanLII 7029, [2006]
O.J. No. 917 (S.C.J.), British Columbia (Securities Commission) v. BDS,
2002 BCSC 664, [2002] B.C.J. No. 955 at paragraph 15; 1225145 Ontario Inc.
v. Kelly, 2006 CanLII 19425, [2006] O.J. No. 2292 (S.C.J.).
(10)
Conclusion on solicitor-client privilege
[270] For
the foregoing reasons, I reject the Council’s claim of solicitor-client
privilege over the Friedland Report.
C. Public
interest privilege
[271] The
Council submits that the Friedland Report is protected by public interest
privilege. For the reasons that follow, I cannot accept this submission.
[272] Public interest
privilege is designed to protect against the disclosure of a document where the
public interest in confidentiality predominates. But, as we shall see,
confidentiality can be accommodated in ways short of total secrecy from all. As
a precursor to this discussion, it is useful to review some preliminary matters
governing the Rule 318 motion before us.
(1) Preliminary matters
[273] This is an
appeal from the Federal Court’s disposition of a motion brought under Rule 318,
challenging the Council’s refusal to produce the Friedland Report to Mr.
Slansky so it can be included in the record before the reviewing court. Rule
318 relates directly to the content of the record before the reviewing court.
[274] The reviewing
court, not the administrative tribunal being reviewed, decides the content of
the record before the court. On this question, the court is not reviewing the
administrative tribunal’s decision about what to produce. In other words,
analytically, it is not asking itself whether the Council’s decision not to
produce certain material falls within a range of acceptability and
defensibility, deferring to its assessments. Instead, it is considering what
evidence should be before it when it determines the judicial review. The
reviewing court is to apply its own standards and evaluate the evidence filed
before it on the motion, not defer to the Council’s view.
[275] Turning
to the applicable Rules, Rule 317 allows a party to request material from a
tribunal relevant to the application for judicial review. The requesting party is entitled to be
sent everything that was before the decision-maker (and that the applicant does
not have in its possession) at the time the decision at issue was made: Access Information Agency Inc. v.
Canada (Attorney General), 2007 FCA 224 at paragraph 7; 1185740 Ontario
Ltd. v. Canada (Minister of National Revenue), [1999] F.C.J. No. 1432 (C.A.). Put
another way,
In order to effectively pursue their rights to
challenge administrative decisions from a reasonableness perspective, the
applicants in judicial review proceedings must be entitled to have the
reviewing court consider the evidence presented to the tribunal in question.
(Hartwig
v. Commission of Inquiry into matters relating to the death of Neil Stonechild,
2007 SKCA 74, 284 D.L.R. (4th) 268 at paragraph 24.)
[276] This
passage recognizes the relationship between the record before the reviewing
court and the reviewing court’s ability to review what the tribunal has done.
If the reviewing court does not have evidence of what the tribunal has done or
relied upon, the reviewing court may not be able to detect reversible error on
the part of the tribunal. In other words, an inadequate evidentiary record
before the reviewing court can immunize the tribunal from review on certain
grounds.
[277] Rule
318 requires the tribunal to produce this material to the requesting party and
to the Registry unless the tribunal objects to disclosure and the Court upholds
this objection. Two legitimate grounds of objection are solicitor-client
privilege and public interest privilege.
[278] Viewed
in isolation, Rules 317 and 318 can work an injustice. There may be cases where
an administrative decision-maker based its decision on material over which
there may be substantial confidentiality interests. As a result, under Rule
318, a valid objection may lie against the applicant getting the material.
Similarly, a valid objection may lie against the Registry, and thus, any member
of the public on request, getting the material. If access to the material is
denied, the material will never be placed before the reviewing court. As a
result, some or all of the decision may be immunized from review – the concern
expressed in Hartwig.
[279] But
Rules 317 and 318 do not sit in isolation. Rules 151 and 152 allow for material
before the reviewing court to be sealed where well-established confidentiality
interests outweigh the substantial public interest in openness: Sierra Club
of Canada v. Canada (Minister of Finance), 2002 SCC 41, [2002] 2 S.C.R.
522. Further, under Rule 53, terms can be attached to any order. Finally, there
are plenary powers in the area of supervision of tribunals: Canada
(Human Rights Commission) v. Canadian Liberty Net, [1998] 1
S.C.R. 626 at paragraphs 35-38; M.N.R. v. Derakhshani, 2009 FCA 190 at
paragraphs 10-11; Canada (National Revenue) v. RBC Life
Insurance Company, 2013 FCA 50 at paragraphs 35-36.
[280] In my
view, the interaction of these Rules and powers gives the court considerable
remedial flexibility. On a Rule 318 motion, in cases where the strict Sierra
Club test for sealing is met, the Court can do more than just uphold or
reject the administrative decision-maker’s objection to disclosure of the
material that was before it. Among other things, the Court can order that the
requesting party and the Registry receive the material with suitable deletions
to respect confidentiality, and the reviewing court receive the original,
unedited version of the material so it can meaningfully review the
administrative decision.
[281] Where
sealing orders are warranted under the strict Sierra Club test, they can
come in all shapes and sizes, limited only by the creativity and imagination of
counsel and courts. They can be tailored to meet the exact needs of each case:
see, for example, the creative and detailed sealing order made in Health
Services and Support-Facilities Subsector Bargaining Association v. British
Columbia, 2002 BCSC 1509, 8 B.C.L.R. (4th) 281.
[282] This
sort of remedial flexibility is useful in reconciling confidentiality interests
against the need for meaningful review of decisions. In some cases, valid
reasons against allowing the Registry (and, thus, the public) access to the
material may exist, but no such reasons may exist against the applicant or the
Court. In other cases, valid reasons may exist against allowing the Registry
and the applicant access, but not against the Court. It depends on the evidence
placed before the Court.
[283] Therefore,
in my view, where, as here, a Court is faced with a motion under Rule 318, it
should keep front of mind the remedial flexibility it has. It should make an
order that allows for necessary protection of confidentiality interests but
meaningful review of administrative action. This principle governs my approach
in this case.
(2) An
exception to disclosure: public interest privilege
[284] One
recognized ground of objection under Rule 318 is public interest privilege,
namely where including a document in the judicial review record “would
interfere with the public interest”: Carey v. Ontario, [1986] 2 S.C.R.
637 at pages 670-671. In assessing the existence of this privilege, the Court
must balance the confidentiality interests at stake against the need for the
document to be included in the judicial review record.
[285] The
latter concern – the needs of the administration of justice – deserves
significant weight in the balancing. Public interest privilege should not become a shield used to repel judicial scrutiny of
decisions that lack legality or are unreasonable: Carey, supra,
at page 673. It is often said that the secrecy afforded by the privilege is
needed so that government institutions can function effectively. But sometimes
including the document in the judicial review record is necessary for the same
reason – courts need to vet an administrative decision to ensure the
decision-maker functioned properly.
[286] Sometimes a charge of misbehaviour by a governmental institution
justifies disclosure. Put another way, “the course of justice must not be
unnecessarily impeded by claims to secrecy”: Sankey v.
Whitlam (1978), 21 A.L.R. 505 at pages 532 and 534 (H.C.), approved in Carey, supra at pages 664-65. As Lord Scarman asked in Burmah
Oil Co. v. Bank of England, [1979] 3 All E.R. 700
at page 733 (H.L.), “[W]hat is so important about secret government that it
must be protected even at the price of injustice in our courts?”
[287] Accordingly, where upholding the privilege might cause injustice
in the judicial review, only a strong interest in confidentiality,
well-established in the evidence, will suffice: Carey, supra at
pages 653-654, 668, 671 and 673.
(3) Assessing
the arguments in favour of public interest privilege
[288] In this case, a
public administrative decision-maker, the Council, has made a public decision
under a statutory power. Specifically, Chief Justice Scott made the decision
for the Council. The Council claims public interest privilege over a largely
factual investigative report that it relied upon in making the decision under
review. As a result, it says that the Federal Court judge reviewing the
Council’s decision cannot see it.
[289] At the outset,
one might wonder how the public interest might be hurt if, in addition to Chief
Justice Scott, a Federal Court judge sitting in review also sees the Friedland
Report. This question assumes greater urgency when one recognizes that the Law
Society of Upper Canada and the Attorney General of Ontario have also seen the
Friedland Report. And in this matter – Mr. Slansky’s motion to have the
Friedland Report included in the judicial review record – the Prothonotary, the
Federal Court judge, and the judges on this panel of the Court have all seen
the Friedland Report. In my view, the Council must
demonstrate a strong interest in confidentiality, well-established in the
evidence, that
explains why the Federal Court judge reviewing the Council’s decision cannot
see it when so many others have already seen it.
[290] This,
the Council has not done.
[291] The
Council urges that if its claim of public interest privilege is rejected,
serious consequences will follow. In his affidavit, Mr. Sabourin deposes that
the Council needs to obtain “candid and reliable” information. Some will feel
“vulnerable to the adverse opinions of the judge” or other court staff if they
speak and their words become known. The judge might well have significant
privacy interests over the information, such as “medical conditions, family
situations, or a judge’s state of mind during the deliberative or
decision-making process.” No further light is shed on these matters. As the
Prothonotary, the fact-finder in this motion, observed at paragraph 36 of her
reasons, the evidence offered by the Council is general, unparticularized and,
to some extent, speculative.
[292] When considering evidence of this sort, we must follow the Supreme
Court’s decision in Carey. There, the
Supreme Court considered general, unparticularized
evidence claiming that, without confidentiality, candour in Cabinet discussions
would suffer, injuring policy formulation and the public interest. Consistent
with its view that claims of public interest privilege can only be founded upon
strong confidentiality interests well-established in the evidence, the
Supreme Court found the evidence wanting. In its view, the party seeking to justify the withholding of a document needed in
court proceedings must file evidence that is “as helpful as possible,”
providing “as much detail as the nature of the subject matter [will] allow”: Carey, supra at page 654; see also, e.g., Burmah Oil,
supra. It added that high quality evidence
matters even more where, as here, the party is “not a wholly detached observer
of events”: Burmah Oil, supra at
page 720.
[293] In Carey,
the Supreme Court did not stop there. Before it were confidential Cabinet
deliberations. Nevertheless, it scorned the idea that the need for candour, by
itself, can justify withholding a document needed in court proceedings.
[294] It
observed that it is “very easy to exaggerate [the]
importance” of candour arguments (at page 657). It also observed that candour
arguments have “received heavy battering in the courts”; indeed, they have been
dismissed as being of “doubtful validity,” “grotesque,” and an “old fallacy”: ibid. at pages 657-70,
citing Conway
v. Rimmer, [1968] A.C. 910 at page 957, Glasgow
Corporation v. Central Land Board, 1956 S.C. (H.L.) 1 at
page 20, Rogers
v. Home Secretary, [1973] A.C. 388 at page 413,
Burmah
Oil, supra at page 724, and Sankey, supra.
[295] Turning
to the Council’s assertion that judges and others have privacy interests deserving
of protection, in some cases this is undoubtedly so. In Mr. Slansky’s complaint
to the Council, he recognized that in the “early stages of any investigation,
assurances of confidentiality may be necessary to obtain information.” It is
true that Professor Friedland interviewed certain witnesses, assuring them
their confidentiality would be respected. With more particularity in the
evidence, one might share the Council’s concern that absent privacy protection,
as a general matter people will be reluctant to cooperate and the Council’s
summary screening process will be impeded. But all of these concerns can be
addressed in any judicial review proceeding, if necessary, by sealing sensitive
information from the public, the other side, or both.
[296] Denying
the reviewing court access to the information, however, overshoots the mark. As
we shall see, there is a strong public interest in courts reviewing exercises
of public power regardless of the sensitivities involved. With the help of
sealing orders in appropriate cases, the public interest in reviewing exercises
of public power can be vindicated with no effect on privacy interests or the
Council’s summary screening procedure.
[297] The
sorts of confidentiality concerns raised by the Council also exist in the case
of other professionals whose conduct is scrutinized by disciplinary bodies.
Doctors, engineers, lawyers, architects and teachers also have privacy concerns
and their colleagues may well be reluctant to speak without assurances of
confidentiality. But courts review the decisions of these disciplinary bodies
with the benefit of all of the confidential and sensitive material before them,
protected, when necessary, by a sealing order. Why should a court reviewing the
decisions of the Council be any different?
[298] The
Council also raises the principle of judicial independence in support of its
privilege claim – an argument rejected by the Court below (at paragraph 78 of
its reasons). Mr. Sabourin deposes as follows (at paragraph 24):
…judicial independence may be threatened if Council
cannot give assurances of confidentiality about information provided by a judge
regarding a judge’s state of mind during the deliberative or decision-making
process.
[299] Again,
this is asserted, not demonstrated or explained with particularity. The Council
has not demonstrated that any parts of the Friedland Report contain elements of
deliberative secrecy as that term is understood in the jurisprudence: MacKeigan
v. Hickman,
[1989] 2 S.C.R. 796. If there were such
elements and if the Sierra Club test were met, again, a sealing order
would suffice. But here, Mr. Slansky’s complaint very much focused upon the
judge’s demeanour and
conduct in open court. In any event, the legitimate sphere of deliberative
secrecy in the context of judicial discipline proceedings is relatively narrow:
see Charles
Gardner Geyh, “Rescuing Judicial Accountability from the Realm of Political
Rhetoric,” 56 Case Western Reserve L.R. 911 (2006) at pages 922-35.
[300] But,
in any event, I do not see the causal link between: (i) disclosure under seal
to the reviewing court of a largely factual report relied upon by the Council
in its decision; and (ii) injury to judicial independence. Under a stringent
sealing order, only the judge reviewing the Council’s decision will see the
report. That judge, as a beneficiary of judicial independence, will appreciate
its importance.
[301] Indeed,
as I shall demonstrate later, withholding the Friedland Report from the
reviewing court will likely injure judicial independence.
[302] Finally,
I note that all of the concerns asserted by the Council, described above,
relate to Council investigations generally, not this particular investigation.
If public interest privilege applies to a report like the Friedland Report, it
will apply to all such reports in the future. Thus, the Council is asserting
that an entire class of documents – investigation reports – should be
privileged. Such class privileges should not be lightly expanded because, cast
as they are in absolute terms, they “run the risk of occasional injustice”: Gruenke,
supra at page 296; M.(A.) v. Ryan, [1997] 1 S.C.R. 157 at
paragraph 32. The “modern Canadian trend” is “to accord privilege only where
necessary, on a case-by-case basis, and on as limited a basis as possible”:
Bryant et al., supra at page 911. As the Supreme Court said in Carey
(at page 655), “a claim that a document should not be disclosed on the ground
that it belongs to a certain class has little chance of success.”
[303] In
summary, in order to succeed in its claim of public interest privilege, the
Council had to demonstrate an interest in
confidentiality, well-established in the evidence, one that justifies
withholding a document that a reviewing court would normally get to see. In my
view, as the Prothonotary found (at paragraph 36 of her reasons), the Council
has failed to do this and so its claim for public interest privilege must fail.
[304] For completeness, however, and to address the submissions made by
the parties and my colleagues’ views on this point, I wish to address the needs
of the administration of justice in this case. They are substantial.
(4) The
needs of the administration of justice
[305] To recap, Mr.
Slansky raises two grounds in his application for judicial review: the
Council’s investigation of the facts was inadequate and its decision is
unreasonable because the facts placed before the Council do not sustain the
decision. No one has suggested he cannot assert these grounds.
[306] The Federal
Court judge (at paragraph 84 of his reasons) and my colleagues say that the
Council’s decision letter gives enough to Mr. Slansky for him to make out his
case.
I disagree.
[307] Mr.
Slansky is not obligated to take the statements made and the information given
in the Council’s decision letter at face value. By challenging the
reasonableness of the decision and the adequacy of the investigation, he
asserts that the statements made and the information given in the decision
letter are unsustainable.
[308] Without
the Friedland Report – the main source of facts for the Council’s decision –
how can Mr. Slansky argue the decision is not supported by the facts placed
before the Council? And without the Friedland Report – the only investigation
in the case – how can Mr. Slansky argue the investigation was inadequate?
[309] Further,
under Rule 318, Mr. Slansky is entitled to everything relied upon by the
Council in making its decision, unless the Council can establish a valid
objection. No case stands for the proposition that “the applicant has enough to
make out the argument” is a valid objection under Rule 318. I would add that a
prothonotary or judge acting on a motion under Rule 318 should not engage in
weighing evidence and assessing whether litigants have “enough.” Litigants
should get everything to which they are entitled.
[310] In
this case, however, the most serious harm to the administration of justice is
the reviewing court’s inability to have access to the material the Council
relied upon in making its decision.
[311] If the Council’s
public interest claim is upheld, the reviewing court will not see the Friedland
Report. As a result, the reviewing court will be unaware of facts (if any)
identified in the Report that go against the Council’s decision. It will be
unaware of the facts learned by Professor Friedland and why, based on those
facts, he considered it unnecessary to pursue other sources of information in
his investigation. As a result, the reviewing court will not be able to assess
the grounds of review Mr. Slansky asserts. In the words of the Prothonotary (at
paragraph 38 of her reasons), disclosure of the Friedland Report is necessary
“to ensure that the application for judicial review can be conducted in a
meaningful way.”
[312] By not providing
the Friedland Report to the reviewing court, to some extent the Council is
shielding its decision from review. That may well not be its intention, but
that is certainly the effect.
[313] This
is no mere trifle. Immunizing part of the Council’s decision offends the
principle that all holders of public power should be accountable for their
exercises of power.
[314] This
principle finds voice in many areas of our law:
● Review
is constitutionally guaranteed. As a matter of constitutional law, courts
must be able to review the decisions of administrative decision-makers for
defensibility and acceptability on the facts and the law: Dunsmuir v. New
Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190 at paragraphs 27-31.
● Federal
Courts have a plenary power to supervise administrative decision-makers.
This power can even survive legislative attempts to oust it: Canadian
Liberty Net,
supra at paragraphs 35-38; Derakhshani, supra at
paragraphs 10-11; RBC Life Insurance Company,
2013 FCA 50 at paragraphs 35-36.
● Privative
clauses are read down. Parliament, wielding its constitutional power to
make laws, sometimes tries to block the courts from reviewing administrators’
decisions. Nevertheless, the courts can review administrators’ decisions,
albeit with appropriate deference: Dunsmuir, supra at paragraph
31; Executors
of the Woodward Estate v. Minister of Finance, [1973] S.C.R.
120 at page 127;
U.E.S.,
Local 298 v. Bibeault, [1988] 2 S.C.R. 1048 at page 1090; Crevier
v. Attorney General of Quebec, [1981] 2 S.C.R. 220 at pages 237-38.
● Exercises
of public power cannot be immunized from challenge. On occasion, those who
are not personally or directly affected in a significant way nevertheless are
permitted to challenge the exercise of a public power. The paramount concern,
consistently mentioned in the case law, is that exercises of public powers
cannot be immune from review: Canada
(Attorney General) v. Downtown Eastside Sex Workers United Against Violence
Society, 2012 SCC 45,
[2012] 2 S.C.R. 524 at paragraphs 31-34; Canadian Council
of Churches v. Canada (Minister of Employment and Immigration), [1992]
1 S.C.R. 236 at page 256; Finlay v. Canada (Minister of Finance), [1986]
2 S.C.R. 607 at page 631; Hy and Zel’s Inc. v. Ontario (Attorney General),
[1993] 3 S.C.R. 675 at page 692; Harris v. Canada,
[2000] 4 F.C. 37 (C.A.). In the words of Laskin J. (as he then
was), “it
would be strange and, indeed, alarming, if there was no way in which a question
of alleged excess of legislative power, a matter traditionally within the scope
of the judicial process, could be made the subject of adjudication”: Thorson
v. Attorney General of Canada, [1975] 1 S.C.R. 138 at page 145.
● Deliberative
secrecy can sometimes be overridden. Administrative decision-makers’
deliberations are usually highly confidential. But, in appropriate cases, that
confidentiality must give way so that the reviewing court can engage in
meaningful review: Ellis‑Don Ltd. v. Ontario (Labour Relations
Board),
2001 SCC 4, [2001] 1 S.C.R. 221.
● Administrative decision-makers’ attempts to immunize
themselves from review are forbidden. A
statutory body subject to judicial review cannot immunize itself or its process
by arriving at decisions on considerations that are not revealed by the record
it files with the court: Payne v. Ontario Human Rights Commission
(2000), 192 D.L.R. (4th) 315
at paragraph 161 (Ont. C.A.).
[315] Some of the
authorities in the preceding paragraph show that Parliament cannot immunize the
factual determinations of administrative decision-makers by passing a law. How
then can administrative decision-makers immunize their factual determinations
by withholding documents containing facts?
[316] In
this case, immunization weakens the accountability and transparency of the
Council and the judicial disciplinary system it administers. With less
accountability and transparency, public confidence in the judiciary will fall,
ultimately threatening judicial independence. The Prothonotary correctly
recognized this at paragraphs 35 and 38 of her reasons.
[317]
A
hypothetical example – worse ones can be imagined – illustrates this well.
[318]
Suppose
a judge receives a bribe from one of the parties in a case and deposits it into
his bank account. Four people witness the bribe. One complains to the Council.
The Council retains a lawyer, such as Professor Friedland, to gather
information from the complainant, the witnesses, the judge, the bank, and
others.
[319] The
lawyer prepares a report for the Council setting out the information gathered.
The lawyer also sends along the documents he has gathered in the course of his
investigation. But his report contains some facts not otherwise apparent.
[320] The
Council, undertaking no other factual investigation of its own, reads the
report and the documents gathered by the lawyer. It dismisses the complaint.
[321] Surprised
by the decision, the complainant brings a judicial review. She alleges the
Council could not have dismissed the complaint based on the facts it had before
it. She also alleges that the investigation was inadequate.
[322] The
reviewing court dismisses the judicial review. The judge writing the reasons
explains that the Council – the judges’ disciplinary body, run by judges,
staffed mainly by judges – does not have to disclose the factual report because
judges are independent. The judge further explains that, without the report
relied upon by the Council, it cannot be said the exoneration of the judge by
the judges’ disciplinary body was unsupported by the facts, nor can it be said
the investigation was inadequate.
[323] Based
on what they see, fair-minded observers might justifiably describe the decision
as a whitewash regardless of the actual merits of the complaint. Worse,
fair-minded observers might speculate as to misconduct committed by other
judges that has gone unpunished by the Council and has been similarly immunized
from review.
[324] Over
time, as more and more such cases arise, pleas that judicial independence is
important would increasingly fall on deaf ears. As public confidence and
respect for the judiciary plummets, legislative incursions into judicial
independence may become more acceptable in the public’s eye.
[325] This
is no idle speculation. Many have noted and confirmed the role that
accountability and transparency of the judiciary plays in fostering public
confidence in the courts and maintaining respect for judicial independence.
[326] Many
expert commentators have studied the interrelationship between judicial
independence on the one hand and, on the other, judicial disciplinary processes
and the transparency and accountability surrounding them. These commentators
have found that transparent and fully accountable judicial disciplinary
processes enhance judicial independence. In particular, four propositions
appear to be well-founded:
1. Judicial
independence depends not only upon constitutional texts or court judgments, but
also upon public respect and support for the judiciary.
2. Public
respect and support for the judiciary is furthered by assurances that judicial
disciplinary authorities will investigate and decide complaints of judicial
misbehaviour fairly and objectively.
3.
Public
respect and support is furthered even more by the existence of judicial review
mechanisms that ensure that judicial disciplinary authorities are held fully
accountable for their decisions on the facts and the law, with reasons offered
to the public explaining what took place.
4.
Attacks
upon the independence of the judiciary often stem from perceptions that judges
are insufficiently accountable for their exercises of power.
See Geyh, supra; Abimbola A.
Olowofeyeku, “The Crumbling Citadel: Absolute Judicial Immunity
De-Rationalized,” 10 Legal Stud. 271 (1990); Robert N. Strassfeld, “‘Atrocious
Judges’ and ‘Odious’ Courts Revisited,” 56 Case Western Reserve L.R. 899
(2006); David C. Brody, “The Use of Judicial Performance Evaluation to Enhance
Judicial Accountability, Judicial Independence and Public Trust,” 86 Denv. L.R.
115 (2008) at pages 121-26; Carmen Beauchamp Ciparick and Bradley T. King,
“Judicial Independence: Is It Impaired or Bolstered by Judicial
Accountability?” 84 St. John’s L. Rev. 1 (2010).
[327] It
has been said that “provided
the
people … have confidence,” courts do not need “the power of the purse or the
power of the sword to make the rule of law effective”: former Chief Justice
Brennan of the Australian High Court, quoted in Enid Campbell
and H.P. Lee, The Australian Judiciary (Cambridge: Cambridge University
Press, 2001) at pages 6-7. The Court’s authority, exercised independently, “ultimately rests on sustained
public confidence in its moral sanction”: Baker v. Carr, 369 U.S. 186 at
page 267 (1962) per Frankfurter J. (dissenting).
[328] Commenting
on Justice Frankfurter’s observation, Aharon Barak, former President of the
Israeli Supreme Court, added that all a judge has is “the public’s confidence
in him [or her]”: A. Barak, The Judge in a Democracy (Princeton, N.J.:
Princeton University Press, 2006) at page 209. Elsewhere, he has observed that
“an essential condition for an independent judiciary is public confidence”;
indeed “public confidence in the judiciary is the most precious asset that this
branch of government has”: Tzaban v. Minister of Religious Affairs,
40(4) P.D. 141 at page 148.
[329] Justice Ian
Binnie has stated that “[t]he principal bulwark to outside interference” with
the judiciary is not written guarantees but rather “the deep-rooted acceptance
of the need for judicial independence in Canadian society”: speech to the World
Conference on Constitutional Justice, 2nd Congress, Rio de Janeiro, January
16-18, 2011. The
Court of which he was a distinguished member, the Supreme Court of Canada,
itself has recognized that openness – an aspect of accountability – is “a principal component of the legitimacy
of the judicial process and why the parties and the public at large abide by
the decisions of courts”: Vancouver Sun (Re), 2004 SCC 43, [2004] 2
S.C.R. 332 at paragraph 25. Openness “serves to
reinforce the faith of the citizen,” a matter that “has important implications
for the administration of justice”: Carey, supra at page 673; see
also Chief Justice McLachlin, “Courts, Transparency and Public Confidence,” 8
Deakin L.R. 1 (2003).
[330] Even the
Council
itself has declared that “[p]ublic confidence in and respect for the judiciary
are essential
to
an effective judicial system and, ultimately, to democracy founded on the rule
of law”: Canadian Judicial Council, Ethical Principles for Judges.
[331] How is
public confidence and respect best fostered, maintained, and
enhanced? There are many ways: see The Judge in a Democracy, supra
at pages 111-12. Foremost among these is ensuring accountability and
transparency to the greatest extent possible. Allowing the reviewing court to
consider Mr. Slansky’s grounds of challenge with the benefit of the Friedland
Report does not undercut judicial independence at all. If anything, it
strengthens it. And allowing others to see as much of the Friedland Report as
possible –
sealing
portions of it under the strict Sierra Club test only where
well-established confidentiality interests outweigh the significant public
interest in openness – strengthens judicial independence even
more.
[332] Overall,
for the foregoing reasons, the needs of the administration of justice favour
the reviewing court having the benefit of the Friedland Report when it
determines the judicial review. But, to recap, the Council has failed in the
first place to establish a sufficient interest justifying withholding the
Friedland Report, in its entirety, from the reviewing court. Therefore, I
reject the Council’s claim of public interest privilege over the Friedland
Report.
D. Other
issues
[333]
I
agree with my colleagues that we should not interfere with the Federal Court’s
exercise of discretion to refuse to convert the application into an action.
[334] Mr.
Slansky also requests that all of the raw material forming the basis of the
Friedland Report, including certain transcripts, be produced. The Federal Court
was of the view that the transcripts should be produced.
[335] As mentioned,
Rule 317 captures only material that the decision-maker relied upon when making
its decision. To the extent that Professor Friedland transmitted this raw
material to the Council and the Council relied upon it for its decision, it
should be before the reviewing court.
[336] On
this motion, the Council based its entire argument upon the existence of
privileges. It did not seek partial sealing orders to protect the
confidentiality of portions of the raw material. In fact, it declined the
suggestion of the Prothonotary that a sealing order be made: see paragraph 38
of the Prothonotary’s reasons.
[337] In
these reasons, I have offered views concerning how sealing orders can be used
to achieve a proper balance between protecting legitimate confidentiality
interests and meaningful judicial review of the Council’s decisions. Now with
the benefit of these views, the Council may wish to revisit whether it should
seek a sealing order. Accordingly, I would exercise my discretion in favour of
the Council being given an opportunity to move for an order sealing material
from Mr. Slansky, the Registry or both, such motion to be determined on the
basis of the sensitive balancing test set out in Sierra Club, supra.
[338] Whether
or not the Council makes such a motion, the Friedland Report and the raw
material relied upon by the Council should be placed before the reviewing
court.
[339] Mr.
Slansky does not seek any of the gratuitously offered advice and
recommendations in the Friedland Report. Accordingly, the Prothonotary was
correct in ordering that any advice and recommendations be severed from the
Friedland Report before it is included in the judicial review record and that
she be available to resolve any disputes regarding severance.
E. Proposed
disposition
[340] Accordingly,
I would allow the appeal and set aside the orders of the Federal Court and the
Prothonotary. I would order that the Friedland Report and the material forming
the basis of it (to the extent it was before the Council) be placed before the
reviewing court. I would allow the Council to move for an order sealing
material from Mr. Slansky, the Registry or both. Absent such a motion within
ten days of this order, I would order that the Friedland Report and the
material forming the
basis
of it (to the extent it was before the Council) be produced to Mr. Slansky and
the Registry, with the gratuitously offered advice and recommendations in the
Friedland Report removed. I would grant Mr. Slansky his costs throughout.
“David
Stratas”