Date:
20130124
Docket:
A-243-11
Citation: 2013 FCA 15
CORAM: NADON
J.A.
DAWSON J.A.
STRATAS
J.A.
BETWEEN:
CHRISTIAN
MARTIN
Applicant
and
ATTORNEY
GENERAL OF CANADA
Respondent
REASONS
FOR JUDGMENT
NADON J.A.
[1]
In
April 2009, Paula Critchley, the applicant’s spouse, gave birth to twin girls.
The issue underlying the questions which we must answer in this proceeding is whether
the applicant and his spouse are both entitled to 35 weeks of parental benefits
under the Employment Insurance Act, S.C. 1996, c. 23 (“the Act”).
[2]
Before
us is an application for judicial review of a decision of an Umpire (Mr.
Justice Zinn of the Federal Court), CUB 76899, dated May 31, 2011, which allowed
the Canada Employment Insurance Commission’s (“the Commission”) appeal from a
decision of the Board of Referees (“the Board”) rendered on September 11, 2009.
[3]
By
its decision, the Board held that the applicant was qualified for a benefit
period by virtue of subsection 12(4) of the Act. More particularly, the
Board was of the view that the applicant was entitled to receive 35 weeks of
parental benefits notwithstanding that his spouse had applied and been approved
for 35 weeks of parental benefits. In so concluding, the Board reversed the
Commission’s determination that the applicant was not entitled to 35 weeks of
parental benefits. On May 29, 2009, the Commission had written to the applicant
explaining its decision in the following terms:
We are writing to inform you that
we cannot pay you parental employment insurance benefits as of April 26, 2009.
This is because you have not
proven that you are the parent who will be taking the 35 weeks of parental
benefits for this birth. Your children’s mother has applied for the 35 weeks of
parental [benefits] and you have stated that you are agreeable to her being
paid these benefits. I appreciate that you would like to be paid 35 weeks of
parental benefits as well due to the fact that your wife gave birth to twins.
But a multiple birth or multiple adoption, for purposes of employment benefits,
is treated as a single birth or a single adoption.
[4]
The
Board also held that it had no jurisdiction to deal with the arguments raised
by the applicant, and in the alternative, that in denying him the right to
parental benefits, the provisions of the Act at issue infringed his
rights under subsection 15(1) the Canadian Charter of Rights and Freedom
(“the Charter”).
[5]
In
allowing the Commission’s appeal from the Board’s decision, the Umpire held
that the Board had erred in its interpretation of the relevant provisions of
the Act and that subsection 2(1), and sections 7, 8, 12, and 23 of the Act
did not infringe the applicant’s rights under subsection 15(1) of the Charter.
The Umpire was also of the view that the Board was correct in its determination
that it had no jurisdiction to address the Charter issues raised by the
applicant.
The Facts
[6]
The
facts are straightforward and are not disputed.
[7]
In
April 2009, the applicant and his spouse became parents of twin girls. On April
27, 2009, the applicant filed an application for parental benefits with the
Commission, in which he indicated that he was claiming the maximum 35 weeks of
benefits available for the care of his children. He further stated that he was
employed by Natural Resources Canada and that he was taking parental leave for
the period of April 24, 2009 to January 11, 2010. Nine days later, on May 6,
2009, the applicant further wrote to the Commission, requesting that his claim
for parental benefits be considered separately from that made by his spouse,
whose application for 35 weeks of parental benefits had already been approved
by the Commission.
[8]
As
I have already indicated, the Commission wrote to the applicant on May 29,
2009, advising him that his application for 35 weeks of parental benefits could
not be accepted because his spouse’s application had already been approved,
pointing out to the applicant that the Act treated multiple births and
adoptions as single births and adoptions.
[9]
Not
satisfied with the Commission’s response, the applicant appealed its decision
to the Board which concluded that he and his spouse were separately entitled to
35 weeks of parental benefits under the Act. The Board began by stating
the question it had to determine, namely, whether the applicant was
disqualified for parental benefits for the care of the children because his
spouse had already qualified for benefits for their care. The Board determined that
the effect of paragraph 12(4)(b) of the Act was to limit a claimant to
35 weeks of benefits for the care of a child resulting from a single pregnancy,
adding that “this subsection allows for a claim for each pregnancy, and not
limited to only one pregnancy”.
[10]
However,
in the Board’s view, the combined effect of subsections 12(1) and 12(4) with
paragraph 12(3)(b) of the Act was that each claimant, i.e., the
applicant and his spouse, could make a claim under paragraph 12(3)(b) because a
benefit period had been established for each of them and that subsection 12(4)
could not be read without reading in the word “to a claimant” at the end of the
introductory sentence of the subsection. Consequently, the applicant could
claim 35 weeks of parental benefits for one child and his spouse could claim 35
weeks for the other child. Thus, in the Board’s view, “the parents’ claims are
limited to 35 weeks per claimant per child. Two claimants making separate
claims for separate children are entitled to make separate 35 week claims”.
[11]
The
Board’s decision led to the Commission’s appeal before the Umpire, whose
decision is now before us in this judicial review application.
The Umpire’s
Decision
[12]
The
first issue which the Umpire addressed in his reasons was the interpretation of
the Act. He began by highlighting the differing interpretations of the Act
on which the respective positions of the parties depended, namely: in the case
of the respondent, that the Act allowed 35 weeks of parental leave for
each pregnancy, irrespective of the number of children resulting from that
pregnancy; and, in the case of the applicant, that the Act allowed 35
weeks of parental leave for each child born of a pregnancy, with each parent
entitled to a maximum of 35 weeks.
[13]
The
Umpire then stated that the applicant’s interpretation was based on subsection
12(3) of the Act, whereas that of the respondent found its support in
subsection 12(4). After reproducing both subsections, the Umpire opined that
subsection 12(4) clearly supported the respondent’s position that the maximum
number of weeks of parental benefits allowable was 35 weeks, whether one or
more children were born of a single pregnancy. In so concluding, the Umpire
stated that he could not agree with the applicant’s submission that it was
implicit in subsection 12(4) that its purpose was to limit to 35 weeks the
benefits payable to a claimant and that, hence, it did not constitute a
cap on the benefits payable, irrespective of the number of claimants. In his
view, the interpretation proposed by the applicant, which the Board had
accepted, would require him to rewrite subsection 12(4) by adding the words “to
a claimant” so that the introductory words of the subsection would read as
follows: “The maximum number of weeks for which benefits may be paid to a
claimant”.
[14]
As
an additional reason for being unable to agree with the applicant’s
interpretation, the Umpire indicated that such an interpretation would also
allow the parents of a single child to each take 35 weeks of parental leave.
Thus, in the Umpire’s view, “The 35-week maximum clearly intended to apply to a
single child would be eliminated given that subsection 12(4) would apply ‘to a
claimant’, i.e. to each claimant individually. Thus, each parent of a
single child would be entitled to 35 weeks.” (Umpire’s decision, page 8).
[15]
In
the Umpire’s view, the Act could only be read as saying that each
pregnancy gave rise to 35 weeks of parental benefits. The words “for the care
of one or more new-born or adopted children as a result of a single pregnancy
or placement”, found in subsection 12(4), did not leave any doubt on the issue.
The Umpire’s reasoning on this point appears at page 9 of his decision, where
he states:
Contrary to the respondent’s position,
what the Act really says is that every pregnancy is “worth” 35
weeks. The words “one or more new-born or adopted children as a
result of a single pregnancy” (emphasis added) make this clear. If
paragraph 12(4)(b) was intended to simply limit the benefits payable for
each child to 35 weeks, it would read “for the care of a new-born or adopted
child is 35.” While the pros and cons of the policy choice to grant the same
amount of benefits to parents of “one or more” children may be debated, this is
a debate properly left to Parliament. As a matter of statutory interpretation,
the provisions of the Act are clear, and this cannot be changed by
arguments relating to the additional burdens that may face the parents of
twins.
[16]
The
Umpire then stated his disagreement with the applicant’s submission that
subsection 12(4) was there to make clear that the 35 weeks of parental care
were available for every new pregnancy and not only once in a claimant’s life. Rather,
in his opinion, the limitation of 35 weeks of parental care made available by
subsection 12(3) was available for each benefit period and, thus, available for
a subsequent pregnancy upon establishment of a new benefit period.
[17]
The
Umpire concluded that part of his decision, at page 12, by stating that the applicant
was not entitled to receive parental benefits for the children born in April
2009 because his spouse had applied for 35 weeks of parental benefits, which
application the Commission had approved, and that the applicant had consented
to her receiving these benefits. Consequently, in the Umpire’s view, the Board
had wrongly interpreted the relevant provisions of the Act and its
decision had to be set aside.
[18]
The
Umpire then turned to the question of whether the Board had jurisdiction to
deal with the applicant’s Charter arguments. In his view, the matter had
already been settled by the Supreme Court of Canada in Tétreault-Gadoury v.
Canada (Canada Employment and Immigration Commission), [1991] 2 S.C.R. 22
(“Tétreault-Gadoury”), where the Court held that the Umpire and not the
Board had jurisdiction to determine whether sections of the Unemployment
Insurance Act, 1971, infringed upon the Charter and that he was
bound to follow that decision. Further, he rejected the applicant’s submission
that the Supreme Court had reversed Tétreault-Gadoury in its recent
decision of R. v. Conway, [2010] 1 S.C.R. 765 (“Conway”). He
expressed his view as follows at page 17 of his decision:
Further, given that
the Supreme Court in R. v. Conway expressly referred to its previous
decision in Tétreault-Gadoury, had it intended to reverse its finding
there, it would have done so more clearly, even though the Act was not
at issue in Conway. It did not, instead choosing to refer to the
consolidation and merger of the existing law; in my view, [sic] is
further evidence that the finding in Tétreault-Gadoury was not reversed.
Moreover, the exercise in discerning legislative intent undertaken in Tétreault-Gadoury
is not implicitly overruled by the principles articulated in Conway. There
is nothing inconsistent between the Board not having jurisdiction to decide
questions of law and the institutional inquiry into Charter jurisdiction
provided for in Conway.
[19]
The
Umpire then turned to the applicant’s Charter arguments and, more
particularly, that subsection 2(1) and sections 7, 8, 12 and 23 of the Act
infringed subsection 15(1) of the Charter.
[20]
First,
the Umpire reviewed the Supreme Court’s decisions in Andrews v. Law Society
of British Columbia, [1989] 1 S.C.R. 143 (“Andrews”), Law v. Canada,
[1999] 1 S.C.R. 497 (“Law”), and R. v. Kapp, [2008] 2 S.C.R. 483
(“Kapp”). More particularly, he drew attention to the Supreme Court’s
decision in Kapp, where the Court set out the applicable test for
section 15 inquiries: i.e., whether the law created a distinction based
on an enumerated or analogous ground, and whether the distinction created a
disadvantage by perpetuating prejudice or stereotyping.
[21]
The
Umpire then discussed the first part of the Kapp test. His examination of
the relevant facts in the light of the Supreme Court’s decisions in Law,
Corbiere v. Canada (Minister of Indian and Northern Affairs), [1999] 2
S.C.R. 203, Andrews, Delisle v. Canada (Deputy Attorney General),
[1999] 2 S.C.R. 989, Miron v. Trudel, [1999] 2 S.C.R. 14, and Withler
v. Canada (Attorney General), [2011] 1 S.C.R. 396 (“Withler”), led
him to conclude that “[b]eing the parent of twins is an immutable personal characteristic;
this appears to be sufficient to establish this status as an analogous ground
of discrimination” (Umpire’s decision, page 24).
[22]
He
then turned his attention to whether a distinction had been made on the basis
of the applicant’s immutable personal characteristic. He answered that question
by concluding that the scheme of the Act drew a distinction between the
parents of twins and other parents. He reasoned as follows at pages 29 and 30:
Here, by assigning
benefits based on “a single pregnancy”, the scheme fails to take into account
the true characteristics of the parents of twins because their “single
pregnancy” results in double the number of children without any increase in
benefits. This, in effect, is a distinction.
[23]
He
then addressed the second part of the Kapp test, and asked himself
whether the distinction created a disadvantage by perpetuating prejudice or
stereotyping. The Umpire concluded that it did not.
[24]
In
reaching that conclusion, the Umpire analysed the four contextual factors which
the Supreme Court in Law and Kapp set forth as aids to determine
whether the distinction created a disadvantage which perpetuated prejudice or
stereotyping, namely: (a) pre-existing disadvantage of the claimant; (b) the
needs, capacities and circumstances of the claimant and other groups; (c)
whether the benefit has an ameliorative effect for a more disadvantaged group;
and (d) the nature of the interest affected.
[25]
With
regard to the first contextual factor, the pre-existing disadvantage of the
claimant, the applicant argued that there was strong evidence that treating the
birth of twins and the birth of a single child identically for the purposes of
parental benefits perpetuated a distinction and disadvantage. The Umpire
disagreed with this submission. In his view, although parental benefits
constituted a recognition that children require a period of care following
their birth, the purpose of the Act was to provide temporary partial
income replacement to a claimant when there was an interruption of earnings due
to the birth or placement of a child, adding that what was insured were the
earnings of a claimant, and that it was the parents who received the benefits,
not the child or children.
[26]
The
Umpire noted that the scheme of the Act did not consider the burden or
difficulty of a particular birth, in that it allowed a claimant a number of
weeks of benefits, irrespective of “the amount of care a child or children will
require” (Umpire’s decision, page 32). In other words, the Umpire was satisfied
that the Act sought to address the need felt by parents to stay at home
with a child or children after the birth by providing them with benefits to
compensate an interruption of earnings while they cared for their children. At
page 32 of his decision, the Umpire stated:
There is no evidence
that parents of twins are subject to unfair treatment in society by virtue of
the fact that they are parents of twins or that they are not given equal
concern, consideration or respect. The fact that caring for twins may involve
more work than caring for a single newborn does not prove historical
disadvantage that perpetuates prejudice and stereotyping. There is certainly no
evidence, in the context of the Act, that parents of twins have
experienced historical disadvantage, stereotyping, vulnerability or prejudice
caused by their being parents of twins.
[27]
The
Umpire then turned to the second Kapp factor, i.e., the
correspondence between the grounds and the claimant’s actual needs, capacity or
circumstances. First, he stated that the main issue which had to be determined
was whether the Act took into account the particular situation of those
affected and, if it did, then it was less likely to rest on a stereotype.
[28]
In
his discussion, the Umpire examined subsections 23(4) and 23(5) of the Act,
and noted that there was sufficient flexibility in the Act to address
the needs and circumstances of most claimants. In particular, he pointed to the
fact that under subsection 23(4), parents could divide the weeks of parental
benefits, as long as the 35-weeks per single pregnancy were not exceeded. The Umpire
added that, similarly to the situation in Canada (Attorney General) v.
Lesiuk, [2003] 2 F.C. 677, leave to appeal to the Supreme Court of Canada
dismissed, 2003 SCCA 94, the matter before him was not one where an entire
group or a significant portion of a group had been excluded from benefits, but
rather, “that some claimants should receive more benefits than
others by virtue of the fact that they are parents of twins” (Umpire’s
decision, page 34).
[29]
In
the Umpire’s view, considering the various circumstances that could arise in
different families, it was not possible to devise a system of parental benefits
whereby the needs of every family would be met. In his view, however, “[t]he
flexibility inherent in the Act does accommodate, to some extent, the
needs of parents of children who impose a relatively greater burden than other
children, even though the scheme is not precisely attuned to Mr. Martin’s
situation” (Umpire’s decision, page 34).
[30]
As
a result, the Umpire was of the view that the second factor was neutral in the
circumstances.
[31]
With
regard to the third Kapp factor, i.e., the ameliorative purpose
or effects of the law or program, the Umpire was of the view that that factor
was not relevant since the crux of the applicant’s submission was that his
group, parents of twins, was disadvantaged relative to others, and that there
was “no other more relatively disadvantaged group that the Act targets”
(Umpire’s decision, page 35).
[32]
Finally,
the Umpire turned to the nature of the interest affected, the last contextual
factor, and referred to the Supreme Court’s decision in Granovsky v. Canada
(Minister of Employment and Immigration, [2001] 1 S.C.R. 703 (“Granovsky”),
where the Court indicated that the real question was not whether a claimant had
been deprived of a financial benefit, but whether the deprivation promoted the
view that persons with temporary disabilities are ‘less capable, or less worthy
of recognition or value as human beings or, as members of Canadian society,
equally deserving of concern, respect and consideration (Granovsky,
paragraph 58).
[33]
This
led the Umpire to state that the only interest affected in the present matter
was of an economic nature, adding that the applicant had not succeeded in
showing that the denial of benefits “has affected his access to fundamental
institutions or a basic aspect of his full membership in Canadian society”
(Umpire’s decision, page 36). Consequently, the applicant’s economic interests
did not result in discrimination. The Umpire’s rationale appears at page 36 of
his decision, where he states:
The real issue in this case is
the fact that the Act does not entitle Mr. Martin and his spouse to
receive twice as many weeks of parental benefits as the parents of a single
child. Contrary to what he submits, he was not excluded from the parental
benefits scheme. Rather, he simply chose not to avail himself of the parental
benefits so that his spouse could receive the maximum amount of benefits
available. I find that the denial of an additional 35 weeks of parental
benefits does not result in a denial of access to a fundamental social
institution nor does it constitute a complete non-recognition of a group.
[34]
In
considering the above four factors, the Umpire pointed out that he had kept in mind
the Supreme Court’s admonition in Kapp that the contextual factors were
not to be rigidly applied as they were simply aids useful in determining
whether a distinction resulted in discrimination. Whether one approached the
matter from the perspective of a demeaning of dignity, as in Law, or
whether one approached the issue, as in Andrews and Kapp, by
determining whether the distinction created a disadvantage through the
perpetuation of prejudice or stereotyping, there could be no doubt, in the Umpire’s
opinion, “… that discrimination necessarily entails some offence to the way a
group is treated in society. Courts must determine whether a distinction
impairs the substantive equality section 15 protects” (Umpire’s decision, page.
37).
[35]
The
Umpire then stated his view that the applicant had not shown that the Act
and the scheme contained therein offended the Charter’s promise of
substantive equality. He explained his position as follows, at pages 37 and 38:
The employment
insurance scheme does not fail to recognize the concern, respect and
consideration due to the parents of twins as members of Canadian society.
Although Mr. Martin has presented evidence of the burdens occasioned by the
birth of his children, the fact that the Act does not grant his family
double benefits falls short of demonstrating that the scheme suggests he is
less worthy of respect. The importance of context, recognized as a core part of
the section 15 analysis at para. 43 of Withler, cannot be overstated
here. Mr. Martin has failed to demonstrate that the parents of twins have faced
or do face historical disadvantage, prejudice or stereotyping in Canadian
society. Looking to other factors, the financial interest affected here does
not impair Mr. Martin’s full participation in all fundamental aspects of
Canadian society, and the benefits to which the Martin-Critchley family are
entitled, although not precisely corresponding to their enhanced needs as
parents of twins, do include them to a significant extent in the employment
benefit scheme. From the perspective of a reasonable person in Mr. Martin’s
position, and considering all of the factors discussed above, it simply cannot
be said that the employment insurance scheme perpetuates prejudice and
stereotyping.
[36]
The
Umpire then went on to emphasize that not every distinction in treatment at law
amounted to a violation of section 15. He reasoned as follows at page 38 of his
decision:
… The classifying of
individuals and groups, the implementation of different provisions respecting
such groups, and the application of different rules, regulations, requirements
and qualifications to different persons is necessary for the governance of
modern society. The Supreme Court and the Federal Court of Appeal have held
that complex social benefits programs, such as the employment insurance
program, often make distinctions in order to deliver these programs properly,
and that Parliament must be accorded some flexibility in the extension of
social benefits. It is entirely legitimate for the government to make choices
in the allocation of benefits and it should be permitted a degree of latitude
in so doing, as it is an exercise which is almost bound to seem arbitrary to
those falling on the wrong side of the line (citations omitted).
[37]
Finally,
relying on the Supreme Court’s decision in Withler, the Umpire pointed
out that policy considerations could be a relevant factor in regard to the
second part of the Kapp test, noting that the parental benefits allowed
by the Act were not needs-based, in that the benefits were not the
mirror reflection of the burden or difficulties imposed upon parents by a
child’s birth. The Umpire then added that the scheme put forward by Parliament
was subject to the usual financial constraints faced by all government
programs, and that the fact that the Act did not grant greater benefits
to the parents of twins did not amount to a failure by Parliament to recognize
the additional burden imposed upon parents of twins or triplets, since the Act
was blind or neutral to the different burdens imposed by the birth of a child
or children.
[38]
The
Umpire concluded his reasoning as follows at page 40:
… The policy of the Act is
to grant a set amount of parental leave benefits after birth regardless of need
or burden imposed. As such, it cannot reasonably be construed as making any
suggestion as to the concern, respect and consideration that the parents of
twins deserve.
Relevant
Legislation
[39]
The
relevant provisions of the Act and of the Employment Insurance
Regulations, SOR/96-352 (“Regulations”), read as follows:
The Act
12. (1) If a benefit period has
been established for a claimant, benefits may be paid to the claimant for
each week of unemployment that falls in the benefit period, subject to the
maximums established by this section.
(2) The maximum number of weeks
for which benefits may be paid in a benefit period because of a reason other
than those mentioned in subsection (3) shall be determined in accordance with
the table in Schedule I by reference to the regional rate of unemployment
that applies to the claimant and the number of hours of insurable employment
of the claimant in their qualifying period.
(3) The maximum number of weeks
for which benefits may be paid in a benefit period
(a) because of pregnancy is 15;
(b) because the claimant is
caring for one or more new-born children of the claimant or one or more
children placed with the claimant for the purpose of adoption is 35;
(c) because of a prescribed
illness, injury or quarantine is 15; and
(d) because the claimant is
providing care or support to one or more family members described in
subsection 23.1(2), is six.
(4) The maximum number of weeks
for which benefits may be paid
(a) for a single pregnancy is
15; and
(b) for the care of one or more
new-born or adopted children as a result of a single pregnancy or placement
is 35.
(4.01) If a claim is made under
this Part in respect of a child or children referred to in paragraph (4)(b)
and a claim is made under section 152.05 in respect of the same child or
children, the maximum number of weeks of benefits payable under this Act
in respect of the child or children is 35.
…
(8) For the purposes of this
section, the placement with a major attachment claimant, at the same or
substantially the same time, of two or more children for the purpose of
adoption is a single placement of a child or children for the purpose of
adoption.
…
23. (1) Notwithstanding section
18, but subject to this section, benefits are payable to a major attachment
claimant to care for one or more new-born children of the claimant or one or
more children placed with the claimant for the purpose of adoption under the
laws governing adoption in the province in which the claimant resides.
(2) Subject to section 12,
benefits under this section are payable for each week of unemployment in the
period
(a) that begins with the week
in which the child or children of the claimant are born or the child or
children are actually placed with the claimant for the purpose of adoption;
and
(b) that ends 52 weeks after
the week in which the child or children of the claimant are born or the child
or children are actually placed with the claimant for the purpose of
adoption.
…
(4) If two major attachment
claimants are caring for a child referred to in subsection (1), or one major
attachment claimant and an individual who claims benefits under section
152.05 are both caring for a child referred to in that subsection, weeks of
benefits payable under this section, under section 152.05 or under both those
sections, up to a maximum of 35 weeks, may be divided between them.
(4.1) For greater certainty,
if, in respect of the same child, a major attachment claimant makes a claim
for benefits under this section and another person makes a claim for benefits
under section 152.05, the total number of weeks of benefits payable under
this section and section 152.05 that may be divided between them may not
exceed 35 weeks.
…
152.05 (1) Subject to this
Part, benefits are payable to a self-employed person to care for one or more
new-born children of the person or one or more children placed with the
person for the purpose of adoption under the laws governing adoption in the
province in which the person resides.
…
(15) If a
self-employed person makes a claim under this Part and another person makes a
claim under section 22 or 23 in respect of the same child or children and one
of them has served or elected to serve their waiting period, then
(a) if the
self-employed person is not the one who served or elected to serve the
waiting period, the self-employed person is not required to serve a waiting
period; or
(b) if the person
making the claim under section 22 or 23 is not the one who served or elected
to serve the waiting period, the person may have his or her waiting period
deferred in accordance with section 23.
…
152.09 (1) If an individual
qualifies for benefits under this Part as a self-employed person and for
benefits under Part I as an insured person, the individual may receive
benefits under one Part only and, to do so, the individual must, in the
prescribed manner, at the time of making an initial claim for benefits, elect
under which Part benefits are to be paid.
(2) The election is binding on
the individual in respect of the initial claim for all benefits payable, for
any of the following reasons, during the benefit period established in relation
to the initial claim:
(a) pregnancy;
(b) caring for one or more
new-born children of the self-employed person, or one or more children placed
with the self-employed person for the purpose of adoption;
(c) a prescribed illness,
injury or quarantine; and
(d) providing care or support
to one or more family members.
The Regulations
76.21 (1) Subsection (2)
applies in respect of two persons who are caring for the same child or
children and who do not reside in the same province at the time the first one
of them makes an application under section 22 or 23 of the Act or an
application for provincial benefits.
(2) Subject to subsection (3),
where one of the two persons referred to in subsection (1) has applied for
and is entitled to receive benefits under section 23 of the Act
(referred to in this section as “the claimant”) and the other person has
applied for and is entitled to receive provincial benefits (referred to in
this section as “the provincial applicant”), unless they have entered into an
agreement as to the number of weeks of such benefits they will each
respectively apply for or there is a court order respecting the sharing of
those weeks of benefits,
(a) if the number of weeks of
benefits that the claimant would otherwise be entitled to receive under
section 23 of the Act is an even number, the number of weeks of
benefits payable to the claimant is half that number; and
(b) if that number is an odd
number,
(i) where the claimant
made the earlier application, one week of those benefits plus half of the
remaining weeks of benefits is payable to the claimant, and
(ii) where the provincial
applicant made the earlier application, half the number of weeks of benefits
remaining, after deducting one week, are payable to the claimant.
(3) The maximum number of weeks
of benefits that may be paid to the claimant under section 23 of the Act
shall not be greater than the maximum number of weeks for which benefits may
be paid under paragraph 12(3)(b) of the Act, less the number of weeks
of provincial benefits that are paid to the provincial applicant, taking into
account any weeks of provincial benefits that are paid at the accelerated
rate referred to in subsection 76.19(2), if applicable.
|
La Loi
12. (1) Une fois la période de
prestations établie, des prestations peuvent, à concurrence des maximums
prévus au présent article, être versées au prestataire pour chaque semaine de
chômage comprise dans cette période.
(2) Le nombre maximal de
semaines pendant lesquelles des prestations peuvent être versées au cours
d’une période de prestations — à l’exception de celles qui peuvent être
versées pour l’une des raisons prévues au paragraphe (3) — est déterminé
selon le tableau de l’annexe I en fonction du taux régional de chômage
applicable au prestataire et du nombre d’heures pendant lesquelles il a
occupé un emploi assurable au cours de sa période de référence.
(3) Le nombre maximal de
semaines pendant lesquelles des prestations peuvent être versées au cours
d’une période de prestations est :
a) dans le cas d’une grossesse,
quinze semaines;
b) dans le cas de soins à
donner à un ou plusieurs nouveau-nés du prestataire ou à un ou plusieurs
enfants placés chez le prestataire en vue de leur adoption, 35 semaines;
c) dans le cas d’une maladie,
d’une blessure ou d’une mise en quarantaine prévue par règlement, quinze
semaines;
d) dans le cas de soins ou de
soutien à donner à un ou plusieurs membres de la famille visés au paragraphe
23.1(2), six semaines.
(4) Les prestations ne peuvent
être versées pendant plus de 15 semaines, dans le cas d’une seule et même
grossesse, ou plus de 35, dans le cas de soins à donner à un ou plusieurs
nouveau-nés d’une même grossesse ou du placement de un ou plusieurs enfants
chez le prestataire en vue de leur adoption.
(4.01) Si une demande de
prestations est présentée au titre de la présente partie relativement à un ou
plusieurs enfants visés au paragraphe (4) et une demande de prestations est
présentée au titre de l’article 152.05 relativement au même enfant ou aux
mêmes enfants, les prestations prévues par la présente loi relativement à
celui-ci ou à ceux-ci ne peuvent être versées pendant plus de trente-cinq
semaines.
[…]
(8)
Pour l’application du présent article, le placement auprès d’un prestataire
de la première catégorie, au même moment ou presque au même moment, de deux
enfants ou plus en vue de leur adoption est considéré comme un seul placement
d’un ou plusieurs enfants en vue de leur adoption.
[…]
23. (1) Malgré l’article 18
mais sous réserve des autres dispositions du présent article, des prestations
sont payables à un prestataire de la première catégorie qui veut prendre soin
de son ou de ses nouveau-nés ou d’un ou plusieurs enfants placés chez lui en
vue de leur adoption en conformité avec les lois régissant l’adoption dans la
province où il réside.
(2) Sous réserve de l’article
12, les prestations visées au présent article sont payables pour chaque
semaine de chômage comprise dans la période qui :
a) commence la semaine de la
naissance de l’enfant ou des enfants du prestataire ou celle au cours de
laquelle le ou les enfants sont réellement placés chez le prestataire en vue
de leur adoption;
b) se termine cinquante-deux
semaines après la semaine de la naissance de l’enfant ou des enfants du
prestataire ou celle au cours de laquelle le ou les enfants sont ainsi
placés.
[…]
(4) Si deux prestataires de la
première catégorie prennent soin d’un enfant visé au paragraphe (1) — ou si
un prestataire de la première catégorie et un particulier qui présente une
demande de prestations au titre de l’article 152.05 prennent tous deux soin
d’un enfant visé à ce paragraphe —, les semaines de prestations à payer en
vertu du présent article, de l’article 152.05 ou de ces deux articles peuvent
être partagées entre eux, jusqu’à concurrence d’un maximum de trente-cinq
semaines.
(4.1) Il est entendu que dans
le cas où un prestataire de la première catégorie présente une demande de
prestations au titre du présent article et où un particulier présente une
demande de prestations au titre de l’article 152.05 relativement au même
enfant, le nombre total de semaines de prestations à payer au titre du
présent article et de l’article 152.05 qui peuvent être partagées entre eux
ne peut dépasser trente-cinq semaines.
[…]
152.05 (1) Sous réserve de la
présente partie, des prestations doivent être payées à un travailleur
indépendant qui veut prendre soin de son ou de ses nouveau-nés ou d’un ou
plusieurs enfants placés chez lui en vue de leur adoption en conformité avec
les lois régissant l’adoption dans la province où il réside.
…
(15) Si un
travailleur indépendant présente une demande de prestations au titre de la
présente partie et qu’une autre personne présente une demande de prestations
au titre des articles 22 ou 23 relativement au même enfant ou aux mêmes
enfants et que l’un d’eux a purgé son délai de carence ou a choisi de le
purger, les règles suivantes s’appliquent :
a) dans le cas où
le travailleur indépendant ne l’a pas purgé ou n’a pas choisi de le purger,
il n’est pas tenu de le faire;
b) dans le cas où la
personne qui présente une demande de prestations au titre des articles 22 ou
23 ne l’a pas purgé ou n’a pas choisi de le purger, elle peut faire reporter
cette obligation en conformité avec l’article 23.
…
152.09 (1) S’il remplit les
conditions requises pour recevoir des prestations à la fois à titre de
travailleur indépendant au titre de la présente partie et d’assuré au titre
de la partie I, un particulier ne peut les recevoir qu’au titre d’une seule
de ces parties et doit choisir, selon les modalités réglementaires, au moment
de présenter sa demande initiale, la partie aux termes de laquelle les
prestations seront versées.
(2) Le choix lie le particulier
à l’égard de la demande initiale pour toutes les prestations qui doivent lui
être payées, pour les raisons ci-après, au cours de la période de prestations
établie à l’égard de cette demande :
a) grossesse;
b) soins à donner par le
travailleur indépendant à son ou ses nouveau-nés ou à un ou plusieurs enfants
placés chez celui-ci en vue de leur adoption;
c) maladie, blessure ou mise en
quarantaine prévue par règlement;
d) soins ou soutien à donner à
un ou plusieurs membres de sa famille.
Le Règlement
76.21 (1) Le paragraphe (2)
s’applique aux personnes qui prennent soin du même enfant ou des mêmes
enfants, mais qui ne résident pas dans la même province au moment où la
première d’entre elles fait une demande de prestations en vertu des articles
22 ou 23 de la Loi ou une demande de prestations provinciales.
(2) Sous réserve du paragraphe
(3), dans le cas où l’une des personnes visées au paragraphe (1) a demandé et
est en droit de recevoir des prestations en vertu de l’article 23 de la Loi
(ci-après appelée « prestataire ») et que l’autre personne a demandé et est
en droit de recevoir des prestations provinciales (ci-après appelée «
demandeur provincial »), à moins qu’il n’existe une entente sur le nombre de
semaines de telles prestations que l’une et l’autre demanderont
respectivement ou qu’il n’existe une ordonnance d’un tribunal sur le partage
de ces semaines de prestations, le nombre de semaines de prestations à payer
est établi de la façon suivante :
a) dans le cas où le nombre de
semaines de prestations que le prestataire serait par ailleurs en droit de
recevoir en vertu de l’article 23 de la Loi est un nombre pair, le
prestataire a droit à la moitié des semaines de prestations;
b) dans le cas où ce nombre est
impair :
(i) si le prestataire
a fait le premier la demande, il a droit à une semaine de prestations en plus
de la moitié des semaines qui restent,
(ii) si le demandeur
provincial a fait le premier la demande, le prestataire a droit à la moitié
des semaines de prestations qui restent après déduction d’une semaine.
(3) Dans tous les cas, le
nombre maximal de semaines de prestations pouvant être versées au prestataire
au titre de l’article 23 de la Loi ne peut excéder le nombre maximal de
semaines prévu à l’alinéa 12(3)b) de la Loi moins le nombre de semaines de
prestations provinciales qui ont été versées au demandeur provincial compte
tenu, le cas échéant, des semaines de prestations qui sont versées selon le
mode de versement accéléré visé au paragraphe 76.19(2).
|
The Issues
[40]
This
application for judicial review raises the following issues:
1.
Whether
the Umpire erred in concluding that the Act did not allow each parent of
twins to receive 35 weeks of parental benefits.
2.
Whether
the Umpire was correct in determining that the Board did not have jurisdiction
to decide Charter issues.
3.
Whether
the Umpire erred in determining that the parental benefit provisions of the Act
did not infringe subsection 15(1) of the Charter.
4.
If
the Umpire erred in determining that the parental benefit provisions of the Act
did not infringe subsection 15(1) of the Charter, whether the
infringement was a reasonable limit prescribed by law as can be demonstrably
justified in a free and democratic society under section 1 of the Charter.
Analysis
[41]
Before
addressing the first issue, a few words concerning the applicable standard of
review are in order.
[42]
First,
the parties are in agreement that with regard to Charter issues, the
applicable standard is that of correctness and that the same standard applies
to the question of whether the Board had jurisdiction to decide Charter
issues. I see no reason to disagree with the position taken by the parties
[43]
Second,
with respect to the interpretation of the Act, the applicant submits
that the issues are issues of law which are reviewable on a standard of
correctness. In its Memorandum, the respondent, on the basis of the Supreme
Court’s recent decisions in Canada (Human Rights Commission and Donna Mowat) v. Canada (Attorney General), 2011 SCC 53, [2011] 3 S.C.R. 471, and Alberta
(Information and Privacy Commissioner) v. Alberta Teachers’ Association,
2011 SCC 61, [2011] 3 S.C.R. 654, asserted that the applicable standard was
that of reasonableness. However, prior to the hearing of the application, the
applicant, in view of this Court’s decision in Chaulk v. Attorney General of
Canada, 2012 FCA 190, abandoned the position taken in its Memorandum and
conceded that the standard of review to be applied by this Court to the Umpire’s
interpretation of the provisions at issue is that of correctness.
[44]
I
now turn to the first issue.
A. The
First Issue: Whether the Umpire erred in concluding that the Act did not allow
each parent of twins to receive 35 weeks of parental benefits.
[45]
The
applicant submits that the Umpire erred in adopting a wrong approach to the
interpretation of the provisions at issue. More particularly, the applicant
says that the judge read paragraph 12(4)(b) of the Act out of
context and without resort to proper principles of interpretation, i.e.
without taking into account the entirety of the Act and the purpose
thereof. In support of his view, the applicant refers us to Sullivan on the
Construction of Statutes, 5th ed., at page 1, where the learned
author says:
Today there is only one principled
approach, namely, the words of an Act are to be read in their entire
context, in their grammatical and ordinary sense harmoniously with the scheme
of the Act, the object of the Act, and the intention of
Parliament.
The applicant also refers us to the
Supreme Court of Canada’s decision in Re Rizzo & Rizzo Shoes Ltd.,
[1998] 1 S.C.R. 27, at paragraphs 20 to 23, where the Court adopted the above
principle and further relied on section 10 of the Interpretation Act,
R.S.C. 1985, c. I-21, which provides that every statute should be given a fair,
large and liberal construction so as to ensure “the attainment of the object of
the Act according to its true intent, meaning and spirit”.
[46]
As
a consequence of his criticism of the Umpire’s approach to the interpretation
of the provisions at issue, the applicant says that a proper interpretation of
the Act leads to the conclusion that he and his spouse are entitled to
two parental leaves. First, the applicant sets out the underlying premise to
his proposed interpretation, namely, that his interpretation is in accord with
the Act’s purpose that recognizes legitimate interruptions of employment
to care for children, in that it allows two eligible claimants who both
interrupted their employment to care for their children to receive the same
benefit as other dual-eligible claimants caring for two or more children and,
in doing so, promotes the needs of children, one of the key reasons for the
existence of the parental leave benefits. The applicant further states that in
ensuring that one child results in one parental leave claim and two or more
children always results in two claims, his interpretation leads to a clear,
consistent interpretation of the Act and best fulfills the purpose of
parental leave, adding that contrary to the interpretation accepted by the Umpire,
it gives effect to the whole of section 12 and Part I of the Act.
[47]
I
now turn to the applicant’s specific views on the interpretation of the
provisions at issue. He begins by making the point that paragraph 12(4)(b)
of the Act is “a small piece of a much larger and complex benefits
scheme” (Applicant’s Memorandum, paragraph 32). First, he states that sections
6 to 11 establish the pre-conditions to the making of a parental leave claim, i.e.,
working the required number of hours necessary to pay a sufficient amount of
premiums during a qualifying period of approximately one year prior to an
interruption of earnings. Once these conditions have been met, the applicant
says that the Act establishes two overlapping but different periods
during which parental benefits may be paid to a claimant, the first period
being the 52-73 week benefit period found in sections 9 and 10 of the Act.
The second period, which the applicant characterizes as being “a more amorphous
period” (Applicant’s Memorandum, paragraph 35), is that which is found at
subsection 23(2) and entitled “Weeks for which benefits may be paid”. According
to the applicant, this period can differ from the first period as the start and
length thereof is triggered by a number of factors, including the
hospitalization of a child or a parent’s service in the armed forces.
[48]
This
leads the applicant to assert that section 12, which sets out the benefits
payable, begins to make sense when it is read with the two above distinct time
periods in mind. More particularly, the applicant says that section 12 should
be read as providing a 35-week maximum benefit period to a claimant rather than
in respect of a single pregnancy, adding that the purpose of paragraph 12(3)(b)
is to limit a claimant to 35 weeks of parental benefits in his benefit period,
while paragraph 12(4)(b) serves to limit a claimant to 35 weeks of
benefits in a period during which parental benefits may be paid.
[49]
The
applicant then goes on to assert that since he and his wife are eligible
claimants in their own right, each of them is individually subject to the
maximums set out in subsections 12(3) and 12(4), which means that each of them
has a 35-week claim maximum. The applicant says that “[t]wo claimants means two
(2) claims, each with a maximum of 35 weeks” (Applicant’s Memorandum, paragraph
39). Thus, in the applicant’s view, reading the 35-week benefits maximums in
subsections 12(3) and 12(4) as “claimant-centered” is consistent with the whole
of section 12. According to the applicant, it necessarily follows that adding “the
words of s. 12(1) right before those in sub-ss. 12(3) and 12(4) [which was
clearly intended], the fact that sub-ss. 12(3) and 12(4) create ‘per claimant’
maximums becomes apparent” (Applicant’s Memorandum, paragraph 41).
[50]
The
applicant further says that the interpretation that he is putting forward is
consistent with the purpose and object of the Act and its parental
benefits provisions. More particularly, he says that in considering the
benefits maximums set out in subsections 12(3) and 12(4) as amounts payable per
claimant, his interpretation is consistent with the claimant-focus purpose of
providing claimants with amounts to supplement the incomes lost due to their
interruption in earnings and that it is also consistent with the social purpose
of the Act inherent in supplementing a claimant’s income when he or she
interrupts work to care for children.
[51]
The
applicant makes the further point that the Umpire’s interpretation of the Act
“rises to the level of an absurdity” in that it results in only one parental
leave being granted if two or more children are born from a single pregnancy,
but two parental leaves being granted if there are two pregnancies or a
pregnancy and an adoption. The applicant adds that Parliament cannot have
created a singleton maximum in paragraph 12(4)(b) when it expressly
addressed that situation in subsection 23(4). The applicant completes his
reasoning by saying that the Umpire’s determination that paragraph 12(4)(b)
was intended to limit dual claimants to a single 35-week claim for a single
child has the effect of assigning to paragraph 12(4)(b) a limitation
already spelled out in subsections 23(4) and 23(4.1), adding that it cannot be
assumed that Parliament created a singleton maximum in paragraph 12(4)(b) when
it expressly addressed that situation in subsection 23(4).
[52]
The
applicant concludes his submissions on this issue by saying at paragraph 58 of
his Memorandum:
58. Instead of this
tautologous interpretation [the Umpire’s interpretation], the Applicant’s
interpretation assigns meaning to s. 12(1) (the sub-ss. 12(3) and 12(4)
maximums are per claimant), additional meaning to s. 12(3) (maximums per
“benefit period”), additional meaning to s. 12(4) (maximums during the
different s. 23 period post-birth when a parental leave claim can be made), and
meaning to sub-ss. 23(4) and 23(4.1) (one shared 35 weeks leave claim where a
singleton is born).
[53]
In
my view, the interpretation proposed by the applicant cannot be right as it flies
in the face of Parliament’s clear intention in enacting the provisions at
issue. I cannot see any basis to conclude that the Umpire’s interpretation
results from an error on his part. The Umpire’s decision is the correct
interpretation of the Act. I so conclude for the following reasons.
[54]
I
begin with an examination of sections 12 and 23 of the Act which are at
the heart of these proceedings.
[55]
Subsection
12(1) provides that benefits shall be payable to a claimant for each week of
unemployment falling within a benefit period that has been established for the
claimant. The availability of the benefits is subject to the maximums
established by section 12. Of particular interest are the maximums set out in subsections
12(3) and 12(4).
[56]
Paragraph
12(3)(b) provides that the maximum number of weeks for which benefits
may be paid to a claimant, in a benefit period, for the care of one or more
newborn children is 35. As to paragraph 12(4)(b), it provides that the
maximum number of weeks for which benefits may be paid for the care of one or
more newborn children “as a result of a single pregnancy” is 35.
[57]
I
understand these provisions to mean the following. First, a claimant may
receive, during a benefit period, benefits for a maximum period of 35 weeks for
the care of one or more newborn children (paragraph 12(3)(b)). Benefit
periods are established for an individual claimant and are thus claimant
specific. Consequently, during that benefit period, paragraph 12(3)(b)
limits to one period of 35 weeks the benefits that a mother or father, as
individual and separate claimants, can receive for the care of children. This
limit, however, is subject to a further limit found in paragraph 12(4)(b).
Were it not for this limit, the applicant and his spouse would each be entitled
to 35 weeks of parental benefits to care for their twins.
[58]
Paragraph
12(4)(b) restricts or limits the period in which parental benefits may
be paid for the care of one or more newborn children. That restriction is a
maximum of 35 weeks for the care of all children born of a single pregnancy.
[59]
I
now turn to subsection 23(1) which provides that parental benefits will be
available to major attachment claimants for the care of one or more newborn
children of these claimants.
[60]
Subsection
23(2) provides that, subject to section 12 of the Act, parental benefits
payable under section 23 shall be payable in the period that commences with the
week in which a child or children are born and ends 52 weeks after that week.
[61]
Subsections
23(3) to 23(3.3) provide for exceptions to subsection 23(2) and provide for
limited extensions of the 52-week period in which the parental benefits may be
paid.
[62]
Subsection
23(4) is of greater relevance to these proceedings. It addresses the situation
where two major attachment claimants “are caring for a child referred to in
subsection (1)”, allowing them to divide between them up to 35 weeks for the
care of their child or children, as the case may be.
[63]
My
understanding of section 23 is as follows. Benefits are available to a major
attachment claimant to care for one or more newborn children and, where two
major attachment claimants are caring for one or more newborn children of
theirs, they may share up to 35 weeks of benefits which are to be divided
between them. Thus, there can be no doubt that what the section is saying is that
two parents who interrupt work to care for one or more newborn children are
entitled to a maximum of 35 weeks of benefits which they may divide howsoever
they please.
[64]
When
one reads sections 12 and 23 together, the only possible conclusion is that 35
weeks of parental benefits are available in respect of the child or children
born of a single pregnancy. In other words, irrespective of the number of
children born of a single pregnancy and irrespective of the number of claimants
seeking benefits as a result of that pregnancy, the maximum number of weeks
available is 35.
[65]
The
approach which I have taken here is the one taken by the Umpire. The applicant submits
that this approach is unsatisfactory: the Umpire erred because he did not take
into account the entirety of the Act and its purpose. In my view, that
criticism is unfounded since the Umpire’s interpretation is entirely consistent
with the purpose of the parental benefits established by the Act and the
nature of the employment scheme.
[66]
An
interruption of earnings occurs when a claimant has a reduction of earnings by
more than 40% because he or she ceases to work, or reduces his or her work, to
care for a child or children as described in subsection 23(1). Consequently,
the purpose of the parental benefits is to compensate parents for the
interruption of earnings which occurs when they cease to work or reduce their
work to care for a child or children. The scheme is clearly not driven by the
needs of the parents or the number of children resulting from a pregnancy. The
purpose thereof is clearly to compensate parents for the interruption of their
earnings resulting from their taking time off to care for a child or children.
Put another way, the Act provides to the parents temporary partial
income replacement for 35 weeks. Other than the specific provisions of the Act
which I have discussed hereinabove, there are other provisions of the Act
which provide indicia that the Umpire arrived at the correct conclusion.
[67]
First,
there is subsection 12(8) of the Act. That provision provides, in unequivocal
terms, that the placement with a major attachment claimant of two or more
children for the purpose of adoption constitutes a single placement of a child
or children for the purpose of adoption. In other words, the placement of two
children with a claimant gives rise to a maximum benefit period of 35 weeks.
Considering this clear enactment of Parliament’s intent, it would be odd to
construe subsections 12(3) and 12(4) as allowing each parent of twins to claim
35 weeks while, at the same time, the adoption of two or more children at the
same time is treated as one placement for the purposes of section 12.
[68]
Second,
section 76.21 of the Regulations also supports the Umpire’s
interpretation. It sets out the maximum number of weeks of parental benefits
payable under the Act where one person claims parental benefits under
the Act and a second person claims similar benefits under provincial
law. In that case, the benefits payable under the Act are limited to 35
weeks less the number of weeks of provincial benefits payable to the other
parent under provincial law. Failing an agreement between the parents,
subsection 76.21(2) provides the mechanism by which their dispute will be
settled. In any event, subsection 76.21(3) provides that the benefits payable
to a claimant under section 23 “shall not be greater than the maximum number of
weeks for which benefits may be paid under paragraph 12(3)(b) of the Act,
less the number of weeks of provincial benefits that are paid to the provincial
applicant [the other parent]”.
[69]
Consequently,
the Act makes it clear that in the case of separate claims being made
under different regimes, the number of weeks during which parental benefits may
be paid for the care of a child or children cannot exceed 35 weeks per single
pregnancy.
[70]
Finally,
there is subsection 12(4.1) of the Act, which deals with claims for
parental benefits for the care of a child or children made pursuant to sections
12 and 23, and a claim for the same child or children made pursuant to section
152.05, which allows self-employed persons to receive benefits for the care of
one or more newborn children of that person. Subsection 12(4.1) makes it clear
that in such a situation, no more than 35 weeks of benefits are payable under
the Act in respect of the care of a child or children. Like paragraph
12(4)(b) of the Act, subsection 12(4.1) does not limit the
maximum number of weeks payable “to a claimant”. Rather, like paragraph 12(4)(b),
the subsection must mean that the maximum limit of 35 weeks applies to
situations where there is more than one claimant.
[71]
When
one considers all of these provisions together, there is only one possible
conclusion: where, as here, two parents/claimants interrupt their earnings to
care for their child or children, they cannot jointly receive more than 35
weeks in respect of children born of a single pregnancy. I am therefore of the
opinion that the provisions at issue do not allow for the payment of 70 weeks
of benefits in the case of twins.
[72]
Before
concluding, I wish to address the applicant’s argument that the intention of
Parliament in enacting subsections 12(3) and 12(4) was to restrict to 35 weeks
the maximum number of weeks “payable to a claimant”. In other words, the
applicant contends that paragraph 12(4)(b) of the Act should read as follows:
(4) The maximum number of weeks
for which benefits may be paid TO A CLAIMANT
…
(b) for the care of one or more
new-born or adopted children as a result of a single pregnancy or placement
is 35.
|
12. (4) Les prestations ne
peuvent être versées À UN PRESTATAIRE pendant… plus de 35, dans le cas
de soins à donner à un ou plusieurs nouveau-nés d’une même grossesse ou du
placement de un ou plusieurs enfants chez le prestataire en vue de leur
adoption.
|
[73]
More
particularly, as I indicated earlier, the applicant argues that the Act
establishes two periods of benefits, i.e. a benefit period under
sections 9 and 10 of the Act and an amorphous period under subsection
23(2) and submits that, when these provisions are read together, section 12 can
be read as allowing a 35-week benefits maximum to a claimant rather than in
respect of a single pregnancy. The applicant further says that paragraph 12(3)(b)
is intended to limit the claimant to 35 weeks of parental benefits in his
benefit period, whereas paragraph 12(4)(b) is meant to limit a claimant
to 35 weeks of benefits in a period during which parental benefits may be paid.
[74]
In
my view, that approach is an erroneous one.
[75]
Although
there can be no doubt that the benefit period established pursuant to sections
9 and 10 of the Act is specific to a claimant, the period in which
parental benefits may be paid under subsection 23(2) is not. That period is
tied to the birth of a child or children (see: subsection 23(2)). Therefore,
even though two claimants can make a claim for parental benefits for the care
of one or more children and each claimant must separately establish his or her
own benefit period, the parental benefits that will be paid can only be paid
during the period set out in subsection 23(2), regardless of when a claimant’s
benefit period commences and ends.
[76]
I
also cannot subscribe to the applicant’s argument that a reading of subsection
12(1) makes the reading in of the words “to a claimant” inevitable in the
reading of paragraph 12(4)(b). I agree entirely with the Umpire that one
would have to rewrite the provision in total disregard of Parliament’s intention.
In any event, subsections 12(4.1), 12(8) of the Act and section 76.21 of
the Regulations make it apparent that the applicant’s interpretation
cannot be right. In the end, what the applicant is asking us to do is to, in
effect, amend the legislation to achieve the purpose which the applicant says
Parliament intended, i.e. to ensure a particular level of care based on
the number of children born of a single pregnancy and on the individual needs
of parents in caring for these children. In any event, even accepting that
there may be a debate as to the true purpose of the Act, the purpose of
the Act cannot override or displace Parliament’s intent in enacting specific
provisions of the Act. In Barrie Public Utilities v. Canadian Cable
Television Association, 2003 SCC 28, [2003] 1 S.C.R. 476, Gonthier J.,
writing for the majority of the Supreme Court, said at paragraph 42:
The consideration of legislative
objectives is one aspect of the modern approach to statutory interpretation.
Yet, courts and tribunals must invoke statements of legislative purpose to
elucidate, not to frustrate, legislative intent. In my view, the CRTC relied on
policy objectives to set aside Parliament’s discernable intent as revealed by
the plain meaning of ss. 43(5), s. 43 generally and the Act as a whole.
In effect, the CRTC treated these objectives in power-conferring provisions.
This was a mistake.
[77]
I
now turn to the second issue.
B. The
Second Issue: Whether the Umpire was correct in determining that the Board did
not have jurisdiction to decide Charter issues.
[78]
The
Umpire held that the Board was correct in deciding that it had no jurisdiction
to address the Charter issues raised by the applicant. In his view, the
matter had been settled by the Supreme Court in Tétreault-Gadoury and he
was bound by that decision. He further rejected the applicant’s argument that
the Supreme Court had reversed Tétreault-Gadoury in Conway.
[79]
The
applicant argues, as he did before the Umpire, that Tétreault-Gadoury is
no longer good law in view of the Supreme Court’s recent decisions and, in
particular, that rendered in Martin v. Nova Scotia (Worker’s Compensation
Board), 2003 SCC 54, [2003] 2 S.C.R. 504 (“Martin”). He says that in
these cases, the Supreme Court “affirmed the practical benefits of having the
tribunal most familiar with the statute and that hears the evidence and
prepares the Record provide its views on the statute’s constitutionality”
(Applicant’s Memorandum, paragraph 68).
[80]
In
support of his view, the applicant says that the Board does decide questions of
law as it could not do its job otherwise, adding that in Tétreault-Gadoury,
the Supreme Court stated that there were practical considerations favouring the
granting of Charter jurisdictions to the Board. The applicant concludes
by saying that since the Board has the power to determine questions of law, it
has an obligation to consider his Charter arguments.
[81]
The
respondent disagrees. He submits that Tétreault-Gadoury remains good law
and that the Umpire was correct in finding that he was bound by it. The
respondent reminds us that the Act expressly gives the Umpire, not the
Board, the power to decide questions of law, adding that Parliament could have
corrected Tétreault-Gadoury by amending the Act, had that been
its intention.
[82]
Further,
the respondent says the Supreme Court has continued, since Tétreault-Gadoury,
to reaffirm the primacy of Parliament’s intention. Although other tribunals
operating under different statutory schemes may have Charter
jurisdiction, that does not deter from the fact that in Tétreault-Gadoury,
the Supreme Court clearly held that the Board did not have jurisdiction to
decide Charter issues.
[83]
In
my view, the respondent is right. The Supreme Court’s subsequent decisions have
not expressly overturned Tétreault-Gadoury, even though clear
opportunities to do so were given to it. I come to this view for the following
reasons.
1. The
Law Pre-Conway
[84]
Before
Conway, the courts applied different tests to consider the authority
of administrative tribunals in relation to section 52 of the Constitution Act
and subsection 24(1) of the Charter. As a result, I will focus on cases
considering section 52 and omit those that focus on subsection 24(1), e.g.,
R. v. Mills, [1986] 1 S.C.R. 863, in which it was decided that a judge
sitting at a preliminary hearing is not considered a court of competent
jurisdiction for the issuance of a stay under subsection 24(1) of the Charter.
[85]
The
consideration of the section 52 administrative tribunal cases begins with the
“Cuddy Chicks Trilogy” of Douglas/Kwantlen Faculty Assn. v. Douglas College,
[1990] 3 S.C.R. 570 (“Douglas College”), Cuddy Chicks Ltd. v. Ontario
(Labour Relations Board), [1991] 2 S.C.R. 5 (“Cuddy Chicks”), and Tétreault-Gadoury.
These cases addressed the question of whether or not the statute gave express
power to the tribunal to consider questions of law. If the statute did not
expressly grant that power, an implicit reading was insufficient to extend
authority to make s. 52 determinations.
[86]
The
first case, Douglas College, considered whether a labour
arbitrator, who had been appointed in accordance with the parties’ collective
agreement and whose actions were constrained by the framework of the Industrial
Relations Act, R.S.B.C. 1979, c. 212, had the jurisdiction to consider the
constitutionality of the collective agreement. The Supreme Court extended
jurisdiction to the arbitrator, finding that there were clear advantages to
allowing a tribunal that was empowered to consider law to truly consider all of
the law. La Forest J. noted that: “it would be anomalous if tribunals
responsible for interpreting the law on the issue were unable to deal with the
issue in its entirety, subject to judicial review” (page 599 of Douglas College, quoted in Conway at paragraph 51). There were additional
advantages recognized in bringing forward the issue at first instance, in the
context in which it arose—the tribunal—as opposed to having to resort to a
time-consuming, expensive process in the superior court system. Moreover, the
specialized expertise of the tribunal and its familiarity with the record were
seen as useful in assessing constitutional questions. As La Forest J.
explained: “specialized competence can be of invaluable assistance in constitutional
interpretation” (page 605 of Douglas College, quoted in Conway at paragraph 51).
[87]
The
next case, Cuddy Chicks, extended the authority to determine
constitutional questions to the Ontario Labour Relations Board. The reasoning
relied on cases in which labour boards had been found to have jurisdiction to
consider questions relating to their own jurisdiction. As La Forest J. wrote at
page 19 of the decision:
What these cases speak to is not
only the fundamental nature of the Constitution, but also the legal competence
of labour boards and the value of their expertise at the initial stages of
complex constitutional deliberations. These practical considerations have
compelled the courts to recognize a power, albeit a carefully limited one, in
labour tribunals to deal with constitutional issues involving their own
jurisdiction. Such considerations are as compelling in the case of Charter
challenges to a tribunal’s enabling statute. Therefore, to extend this “limited
but important role” of labour boards to the realm of the Charter is
simply a natural progression of a well established principle.
[88]
Finally,
Tétreault-Gadoury considered the very question that is before us in this
case, i.e., whether the Board was empowered by the Unemployment
Insurance Act, 1971 to consider questions of law. Given that the Act
did not mention that power in its section on the Board, but did expressly
provide that power to the Umpire, La Forest J. concluded that it did not have
the authority to consider questions of law on the basis of the statutory
interpretation maxim expressio unius est exclusio alterius. He explained
his view as follows, at page 33:
The maxim expressio unius est
exclusio alterius, like all general principles of statutory interpretation,
must be applied with caution. However, the power to interpret law is not one
which the legislature has conferred lightly upon administrative tribunals, and
with good reason. Although curial deference will not be extended to an administrative
tribunal's holding on a Charter issue, such deference is generally
applied to the interpretation of a statute within the tribunal's area of
expertise, when the tribunal has been given the power to interpret law. It is
unlikely, therefore, that the failure to provide the Board of Referees with a
power similar to that given to the Umpire was merely a legislative oversight.
[89]
La
Forest J. also engaged with the idea that the right to answer questions of law
was something that Parliament grants carefully and judiciously. Absent express
legislative intent, it was not appropriate to conclude that tribunals were
empowered to engage with and pronounce upon questions of law.
[90]
Thus,
the unifying theme in all three Cuddy Chicks cases was that express statutory
jurisdiction to consider questions of law was required before a tribunal could
begin engaging with a constitutional question.
[91]
The
departure point from this principle occurred in Martin, where the
Supreme Court again considered when an administrative tribunal had jurisdiction
to consider the validity of a constitutional provision. In its view, a tribunal
that had the authority to interpret laws also had the related authority to
assess whether those laws were constitutionally valid. If they were found to be
invalid, the necessary result was that the tribunal had to decline to apply those
laws. Yet, the tribunal did not have the power to declare laws to be invalid.
Consequently, its decisions on constitutional questions would not be binding on
subsequent tribunals.
[92]
In
Martin, the assessment of whether a tribunal had the authority to
interpret laws was considered on a basis of either explicit or implied
statutory authority. This broadened the law from how it was conceived of in the
Cuddy Chicks trilogy. Gonthier J.’s analysis was animated by considerations of
accessibility, i.e., that Canadians should be able to assert their
constitutional rights in accessible forums; and that reviewing courts would
benefit from the analysis of the tribunal. Judicial review would remain a
possibility and be better informed by the special expertise of the tribunal
accustomed to interpreting its own statute. This reasoning is not dissimilar
from that of Douglas College.
2. The Martin
Test
[93]
In
Martin, the Supreme Court enunciated a modified two-step test, which is:
1. Begin by asking whether the
tribunal has the power to decide questions of law. If it does, this creates a
presumption that it can answer questions of constitutional law per s. 52 of the
Constitution Act.
2. Has the presumption been
rebutted? (e.g., express authority elsewhere in the Act or by
necessary implication)
3. How Conway Changed the Law
[94]
In
Conway, the Supreme Court merged the subsection 24(1) and the section
52 inquiries into a single line of inquiry that considers the same foundational
concepts in a unified approach. Under the framework developed in Conway, the relevant question remains whether a tribunal has the statutory
authority to consider questions of law.
[95]
As
such, it does not serve as a true departure point from the earlier
jurisprudence on questions of constitutional interpretation. It is more helpful
in considering whether tribunals have authority to grant remedies under
subsection 24(1). If anything, it seems to adopt reasoning very similar to that
of Martin, thus collapsing any residual distinction in the different
types of constitutional inquiry.
[96]
The
applicant argues that the Board has the ability to consider questions
of law, despite the express statement to the contrary in Tétreault-Gadoury.
In his view, the Supreme Court’s inquiry into the authority of the
tribunal to consider questions of law under s. 117 of the Act was unduly
constrained by the manner in which it situated the inquiry. Given that Tétreault-Gadoury
was decided in 1991, the approach which the Supreme Court took to these types
of questions was different than it is today. The manner in which it approached
the problem was coloured by the fact that elsewhere in the statute, there was a
grant of explicit power to the Umpire to consider questions of law.
[97]
The
applicant further argues that this requirement of an express power limited the
scope of the inquiry and should not remain a binding precedent. Moreover, the applicant
asserts that the line of reasoning that has emerged from the Supreme Court
since that time, including Martin, Conway, and Doré v. Barreau
du Québec, 2012 SCC 12, has overtaken the rationale that won the day
in Tétreault-Gadoury. In his view, the application of today’s standard
from Martin, which allows authority to consider questions of law to be
drawn from either an express grant of statutory authority or an implied
authority based on the whole of the statutory scheme, differently informs the
Court and leads to the opposite result.
[98]
I
cannot agree. The nature of the inquiry is still based upon whether or not the
tribunal has the authority to consider questions of law. It is only if that
question is answered affirmatively that the shift in the jurisprudence has
impact on the nature of the inquiry. If the statute bars the tribunal from
considering questions of law, it is not relevant whether it can or should consider
constitutional questions.
[99]
As
described above, the very question that the Supreme Court was asked to consider
in Tétreault-Gadoury was whether the Board had the ability to consider
questions of law. La Forest J. was unequivocal in answering this question in
the negative. The statutory scheme clearly demarcated separate roles for the Board
and the Umpire: the Board was not empowered to consider questions of law. Those
questions were instead forwarded to the Umpire, appropriate particularly because
Umpires are often judges or retired judges. Because the Act affirmatively
gives this responsibility to the Umpire, and is silent on the role of the Board
with respect to questions of law, the necessary conclusion is that the Board does
not have this authority.
[100] Accordingly,
the shift in jurisprudential reasoning advocated by the applicant does not come
into play. These arguments are relevant only if it is first identified that a
tribunal has the authority—either expressly or implicitly—to consider questions
of law.
[101] In Conway, Abella J. reviewed the facts and findings of Tétreault-Gadoury and
other case law on the authority of tribunals regarding constitutional questions.
She discussed Tétreault-Gadoury at some length and did not move to
expressly overturn the precedent it set. Moreover, discussion of Tétreault-Gadoury
and subsequent cases constitutes the foundation for the statement she makes at
paragraph 78:
The jurisprudential evolution
tends to the following two observations: first, that administrative tribunals
with the power to decide questions of law, and from whom constitutional jurisdiction
has not been clearly withdrawn, have the authority to resolve constitutional
questions that are linked to matters properly before them. […]
[102] In my view,
Abella J. was alive to the manner in which Tétreault-Gadoury informed
the case law and she did not expressly overturn it. Her conclusion that only
tribunals with the power to consider questions of law may answer constitutional
questions rests equally on Tétreault-Gadoury as it does on other cases
that were subsequently decided. If Abella J. indeed sought to change the law,
she would and should, in my respectful view, have stated so expressly. This is
especially true given the definitive way in which La Forest J. decided the
issue in Tétreault-Gadoury:
While this assessment
of the comparative expertise or practical capability of the Board may well be
correct, it cannot outweigh the intention expressed by the legislature to give
the power to interpret law to the Umpire and not the Board of Referees. In
other words, I find that, notwithstanding the practical capability of the Board
of Referees, the particular scheme set up by the legislature in the
Unemployment Insurance Act, 1971 contemplates that the constitutional
question should more appropriately have been presented to the Umpire, on
appeal, rather than to the Board itself.
Applying the test set
forth in Douglas College and Cuddy Chicks, I find that, while the Board of
Referees had jurisdiction over the parties in this case, it did not have
jurisdiction over the subject matter and the remedy. The subject matter before
the Board concerned not simply the determination of the respondent's
eligibility for benefits, but also the determination of whether s. 31 of the
Unemployment Insurance Act, 1971 violated s. 15 of the Charter.
Similarly, the remedy would have required the Board to disregard s. 31 when
awarding the respondent benefits, assuming it found s. 31 to be inconsistent
with the Charter. As I indicated above, under the legislative scheme
described in the Act, such a determination rested within the
jurisdiction of the Umpire, not the Board of Referees.
[103] It is
trite law that the Supreme Court may overturn its precedents, especially given
its recent discussion of stare decisis in Canada v. Craig, 2012
SCC 43 (“Craig”). In Craig, the Supreme Court considered a decision
on appeal from this Court in which we declined to apply a binding Supreme Court
precedent, Moldowan v. Canada, [1978] 1 S.C.R. 480 (“Moldowan”).
This Court instead chose to follow its own decision in Gunn v. Canada,
2006 FCA 281, which, in diverging from Moldowan, took into account the
significant criticism that Moldowan had garnered from the tax bar. While
the Supreme Court ultimately dismissed the appeal and took it upon itself to
reverse Moldowan, this was not without comment that the Federal Court of
Appeal should not have disregarded binding precedent. Rothstein J., for a
unanimous court, wrote:
[18] There is no
doubt that Dickson J.’s interpretation of s. 13(1) in Moldowan, is a
precedent binding on the Federal Court of Appeal and the Tax Court of Canada.
While Gunn agreed with much of what Dickson J. wrote in Moldowan,
on the crucial question of whether farming as a source of income could be
subordinate to another source and still avoid the loss deduction limitation of
s. 31(1), Gunn departed from Moldowan, a precedent binding on the
Federal Court of Appeal.
[19] One of the
fallouts from Gunn is that it left the Tax Court of Canada and the
Federal Court of Appeal itself in the difficult position of facing two
inconsistent precedents and having to decide which one to follow. The
uncertainty which the application of precedent is intended to preclude is seen
in the decisions since Gunn, in which the Tax Court has acknowledged Moldowan
as the leading case while also feeling bound to follow Gunn: Stackhouse v.
R., 2007 TCC 146, [2007] 3 C.T.C. 2402, Falkener v. R., 2007 TCC
514, [2008] 2 C.T.C. 2231, Loyens v. R., 2008 TCC 486, [2009] 1 C.T.C.
2547, Johnson v. The Queen, 2009 TCC 383, 2009 D.T.C. 1245, Scharfe
v. The Queen, 2010 TCC 39, 2010 D.T.C. 1078, and Turbide v. The Queen,
2011 TCC 371, 2011 D.T.C. 1347. And of course the Federal Court of Appeal
followed Gunn in the instant case.
[20] It may be
that Gunn departed from Moldowan because of the extensive criticism of Moldowan.
Indeed, Dickson J. himself acknowledged that the section was “an awkwardly
worded and intractable section and the source of much debate”. Further, that
provision had not come before the Supreme Court for review in the three decades
since Moldowan was decided.
[21] But
regardless of the explanation, what the court in this case ought to have done
was to have written reasons as to why Moldowan was problematic, in the
way that the reasons in Gunn did, rather than purporting to overrule it.
[22] The Federal
Court of Appeal, on the basis of its prior decision in Miller v. Canada
(Attorney General), 2002 FCA 370, 220 D.L.R. (4th) 149, in which that court
reaffirmed the rule that it would normally be bound by its own previous
decisions, followed Gunn, and not Moldowan. The application of Miller
and the question of whether the Federal Court of Appeal should have followed Gunn
simply did not arise, in view of the Moldowan Supreme Court precedent.
[23] The Federal
Court of Appeal’s purported overruling of Moldowan does not, however,
affect the merits of this appeal or the core question of whether Moldowan
should in fact be overruled.
[104] Consequently,
with respect to the contrary view, it is not up to us to overturn Tétreault-Gadoury,
particularly where the Supreme Court, although given many opportunities to do
so, has not overturned that decision. Also, I need not speculate as to whether
the Supreme Court would decide Tétreault-Gadoury differently if it were
given the opportunity today. Tétreault-Gadoury was decided in 1991 and
remains binding precedent until the Supreme Court decides that it is no longer
good law.
[105] For these
reasons, I conclude that Tétreault-Gadoury remains good law and that, as a result, the
Umpire made no error in determining that he was bound by it.
C. The
Third Issue: Whether the Umpire erred in determining that the parental benefits
provisions did not infringe subsection 15(1) of the Charter
[106] The applicant
argues that to the extent that the provisions at issue are read to contain a
“per pregnancy restriction”, they violate subsection 15(1) of the Charter.
[107] While agreeing
with the Umpire that the first part of the Kapp test was met, i.e.,
that the Act drew a distinction between a multiple birth and a two-child
situation and that the distinction was based on the analogous ground of
parental or family status, the applicant takes issue with the Umpire’s
determination with regard to the second part of the test.
[108] More
particularly, he says that the Umpire disregarded the differential impact the Act
had on parents of multiple birth children and the children themselves and how
the parents and the children are affected by differential access to parental
benefits, adding that the main cause of the differential impact was “the
attention/presence (or lack thereof) from parents in their first year”
(Applicant’s Memorandum, paragraph 88). Thus, in the applicant’s view,
restricting the benefits available to parents of twins to those available to
parents of a singleton birth leads to the aforesaid differential impact.
[109] The respondent
takes the position that the Umpire was correct in concluding that the parental
provisions of the Act were not discriminatory and thus did not infringe
the appellant’s Charter rights under subsection 15(1).
[110] More
particularly, although critical of the Umpire’s finding under the first part of
the Kapp test that the Act created a distinction between parents
of twins and others on the basis of parental or family status, the respondent
says that the Umpire’s determination under the second part of the test is
faultless, i.e. that the Umpire concluded correctly that the parental
benefits scheme of the Act did not perpetuate prejudice or stereotypes.
[111] In support of
his submission, the respondent points to the purpose and objectives of the
provisions of the Act at issue and says that when these provisions are
examined in their proper light, it becomes apparent that the scheme does not
violate subsection 15(1) of the Charter. Specifically, the respondent
says that the benefits payable under the scheme are there to provide limited
income support to claimants who are absent from the workforce to, inter alia,
care for one or more children, emphasizing that there is no correlation between
parental benefits and the number of children, the expenses associated with
childcare, or the particular needs or circumstances of individual claimants. In
other words, the raison d’être of the scheme set out in the Act
is to provide to claimants temporary partial replacement of their income on the
basis of uniform eligibility and entrance requirements.
[112] In my opinion,
the Umpire made no error in determining, under the second part of the Kapp
test, that the distinction made by the Act between the parents of twins
and others did not create a disadvantage by perpetuating prejudice or
stereotyping. Consequently, I need not address the respondent’s criticism of
the Umpire’s finding under the first part of the test. As I substantially agree
with the reasons given by the Umpire (which I have set out at some length in
these Reasons), I will only address a number of specific points raised by the
applicant. In all other respects, I adopt the Umpire’s reasons.
[113] In order to
answer the question of whether the distinction made by the Act created a
disadvantage by perpetuating prejudice or stereotypes, the Umpire considered the
four contextual factors which the Supreme Court enunciated in Law and Kapp.
With regard to the first factor, he found that the parents of twins had not
experienced pre-existing disadvantage, stereotyping, vulnerability or
prejudice. The applicant argues that parents of multiple birth children feel isolated,
are isolated, receive little by way of public support compared to the majority
of parents, and assume an enormous financial and emotional responsibility;
“these are the classic marks of a discrete and insular minority” (Applicant’s
Memorandum, paragraph 111).
[114] The applicant further
says that parents like him and his spouse, in addition to sharing the hardship
suffered by all parents of newborn children, suffer additional hardship by
reason of a multiple birth and, hence, that this group, this minority, “is
particularly vulnerable before and after childbirth” (Applicant’s Memorandum,
paragraph 113), more so because they experience higher pre-term issues,
additional medical problems, increased parental depression and stress, and
lower levels of cognitive ability or social skills in the case of the children.
Consequently, in the applicant’s submission, the parents of twins must
inevitably leave their work temporarily to provide a reasonable level of care
for their children. In the applicant’s view, he and his spouse were “forced to
choose between serious potential problems for their children or the income they
desperately need to raise their children” (Applicant’s Memorandum, paragraph
113).
[115] Thus, the
applicant asserts that parents of multiple birth children suffer from
pre-existing disadvantage and vulnerability and that, in not specifically addressing
their interests, the Act sends a strong signal that the law perpetuates
prejudice through disadvantage.
[116] I cannot agree.
The essence of the Umpire’s determination, with which I agree entirely, is that
there was no evidence demonstrating that parents of twins were subject to
unfair treatment in society and that they had consequently experienced
historical disadvantage, stereotyping, vulnerability or prejudice based on
their status. To this I would add that although the care of twins or, for that
matter, any other multiples, necessarily involves more work than caring for a
single child, it does not establish the kind of historical disadvantage that
perpetuates prejudice or stereotyping as contemplated by the Supreme Court in Law.
[117] In my view, as
the Umpire correctly pointed out, the scheme of the Act was not intended
to address the particular burdens or difficulties experienced by parents, but
rather it was concerned with compensating parents for the interruption of their
earnings resulting from their taking time off to care for their children. There
is no basis whatsoever to assert, as the applicant does, that his group suffers
from pre-existing disadvantage and vulnerability and that the scheme of the Act
sends a message which perpetuates prejudice through disadvantage.
[118] I now turn to
the second contextual factor, i.e., the relationship between the grounds
upon which the claim was based and the actual needs, capacity or circumstances
of the claimant or others targeted by the legislation.
[119] Although there
is no evidence that the parents of twins have been historically disadvantaged,
the applicant may nonetheless demonstrate that any disadvantage resulting from
the law is premised on a stereotype that does not correspond to the actual
circumstances of his group. In Withler, the Supreme Court recognized
that complex benefit schemes, such as the one before us in this matter, are
designed for a number of groups in different circumstances and with different
interests. Consequently, the question is whether the boundaries drawn by
Parliament are reasonable, having regard to the circumstances of the groups
affected and the object of the scheme.
[120] Although the
applicant accepts, as he must, that it is in Parliament’s power to draw the
line in a complex benefit scheme and that perfect correspondence is not the
purpose of section 15, he says that the “per pregnancy” restriction affects
everyone in his group and, consequently, the lines drawn by Parliament are not
appropriate.
[121] The applicant
also challenges the Umpire’s assertion, found at page 34 of his decision, that
the applicant could not provide “clear boundaries for the future in terms of
access to parental benefits”. In his view, there was an easy remedial boundary and
that was the one already adopted by Parliament when two children came into the
care of their parents from two events. Thus, two parental leave benefits, or
one per child to a maximum of two, given that there were two claimants.
[122] Finally, at
paragraph 128 of his Memorandum, the applicant sets out the substance of his
arguments regarding the second factor:
128. Absent any evidence for
the “per pregnancy” restrictions, it is hard to see how the Applicant and his
group, comprised exclusively of parents who meet all of the insurance
requirements in the EI Act, can be told that, at the level of setting
the quantum of benefits, the number of children matters in all cases except in
theirs, without feeling that somehow their multiple birth is being regarded as
less worthy of recognition by a system that otherwise tries to respect parental
choices to interrupt work to care for children. The fact that all multiples’
parents and their children are differentially impacted heightens the unfairness
and the sense that the multiples’ family, despite meeting all the same criteria
as other two-parent families, is less worthy of the EI Act’s attempts to
help parents care for and nurture their children.
[123] I begin by
reiterating what I have already said, and that is that the parental benefits
scheme set out in the Act is not a social welfare program in which the
financial needs or circumstances of each individual participant is considered
in determining eligibility, entitlement and the rate of weekly benefits.
Rather, the Act intends to benefit different kinds of claimants by
providing temporary partial income replacement to those who suffer an
interruption of earnings and in regard to which they must meet the eligibility
and entrance requisites.
[124] It is therefore in
that context that the Umpire correctly found that there was sufficient
flexibility in the Act to accommodate, albeit not in a perfect way, the
needs of parents of children who impose a greater burden than other children. I
can see no basis to disagree with the Umpire. In my respectful view, the thrust
of the applicant’s assertion is that he and others in his group should receive
greater benefits than those which they are entitled to under the Act
because those in his group, the parents of multiple birth children, must assume
a greater burden than the parents of singletons. With respect, I do not
understand how a complex scheme such as that found in the Act can meet
those expectations. In other words, it is impossible for the scheme to meet the
particular needs and circumstances of all the different claimants. In my view,
it certainly cannot be said that the lines drawn by Parliament are
inappropriate.
[125] Again I see
nothing in the provisions at issue that would lead me to conclude that they
operate by way of stereotypes. It also cannot be said that because those in the
applicant’s group do not receive 70 weeks of parental benefits for the care of
their children, the legislation considers them less worthy than the parents of
singletons.
[126] In closing on
this factor, a few words concerning the applicant’s criticism of the Umpire’s
statement that he could provide no clear boundaries for the future in terms of
access to parental benefits. In my view, that criticism is unfounded. The simple
answer is found in the respondent’s Memorandum, at paragraphs 134 to 136, where
the respondent says:
While the Applicant’s proposal
may have intuitive appeal, this remedy is neither simple nor confined as the
Applicant suggests. Rather, it fails to provide any parameters with respect to
how the parental benefits scheme would operate if the individual needs of
parents were taken into account when determining how many weeks of parental
benefits should be paid.
For example, how many weeks of
benefits should be paid in respect of triplets or quadruplets? Would the EI
Commission, in recognition of the increased need, be required to provide
parental benefits to a third party caregiver, such as a family member? Surely
claimants in these situations would argue that their increased needs are no
less worthy of consideration than the needs of parents of twins.
This remedy further fails to
address the question of how the EI Commission should treat other parents who
may encounter increased needs because of a characteristic of their family or
children. For instance, single parents would likely argue that their
circumstances warrant an increase in benefits due to the particular challenges
of raising children alone.
[127] I agree entirely
with the respondent’s submissions which, in my view, provide strong support for
the view taken by the Umpire that there was sufficient flexibility in the Act
to accommodate, in an appropriate manner, the needs and circumstances of those
in the applicant’s group.
[128] With respect to
the third contextual factor, i.e., the ameliorative effect of the law or
program, both sides agree with the Umpire’s conclusion that this factor was not
relevant in the present matter.
[129] I now turn to
the last contextual factor, i.e., the nature of the interest affected.
[130] With respect to
this factor, the Umpire found that the only interest affected was one of an
economic nature and that the applicant had failed to show that in denying him
parental benefits, the provisions at issue had in not in any way affected his
“access to fundamental institutions or a basic aspect of his full membership in
Canadian society” (Umpire’s decision, page 36). As a result, he opined that the
applicant’s economic interest was insufficient to justify a finding of
discrimination.
[131] In the applicant’s
view, the Umpire “downgraded” the interest which he and his group had at stake
in these proceedings, adding that because the Act was an important part
of Canada’s social fabric, its effect impacted on all of our working lives,
from sickness to pregnancy, the care of children and relatives and,
consequently, its imprint went to the core of human identity. Consequently,
since those in the applicant’s group were similarly treated differently from
others, i.e. one parental benefit, their case represented what he
characterizes as “a classic example of severe and localized consequences”.
Thus, he submits that the denial to his group of full access to an important
marker of membership in Canadian society constitutes a significant sign of
discrimination.
[132] In conclusion,
the Umpire carefully considered the evidence and the submissions put forward by
the applicant. In doing so, he considered the contextual factors enunciated by
the Supreme Court in Law and Kapp, and he kept in mind that these
factors were not meant to lead to a rigid examination but, on the contrary,
were meant to facilitate an inquiry as to whether the impugned law undermined
or violated the equality guarantee found in subsection 15(1) of the Charter.
In my respectful opinion, the Umpire made no reviewable error in concluding
that the provisions at issue were not discriminatory and, hence, did not
violate subsection 15(1) of the Charter.
Disposition
[133] For these
reasons, I would dismiss the application for judicial review. As the respondent
is not seeking costs, I would make no award in regard thereto.
“M. Nadon”
“I
agree.
Eleanor
R. Dawson J.A.”
“I
agree.
David
Stratas J.A.”