Date:
20100222
Docket: A-129-08
A-130-08
A-139-08
Citation: 2010 FCA 56
CORAM: SEXTON
J.A.
EVANS
J.A.
RYER
J.A.
Dockets A-130-08 and A-129-08
BETWEEN:
Public Service Alliance of Canada
Appellant
and
Canada Post Corporation and Canadian
Human Rights
Commission
Respondents
Docket A-139-08
BETWEEN:
Canadian Human Rights Commission
Appellant
and
Canada Post Corporation
Public Service Alliance of Canada
Respondents
REASONS FOR JUDGMENT
SEXTON J.A.
AND RYER J.A.
I. INTRODUCTION
[1]
For convenience, these reasons are organized under the following
headings:
Paragraph
I.
INTRODUCTION .............................................................................................................. 1
II.
PROCEDURAL HISTORY
............................................................................................ 11
III.
RELEVANT STATUTORY PROVISIONS ................................................................. 14
IV.
BACKGROUND ............................................................................................................ 15
A.
INVESTIGATION OF THE COMPLAINT ...................................................................... 15
B.
THE TRIBUNAL INQUIRY .............................................................................................. 25
V.
DECISIONS BELOW ..................................................................................................... 32
A.
CANADIAN HUMAN RIGHTS TRIBUNAL ................................................................... 32
(a)
Element One – the comparator group .................................................................................. 35
(b)
Element Two – employment in the same establishment ......................................................... 39
(c) Element
Three –work of equal value ................................................................................... 41
(d)
Element Four – wage gap ................................................................................................... 60
(e) Remedy
............................................................................................................................. 64
B.
FEDERAL COURT ........................................................................................................... 68
(a)
Applicability of 1986 Guidelines .......................................................................................... 69
(b)
Standard of Proof .............................................................................................................. 70
(c)
Comparator Group ............................................................................................................. 78
(d)
Presumption ....................................................................................................................... 79
(e)
Damages ............................................................................................................................ 80
(f)
Disposition .......................................................................................................................... 81
VI.
ISSUES ........................................................................................................................... 82
VII.
ANALYSIS .................................................................................................................... 84
A.
THE ROLE OF THE COURT IN THIS APPEAL ............................................................. 84
B.
WHETHER THE TRIBUNAL ERRED BY FAILING TO MAKE A
NECESSARY
FINDING .................................................................................................. 85
(a) Standard
of review ............................................................................................................ 87
(b)
The general approach to analyzing elements of a case of wage discrimination ....................... 88
(c)
The Tribunal’s approach to finding elements of a case of wage discrimination ....................... 98
(i) Element One – the comparator group.............................................................................
99
(ii) Element Two – employment in the same establishment ................................................ 101
(iii) Element Three – work of equal value ........................................................................ 103
C. WHETHER
THE TRIBUNAL APPLIED THE INCORRECT
STANDARD
OF PROOF ............................................................................................... 128
(a)
Standard of Review...........................................................................................................
130
(b)
Did the Tribunal apply the Correct Standard of Proof.........................................................
131
VIII.
CONCLUSION AND DISPOSITION
..................................................................... 142
[2]
The Public Service Alliance of Canada (“PSAC”)
filed a complaint (the “Complaint”) against Canada Post Corporation (“CPC”) in
1983, alleging discrimination by CPC against “employees in the female-dominated
Clerical and Regulatory Group” by paying “employees in the male-dominated
Postal Operations Group” more than the Clerical and Regulatory Group employees
for work of equal value, contrary to section 11 of the Canadian Human Rights
Act.
[3]
In 2005, the Canadian Human Rights Tribunal (the
“Tribunal”) finally released a decision upholding the Complaint.
[4]
In 2008, the Federal Court allowed an
application for judicial review brought by CPC and directed that the Complaint
be dismissed.
[5]
In order for the Complaint to be upheld, the
Tribunal itself determined, and it was not disputed, that among other things, it
was required to make findings that the four elements of a case of wage
discrimination had been established. The Tribunal described all four of these
elements in its reasons. The third element is a finding that a comparison of
the work of the two groups reveals that they were performing work of equal
value. Again, it is not disputed that PSAC must establish this on a balance of
probabilities.
[6]
There are three steps that the Tribunal is
required to take when determining whether each necessary element is satisfied.
In the first step, the Tribunal must determine whether evidence relating to
that element is admissible. In the second step, the Tribunal must determine the
weight that should be given to that admissible evidence. This turns on the
reliability of the admissible evidence. Finally, in the third step, the
Tribunal must determine if that admissible evidence, taking into account its
reliability, establishes the element on the appropriate standard of proof. The
Tribunal erred in this case by failing to determine if the admissible evidence,
taking into account its reliability, established the third element on a balance
of probabilities. The Tribunal prematurely concluded its analysis of the third
element at the second step after considering admissibility and weight.
[7]
Instead of considering whether the third element
was satisfied on a balance of probabilities, the Tribunal purported to apply
the balance of probabilities standard in deciding that the job information pertaining
to the work being compared, an essential component of the work of equal value
requirement, was “reasonably reliable, albeit at the lower reasonably reliable
sub-band level.” The Tribunal equated this to a 50% level of certainty. Even if
the language used by the Tribunal could somehow be construed as being a finding
of work of equal value, which we do not accept, the fact that the Tribunal used
a 50% level of certainty means that whatever their conclusion was, it was
something less than a balance of probabilities, which requires proof in excess
of 50%.
[8]
This is not a case about fundamental
jurisprudential pay equity concepts. Rather it is a case in which a tribunal
has made a reviewable error by awarding damages without establishing liability.
Specifically, liability was not established because the Tribunal, after
stipulating that four elements were required to find a case of wage
discrimination, only proceeded to find three of those elements.
[9]
We further note that the record and reasons of the
Tribunal in this case are not adequate to permit an appellate court to properly
resolve fundamental jurisprudential pay equity concepts. In addition to not
making a finding on the third element, the Tribunal also erred by failing to
define what work of equal value is and how the concept applied in this case.
Such an explanation is necessary to arrive at a finding of liability and
damages. An appellate court should not be put in the position of determining
the definition of work of equal value and its application to the present case
when the decision makers below have not addressed the matter. Hence, the record
in this case does not lend itself to the making of authoritative statements on
these concepts.
[10]
Since the Tribunal has failed to make a finding on
the third element of a case of wage discrimination and because both the
Tribunal and this Court believe such a finding to be absolutely necessary in
order to uphold the complaint, the appeals should be dismissed.
[11]
The three appeals (A-129-08, A-130-08 and
A-139-08) before the Court relate to two applications for judicial review of a
decision (the “Tribunal Decision”, 2005 CHRT 39) of the Tribunal
finding that the respondent, CPC, had engaged in a discriminatory practice, as
defined by section 11 of the Canadian Human Rights Act R.S.C. 1985, c.
H-6 (the “Act”), by paying employees in the male dominated Postal Operations
(“PO”) Group more than employees in the female dominated Clerical and
Regulatory (“CR”) Group. The two applications for judicial review were heard
together by Justice Kelen (“the Applications Judge”) in the court below (2008
FC 223).
[12]
In A-129-08 and A-139-08, PSAC and the Canadian
Human Rights Commission (“CHRC”) appeal the Applications Judge’s decision (the “Federal
Court Decision”) that the Tribunal Decision be set aside. In A-130-08, PSAC
appeals the Applications Judge’s dismissal of PSAC’s application for judicial
review of the portion of the Tribunal Decision that reduced the damages awarded
against CPC by 50 percent.
[13]
The three appeals were heard together by this
Court. These reasons will apply to each of the appeals. A copy of these reasons
will be filed as reasons for judgment in the Court file for each of the
appeals.
III. RELEVANT
STATUTORY PROVISIONS
[14]
The statutory provisions that are relevant to
the appeals are section 11 and subsections 27(2), 49(1) and 50(3) of the Act,
paragraphs 18.1(3)(b) and 52(b) of the Federal Courts Act, R.S.C. 1985,
c. F-7, sections 12 to 15 of the Equal Wages Guidelines, 1986,
S.O.R./86-1082 (the “1986 Guidelines”). These provisions are reproduced in the
appendix to these reasons.
IV. BACKGROUND
[15]
On August 24, 1983, PSAC filed a Complaint with
the CHRC which reads as follows:
It is alleged that the Canada Post
Corporation as Employer, has violated Section 11 of the Canadian Human
Rights Act by paying employees in the male-dominated Postal Operations
Group more than employees in the female-dominated Clerical and Regulatory Group
for work of equal value. The wage rates of the male-dominated Postal Operations
Group exceed those of the female-dominated Clerical and Regulatory Group by as
much as 58.9 percent for work of equal value. It is alleged that sex
composition of the two groups has resulted in wage discrimination against the
Clerical and Regulatory Group, contrary to Section 11.
Corrective Action:
1. That
all employees within the CR Group employed by Canada Post Corporation receive
wages, as defined in paragraph 11(6) [now section 11(7)] of the Canadian Human
Rights Act, equal to the wages of employees within the PO Group performing
work of equal value.
2. That
this corrective action be made retroactive to October 16, 1981.
[16]
The CR Group is made up of clerical and
regulatory workers. Typical position titles for workers in the CR Group include
benefits clerk, accounting clerk and accounts payable clerk. The PO Group
consists of workers who sort and deliver mail. Typical position titles for
workers in the PO Group include letter carrier, mail handler and manual
sortation clerk.
[17]
In essence, the Complaint alleges that the
employees in the male-dominated PO Group were paid higher wages than the
employees in the female-dominated CR Group who were performing work of equal
value to that which was performed by PO Group employees. The determination of
the equivalence of the value of the work that was performed by both groups
requires an assessment of the value of that work having regard to the composite
of skill, effort, responsibility and working conditions applicable to that
work. Job evaluation is the field of expertise that deals with these types of
assessments, which are called evaluations. The process of making these
assessments is known as evaluating. Job evaluations are the product of a
process in which a methodology, often called a plan, is applied to information
about the content of jobs being evaluated.
[18]
Prior to the filing of the Complaint, PSAC and
CPC had been working together with respect to the development of a job
evaluation system (“System One”) that was intended to permit an evaluation of
the jobs of all the CPC employees represented by PSAC. Throughout 1984 and part
of 1985, CHRC awaited the outcome of those efforts in the hope that System One
could be of use with respect to the Complaint.
[19]
Because of delays with respect to the
development of System One, beginning in October 1985 the CHRC pursued its
investigation of the Complaint more actively. To this end, the CHRC developed a
questionnaire (the “Job Fact Sheet”) to gather data from CR Group and PO Group
employees about, the skill, effort, responsibility and working conditions
applicable to their jobs.
[20]
In the summer of 1986, the Job Fact Sheets were
given to somewhere between 246 and 355 CR Group employees. The CHRC received
194 completed and usable Job Fact Sheets. To clarify responses to the Job Fact
Sheets, the CHRC developed an interview guide (the “Interview Guide”).
Follow-up interviews with the Job Fact Sheet respondents were completed by
December 1986 in accordance with the Interview Guide. From April to September
1987, the CHRC evaluated the sample of the 194 CR Group employees using System
One based on the information in the Job Fact Sheets and the follow-up
interviews, notwithstanding that it had not been completed and PSAC advised
against its use. Ultimately, these evaluations were not used in the final
investigative process.
[21]
Contrary to its original intention, the CHRC did
not use the Job Fact Sheets and the Interview Guide to collect data from the PO
Group employees similar to that obtained from the CR Group employees. This was
partially because CPC questioned the CHRC’s proposed sample size and refused to
permit PO Group employees to complete the Job Fact Sheets during normal working
hours. Additionally, the PO Group employees were represented by a union other
than PSAC, the Canadian Union of Postal Workers (“CUPW”), and CUPW refused the
CHRC’s request that the PO Group employees fill-out the Job Fact Sheets outside
normal working hours.
[22]
To compensate for the lack of actual information
with respect to the work performed by the PO Group employees, from July to
October 1991, the CHRC created 10 generic job specifications for PO Group
employees, using information provided by CPC in 1990 and 1991. While the CR
Group sample included supervisors at the CR-5 level, the generic job
specifications did not include the PO supervisors sub-group (“PO-SUP”) because
the CHRC decided that it would be too onerous to fit the wide range of tasks
performed by PO-SUP employees into the generic job specifications.
[23]
In July 1991, using the 194 CR Group responses,
the CR Group interviews and the PO Group generic job specifications, the CHRC
began an evaluation using an off-the-shelf plan, the XYZ Hay Plan, for
evaluating jobs for the purpose of a pay equity analysis. This plan was
selected, at least in part, because System One could only be used to evaluate
positions held by employees represented by PSAC, and a number of employees in
the PO Group were represented by CUPW. As a result, the evaluation generated
using this plan did not rely upon the earlier evaluation of the CHRC that
utilized System One. In order to make the evaluation more manageable, the CHRC
reduced the CR Group sample to 93 employees in September 1991.
[24]
The CHRC’s evaluation (the “CHRC Evaluation”)
was completed in November 1991. This evaluation formed the basis of the CHRC’s
Final Investigation Report (the “Report”), dated January 24, 1992, which
concluded that there was a wage difference when comparing the wages and job
evaluations of the CR and PO Groups, as alleged in the Complaint. After
considering the Report, the Commissioners of the CHRC referred the Complaint to
the Tribunal for an inquiry on March 16, 1992, pursuant to subsection 49(1) of
the Act.
[25]
The Tribunal panel was struck on May 11, 1992
and hearings commenced on November 25, 1992. Written and oral submissions were
completed on August 27, 2003. The Chair of the Tribunal retired in June 2004.
Additional written submissions were made in August 2004. The Tribunal Decision
was released on October 7, 2005, over two years after the conclusion of the
hearing.
[26]
After the Tribunal had begun hearing evidence, it
became apparent that there were serious deficiencies in the CHRC Evaluation. As
a result, PSAC engaged three professional job evaluators (the “Professional
Team”), Dr. Bernard Ingster, Dr. Martin G. Wolf and Ms. Judith Davidson-Palmer.
Dr. Wolf was the spokesperson of the group and the Tribunal qualified him as an
expert in Hay-based job evaluation and Hay-based compensation. PSAC asked the
Professional Team to review of the CHRC Evaluation and to undertake independent
evaluations. Ultimately, both the CHRC and PSAC relied exclusively on the
Professional Team’s evaluations to substantiate the Complaint.
[27]
In May and June of 1993, the Professional Team
conducted its initial evaluation (the “Phase One evaluation”). To conduct this
evaluation, the Professional Team supplemented the information used in the CHRC
Evaluation with information from its own interviews with CR Group employees that
it conducted in May 1993. Where a respondent could not be reached, the
Professional Team tried to interview a stand-in. It is not clear how many of
the Professional Team’s interviews were conducted with stand-ins, but the
Tribunal found that of a total of 93 possible telephone interviews, 59 were
completed.
[28]
In September 1994, the Professional Team
attempted to conduct interviews for 97 of the CR Group positions that were
omitted from the CHRC Evaluation and 55 of these interviews were completed. The
information obtained in these interviews, combined with information gathered by
the CHRC, was used by the Professional Team in November and December 1994 to
evaluate the 97 CR Group positions that were omitted from the CHRC Evaluation.
This second evaluation was called the Phase Two evaluation.
[29]
Based on its Phase One and Phase Two
evaluations, members of the Professional Team prepared two reports. The first
report (the “Professional Value Report”), dated January 1995, was prepared by
Dr. Wolf in consultation with Dr. Ingster and Ms. Davidson-Palmer. The
Professional Value Report concludes at page 6:
Based on the findings of the total
evaluation process in Phases One and Two, the consultants concluded that the
rigorous application of the Hay Guide Chart-Profile Method of job evaluation
produced substantial evidence that 122 of the 194 incumbents (62.9%) holding CR
positions included in this study were in jobs with content greater than one or
more of the ten PO jobs covered by these analyses.
In light of further information provided by
CPC, the Professional Team later revised the 62.9% figure to 34.2%.
[30]
The second report (the “Professional Wage Gap
Report”), dated February 1995, was prepared by Dr. Wolf alone. The Professional
Wage Gap Report calculates the relationships between the hourly rates of pay of
PO Group jobs and the value of PO Group jobs, as determined by the Professional
Team’s evaluations for 1983, 1989 and 1995, using several different approaches.
The Professional Wage Gap Report concludes that, under any of its approaches,
there is “a significant gap between the wages paid to CR’s and to PO’s performing work of equal value.”
[31]
To support its position that the methods of the
CHRC and the Professional Team were insufficient to substantiate the Complaint,
CPC called three expert witnesses, Ms. Nadine Winter, Mr. Norman Willis and Mr.
P.G. Wallace. The three experts’ critiques of the Professional Team’s method
highlighted the failure of the Professional Team to follow the industry standard
application of the Hay Method and the inapplicability of the Hay Method to
clerical and blue collar positions.
[32]
In its reasons, the Tribunal addressed the
following four fundamental issues:
(a) Does the ability of the CHRC to issue Equal Wage
Guidelines that are binding on the Tribunal create a reasonable
apprehension of bias?
(b) Can the 1986 Guidelines be applied to the Complaint, even
though it was filed in 1983?
(c) Can factors other than those identified in the 1986
Guidelines be used to rebut the presumption that when men and women are paid
different wages for work of equal value, that difference is based on sex?
(d) Has the complainant established a prima facie case
of discrimination under section 11 of the Act on a balance of probabilities?
[33]
In view of our disposition of this appeal, it
will only be necessary to consider the Tribunal’s analysis with respect to the
last issue.
[34]
In paragraph 254 of its reasons, the Tribunal
determined that each element of section 11 of the Act had to be substantiated
on a balance of probabilities in order to substantiate the Complaint. In
assessing the value of the work that is being compared, the Tribunal found, at
paragraph 255 of its reasons, that the criterion in subsection 11(2) of the Act—the
composite of the skill, effort and responsibility required in the performance
of the work and the conditions under which the work is performed—was required
to be used. The Tribunal went on to state, at paragraph 256 of its reasons,
that discrimination based on sex will be presumed when a difference in wages
has been found to exist between male and female employees, employed in the same
establishment, performing work of equal value. At paragraph 257 of its reasons,
the Tribunal set forth its determination of the four elements that were
required to be proven, on a balance of probabilities, to establish a prima
facie case of discrimination as alleged in the complaint:
(1) The
complainant occupational group is predominantly of one sex and the comparator
occupational group is predominantly of the other sex. In this Complaint, that
means the complainant CR's must be predominantly female and the comparator PO's
must be predominantly male.
(2) The
female-dominated occupational group and the male-dominated occupational group
being compared are composed of employees who are employed in the same
establishment.
(3) The value of
the work being compared between the two occupational groups has been assessed
reliably on the basis of the composite of the skill, effort, and responsibility
required in the performance of the work, and the conditions under which the
work is performed. The resulting assessment establishes that the work being
compared is of equal value.
(4) A comparison
made of the wages being paid to the employees of the two occupational groups
for work of equal value demonstrates that there is a difference in wages
between the two, the predominantly female occupational group being paid a
lesser wage than the predominantly male occupational group. This wage
difference is commonly called a “wage gap”.
In these reasons, these four elements are referred to as
“element one”, “element two”, “element three” and “element four” respectively.
[35]
Relying on sections 12 and 13 of the 1986
Guidelines, the Tribunal held that the PO Group was a male dominated occupational
group and the CR Group was a female dominated occupational group. The Tribunal
found that in 1983, just over 80 percent of the 2,316 employees in the CR Group
were female. At the same time, just over 75 percent of the 50,912 employees in
the PO group were male. In
1992, the time of the referral of the Complaint to the Tribunal, the CR Group
was over 83 percent female and the PO Group was over 71 percent male.
[36]
CPC challenged the selection of the PO Group as
a comparator on the grounds that the PO Group employees should not be viewed as
a single group. They opposed the use of a comparator group hand-picked by PSAC
and featuring the highest paid group of women working for CPC. Instead, CPC
suggested that the PO-4 level of the PO Group should be used as the comparator
since it was the most representative of the PO Group. Since the PO-4 level was
53 percent male and 47 percent female in 1983, it was not male dominated under
the 1986 Guidelines and hence CPC argued that the first element of the prima
facie case of discrimination was not established. Furthermore, CPC argued
that PSAC selected the PO Group as a comparator because it was highly paid and
that this was inappropriate “cherry picking”.
[37]
The Tribunal rejected the argument that the PO
Group should not be viewed as a single group, because the federal government
job classification inherited by CPC from the Post Office Department of the
Government of Canada is important in the designation of an “occupational group”
under the 1986 Guidelines. The Tribunal also rejected CPC’s suggestion that the
complainant was “cherry picking” the comparator group. It noted that the PO
Group represented approximately 80 percent of the CPC workforce and that by
virtue of its size, its selection therefore could not have constituted “cherry
picking”. Additionally, the only other possibilities, the General Labour and
Trades and General Services Groups, represented only a small percentage of CPC
employees, and the Tribunal found there was no evidence that their work was at
all similar to that performed by employees in the CR Group.
[38]
At paragraph 283 of the Tribunal Decision, the
Tribunal stated its conclusion with respect to this element of subsection 11(1)
of the Act, as follows:
Accordingly, the Tribunal finds
that the complainant, a predominantly female occupational group, and the
comparator, a predominantly male occupation group, are appropriately designated
under section 11 of the Act and the 1986 Guidelines as
representative groups for comparison of work generally performed by women and
work generally performed by men. Therefore, the first element necessary to
the establishment of a prima facie case under section 11 of the Act
has been met. [Emphasis added.]
[39]
The Tribunal next considered whether the CR and
PO Groups were both employed in the same establishment and in particular,
whether a geographical or functional definition of establishment was applicable.
In the Tribunal’s view, employees are in the same geographical establishment
where they work in the same building, municipality or district. In contrast,
employees are in the same functional establishment where they are subject to a
common set of personnel and wage policies. Relying on this Court’s decision in Canada
(Canadian Human Rights Commission) v. Canadian Airlines International Ltd.,
2004 FCA 113, 238 D.L.R. (4th) 255, the Tribunal eschewed a geographical
definition of establishment and adopted a functional one.
[40]
The Tribunal then determined that the evidence
before it demonstrated that the CPC was a well integrated business with
considerable corporate level policy direction, leading it to reach its
conclusion with respect to this element. Specifically, at paragraphs 353 and
354 respectively of its reasons, the Tribunal stated:
Therefore, the Tribunal finds
that all employees of Canada Post have been, as applicable, subject to the
various common corporate policy directives issued by the Corporation, including
those respecting personnel and wage policies. As a result, the Tribunal finds
that, for the purposes of section 11 of the Act, the employee groups
representing the complainant and the comparator are employed in the same
establishment.
Accordingly, the second
element necessary to the establishment of a prima facie case under
section 11 of the Act has been met. [Emphasis added.]
(c) Element Three – work of equal value
[41]
The Tribunal framed the question with respect to
this element as whether the comparison of the work of the Complainant group and
the Comparator group establish that the work being compared is equal in value.
Further, the Tribunal stated, at paragraph 355 of its reasons:
… To be able to come to a reasonable
conclusion concerning the value of the work performed by the complainant and
the comparator occupational groups, the evaluation process as a whole must be
reliable, on a balance of probabilities.
[42]
The Tribunal accepted the importance of
undertaking job evaluations with reliable job information and with a reliable
job evaluation plan. At paragraph 358 of its reasons, the Tribunal reproduced a
portion of a booklet, entitled “Implementing Pay Equity in the Federal
Jurisdiction”, that was put into evidence by the CHRC. The Tribunal accepted
the booklet as a general guide with respect to the collection and processing of
information that should, given an acceptable job evaluation plan and competent
evaluators, result in the determination of reliable values of work being
assessed and compared. The first sentence of the booklet that was reproduced by
the Tribunal, in paragraph 358 of its reasons, reads as follows:
Job evaluation plans are the key to
determining what constitutes “work of equal value”.
Later, the following sentence appears:
Because pay equity is premised on the
assumption that the worth of different positions across an organization should
be compared, use of a single plan to evaluate all jobs is essential.
[43]
The Tribunal also noted
that the booklet was not developed for use in a litigious context.
[44]
The Tribunal then specified, at paragraph 362 of
its reasons, the issues that it intended to address with respect to this
element of the requirements of subsection 11(1) of the Act:
Consequently, the issues which
will be addressed are as follows:
1. What
job evaluation system, or plan, was used to undertake the evaluation of the CR
and PO jobs/positions, and how reliable was it?
2. What
process was used and how reliable was it in analyzing the collected job
data/information for purposes of assigning values to the CR and PO jobs/positions considered?
3. What
job data/information was collected, and from what sources, and how reliable was
it?
4. What
were the resulting values attributed to the various CR and PO jobs/positions,
and how reliable were they?
[45]
The Tribunal turned its mind to the basis upon
which it was required to approach the resolution of these issues, stating, at
paragraph 410 of its reasons, that there is support for “a flexible case-by-case approach to the
determination of how the concept of equal pay for work of equal value is to be
effected”.
[46]
At paragraph 411 of its reasons, the Tribunal
quoted from the decision of Justice Hugessen in Public Service Alliance of Canada
v. Canada (Department of National Defence), [1996] 3 F.C. 789,
[1996] F.C.J. No. 842 (C.A), which places the burden of proof in pay equity
disputes at the ordinary civil burden of a balance of probabilities. At
paragraph 412, the Tribunal framed the issue before it:
These
rulings support a call for a standard of reasonableness, there being no such
thing as absolute reliability. The application of such a standard will depend
very much on the context of the situation under examination. The issue is, then,
given all the circumstances of the case before this Tribunal, is it more likely
than not that the job information, from its various sources, the evaluation
system and the process employed, and the resulting evaluations are, despite any
weaknesses, sufficiently adequate to enable a fair and reasonable conclusion to
be reached, as to whether or not, under section 11 of the Act, there were
differences in wages for work of equal value, between the complainant and
comparator employees concerned?
[47]
In this paragraph, which is in the portion of
the Tribunal’s reasons dealing with the question of whether the work being
compared is equal in value, the Tribunal frames the issue as whether four
things, namely, the job information, the evaluation system, the process
employed and the resulting valuations are sufficiently adequate to permit a
conclusion to be reached with respect to whether or not there are differences
in wages for work of equal value. In particular, the Tribunal focuses on
whether these four things are reasonably reliable.
[48]
At paragraph 555 of its reasons, the Tribunal
reaffirms its focus on “reasonable reliability”, stating:
Each of the elements necessary
in testing reasonable reliability should be examined. In other words, the job
evaluation system chosen should be reasonably reliable, the process and
methodology used in evaluating the relevant jobs/positions should be reasonably
reliable, and the job Information and its sources should be reasonably
reliable. The findings of the Tribunal should be based on the civil standard of
a balance of probabilities.
It is of note that the Tribunal did not
refer to the fourth item that it referred to in paragraph 412 of its reasons,
namely the “resulting evaluations”.
[49]
The Tribunal went on to determine that reasonable
reliability was present on a balance of probabilities.
[50]
With respect to the job evaluation system and
the process, the Tribunal, at paragraphs 571 and 593 respectively, stated:
Therefore, the Tribunal finds
that, on a balance of probabilities, the Hay Plan, whether using the factor
comparison method or other approaches, is, in the hands of competent evaluators
as were the members of the Professional Team, a suitable overall job evaluation
scheme which will address the issues of this “pay equity” Complaint in a
reasonably reliable manner.
Therefore, the Tribunal finds
that it is more likely than not that the evaluation process which the
Professional Team used in its work was reasonably reliable.
[51]
The Tribunal acknowledged that the determination
of reasonable reliability with respect to the matter of job information was a
daunting task and in paragraph 673, framed the question as follows:
… But, given the somewhat painful and
prolonged circumstances of the case before this Tribunal, was the job information
“good enough” on a balance of probabilities, to generate reasonably reliable
job/position values that, in turn, could be used to demonstrate whether there
was a wage gap?
[52]
To assist in its determination of whether the
job information used by the Professional Team was reasonably reliable, at
paragraph 679 of its reasons, the Tribunal referred
to a passage from S.M. Waddams, The Law of Damages, looseleaf (Toronto:
Canada Law Book Inc., 1991) at 13-2:
In Anglo-Canadian
law ... the courts have consistently held that if the plaintiff establishes
that a loss has probably been suffered, the difficulty of determining the
amount of it can never excuse the wrongdoer from paying damages. If the amount
is difficult to estimate, the tribunal must simply do its best on the material
available, though of course if the plaintiff has not adduced evidence that
might have been expected to be adduced if the claim were sound, the omission
will tell against the plaintiff. In Ratcliffe v. Evans, Bower
L.J. said:
As much certainty
and particularity must be insisted on, both in pleading and proof of damage, as
is reasonable, having regard to the circumstances and to the nature of the acts
themselves by which the damage is done. To insist upon less would be to relax
old and intelligible principles. To insist upon more would be the vainest
pedantry.
[53]
Inspired by this idea of making the most of the
evidence before the decision maker, the Tribunal arrived at a “spectrum” of
reasonable reliability, with one end of the spectrum being very reliable and
the other end being minimally reliable. Using this spectrum, at paragraph 683
of its reasons, the Tribunal asked “while the job information may not meet the
degree of reliability that should normally be sought for a ‘pay equity’ situation,
is it ‘adequate’…for this situation?” The Tribunal then analyzed the
information before it and concluded at paragraph 689:
The
Tribunal must confess that navigating the job information through the straits
of “reasonable reliability” has not been a relaxing passage. Yet balancing the
evidence presented by all parties and expert witnesses, and under the unique
circumstances of this case in the realm of proscribed discrimination human
rights legislation . . . the job information, in the hands of the Professional
Team, was more likely than not, ‘reasonably reliable,’ or ‘adequate’ as that
Team described it, despite certain imperfections.
[54]
Though it already appeared to have ruled that
the claimants had met the burden of establishing reliability, the Tribunal then
further elaborated on the meaning of “reasonable reliability”. At paragraph 693
of its reasons, it defined “reasonable reliability” as “information that is
consistently, moderately dependable or in which moderate confidence can be
put”. The Tribunal then stated that reliability generally should be viewed as a
band, with no one fixed point always considered “reasonable”. Rather, it
posited three sub-bands of reasonable reliability: “upper reasonable
reliability,” “mid reasonable reliability” and “lower reasonable reliability”
(Tribunal Decision at paragraph 697). According to the Tribunal, all three of
these sub-bands meet the standard of “reasonable reliability,” but the upper
sub-band is preferred.
[55]
Working with these sub-bands, the Tribunal
characterized the evidence before it as falling in the lower reasonable
reliability sub-band. Thus, the Tribunal was able to reiterate the conclusion that
it came to in paragraph 689 of its reasons, stating at paragraph 700 of its
reasons:
Hence,
it was more likely than not that the job information utilized by the
Professional Team in conducting its job evaluations of the CR and PO
positions/jobs pertinent to this case, was reasonably reliable, albeit at the
“lower reasonably reliable’ sub-band level”.
[56]
The Tribunal’s reasons then progressed under a
new heading, “VII.
WAGE GAP AND WAGE ADJUSTMENT METHODOLOGY”. At
paragraph 701 of its reasons, the Tribunal stated the next questions that it
intended to address:
Having found that it is more
likely than not, that the “off-the-shelf” Hay Plan being used in the
traditional factor comparison methodology, the process followed and the job
information utilized by the Professional Team in conducting its CR and PO
positions/jobs evaluations were reasonably reliable, the next questions to be
addressed are:
How
reliable were the resulting job evaluation values attributed by the
Professional Team to the CR positions and PO
jobs concerned?
Was a
“wage gap” demonstrated between the female and male predominant groups
performing work of equal value?
[57]
Given the first question posed by the Tribunal,
it is apparent that, to this point in its reasons, the Tribunal had not reached
a conclusion with respect to the third element referred to in paragraph 257 of
its reasons, as it did in paragraphs 283 and 354 of its reasons, in relation to
the first two elements referred to in paragraph 257 of its reasons.
[58]
Stating only that the credibility of the
Professional Team had been established and that Dr. Wolf was an expert in
relation to the Hay Plan, the Tribunal, at paragraph 703 of its reasons,
reached the following conclusion:
Accordingly, the Tribunal
concludes that it is more likely than not that the aforementioned reasonably
reliable Hay Plan, process and job information, in the hands of competent
evaluators, as were the Professional Team, would result in reasonably reliable
job evaluation values being attributed to the work performed by CR and PO
employees.
[59]
This conclusion was reiterated by the Tribunal
at paragraph 798 of its reasons, in virtually identical language.
[60]
The Tribunal determined, in paragraph 801 of its
reasons, that the evidence presented to it was sufficient, on a balance of
probabilities, to demonstrate a wage gap, thus concluding that the final
element required by subsection 11(1) of the Act had been fulfilled.
[61]
With respect to the size of the wage gap, the
Tribunal accepted the proposal that had been submitted to the CHRC. Then the
Tribunal dealt with CPC’s contention that this element could not have been
satisfied because of insufficient evidence with respect to the non-wage forms
of compensation that were received by the CR and PO groups.
[62]
The Tribunal accepted the evidence of Dr. Lee on
behalf of the complainants to the effect that the levels of non-wage forms of
compensation received by both groups of employees were more or less equivalent.
In doing so, the Tribunal noted, at paragraph 926 of its reasons, that Dr. Lee
was constrained by his late retention by PSAC, and that “He did the best he could given the situation he faced”.
[63]
At paragraph 927 of its reasons, the Tribunal
found that Dr. Lee’s report fell in the lower reasonably reliable band on its
reliability spectrum. As a result, in the Tribunal’s view, PSAC had succeeded
in establishing that there was no non-wage compensation that needed to be
included in determining whether there was a difference in wages between the CR
and PO group employees for the purposes of the analysis under section 11of the
Act.
[64]
The Tribunal then examined how the remedy
ordered should reflect the magnitude of the wage gap. It began by comparing the
role of damages in human rights law to the role of damages in tort law, noting
that the objective in both is to make the victim whole. In this case, that
means “restoring the victim to the position or status he or she would have been
in had the substantiated discrimination not occurred” (Tribunal Decision at
paragraph 934).
[65]
Relying on Canada (Attorney General) v. Morgan,
[1992] 2. F.C. 401, [1991] 85 D.L.R. (4th) 473 (C.A.); Chopra v.
Department of National Health and Welfare, 2004 CHRT 27, [2004] C.H.R.D.
No. 23 (C.H.R.T.), aff’d 2007 FCA 268, [2008] 2 F.C.R. 393 and Singh v.
Statistics Canada, [1998] C.H.R.D. No. 7 (C.H.R.T.), the Tribunal held that
it could reduce the damages when the magnitude of the damages is uncertain. The
Tribunal found that the magnitude of the damages was uncertain in this case
because job information and evidence relating to non-wage forms of compensation
was only “lower reasonably reliable”.
[66]
With this in mind, the Tribunal held that where
job information and evidence relating to non-wage forms of compensation is
categorized in the “upper reasonable reliability” sub-band, the damages award
should reflect 100 percent of the wage gap, where they fall in the “mid
reasonable reliability” sub-band, the award should reflect 75 percent of the
wage gap, and where they fall in the “lower reasonable reliability” sub-band,
the award should be 50 percent or less of the calculated gap. Accordingly, the
Tribunal discounted the award to the claimants by 50 percent.
[67]
Regarding the time period over which lost wages
are to be awarded the Tribunal decided that the compensation period should
begin on August 24, 1982, one year before the filing of the Complaint and not
October 16, 1981, as requested in the Complaint. The time period ended on June
2, 2002, when the wage gap was eliminated.
B. FEDERAL COURT
[68]
The Applications Judge heard two applications.
In the first, CPC requested judicial review of the Decision upholding the
Complaint. In the second, PSAC requested judicial review of the decision to
discount the award of damages by 50 percent. In his reasons, the Applications
Judge considered five issues:
(1)
whether the Tribunal erred in applying the 1986
Guidelines;
(2)
whether the Tribunal erred in applying an
incorrect standard of proof;
(3)
whether the Tribunal erred in determining the
comparator group;
(4)
whether the Tribunal erred in holding that once
a wage gap has been established, the presumption of discrimination is only
rebuttable by factors in the 1986 Guidelines; and
(5)
whether the Tribunal erred in discounting the
damages by 50 percent.
[69]
The Applications Judge held that the standard of
review with respect to the issue of whether the Tribunal erred in retroactively
applying the 1986 Guidelines was reasonableness simpliciter. (Dunsmuir v. New Brunswick, [2008] 1 S.C.R. 190, 2008 SCC 9, had not yet
been decided.) In the circumstances, the Applications Judge determined that
their application by the Tribunal was reasonable and that they were not being
applied retroactively.
[70]
The Applications Judge also identified
reasonableness simpliciter as the standard of review with respect to this
issue.
[71]
The Applications Judge held that the standard of
proof that must be met in order to establish a discriminatory practice under
subsection 11(1) of the Act is the ordinary civil burden of the balance of
probabilities. He found that the Tribunal recognized this as the correct
standard of proof but then misapplied that standard.
[72]
The Applications Judge referred to the four
elements that were identified as essential to the establishment of a prima
facie case of discrimination under subsection 11(1) of the Act. He stated that
the parties before him agreed that the issue of whether the Tribunal applied
the proper standard of review focused on the third element. At paragraph 122 of
his reasons, the Applications Judge further defined his focus, stating:
At the hearing, the parties
identified three material facts for the evaluation of the work being compared:
1) the
reliability of the job information from the occupational groups being compared,
including the sources from which the job information was collected;
2) the reliability
of the evaluation methodology utilized to undertake the evaluations; and
3) the
reliability of the actual evaluation process undertaken.
After carefully considering the submissions
of the parties with respect to these three material facts, the Court will
concentrate its standard of proof analysis on the first material fact.
[73]
The Applications Judge referred to the evidence
with respect to the issue of the job information and the Tribunal’s findings
with respect to that issue. At paragraphs 131 and 132 he stated:
At paragraph 673, the Tribunal
held that there is little doubt the job information used in conducting the
evaluations “did not meet the standard that one would normally expect from a
joint employer-employee ‘pay equity’ study”. Having said that, the Tribunal
continued, asking:
¶673 … was the
job information “good enough”, on a balance of probabilities, to generate
reasonably reliable job/position values that, in turn, could be used to
demonstrate whether or not there was a wage gap?
At this point, the Court
notes that the Tribunal appears to be about to apply the balance of
probabilities as the standard of proof required to establish the essential
element of work of equal value. [Emphasis added.]
[74]
The Applications Judge found that the Tribunal
then veered off track by adopting the passage from Professor Waddams’ book,
reproduced in paragraph 133 of his reasons, with respect to the principle that
when assessing damages, a tribunal must do the best it can with the evidence
before it. The Applications judge also found that the Tribunal introduced
ambiguity into its application of the standard of proof by its reference to the
spectrum analysis.
[75]
At paragraph 155 of his reasons, the
Applications Judge reiterates the obligation of the complainant to prove, on a
balance of probabilities, that there were differences in wages for work of
equal value between the complainant and the comparator groups. He then stated
at paragraphs 156 to 158 respectively of his reasons:
The Tribunal erred in law in applying
a confusing, invented, and novel standard of proof with respect to the
reliability of the job information in order to find liability. The Tribunal
finding that the job information evidence was “reasonably reliable” at the
“lower-reasonably reliable sub-band” level is less than a finding that the job
information was reliable on the balance of probabilities.
The Court’s conclusion that the
Tribunal did not find that the job information was reliable on the balance of
probabilities is indirectly confirmed by the Tribunals decision to discount the
damages by 50 percent. The Tribunal decided to reduce the damages by 50 percent
because the “job information” used to determine the wage gap and the non-wage
compensation only met the “lower reasonable reliability” standard on the
spectrum of reliability. The Tribunal held at paragraphs 948-949:
¶948 Following the spectrum analysis
already completed for the two elements of uncertainty, the Tribunal concludes
that a wage gap determination based upon “upper reasonable reliability”
evidence should, logically, give rise to a 100% award of lost wages, a
determination based upon “lower reasonable reliability” to an award of 50% or
less.
¶949 Accordingly, the Tribunal
concludes that the finally determined award of lost wages for each eligible CR
employee, by whatever methodology, should be discounted by 50% in line with the
lower reasonable reliability status of the relevant job information and
non-wage forms of compensation.
This finding demonstrates that
the Tribunal was so unsure about the reliability of the job information
evidence that it only awarded the complainant 50 percent of its damages. In
law, the Tribunal cannot decide to award the complainant only 50 percent of its
damages where it is unconvinced that the evidence regarding liability was
probably reliable. A party cannot be half liable – half liable means that the
evidence is less than probable. By reducing the damage award by 50 percent, the
Tribunal indirectly confirms that it does not think that the evidence was
reliable on the balance of probabilities. At the end of the hearing, if the
evidence on liability is evenly balanced, the balance of probabilities has not
been tilted in favour of the complainant, and the complaint must be dismissed.
[76]
The Applications Judge rejected the arguments of
PSAC and the CHRC that the Tribunal reached a conclusion that the balance of
probabilities threshold had been met with respect to the work of equal value
element. In that regard, the Applications Judge rejected the assertion that the
conclusion stated in paragraph 801 of the Tribunal’s reasons was sufficient to
cover this point. At paragraph 160 of his reasons, he refers to the conclusion
of the Tribunal at paragraph 703 of its reasons, stating:
For instance, at paragraph 703,
the Tribunal identifies the issue before it – i.e., that the material
facts are “reasonably reliable”:
¶703 Accordingly, the Tribunal
concludes that it is more likely than not that the aforementioned reasonably
reliable Hay Plan, process and job information, in the hands of competent
evaluators, as were the Professional Team, would result in reasonably reliable
job evaluation values being attributed to the work performed by CR and PO
employees
In concluding that the material facts must
create “reasonably reliable” job values, the Tribunal applies a standard of
proof less than reliable on the balance of probabilities. [Emphasis added.]
[77]
Finally, the Applications Judge noted that the
standard of proof that was actually applied by the Tribunal was more akin to a
“reasonable basis in the evidence” standard, which is lower than the required
balance of probabilities standard.
[78]
The Applications Judge then considered whether
the Tribunal erred in finding that the PO Group was an appropriate comparator
group. His conclusion on this issue is set forth in paragraph 207 of his
reasons:
While
the Tribunal analyzed the evidence about the appropriateness of the PO Group as
a comparator group, the Court finds the Tribunal unreasonably ignored the
factual reality that the largest group of women at Canada Post were the 10,000
women working as “mail sorters” within the PO Group, and that these 10,000
women were the best paid unionized employees at Canada Post. The Court finds it
unreasonable to choose a comparator group that masked the 10,000 women and, in
fact, considered them men for the purposes of section 11. This is contrary
to the intent of section 11 and is illogical. Moreover, it is evident that
there was no systemic wage discrimination against female employees at Canada
Post since the largest group of women within Canada Post were the highest paid
of all unionized employees. [Emphasis in original]
[79]
The Applications Judge subsequently turned to
the question of whether Tribunal erred in holding that only factors in the 1986
Guidelines can be used to rebut the presumption of discrimination based on sex.
He concluded that having regard to his conclusions with respect to the issues
of the standard of proof and the appropriateness of the comparator group, the
issue of the legal presumption did not arise.
[80]
The Applications Judge determined that no
damages should have been awarded since the Complaint had not been established
on a balance of probabilities. Finally, the Applications Judge lamented the
long duration of the proceedings.
[81]
The Applications Judge ordered the Complaint to
be sent back to the Tribunal with the direction that the Complaint be dismissed
as not substantiated according to the legal standard of proof.
VI. ISSUES
[82]
In A-129-08 and A-139-08, PSAC and the CHRC
appeal the Applications Judge’s decision to set aside the Tribunal’s Decision.
In A-130-08, PSAC appeals the Applications Judge’s dismissal of PSAC’s
application for judicial review of the portion of the Decision that reduced the
damages awarded against CPC by 50 percent.
[83]
The following issues arise in these appeals:
(a)
whether the Tribunal failed to make a finding that
the third element of a prima facie case of wage discrimination had been
established and if so, whether such a failure would vitiate the Tribunal’s
decision that such a case of wage discrimination had been made out against CPC;
(b)
whether the Applications Judge erred in
concluding that the Tribunal failed to apply the correct standard of proof with
respect to its findings in relation to the elements required to establish a prima
facie case of discrimination;
(c)
whether the Applications Judge erred by showing
insufficient deference to the Tribunal when determining whether the PO Group
was an appropriate comparator group;
(d)
whether the Applications Judge erred by
referring the Complaint back to the Tribunal with the direction that it be
dismissed; and
(e)
whether the Tribunal erred by discounting
damages.
We are of the view that this appeal can be disposed of by reference
to the first two of these issues. For the reasons that follow, we are in
agreement with the disposition of the Applications Judge.
VII. ANALYSIS
[84]
It is now settled that when this Court hears an
appeal from a decision of the Federal Court in an application for judicial review of a decision of an administrative
tribunal, this Court’s task is to determine whether the reviewing judge
correctly identified the standard of review and applied it correctly in reviewing
the tribunal’s decision. (See Telfer v. Canada (Revenue Agency), 2009 FCA 23, [2009] 4 C.T.C. 123.) As stated by Rothstein
J.A. (as he then was), in Prairie Acid Rain Coalition v. Canada (Minister of Fisheries and Oceans), [2006] 3 F.C.R. 610, 2006 FCA 31, at paragraph
14, “… In practical terms, this means that the
appellate court itself reviews the tribunal decision on the correct standard of
review”. Consequently, we will now review the Tribunal’s decision on the two issues
identified above.
B. Whether the tribunal erred by failing to make a necessary
finding
[85]
In the hearings of these appeals, the Court
requested the parties to make submissions with respect to whether the Tribunal
made a finding that the third element of a prima facie case of wage
discrimination had been established. It was common ground among the parties,
and we agree, that such a failure would be sufficient to vitiate the Tribunal’s
Decision. Since the Applications Judge did not analyze this issue, we will
undertake this analysis.
[86]
For the reasons that follow, we conclude that
the Tribunal failed to make the requisite finding. Specifically, we are of the
view that the Tribunal terminated its analysis of the third element after
considering the reliability of the evidence related to that element and failed
to conclude that such element was established on a balance of probabilities.
(a) Standard of review
[87]
The question of whether the failure to make a
finding on each of the four elements of a prima facie case of wage
discrimination would vitiate a conclusion that such a case has been made out
against CPC would, in all likelihood, be a pure legal question that would be
reviewed on the standard of correctness. However, that question is not in issue.
Instead, the question is whether, upon a fair reading of the Tribunal’s
reasons, it can be said that the Tribunal actually failed to make the requisite
finding with respect to the third element. Consideration of this question
requires the interpretation of certain general legal principles and the
applicable provisions of the Act and the Guidelines, as well as their
application to the facts as found by the Tribunal. Thus, the question may be
regarded as one of mixed fact and law. As such, it is to be reviewed on the standard
of reasonableness, unless the legal component is readily extricable from the
factual component. It may well be possible to extricate the legal component
with the result that the standard of review of the extricated question would be
correctness. However, in the circumstances, we decline to undertake the task of
trying to extricate a discrete legal component from the question, with the
result that the standard of reasonableness will be applied.
(b) The general approach to analyzing elements of a case
of wage discrimination
[88]
The complainant alleges that
CPC violated section 11 of the Act by paying employees in the male dominated PO
Group more than employees in the female dominated CR Group for work of equal
value.
[89]
The basis for the
establishment that such a violation has occurred has been well summarized in Ontario
Human Rights Commission and O’Malley v. Simpson Sears Ltd., [1985] 2 S.C.R.
536, a case in which the Supreme Court of Canada found that a rule requiring
all employees to work on Saturdays could be discriminatory under the Ontario
Human Rights Code, R.S.O. 1980, c. 340, even if there was no discriminatory
intention on the part of the employer. At page 558, McIntyre J. stated:
To begin with,
experience has shown that in the resolution of disputes by the employment of
the juridical process, the assignment of a burden of proof to one party or the
other is an essential element. The burden need not in all cases be heavy- -it
will vary with particular cases- -and it may not apply to one party on all
issues in the case; it may shift from one to the other. But as a practical
expedient it has been found necessary, in order to insure a clear result in any
judicial proceeding, to have available as a “tie-breaker” the concept of the
onus of proof. I agree then with the Board of Inquiry that each case will come
down to a question of proof, and therefore there must be a clearly-recognized
and clearly-assigned burden of proof in these cases as in all civil
proceedings. To whom, should it be assigned? Following the well-settled rule in
civil cases, the plaintiff bears the burden. He who alleges must prove.
Therefore, under the Etobicoke rule as to burden of proof, the showing
of a prima facie case of discrimination, I see no reason why it should
not apply in cases of adverse effect discrimination. The complainant in
proceedings before human rights tribunals must show a prima facie case of
discrimination. A prima facie case in this context is one which covers the
allegations made and which, if they are believed, is complete and sufficient to
justify a verdict in the complainant’s favour in the absence of an answer from
the respondent-employer. [Emphasis added.]
[90]
As previously indicated, in
these appeals, it is common ground that in the circumstances of the Complaint,
the establishment of a prima facie case of wage discrimination requires
the complainant to establish four elements on a balance of probabilities. The
description of those elements that is contained in paragraph 257 of the
Tribunal’s reasons has not been challenged by any party.
[91]
With respect to the
establishment of those elements, a portion of the reasons of Lord Hoffmann in In re B (Children), [2008] 3 W.L.R. 1,
[2008] UKHL 35, [2009] 1 A.C. 11 at paragraph 2 (one
of the UK decisions referred to by Justice Rothstein in F.H.)
is apposite.
If a legal rule requires a fact
to be proved (a “fact in issue”), a judge or jury must decide whether or not it
happened. There is no room for a finding that it might have happened. The law
operates a binary system in which the only values are zero and one. The fact
either happened or it did not. If the tribunal is left in doubt, the doubt is
resolved by a rule that one party or the other carries the burden of proof. If
the party who bears the burden of proof fails to discharge it, a value of zero
is returned and the fact is treated as not having happened. If he does
discharge it, a value of one is returned and the fact is treated as having
happened.
[92]
In this context, each of the
requisite elements can be regarded as a “fact in issue” that must be proved on
a balance of probabilities. Where the Tribunal finds that an element has been
proved, such a finding would return a value of one in Lord Hoffmann’s binary
system. However, where the requisite degree of proof is not present, the “fact
in issue” or element has not been proved and, to return to Lord Hoffmann’s
binary system, a value of zero would be returned.
[93]
In its fact-finding analysis
with respect to the four elements or “facts in issue”, the Tribunal was
required to take the following three steps (the “steps required to find a ‘fact
in issue’”).
[94]
In the first step, the Tribunal
must determine whether evidence relating to the particular “fact in issue” is
admissible. This depends on whether such evidence meets certain rules at common
law, or rules developed by the Tribunal.
[95]
In the second step, the
Tribunal must determine the weight to be given to the admissible evidence with
respect to the particular “fact in issue”. At this point, the reliability of
that evidence is central to the determination of the weight it should receive.
[96]
Finally, in the third step,
the Tribunal must determine whether the overall standard of proof has been met
with respect to the “fact in issue”. In civil matters, the standard of proof is
the balance of probabilities. In our view, this standard has been definitively
settled by the Supreme Court of Canada in F.H. v. McDougall, [2008] 3
S.C.R. 41, 2008 SCC 53, wherein, at paragraphs 40 and 49 respectively, Justice
Rothstein stated:
Like the House of Lords, I think it is time to say, once and
for all in Canada, that there is only one
civil standard of proof at common law and that is proof on a balance of
probabilities. Of course, context is all important and a judge should not be
unmindful, where appropriate, of inherent probabilities or improbabilities or
the seriousness of the allegations or consequences. However, these
considerations do not change the standard of proof. I am of the respectful
opinion that the alternatives I have listed above should be rejected for the
reasons that follow.
In the result, I would reaffirm that in civil cases there is
only one standard of proof and that is proof on a balance of probabilities. In
all civil cases, the trial judge must scrutinize the relevant evidence with
care to determine whether it is more likely than not that an alleged event
occurred.
Justice Rothstein
continued at paragraph 54:
…
Where the trial judge expressly states the correct standard of proof, it will
be presumed that it was applied. Where the trial judge does not express a
particular standard of proof, it will also be presumed that the correct
standard was applied…
[97]
Because all four elements
are essential to the establishment of a prima facie case of wage
discrimination, a value of one must be returned with respect to each of those
elements. In other words, if the requisite level or standard of proof is not
met with respect to any element, the Complaint must be dismissed as not proved.
(c) The Tribunal’s approach to finding elements of a case
of wage discrimination
[98]
Before addressing the question of whether the
Tribunal failed to make the requisite finding with respect to the third element,
we wish to consider the Tribunal’s treatment of the first two elements. Given
our disposition of these appeals, it is unnecessary for us to give any
consideration to the Tribunal’s treatment of the fourth element.
(i)
Element One – the comparator group
[99]
The Tribunal considered the evidence that was
before it in the context of sections 12 and 13 of the Guidelines and found that
the complainant occupational group, the CR Group, was a female dominated group
and the comparator occupational group, the PO Group, was a male dominated
occupational group for the purposes of those provisions. Having reached this conclusion,
the Tribunal went on to conclude, at paragraph 283 of its reasons, that these
two groups
… are appropriately designated under
section 11 of the Act and the 1986 Guidelines as representative
groups for comparison of work generally performed by women and work generally
performed by men. Therefore, the first element necessary to the
establishment of a prima facie case under section 11 of the Act has been
met. [Emphasis added.]
[100]
We emphasize this conclusion, without commenting
upon its reasonableness, to illustrate that the Tribunal addressed the
requirements of this element and found that they had been met. We also note
that using Lord Hoffmann’s binary system, this finding would return a value of
one in relation to the establishment of this element.
[101]
In a manner similar to that in which the
Tribunal dealt with element one, the Tribunal ascertained the requirements of
this element, considered the evidence that was tendered in relation to it and
made a finding that the employee groups representing the complainant and the
comparator were employed in the same establishment. Then, in paragraph 354 of
its reasons, the Tribunal stated, “Accordingly, the second element necessary to the establishment of a prima
facie case under section 11 of the Act has been met.” [Emphasis added.]
[102]
Again, we emphasize the clearly stated
conclusion of the Tribunal with respect to this element. Also, we reiterate
that under Lord Hoffmann’s binary system, this finding would return a value of
one in relation to the establishment of this element.
[103]
The Tribunal’s description of elements 3 and 4,
as stipulated in paragraph 257 of its reasons, is reproduced for convenience:
(3) The value of
the work being compared between the two occupational groups has been assessed
reliably on the basis of the composite of the skill, effort, and responsibility
required in the performance of the work, and the conditions under which the
work is performed. The resulting assessment establishes that the work being
compared is of equal value.
(4) A comparison
made of the wages being paid to the employees of the two occupational groups
for work of equal value demonstrates that there is a difference in wages
between the two, the predominantly female occupational group being paid a
lesser wage than the predominantly male occupational group. This wage difference
is commonly called a “wage gap”.
[Emphasis
added.]
[104]
After reaching its conclusion with respect to element
two, the Tribunal addressed the third element, posing the following two
questions to itself:
D. Does the comparison of the work
of the Complainant group and the Comparator group establish that the work being
compared is equal in value?
Are the jobs/positions data and the process
comparing the work of the Complainant and the Comparator groups reliable?
[105]
The first of these questions makes it clear that
the Tribunal considered the establishment of this element requires a conclusion
that a comparison of the work of the two groups reveals that they were
performing work of equal value in the same establishment. However, the Tribunal
failed to provide any explanation with respect to the substance of this element
or any interpretation of the phrase “work of equal value” for the purposes of the
question that it posed to itself.
[106]
In addition to this failure, the Tribunal also
failed to explain how the phrase “work of equal value” applies in the
circumstances of the Complaint. Such an explanation would be necessary before
the Tribunal could make a determination that the third element had been
established.
[107]
Without these explanations, the Court is put in
the position of having to speculate on what the Tribunal may have thought about
the meaning of “work of equal value” or attempting to undertake the analysis
itself. In our view, the former alternative is impermissible and the latter is
unfeasible having regard to the record before us. That said, we would venture
to suggest that a fulsome analysis of the proper interpretation of “work of
equal value”, conducted on the basis of an adequate record and the application
of the criterion in subsection 11(2) of the Act, would permit the conclusion
that in cases involving comparisons of the work of occupational groups, the equality
of the compared work could be determined on a relative basis. In other words,
it would be possible that the work of the occupational groups could be
compared, for the purposes of subsection 11(1) of the Act, even if the value of
that work was different in absolute terms. For example, the third element might
be said to have been established by a finding that two units of the work done
by the complainant occupational group equates in value to one unit of work done
by the comparator occupational group.
[108]
Notwithstanding its failure to provide any
explanation of the requirements of the third element, the Tribunal found that
to reach a conclusion with respect to the value of the work performed by the
complainant and comparator occupational groups, the Tribunal must have evidence
with respect to:
(a) the jobs that are being done in the two groups (the “job
information”);
(b) the plan or methodology that is to be used to examine and
evaluate the job information (the “evaluation plan”); and
(c) the process under which the evaluations are actually
undertaken (the “evaluation process”).
[109]
The Tribunal then determined that the evidence
with respect to the job information, the evaluation plan and the evaluation
process must be reliable.
[110]
We take no issue with this determination by the
Tribunal. However, we are of the view that the presence of reliable evidence
with respect to these three matters does not automatically lead to a finding
that the third element has been established. Assessing reliability is only the
second of the steps required to find a “fact in issue”. In our view, the presence
of such evidence is a necessary precondition to a finding that this element had
been established. Indeed, a portion of the Booklet upon which the Tribunal
placed reliance (see Tribunal reasons paragraph 358) states, “Job evaluation plans are the key to determine
what constitutes ‘work of equal value’”.
[111]
Thus, once this
necessary precondition has been fulfilled, the Tribunal would then be in a
position to reach a conclusion that element three had been established. Unfortunately, we have been unable to discern any portion of the
Tribunal’s reasons in which a conclusion with respect to this element has been
reached.
[112]
In our respectful view, the Tribunal became
confused, and therefore fell into error, when it conflated the requisite
conclusion with respect to the third element—that the work of the two groups
that was being compared was of equal value on a relative basis—with the three
evidentiary matters that must be present to permit that conclusion to be
reached. This confusion is evident in paragraph 362 of the Tribunal’s reasons,
wherein it framed four issues that it wished to consider. For ease of
reference, paragraph 362 is reproduced:
Consequently, the issues which will be
addressed are as follows:
1. What
job evaluation system, or plan, was used to undertake the evaluation of the CR
and PO jobs/positions, and how reliable was it?
2. What
process was used and how reliable was it in analyzing the collected job
data/information for purposes of assigning values to the CR and PO
jobs/positions considered?
3. What
job data/information was collected, and from what sources, and how reliable was
it?
4. What
were the resulting values attributed to the various CR and PO jobs/positions, and how reliable were they?
[113]
In our view, the determinations in relation to
the first three issues specified by the Tribunal—the existence of evidence with
respect to the evaluation plan, the evaluation process and the job information
and the reliability of such evidence—are essential inputs that must be present
before a conclusion can be reached with respect to whether, on a relative
basis, the work being compared is of equal value. However, we believe that the
“resulting values”, referred to as the fourth issue, are the actual conclusion
that the Tribunal is required to make with respect to the third element. It is
these values that permit the determination that, on a relative basis, the work
of the two groups that is being performed is of equal value. And, as has been
stated earlier, the conclusion with respect to this element or “fact in issue”
must be established on a balance of probabilities.
[114]
A further indication of this conflation on the
part of the Tribunal can be found in paragraph 412 of its reasons, in
particular, the following sentence:
… The issue is, then, given all the
circumstances of the case before this Tribunal, is it more likely than not that
the job information, from its various sources, the evaluation system and the
process employed, and the resulting evaluations are, despite any
weaknesses, sufficiently adequate to enable a fair and reasonable conclusion to
be reached, as to whether or not, under section 11 of the Act, there
were differences in wages for work of equal value, between the complainant and
comparator employees concerned? [Emphasis added.]
In our view, the “resulting evaluations”
are the conclusion that the Tribunal is required to make with respect to this
element and should not be intertwined with findings of reliability. In other
words, a finding by the Tribunal that the evidence tendered with respect to the
determination of the relative value of work that is being compared is reliable is
not the equivalent of a finding by the Tribunal, after considering all of the
evidence before it, that, on a relative basis, the work being compared is of
equal value, as required by subsection 11(1) of the Act.
[115]
At paragraph 555, the Tribunal concludes that it
must test, assess or weigh the reasonable reliability of the job information, the
evaluation plan and the evaluation process using the “civil standard of a
balance of probabilities”. It then goes on to make these determinations with
respect to the evaluation plan and the evaluation process stating at paragraphs
571 and 593 respectively:
Therefore, the Tribunal finds
that, on a balance of probabilities, the Hay Plan, whether using the
factor comparison method or other approaches, is, in the hands of competent
evaluators as were the members of the Professional Team, a suitable overall job
evaluation scheme which will address the issues of this “pay equity” Complaint
in a reasonably reliable manner.
Therefore, the Tribunal finds
that it is more likely than not that the evaluation process which the Professional
Team used in its work was reasonably reliable.
[Emphasis added]
[116]
The Tribunal then considered the “daunting task”
of testing the reasonable reliability of the job information evidence.
Acknowledging the difficulty in assessing this evidence, the Tribunal found it
helpful to consider the approach espoused by Professor Waddams (reproduced at
paragraph 679 of the Tribunal’s reasons) with respect to proof of damages,
namely that the court must make the most of, or do the best it can with, the
available evidence.
[117]
In addition, the Tribunal determined that, for
the purposes of assessing the reasonable reliability of the job information, it
was appropriate to consider “three sub-bands of reasonable reliability”. Using
this construct, the Tribunal determined that the job information evidence was
nonetheless reasonably reliable, stating at paragraph 700:
Hence,
the Tribunal found, as stated in paragraph [689], that it was more likely than
not that the job information utilized by the Professional Team in conducting
its job evaluations of the CR and PO positions/jobs pertinent to this case, was
reasonably reliable, albeit at the “lower reasonably reliable” sub-band level.
[118]
With respect, we find that the use of the
balance of probabilities standard in relation to the assessment of the reliability
of evidence with respect to intermediate facts to be unusual and the use of
“sub-bands of reasonable reliability” for that purpose to be even more unusual.
In our view, the Tribunal’s findings with respect to the reliability of the
evidence pertaining to the job information, the evaluation plan and the
evaluation process are nothing more than findings that such evidence has some
probative value and is worthy of consideration by the Tribunal. However,
findings that evidence is reliable or worthy of consideration do not
necessarily lead to the conclusion that such evidence has sufficient probative
value to establish the third element, the “fact in issue” in respect of which
such evidence was tendered. Again, in our view, the Tribunal has failed to
reach the third of the steps required to find a “fact in issue” and has
terminated its analysis at the second step.
[119]
Having made its finding that the evidence with
respect to the job information was reasonably reliable, the Tribunal, at
paragraph 701 of its reasons, asked itself the following question, “How reliable were the resulting job
evaluation values attributed by the Professional Team to the CR positions and
PO jobs concerned?”
[120]
The Tribunal then answered this question in
paragraph 703 of its reasons, stating:
Accordingly,
the Tribunal concludes that it is more likely than not that the aforementioned
reasonably reliable Hay Plan, process and job information, in the hands of
competent evaluators, as were the Professional Team, would result in reasonably
reliable job evaluation values being attributed to the work performed by CR and
PO employees.
[121]
The Applications Judge concluded that the
Tribunal’s finding of reasonably reliable job values in this paragraph fell
short of a finding that the third element had been established on a balance of
probabilities. We are in agreement with his conclusion in that regard.
[122]
To reiterate, the establishment of the third
element requires a finding that the assessment of the value of the work
performed by the two groups proves, on a balance of probabilities, that on a
relative basis, the work being compared is of equal value. With respect, a
finding that the value attributed to the work being compared is reasonably
reliable cannot reasonably be said to be a finding that the work that is being
compared is of equal value.
[123]
We accept that because the Tribunal has correctly
stated the standard of proof, it is entitled to the presumption that it has applied
the correct standard of proof. However, the presumption cannot reasonably be
considered to turn a finding that the value attributed to the work being
compared is reasonably reliable into a finding that the work that is being
compared is of equal value. At most, the presumption suggests that the Tribunal
has found that the value attributed to the work being compared is reasonably
reliable on a balance of probabilities, which is sufficient only to complete
the second step required to establish a “fact in issue”. Accordingly, we are
unable to conclude that paragraph 703 of the Tribunal’s reasons can reasonably
be considered to contain a finding that the third element has been established.
Certainly, it is not written in the same clear manner as paragraphs 283 and 354
of the Tribunal’s reasons, which stipulate that each of elements one and two has
been established.
[124]
Similarly, we do not accept that the first
sentence of paragraph 801 of the Tribunal’s reasons can reasonably be
considered to establish that the third element has been met. That sentence
reads as follows:
The Tribunal
accepts that the evidence of the Professional Team, both through the viva
voce evidence of Dr. Wolf and also through the presentation of the Team’s
Reports to the Tribunal, is sufficient, on a balance of probabilities, to
demonstrate a wage gap when the work of the predominantly female CR’s was
compared with the work of equal value being performed by the predominantly male
PO’s at Canada Post….
Fairly interpreted, that sentence addresses no more than the
acceptance by the Tribunal that the fourth element, which relates to the wages
paid to employees in the two groups, has been established. Furthermore,
paragraph 801 is found in Section VII of the Tribunal’s reasons entitled “VII.
WAGE GAP AND WAGE ADJUSTMENT METHODOLOGY”, which follows the section of the
reasons in which a conclusion with respect to the third element would have been
expected to have been reached.
[125]
It is apparent that the Tribunal was aware of
the requirement to make findings with respect to each of the four elements of a
prima facie case of wage discrimination. Indeed, in paragraphs 283 and
354 of its reasons, the Tribunal made such findings in relation to the first
and second elements in clear and unequivocal terms. The failure to make a clear
and unequivocal finding that the third element had been established is as clear
to us as are the Tribunal’s findings that the first two elements had been
established.
[126]
No reasons were given by the Tribunal for its
failure to make a finding that the third element had been established. And, in
our view, no justifiable, transparent or intelligible reasons could be offered
to support that failure. Moreover, given the Tribunal’s awareness of the
requirement to make such findings with respect to all four of the elements and
the fact that it made two such findings in clear and unequivocal terms, we are
hard pressed to conclude that the failure to make a finding that this important
element was established was due to inadvertence or that such a finding should
be considered to be implicit in its reasons.
[127]
In the result, we are of the view that the
Tribunal cannot reasonably be considered to have made a finding that the third
element of a prima facie case of wage discrimination has been
established. It follows, in our view, that in the absence of such a finding, it
is a sufficient basis upon which to dismiss the Complaint. To return to Lord
Hoffman’s binary system, the failure of the Tribunal to find that this element
had been established leads to a value of zero being returned.
C. whether the tribunal applied the incorrect standard of
proof
[128]
The Applications Judge found that the Tribunal
correctly stated that the standard of proof with respect to the four elements
is the balance of probabilities. No party takes issue with this finding. In
addition, having regard to the presumption referred to by Rothstein J. in F.H.,
the Tribunal is presumed to have applied the correct standard of proof. The
issue then becomes whether it can be said that this presumption has been
rebutted having regard to the reasons of the Tribunal read as a whole.
[129]
The Applications Judge addressed this issue in
the context of the third element and that will be our focus as well.
(a) Standard of Review
[130]
The question of whether the Tribunal applied the
correct standard of proof is a question of mixed fact and law that contains no
readily extricable legal issue. Accordingly, the standard of review of this
question is reasonableness.
(b) Did the Tribunal apply the Correct Standard of Proof?
[131]
Earlier in these reasons, we concluded that the
Tribunal erred to the extent that it held that the establishment of the third
element would automatically result from findings that reasonably reliable
evidence had been adduced with respect to the job evaluations, the evaluation
plan and the evaluation process.
[132]
To the extent that the Tribunal’s view has any
validity, each of the three evidentiary matters would have to be characterized
as an essential element or “fact in issue”, which would have to be established
on a balance of probabilities, rather than an intermediate fact. On that basis,
the Complaint would still be doomed to fail. In our view, the findings that the
Tribunal made with respect to each of these matters, in paragraphs 571, 593 and
700 of its reasons, to the effect that these matters were “reasonably reliable”,
constitute findings that fall short of the requisite standard of proof on a
balance of probabilities.
[133]
Having made a finding, at paragraph 700 of its
reasons, that the evidence with respect to the job information was reasonably
reliable, the Tribunal, at paragraph 701 of its reasons, asked itself the
following question, “How reliable were the resulting job evaluation values
attributed by the Professional Team to the CR positions and PO jobs concerned?”
[134]
The Tribunal then answered this question in
paragraph 703 of its reasons, stating:
Accordingly,
the Tribunal concludes that it is more likely than not that the aforementioned
reasonably reliable Hay Plan, process and job information, in the hands of
competent evaluators, as were the Professional Team, would result in reasonably
reliable job evaluation values being attributed to the work performed by CR and
PO employees.
[135]
The Applications Judge concluded that the
Tribunal’s finding of reasonably reliable job values in this paragraph fell
short of a finding that the third element had been established on a balance of
probabilities. We are in agreement with his conclusion in that regard.
[136]
In addition, we note that the Tribunal found, at
paragraphs 699 and 941 of its reasons, that the job information used in evaluating
the CR positions and the PO positions was “lower reasonably reliable”. This led
the Tribunal to conclude that there was a “significant degree of uncertainty”
in the job information. The Tribunal then made the following comments in
paragraphs 943, 944, 948 and 949:
Taking into
account these elements of uncertainty which affect the very crucial aspect of
determining the extent of the wage gap, it is, in the Tribunal’s view, more
likely than not that if the job information and the non-wage benefits had been
“upper reasonably reliable,” the resulting wage gap would have more accurately
reflected reality. In other words, the greater the reliability of the job
information and the non-wage benefits, the greater the accuracy of the wage gap
determination. This determination is seminal to the extent of the award of
damages.
Recognizing these elements of
uncertainty in the state of the job information and nonwage benefits
documentation, the Tribunal finds that it cannot accept the full extent of the
wage gap as claimed by the Alliance and endorsed by the Commission.
…
Following the
spectrum analysis already completed for the two elements of uncertainty, [job
information, paragraph 941, and non-wage compensation, paragraph 942] the
Tribunal concludes that a wage gap determination based upon “upper reasonable
reliability evidence should, logically, give rise to a 100% award of lost
wages, a determination based upon “mid reasonable reliability” to a 75% award,
and a determination based upon “lower reasonable reliability” to an award of
50% or less.
Accordingly, the Tribunal
concludes that the finally determined award of lost wages for each eligible CR
employee, by whatever methodology, should be discounted by 50% in line with the
lower reasonable reliability status of the relevant job information and
non-wage forms of compensation.
[137]
Thus, at paragraph 949 of its reasons, the
Tribunal reduced the award of lost wages by 50% so as to be “in line with the
lower reasonable reliability status of the relevant job information and
non-wage forms of compensation”. In doing so, it is our view that the Tribunal
has thus equated the “lower reasonable reliability status” of the job
information to 50% certainty. In our view, this conclusion of the Tribunal
clearly demonstrates that a standard of proof lower than the balance of
probabilities was applied by the Tribunal with respect to the third element.
[138]
In our view, the presumption that the Tribunal
applied the correct standard of proof has been amply rebutted. This is apparent
for a number of reasons. First, the balance of probability standard requires
the establishment of a “fact in issue”. In the binary formulation, the finding
is either zero or one. The necessary finding is not “reasonably reliably one”,
or “almost one” or “closer to one than zero”.
[139]
Second, the Tribunal’s reliance on Professor
Waddams’ urging that in the assessment of damages, the assessing body must do
the best it can with the evidence that it has, indicates to us that the
Tribunal had concerns with the evidentiary record before it. It is not
necessary for us to consider whether it may have been appropriate for the
Tribunal to rely upon Professor Waddams’ approach when attempting to determine the
reliability of evidence with respect to job information, the evaluation plan
and the evaluation process where those matters constitute intermediate facts
upon which findings of “facts in issue” are based. However, in our view, it is
not acceptable for the Tribunal to rely upon that approach when making findings
with respect to those matters, where they constitute “facts in issue”, which
must be established on a balance of probabilities.
[140]
Third, the Tribunal referred a number of times
(see paragraphs 573, 574, 581, 673 and 683 of the Tribunal’s reasons) to the
particular circumstances of the case being difficult or unusual or litigious,
as if to justify some sort of relaxation of the long-standing rules with
respect to the burden of proof and the standard of proof in civil matters. This
theme is amplified by the adoption of the “bands and sub-bands” of
acceptability or reasonable reliability to which the Tribunal resorted.
[141]
All of these justifications by the Tribunal
demonstrate to us that it failed to make the requisite finding that the third
element had been established on a balance of probabilities. In our view, they clearly
rebut the presumption that such a finding was made. As such, we agree with the
disposition of the Applications Judge on this issue and conclude that it is a
sufficient basis upon which to dismiss the appeal.
VIIi. CONCLUSION AND DISPOSITION
[142]
We have concluded that the Tribunal has made two
errors, each of which is sufficient to vitiate the decision of the Tribunal.
With respect to the first issue, which was not directly considered by the
Applications Judge, we have concluded that the Tribunal cannot reasonably be
considered to have made a finding that the third element of a prima facie
case of discrimination has been established. As a result, the absence of this
essential finding makes it impossible for the Complaint to be upheld.
[143]
With respect to the second issue, we are in
agreement with the Applications Judge that the findings made by the Tribunal in
relation to the third element of a prima facie case of wage
discrimination fall short of proof of the level required by the balance of
probabilities standard. As such, it was unreasonable for the Tribunal to uphold
the Complaint when the requisite level of proof of this essential element was
not present.
[144]
For the reasons previously given, we agree with
the Applications Judge that the level of proof with respect to at least one of
the four elements failed to exceed 50% and therefore failed to attain the
required level of proof of greater than 50%. As a result, we are of the view
that the Applications Judge was correct when he determined that the matter
should be remitted to the Tribunal with a direction that the Complaint should
be dismissed as not having been substantiated. We are also of the view that it
would be of no use to remit the matter to the Tribunal for reconsideration,
given our conclusion that the Tribunal’s findings with respect to each of the
four elements failed to meet the necessary level of proof on a balance of
probabilities.
[145]
Like the Applications Judge, we also note the
exceptional amount of time and resources consumed by this case. The length of
the Tribunal hearing alone was 11 years, and it has now been 26 years since the
Complaint was filed. As the Applications Judge noted at paragraph 274, “a legal
hearing without discipline and timelines both delays and denies justice.”
However, this exceptional consumption of time and resources does not influence
our choice of remedy.
[146]
For the foregoing reasons, we would dismiss the
appeals without costs.
“J.
Edgar Sexton”
“C. Michael Ryer”
APPENDIX
RELEVANT STATUTORY PROVISIONS
Canadian Human Rights Act, R.S.C. 1985, c. H-6
11. (1) It
is a discriminatory practice for an employer to establish or maintain
differences in wages between male and female employees employed in the same establishment
who are performing work of equal value.
(2)
In assessing the value of work performed by employees employed in the same
establishment, the criterion to be applied is the composite of the skill,
effort and responsibility required in the performance of the work and the
conditions under which the work is performed.
(3)
Separate establishments established or maintained by an employer solely or
principally for the purpose of establishing or maintaining differences in
wages between male and female employees shall be deemed for the purposes of
this section to be the same establishment.
(4)
Notwithstanding subsection (1), it is not a discriminatory practice to pay to
male and female employees different wages if the difference is based on a
factor prescribed by guidelines, issued by the Canadian Human Rights
Commission pursuant to subsection 27(2), to be a reasonable factor that
justifies the difference.
(5)
For greater certainty, sex does not constitute a reasonable factor justifying
a difference in wages.
(6)
An employer shall not reduce wages in order to eliminate a discriminatory
practice described in this section.
(7)
For the purposes of this section, “wages” means any form of remuneration
payable for work performed by an individual and includes
(a) salaries,
commissions, vacation pay, dismissal wages and bonuses;
(b) reasonable value
for board, rent, housing and lodging;
(c) payments in kind;
(d) employer
contributions to pension funds or plans, long-term disability plans and all
forms of health insurance plans; and
(e) any other
advantage received directly or indirectly from the individual’s employer.
…
27.
(2) The Commission may, on application or on its own initiative, by order,
issue a guideline setting out the extent to which and the manner in which, in
the opinion of the Commission, any provision of this Act applies in a class
of cases described in the guideline.
…
49.
(1) At any stage after the filing of a complaint, the Commission may request
the Chairperson of the Tribunal to institute an inquiry into the complaint if
the Commission is satisfied that, having regard to all the circumstances of
the complaint, an inquiry is warranted.
…
50.
(3) In relation to a hearing of the inquiry, the member or panel may
(a) in the same manner
and to the same extent as a superior court of record, summon and enforce the
attendance of witnesses and compel them to give oral or written evidence on
oath and to produce any documents and things that the member or panel
considers necessary for the full hearing and consideration of the complaint;
(b) administer oaths;
(c) subject to
subsections (4) and (5), receive and accept any evidence and other
information, whether on oath or by affidavit or otherwise, that the member or
panel sees fit, whether or not that evidence or information is or would be
admissible in a court of law;
(d) lengthen or
shorten any time limit established by the rules of procedure; and
(e) decide any
procedural or evidentiary question arising during the hearing.
|
11.
(1) Constitue un acte discriminatoire le fait pour l’employeur d’instaurer ou
de pratiquer la disparité salariale entre les hommes et les femmes qui
exécutent, dans le même établissement, des fonctions équivalentes.
(2)
Le critère permettant d’établir l’équivalence des fonctions exécutées par des
salariés dans le même établissement est le dosage de qualifications,
d’efforts et de responsabilités nécessaire pour leur exécution, compte tenu
des conditions de travail.
(3)
Les établissements distincts qu’un employeur aménage ou maintient dans le but
principal de justifier une disparité salariale entre hommes et femmes sont
réputés, pour l’application du présent article, ne constituer qu’un seul et
même établissement.
(4)
Ne constitue pas un acte discriminatoire au sens du paragraphe (1) la
disparité salariale entre hommes et femmes fondée sur un facteur reconnu
comme raisonnable par une ordonnance de la Commission canadienne des droits
de la personne en vertu du paragraphe 27(2).
(5)
Des considérations fondées sur le sexe ne sauraient motiver la disparité
salariale.
(6)
Il est interdit à l’employeur de procéder à des diminutions salariales pour
mettre fin aux actes discriminatoires visés au présent article.
(7)
Pour l’application du présent article, « salaire » s’entend de
toute forme de rémunération payable à un individu en contrepartie de son
travail et, notamment :
a) des traitements,
commissions, indemnités de vacances ou de licenciement et des primes;
b) de la juste valeur
des prestations en repas, loyers, logement et hébergement;
c) des rétributions en
nature;
d) des cotisations de
l’employeur aux caisses ou régimes de pension, aux régimes d’assurance contre
l’invalidité prolongée et aux régimes d’assurance-maladie de toute nature;
e) des autres
avantages reçus directement ou indirectement de l’employeur.
[…]
27.
(2) Dans une catégorie de cas donnés, la Commission peut, sur demande ou de
sa propre initiative, décider de préciser, par ordonnance, les limites et les
modalités de l’application de la présente loi.
[…]
49.
(1) La Commission peut, à toute étape postérieure au dépôt de la plainte,
demander au président du Tribunal de désigner un membre pour instruire la
plainte, si elle est convaincue, compte tenu des circonstances relatives à
celle-ci, que l’instruction est justifiée.
[…]
50.
(3) Pour la tenue de ses audiences, le membre instructeur a le pouvoir :
a) d’assigner et de
contraindre les témoins à comparaître, à déposer verbalement ou par écrit
sous la foi du serment et à produire les pièces qu’il juge indispensables à
l’examen complet de la plainte, au même titre qu’une cour supérieure
d’archives;
b) de faire prêter
serment;
c) de recevoir, sous
réserve des paragraphes (4) et (5), des éléments de preuve ou des
renseignements par déclaration verbale ou écrite sous serment ou par tout
autre moyen qu’il estime indiqué, indépendamment de leur admissibilité devant
un tribunal judiciaire;
d) de modifier les
délais prévus par les règles de pratique;
e) de trancher toute
question de procédure ou de preuve.
|
Federal
Courts Act,
R.S.C. 1985, c. F-7
18.1.
(3) On an application for judicial review, the Federal Court may
(a) order a federal
board, commission or other tribunal to do any act or thing it has unlawfully
failed or refused to do or has unreasonably delayed in doing; or
(b) declare invalid or
unlawful, or quash, set aside or set aside and refer back for determination
in accordance with such directions as it considers to be appropriate,
prohibit or restrain, a decision, order, act or proceeding of a federal
board, commission or other tribunal.
…
52.
The Federal Court of Appeal may
…
(b) in the case of an
appeal from the Federal Court,
(i) dismiss the appeal
or give the judgment and award the process or other proceedings that the
Federal Court should have given or awarded,
(ii) in its
discretion, order a new trial if the ends of justice seem to require it, or
(iii) make a
declaration as to the conclusions that the Federal Court should have reached
on the issues decided by it and refer the matter back for a continuance of
the trial on the issues that remain to be determined in light of that
declaration . . .
|
18.1
(3) Sur présentation d’une demande de contrôle judiciaire, la Cour fédérale
peut :
a) ordonner à l’office
fédéral en cause d’accomplir tout acte qu’il a illégalement omis ou refusé
d’accomplir ou dont il a retardé l’exécution de manière déraisonnable;
b) déclarer nul ou
illégal, ou annuler, ou infirmer et renvoyer pour jugement conformément aux
instructions qu’elle estime appropriées, ou prohiber ou encore restreindre
toute décision, ordonnance, procédure ou tout autre acte de l’office fédéral.
[…]
52. La Cour d’appel
fédérale peut :
[…]
b) dans le cas d’un
appel d’une décision de la Cour fédérale :
(i) soit rejeter
l’appel ou rendre le jugement que la Cour fédérale aurait dû rendre et
prendre toutes mesures d’exécution ou autres que celle-ci aurait dû prendre,
(ii) soit, à son
appréciation, ordonner un nouveau procès, si l’intérêt de la justice paraît
l’exiger,
(iii) soit énoncer,
dans une déclaration, les conclusions auxquelles la Cour fédérale aurait dû
arriver sur les points qu’elle a tranchés et lui renvoyer l’affaire pour
poursuite de l’instruction, à la lumière de cette déclaration, sur les points
en suspens . . .
|
Equal
Wages Guidelines, 1986,
S.O.R./86-1082
12. Where a complaint
alleging different wages is filed by or on behalf of an identifiable
occupational group, the group must be predominantly of one sex and the group
to which the comparison is made must be predominantly of the other sex.
13. For the
purpose of section 12, an occupational group is composed predominantly of one
sex where the number of members of that sex constituted, for the year
immediately preceding the day on which the complaint is filed, at least
(a) 70 per cent of the
occupational group, if the group has less than 100 members;
(b) 60 per cent of the
occupational group, if the group has from 100 to 500 members; and
(c) 55 per cent of the
occupational group, if the group has more than 500 members.
14. Where a
comparison is made between the occupational group that filed a complaint
alleging a difference in wages and other occupational groups, those other
groups are deemed to be one group.
15. (1) Where
a complaint alleging a difference in wages between an occupational group and
any other occupational group is filed and a direct comparison of the value of
the work performed and the wages received by employees of the occupational
groups cannot be made, for the purposes of section 11 of the Act, the work
performed and the wages received by the employees of each occupational group
may be compared indirectly.
(2)
For the purposes of comparing wages received by employees of the occupational
groups referred to in subsection (1), the wage curve of the other
occupational group referred to in that subsection shall be used to establish
the difference in wages, if any, between the employees of the occupational
group on behalf of which the complaint is made and the other occupational
group.
|
12.
Lorsqu’une plainte dénonçant une situation de disparité salariale est déposée
par un groupe professionnel identifiable ou en son nom, ce groupe doit être
composé majoritairement de membres d’un sexe et le groupe auquel il est
comparé doit être composé majoritairement de membres de l’autre sexe.
13.
Pour l’application de l’article 12, un groupe professionnel est composé
majoritairement de membres d’un sexe si, dans l’année précédant la date du
dépôt de la plainte, le nombre de membres de ce sexe représentait au
moins :
a) 70 pour cent du
groupe professionnel, dans le cas d’un groupe comptant moins de 100 membres;
b) 60 pour cent du
groupe professionnel, dans le cas d’un groupe comptant de 100 à 500 membres;
c) 55 pour cent du
groupe professionnel, dans le cas d’un groupe comptant plus de 500 membres.
14.
Si le groupe professionnel ayant déposé la plainte est comparé à plusieurs
autres groupes professionnels, ceux-ci sont considérés comme un seul groupe.
15.
(1) Pour l’application de l’article 11 de la Loi, lorsque la plainte déposée
dénonce une situation de disparité salariale entre un groupe professionnel et
un autre groupe professionnel et qu’une comparaison directe de ces deux
groupes ne peut être faite quant à l’équivalence des fonctions et aux
salaires des employés, une comparaison indirecte de ces éléments peut être
faite.
(2)
Pour la comparaison des salaires des employés des groupes professionnels
visés au paragraphe (1), la courbe des salaires du groupe professionnel
mentionné en second lieu doit être utilisée pour établir l’écart, s’il y a
lieu, entre les salaires des employés du groupe professionnel en faveur de
qui la plainte est déposée et de l’autre groupe professionnel.
|
EVANS J.A. (Dissenting Reasons)
A. INTRODUCTION
[147] This
case concerns a pay equity claim filed 27 years ago. Its investigation and adjudication
must have involved the expenditure of
vast quantities of money and time, both public and private.
For members of the appellant, the Public Service Alliance of
Canada (“PSAC”), the resolution of a complaint
of long-standing gender discrimination in the workplace is at stake. For Canada
Post Corporation (“CPC”), the financial implications of the decision by the
Canadian Human Rights Tribunal (“Tribunal”) are no doubt considerable.
[148] This appeal
raises three important questions for the implementation of the legal principle
that an employer may not pay men and women differently for work of equal value.
First, in a pay equity claim by a predominantly female occupational group, may
the Tribunal select a predominantly male comparator group that includes a
significant number of relatively well-paid women? Second, when the Tribunal
states that it is applying the civil standard of proof, what weight must be
given to the presumption that this is the standard that it in fact applied?
Third, after the jobs of members of the complainant and comparator groups have
been evaluated, what findings must be made before their wages can be compared
in order to determine if they are being paid differently for performing work of
equal value?
[149] I have had
the benefit of reading the reasons of my colleagues, Sexton and Ryer JJ.A. I
regret that I am unable to agree that the appeals of PSAC and the Canadian
Human Rights Commission (“CHRC”) in Court Files A-129-08 and A-139-08 should be
dismissed. In my opinion, the Tribunal made no error warranting judicial
intervention when it upheld the pay equity claim by PSAC on behalf of the
predominantly female Clerical and Regulatory (“CR”) occupational group of
employees of CPC in respect of the period August 24, 1982 to June 2, 2002.
[150] On June 2,
2002, CPC implemented a new job evaluation plan and awarded a 15% wage increase
to the CR group, while limiting other groups to wage increases of approximately
1.5%. PSAC regarded the new job evaluation plan and the 15% wage increase as
prospectively removing any violation of section 11. However, CPC denies that
the CR group had previously been paid less than the comparator group in the pay
equity claim, the Postal Operations occupational group (“PO”), for performing
work of equal value.
[151] In my
respectful opinion, when the reasons of the Tribunal are read holistically, and
against the background of the expert evidence on which it relied, it found on a
balance of probabilities that members of the CR group were paid less than
members of the PO group for work of equal value.
[152] In order to
establish a breach of section 11 of the Canadian Human Rights Act,
R.S.C. 1985, c. H-6 (“Act”) in a group pay equity claim, the Tribunal must find
on a balance of probabilities that the jobs performed by members of the groups
have been properly evaluated. In my view, the Tribunal was entitled to infer
this from its conclusions that the evidence on the nature of the jobs was
reasonably reliable, that the Hay method evaluation plan was a reasonably
reliable tool for evaluating the job data (the methodology issue), and that it
had been applied in a reasonably reliable manner by the evaluators (the process
issue).
[153] After the
jobs performed by members of the two groups have been evaluated, the values
attributed to the various positions are compared. If a substantial portion of
the positions in the complainant group have a value equal to or greater than
one or more of the positions in the comparator group, their wages can be
compared in order to determine if the complainant group is being paid less than
the comparator group for performing work of equal value.
[154] In 1993, PSAC
retained three professional job evaluators, Dr Wolf, Dr Ingster and Ms Palmer-Davidson,
referred to as the Professional Team, to provide an expert review of the
evaluations undertaken by CHRC in 1991 and, on the basis of an independent
evaluation of the jobs, to identify any difference in the wages paid to members
of the two groups for performing work of equal value.
[155] Having
evaluated the CR and PO positions by the Hay method, the Professional Team
reported that a substantial portion of the CR positions were at least equal in
value to one or more of the PO positions, or, in other words, fell within the
PO value line. Hence, the wages of the two groups could properly be compared to
determine if the complainant group had established the existence of a wage gap
for work of equal value in breach of section 11. The Tribunal (at paras. 799
and 801) accepted the Professional Team’s conclusions.
[156] Like my
colleagues, I would dismiss PSAC’s appeal in Court File No. A-130-08 from
Justice Kelen’s dismissal of its application for judicial review of the amount
of compensation awarded to it by the Tribunal. However, because I would allow
PSAC’s appeal on the breach of section 11, I have had to consider the appeal on
the amount of compensation on its merits. I am not persuaded that the
Tribunal’s award was unreasonable.
[157] On the other
hand, I need not determine if, as PSAC and CHRC allege, the Applications Judge
erred in law when he set aside the Tribunal’s decision and did not remit the
matter for
re-determination, on the ground that, in
the Judge’s view, the evidence did not establish a breach of section 11 on a
balance of probabilities.
B. CONTEXTUAL BACKGROUND
[158]
I
gratefully adopt my colleagues’ description of the factual background to this
litigation and the history of the judicial proceedings leading to this appeal.
I would add only the following by way of context to my reasons.
[159]
First,
this is yet another example of the marathon litigation that has plagued the
resolution of pay equity claims at the federal level. The time-lines of the
proceedings are so extraordinary that they bear repeating.
·
August
24, 1983:
PSAC files a pay equity claim under section 11 of the Act on behalf of the CR
group employed by CPC, a Crown corporation created in 1981 to take over the
functions previously performed by the Post Office;
·
March
16, 1992:
CHRC refers PSAC’s complaint to the Tribunal for adjudication;
·
November
25, 1992 to August 2003:
Tribunal hearing, comprising 410 hearing days spread over more than 10 years;
·
October
7, 2005:
Tribunal renders its decision.
·
February
21, 2008:
Federal Court sets aside Tribunal’s decision
·
February
22, 2010:
Federal Court of Appeal dismisses appeal.
[160]
Second,
PSAC and CPC were unable to work together on a joint union-management study to
produce an agreed evaluation of the work performed by members of the CR group
and the occupational group that it identified for wage comparison purposes, the
PO group. As a result, the information available to the Tribunal about both the
nature of the work performed by members of these groups and the non-monetary
components of their wages had some significant limitations.
[161]
Responsibility
for these deficiencies is attributable to, among other things, the fact that:
the parties were operating in litigation mode from relatively early in the
process; the CHRC did not require CPC to produce all relevant documents; and
the underlying rivalry between, on the one hand, PSAC, the bargaining agent for
the CRs and for two small, predominantly male occupational groups at Canada
Post, the General Labour and Trades, and General Services groups, and, on the
other, the Canadian Union of Postal Workers, the bargaining agent for most of
the POs.
[162]
Third,
courts never intervene lightly in the administrative process, both out of
deference to the expertise of specialized tribunals and in recognition of the
limitations of reviewing courts’ perspectives on the problem before the agency.
Further, setting an administrative decision aside, whether or not the matter is
remitted to the tribunal for re-hearing, inevitably results in a waste of
resources.
[163]
These
considerations are particularly apt in this case: the subject-matter of these
proceedings is complex and has some highly technical aspects, and, as already
noted, the public and private resources already spent on this dispute must be
enormous. In the course of the 1016 paragraphs of its reasons, the Tribunal is
not always as clear as it might have been, as it struggled to come to terms
with the mass of technical detail, evidence, and analysis before it. As already
noted, the Tribunal’s task was particularly challenging because the parties
failed to produce a joint study on the values of the jobs and the total wages
paid over the period of the complaint. However, perfection is not the standard
and, when read in light of the evidence before it and the nature of its statutory
task, the Tribunal’s reasons adequately explain the bases of its decision.
[164]
In my
opinion, the Tribunal’s reasons make it clear that it understood the relevant
law and approached the complex evidential issues before it in a careful and
thoughtful manner. Its reasons sufficiently demonstrate “justification,
transparency and intelligibility within the decision-making process”: Dunsmuir
v. New
Brunswick, 2008 SCC 9, [2008] 1 S.C.R.
190 at para. 47 (“Dunsmuir”). The Court in Dunsmuir (at para. 48)
also endorsed the view of Professor Dyzenhaus (“The Politics of Deference:
Judicial Review and Democracy”, in M. Taggart, ed., The Province of
Administrative Law (Oxford: Hart Publishing, 1997), 279 at p. 286) that,
when reviewing a decision on the reasonableness standard, a court must pay
“respectful attention to the reasons offered or which could have been
offered in support of a decision” (emphasis added). The underlined words
avoid an unduly formalistic approach to judicial review. Thus, to the extent
that the Tribunal does not fully explain aspects of its decision, the Court may
consult evidence referred to by the Tribunal in order to flesh out its reasons.
However, I do not regard the Court in Dunsmuir as inviting a reviewing
court to usurp the tribunal’s responsibility for justifying its decisions.
[165]
The
resolution of pay equity claims involves a mix of art, science, human rights,
and labour relations. It can be difficult to fit multi-disciplinary inquiries
of this nature within a legal framework: social scientists and management
consultants do not always express themselves in the same terms as lawyers, on
questions of evidence and proof, for example.
[166]
Fourth,
the underlying purpose of section 11 of the Act is to eliminate the financial
consequences of systemic gender discrimination in the labour market resulting
from occupational segregation. However, with the benefit of hindsight, it now
seems to have been a mistake for Parliament to have entrusted pay equity to the
complaint-driven, adversarial, human rights process of the Canadian Human
Rights Act.
[167]
There is
now much to learn from the experience of provincial pay equity regimes, which
seem not to have been plagued with the same problems of protracted litigation
as the federal scheme. In the interests of all, a new design is urgently needed
to implement the principle of pay equity in the federal sphere. For criticisms
of the present arrangements, and recommendations for reform, see the Final
Report of the Pay Equity Task Force, Pay Equity: A New Approach to a
Fundamental Right (Ottawa: Public Works and Government Services Canada,
2004).
C. ISSUES AND ANALYSIS
[168]
The
standard of review applicable to the various issues in dispute in this case is
common ground: correctness governs the Tribunal’s choice of standard of proof,
and reasonableness (appropriately contextualised in its application) the
Tribunal’s findings of fact and discretionary decisions, including its choice
of comparator group and remedy. As my colleagues point out, the task of this
Court on appeal is to decide if the Applications Judge selected the appropriate
standard of review and applied it correctly.
[169]
The three
principal areas of inquiry explored by counsel in this appeal concern the
Tribunal’s choice of the PO group as the comparator, the standard of proof that
it applied to reach its conclusion that members of the CR group were paid lower
wages than members of the PO group for performing work of equal value, and the
remedy that it awarded. More particularly, argument focussed on whether the Tribunal
applied the balance of probabilities standard of proof when accepting the
Professional Team’s evaluation of the jobs performed by the complainant and
comparator groups, and the adequacy of the evidence on which the Tribunal based
its finding of a wage gap.
[170]
In
addition, counsel for CPC argued that the 1986 Equal Wages Guidelines
(“Guidelines”) did not apply to the complaint from 1983 until the Guidelines
were issued, because to do so would give them retroactive effect. For
substantially the reasons given by the Applications Judge, I agree that this
argument cannot succeed. I need only add the following.
[171]
First,
when the Supreme Court of Canada stated that CHRC’s power to issue guidelines
could not validly be exercised retroactively, it gave as an example a guideline
issued while a matter was being prosecuted before a Tribunal: Bell Canada v.
Canadian Telephone Employees Association, 2003 SCC 36, [2003] 1 S.C.R. 884
at para. 47. However, that is not our case: the Guidelines were issued while
CHRC was in the relatively early stages of its investigation of PSAC’s
complaint, and long before it was referred to the Tribunal.
[172]
Second,
there is no evidence that the issuance of the Guidelines altered the basis of
CHRC’s investigation. For the most part, the Guidelines seem simply to have
codified existing CHRC policy on, among other things, the percentages required
for occupational groups of various sizes to be treated as predominantly of one
sex.
[173]
Third, the
Guidelines amended the law by specifying the manner in which a breach of
section 11 of the CHRA is established, not by changing the definition of
discriminatory conduct. They did not remove CPC’s vested rights.
ISSUE 1: Was the
choice of the comparator group unreasonable because it included a substantial
number of well-paid women?
[174]
PSAC
proposed to compare the complainant CR group, which numbered about 2,300
employees over the period of this dispute, with the PO group, which comprised approximately
40,000 employees and constituted 80% of CPC’s workforce. This large
occupational group, which contains employees engaged in internal and external
postal work, as well as in supervisory duties, dates from the time when, as a
department of the federal government, the Post Office was responsible for the
mail. All its employees who dealt with mail were grouped together within the
larger institution of the federal public service. Other Post Office employees,
including the CRs, whose work was not peculiar to the Post Office, were in
occupational groups found also in other departments of the federal government.
These occupational groups were continued by the employer after 1981, when the
functions of the Post Office were transferred to CPC, a newly created Crown
corporation.
[175]
CPC argued
in this Court that the Tribunal had unreasonably exercised its discretion to
select a comparator group when it included mail sorters (PO-4 Internal level),
a level of internal workers within the larger PO group. Employees in the PO-4
Internal level, numbering about 20,000, or 40% of the total PO group, were relatively well paid, and
included approximately 10,000 women.
[176]
Mail
sorting was traditionally “women’s work”. CPC said that PSAC had
“cherry-picked” its proposed comparator group in order to include relatively
well-paid jobs and thus artificially to create, or widen, a wage gap. Further,
the presence of a large number of relatively well-paid female employees
demonstrated that there was no systemic gender discrimination at CPC. Counsel
also argued that PSAC had deliberately omitted from the comparator group two
smaller, predominantly male occupational groups, which it represented, and
whose members were relatively low-paid.
[177]
There is
little law on the selection of a comparator group in a pay equity claim. Two
legal requirements must be met: the comparator must be an occupational group
(section 12 of the Guidelines) and must be predominantly of the opposite sex
from that of the complainant group. Section 13 of the Guidelines defines when a
group is predominantly of one sex for the purpose of the Guidelines. If a group
has less than 100 members, 70% of them must be of one sex; if there are between
100 and 500 members, 60% suffices; if the group has more than 500 members, then
55% is enough.
[178]
Apart from
the requirement that a comparator group must constitute an occupational group,
and be predominantly of the opposite sex from the complainant group, as defined
in section 13, there are no statutory criteria that must be considered in the
selection of a comparator. The choice is left to the discretion of CHRC and the
Tribunal.
[179]
It was
suggested in argument that the PO group was not an occupational group because
its members performed different kinds of work: internal (mostly mail sorting),
external (mostly mail delivery), and supervisory.
[180]
However,
even if this is right, it does not take matters much further. Section 14 of the
Guidelines provides that when a complainant occupational group compares itself
to more than one other occupational group, those groups are to be treated as a
single group. Accordingly, if the PO
group cannot be a comparator group for the purpose of a pay equity complaint,
the three separate occupational groups (internal, external, and supervisory
employees) that it comprises are to be treated as one. It is undisputed that
both the PO group as a whole and each of the three sub-groups meet the
requirement of being predominantly male.
[181]
The
question to be decided is whether the Tribunal abused its statutory discretion
in its selection of the POs as the comparator group. A reviewing court should
approach this issue with great caution. In determining whether the choice of
comparator group in this case was unreasonable, the Court must consider both
the Tribunal’s reasons and the outcome: Dunsmuir at para. 47.
[182]
The
application of the unreasonableness standard requires a consideration of
context: Canada (Citizenship and Immigration)
v. Khosa,
2009 SCC 12, [2009] 1 S.C.R. 339 at para. 59. In the present case, the context
includes the fact that the Tribunal’s statutory discretion is broad: it is not
subject to any express constraints. Further, the Supreme Court of Canada has
held that the function of selecting a suitable comparator group lies at the
heart of the expertise of CHRC and the Tribunal: Canada (Human Rights
Commission) v. Canadian Airlines International Ltd., 2006 SCC 1, [2006] 1
S.C.R. 3 at para. 42. In these circumstances, a high degree of judicial
deference is owed to the Tribunal’s exercise of discretion.
[183]
The PO-4
Internal level (the mail sorters) within the internal workers group comprised
approximately equal numbers of men and women, and was therefore predominantly
neither male nor female. However, this does not in itself disqualify members of
the PO-4 Internal level from being included as part of a larger comparator group,
that is, either the internal workers or the PO group as a whole.
[184]
Rather,
CPC argued, since the PO-4 Internal level comprised 40% of the PO occupational group, and its members were
relatively highly paid, it was unreasonable for the Tribunal to include the
PO-4s in the comparator group because their presence would artificially create
or widen an apparent wage gap between men and women. Further, the inclusion of
the PO-4 Internal level would be contrary to the purpose of section 11, namely,
the elimination of systemic gender discrimination. How, it was asked, could
there be systemic discrimination against CPC’s female employees when so many
are well paid?
[185]
The 1986
Guidelines explicitly recognize that a predominantly male comparator group may
contain a minority of women. The female members of a comparator group are not
thereby “masked” or treated as males. The assumption of the Guidelines is that
a female minority in an occupational group may receive higher wages because of
the male predominance. Conversely, a male minority may be disadvantaged by
being part of a predominantly female occupational group.
[186]
In
upholding the PO occupational group as the comparator, as proposed by PSAC and
endorsed by CHRC, the Tribunal noted (at para. 281) that it comprised approximately
80% of CPC’s total workforce. Larger occupational groups provide a more
reliable basis than smaller groups for determining the existence of a wage gap
between men and women performing work of equal value. Moreover, the Tribunal
stated, the duties of some members of the PO group were similar to those of some
members of the CR group. The work performed by some members of the groups was
also similar in terms of skill, effort, responsibility and working conditions.
[187]
Having
thus found good reasons for selecting the POs as the comparator group, the
Tribunal rejected CPC’s argument that PSAC had “cherry-picked” the PO group in
order to skew the comparison by selecting a relatively highly paid group of
employees. In my opinion, the Tribunal’s reasons provide a rational basis for
its exercise of discretion and that judicial intervention is not warranted.
[188]
Nor am I
persuaded that the inclusion of the PO-4 Internal level within the subgroup of
internal workers vitiated the Tribunal’s choice of comparator on the ground
that the presence of a substantial number of relatively well-paid women in
CPC’s workforce effectively undermined the CR group’s complaint of systemic
gender discrimination. I do not agree that, because the PO group includes a
substantial number of well-paid women (the PO-4s), the selection of the POs as
the comparator is contrary to the purpose of section 11, namely the elimination
of systemic gender discrimination in the labour market.
[189]
First, the
Guidelines specifically contemplate the presence of women within a
male-dominated comparator group, and vice versa. The presence of
well-paid women in the PO group is not being “masked”. And, as already noted,
both the PO group as a whole and the PO
internal sub-group are predominantly male as defined by the Guidelines.
[190]
Second,
the fact that some women at CPC were relatively well paid does not necessarily
preclude the existence of systemic gender discrimination elsewhere in the
corporation. Systemic gender discrimination means that work performed by women tends
to be undervalued, not that this is necessarily the case in every situation.
The fact that the PO-4 Internal level has become gender-neutral, so that mail
sorting has lost its character as “women’s work”, and is performed within a
predominantly male occupational group, may well explain why women in the PO-4
Internal level are relatively well paid.
[191]
Third,
counsel referred us to no principle that requires the removal of some members
of an occupational group from the comparator group. While the Guidelines
contemplate the use of more than one occupational group as a comparator, they
do not suggest that part of an occupational group may be used.
[192]
CPC has
also argued that the PO-4s should themselves constitute the comparator. There
are several difficulties with this argument. First, although the PO-4 Internal
level comprised approximately 80% of the internal workers sub-group, and over
40% of the PO group as a whole, it is not an employer-designated occupational
group, but merely one level within the sub-group of internal workers in the PO
group. “Levels” connote wage differentials within an occupational group. Since
wages for one level are set in relation to others, the wages of one level
cannot be considered in isolation from those of the rest of the occupational
group which, as already noted, was in this case predominantly male.
[193]
Second,
the PO-4 Internal level comprised roughly equal numbers of men and women, and
was thus “gender neutral”. It therefore could not be a comparator, because it was
not predominantly of the opposite sex from the predominantly female CR group.
[194]
The
Tribunal also rejected the argument that the General Labour and Trades, and
General Services occupational groups, which were represented in collective
bargaining by PSAC, were more appropriate comparators. These groups represented
only a small percentage of CPC employees and did not perform work similar to
that of any members of the CR group.
[195]
For these
reasons, I am not persuaded that the Tribunal’s choice of comparator group was
unreasonable or contrary to the purpose of the Act. In my respectful view, the
Applications Judge erred in law in concluding that the Tribunal had committed
reviewable error in the exercise of its broad discretion over the selection of
a comparator group.
ISSUE 2: Did the
Tribunal apply the correct standard of proof when finding that members of the
complainant and comparator groups were performing work of equal value?
(i) Facts in issue
[196]
When
determining whether members of a complainant group are paid less than those of
the comparator group for performing work of equal value, a Tribunal must make
two findings about their jobs.
[197]
First, the
value of the jobs performed by the members of the groups must be assessed.
Subsection 11(2) of the Act prescribes that the value of work must be assessed
on the basis of a composite of the skill, effort, and responsibility required,
and the conditions under which the work is performed. The Tribunal must weigh
the evidence before it on these aspects of the work and determine whether it is
sufficiently cogent to enable the Tribunal to conclude on a balance of
probabilities that the jobs had been properly evaluated.
[198]
Because it
may be impractical to collect the necessary data for all the jobs performed by
members of the groups, it is sufficient to evaluate the work performed by
representative samples of the groups. The Tribunal will normally have before it
job evaluations submitted on behalf of the parties as a result of a joint
union-management study. In this case, however, job evaluations were submitted
on behalf of the complainants alone. The Tribunal relied on the reports of the
Professional Team retained by PSAC and on the viva voce evidence of the
“spokesperson” of the Team, Dr Wolf, in adopting the Team’s evaluation of the
work performed by members of the groups.
[199]
Second, on
the basis of an evaluation of the work, the Tribunal must then decide if enough
members of the complainant group were performing work of at least equal value
to that of members of the comparator group to enable it to determine if there
was a gender-based wage gap in breach of section 11. As already indicated, the
evidence of the Professional Team was that if a substantial portion of the CR
positions were at least equal in value to one or more of the PO positions, the
wages of the two groups could be compared to determine if they were being paid
differently for performing work of equal value.
[200]
In a
report submitted in 1995 (PSAC-29), the Professional Team found that 62.9% of
the jobs of the CR group were of equal or greater value than the least valuable
job in the PO group.
However, in its report of June 2000 (PSAC-180), the
Professional Team reviewed its earlier evaluations in the light of evidence
subsequently produced by CPC, mainly related to the PO positions.
[201]
In this
latter report, the Professional Team found that, while the new information made
relatively little difference to most evaluations, it did significantly affect
the value previously attributed to two PO generic jobs: the value of one job,
relief mail services courier, was revised down, while the value of the other,
counter clerk, was raised. As a result of the increase in the evaluation of the
generic job of counter clerk, the number of CR positions falling within the PO value line was reduced by nearly a half.
[202]
Nonetheless,
the Professional Team obviously regarded 34% as a “substantial portion” of
members of the complainant group who come within the comparator group’s value
line so as to enable the wages of the two groups to be compared for the purpose
of determining whether the CR group were being paid less than the PO group for
performing work of equal value. CPC did not argue that 34% was too small a
number for this determination to be made.
[203]
Of course,
if the jobs are not reliably evaluated in accordance with the statutory
criteria, it cannot be established on a balance of probabilities that members
of the complainant group were paid less than the comparator group for work of
equal value.
[204]
However, I
should also add this. Historically, women in predominantly female occupations
have generally been paid less than men for work of equal value, including in
the federal public service. Hence, a finding that the CR group was paid less
than the PO group for performing work of equal value would hardly be a
surprise, especially since clerical work has traditionally been “women’s work”
and women comprised more than 80% of the CR group. Indeed, the surprise would
have been a finding that CPC did not fit the historic pattern of undervaluing
“women’s work”. Nonetheless, this does not relieve PSAC and CHRC from having to
adduce evidence to prove to the Tribunal on a balance of probabilities that CPC
was in breach of section 11.
(ii) Standard of proof
[205]
The
relevant law on this issue is clear and not in dispute in this appeal.
Complainants before the Canadian Human Rights Tribunal have the burden
of proving that the respondent has prima facie discriminated
against them contrary to the Act: see, for example, Public Service Alliance of
Canada v. Canada (Department of National Defence), [1996] 3 F.C. 789 at
para. 33 (C.A.) (“Department of National
Defence”). Absent some special legislation, a balance of probabilities is
the standard of proof applicable to civil proceedings in Canada: H.(F.) v. McDougall,
2008 SCC 53, [2008] 3 S.C.R, 41 (“McDougall”). “Civil proceedings”
include proceedings before human rights tribunals: Department of National
Defence at para. 33.
[206]
After
noting that there was some judicial authority for the proposition that the
civil standard of proof varies according to the seriousness of the outcome for
the parties and the importance of the interests at stake, Justice Rothstein
said in McDougall (at para. 44):
In my view,
the only practical way in which to reach a factual conclusion in a civil case
is to decide whether it is more likely than not that the event occurred.
In addition, he noted (at para. 54):
Where the
trial judge expressly states the correct standard of proof, it will be presumed
that it was being applied. Where the trial judge does not express a particular
standard of proof, it will also be presumed that the correct standard was
applied.
I take it that, like the standard of proof itself, this
presumption applies to decisions of the Canadian Human Rights Tribunal.
[207]
Whether
the Tribunal in the present case committed a reviewable error in its
application of the balance of probabilities standard of proof to the material
before it is, of course, a different question. I need only say at this point
that, when it comes to fact-finding, especially on difficult technical issues
such as those involved in this pay equity dispute, the Tribunal is operating at
the heart of its specialized jurisdiction, and its findings of fact are owed a
high degree of deference, as the wording of paragraph 18.1(4)(d) of the Federal
Courts Act indicates: Canada (Minister of Citizenship and Immigration)
v. Khosa, 2009 SCC 12, [2009] 1 S.C.R. 339 at para. 46.
[208]
Facts in
issue are facts that are legally necessary for a plaintiff to win its case.
They must be proved on a balance of probabilities. In this case, the facts in
issue are the value of the jobs and, if the distribution of the values of the
work performed by the complainant and comparator groups permits, the wages paid
for work of equal value. However, establishing the value or, more accurately
perhaps, the relative value of work, is not a purely scientific exercise,
admitting of a uniquely correct answer. It calls for the exercise of judgment;
not all evaluators would necessarily adopt the same methodology for assessing
work, or place the same value on given jobs. Those assessing the value of work
must be afforded a margin of appreciation in applying the appropriate
methodology to the job data.
[209]
Facts in
issue should be distinguished from the evidence or intermediate facts on which
findings of the facts in issue are based. It is unnecessary and, in my view,
unhelpful for an adjudicator to introduce the notion of a balance of
probabilities when weighing items of evidence to determine their probative
value. “Balance of probabilities” is best reserved as the standard to be used
by a fact-finder when determining whether, when all the evidence is weighed, a
fact in issue has been proved.
[210]
However,
this is not to say that the weight attached to evidence is unrelated to the
question of whether a fact in issue has been proved on a balance of
probabilities. An adjudicator cannot conclude that a fact in issue has been
proved on a balance of probabilities if the only evidence is unreliable. Conversely,
I cannot imagine that an adjudicator would describe evidence as reliable unless
it was more likely than not to be true, or would describe evidence as
“reasonably reliable” that she thought was no more likely to be correct than to
be wrong.
[211]
In the
present case, the Tribunal had before it three kinds of evidence from which to
determine if the Professional Team had accurately assessed the value of the
work performed by the CR and PO groups. First, it considered
job information on the nature of the work and the wages paid for that work.
Second, it considered whether the Hay method evaluation plan used by the Professional Team
was an appropriate methodology for assessing the value of the work performed by
the CR and PO groups by reference to the statutory criteria of skill, effort,
responsibility, and working conditions. Third, it considered whether the
evaluators had adopted a proper process in applying the methodology to the
data.
[212]
Having
found that the only three items of evidence on which it could assess the
Professional Team’s evaluation of the jobs were reasonably reliable, the
Tribunal could conclude on a balance of probabilities that the jobs had been
properly evaluated.
[213]
In the
course of its reasons, the Tribunal did at times refer to a balance of
probabilities or its equivalent, “more likely than not”, when assessing the
reliability of items of evidence. To ask, as it did, whether it is more likely
than not that certain evidence was reasonably reliable may be redundant. It
does not in my view, however, amount to an error of law by demonstrating that
the Tribunal deviated from the task that it had set itself: to assess the
reliability of each of these items of evidence and to ask whether, taken as a
whole, they established on a balance of probabilities that the Professional
Team had properly evaluated the work.
(iii) Tribunal’s reasons
[214] I turn now to the reasons of
the Tribunal to determine if it applied the balance of probabilities standard
of proof when making findings of the facts in issue. The first fact in issue is
the proper evaluation of the jobs. If the Tribunal was satisfied of this on a
balance of probabilities, and if a substantial portion of the CR jobs were at
least as valuable as the lowest valued PO job, it could then determine whether the
complainants were being paid less than the comparator group for performing work
of equal value contrary to section 11. In its memorandum of
fact and law, CPC did not challenge that this was an appropriate basis for
being able to compare the wages of the two groups in order to determine if the
CR group had been paid less than the PO group for performing work of equal
value.
[215]
In its
overview of the legal principles governing a human rights complaint, the
Tribunal correctly stated (at para. 68) that a prima facie case of
discrimination must be established on “the civil standard, a balance of
probabilities”. Turning later to the question of whether there was a prima
facie case of discrimination contrary to section 11, the Tribunal provides
the reader with a road map of its task.
[257] …
Therefore, when addressing section 11 in the context of the Complaint before
this Tribunal, each of the following elements must be proven, on a balance of
probabilities. The elements are taken from section 11 of the Act and
from the guidance which is offered concerning the particularizing of the
section through guidelines promulgated by the Commission pursuant to its
mandate under section 27 of the Act.
(1) The
complainant occupational group is predominantly of one sex and the comparator
occupational group is predominantly of the other sex. In this Complaint, that
means the complainant CR’s must be predominantly female and the comparator PO’s must be
predominantly male.
(2) The
female-dominated occupational group and the male-dominated occupational group
being compared are composed of employees who are employed in the same
establishment.
(3) The value of
the work being compared between the two occupational groups has been assessed
reliably on the basis of the composite of the skill, effort, and responsibility
required in the performance of the work, and the conditions under which the
work is performed. The resulting assessment establishes that the work being
compared is of equal value.
(4) A comparison
made of the wages being paid to the employees of the two occupational groups
for work of equal value demonstrates that there is a difference in wages
between the two, the predominantly female occupational group being paid a
lesser wage than the predominantly male occupational group. This wage
difference is commonly called a “wage gap”.
(Emphasis
added)
[216]
In my
view, the Tribunal correctly identified in this paragraph the facts in issue
and the applicable standard of proof. I shall focus on element three because
this is where my colleagues say that the Tribunal erred. Nor can I fault the
Tribunal’s statement that the complainants must prove on a balance of
probabilities that the value of the work had been “reliably” assessed.
[217]
The
Tribunal’s statement that the assessments establish that the work performed by
members of the groups being compared is of equal value is also correct. Since a
substantial portion of CR jobs were more valuable than the lowest valued PO
job, it was possible to compare the wages paid to the PO and CR groups to determine
if they were being paid differently for performing work of equal value.
[218]
Later in
its reasons, the Tribunal repeats that it has identified a balance of
probabilities as the standard to be applied to the proof of facts in issue,
this time to the proof of a wage gap.
[801] The
Tribunal accepts that the evidence of the Professional Team, both through
the viva voce evidence of Dr. Wolf and also through the presentation of
the Team’s Reports to the Tribunal, is sufficient, on a balance of
probabilities, to demonstrate a wage gap when the work of the predominantly
female CR’s was compared with the work of equal value being performed by the
predominantly male PO’s at Canada Post.
…
[803] Having
accepted that there is a wage gap, and, consequently, there is proof, on a
balance of probabilities, that there has been systemic discrimination in this
“pay equity” complaint, the next step is to select the most appropriate
wage adjustment methodology to use to calculate an award of lost wages and to
eliminate the gap. … (Emphasis added)
[219]
In my
view, these passages amply demonstrate that the Tribunal has identified a
balance of probabilities as the standard of proof of the facts in issue. It is
therefore entitled to the benefit of the McDougall presumption that this
is the standard that it in fact applied. The question to be decided, therefore,
is whether other aspects of the Tribunal’s reasons are so wayward as to rebut
the presumption and to lead to the conclusion that, contrary to its clear
assertion to the contrary, the Tribunal in fact applied some lower standard.
[220]
Without
going through the Tribunal’s reasons in undue detail, I shall refer to
paragraphs that seem to have caused most concern as to whether the Tribunal
applied the balance of probabilities standard to the facts in issue, namely,
whether the wage comparison of the CR and PO groups related to work of equal
value.
[412] These
rulings [in the three cases cited above] support a call for a standard of
reasonableness, there being no such thing as absolute reliability. The
application of such a standard will depend very much on the context of the
situation under examination. The issue is, then, given all the circumstances of
the case before this Tribunal, is it more likely than not that the job
information, from its various sources, the evaluation system and the process
employed, and the resulting evaluations are, despite any weaknesses,
sufficiently adequate to enable a fair and reasonable conclusion to be reached,
as to whether or not, under section 11 of the Act, there were
differences in wages for work of equal value, between the complainant and
comparator employees concerned?
[221]
The
difficulty with this paragraph, my colleagues say, is that by focussing on the
reliability of the job information, and the methodology and process used to
evaluate the jobs, the Tribunal deviated from its task of deciding whether it
had been established on a balance of probabilities that the CR group was being
paid less than the PO group for performing work of equal value.
[222]
In particular,
it can be argued that the Tribunal in this paragraph was diluting the standard
of proof when it asked whether it is “more likely than not” that the
material is “sufficiently adequate” to enable a “fair and equitable conclusion”
to be reached on whether there were wage differences for work of equal value. I
do not agree.
[223]
In my
opinion, this paragraph is not sufficient to rebut the presumption that the
Tribunal applied the standard of proof that it stated it was applying. At this
stage of its reasons, the Tribunal is merely directing itself on its task of
weighing the sufficiency of the evidence in order to reach a “fair and
equitable conclusion” on whether there were differences in wages for work of
equal value. It was not formulating the standard of proof.
[224]
Indeed, in
the previous paragraph, the Tribunal had quoted a passage from the reasons of
Hugessen J.A. writing for the Court in Department of National Defence at
para. 33, where he reiterated that, in proceedings before the Canadian Human
Rights Tribunal, a balance of probabilities is the standard of proof , a
standard, he noted, which is “a long way from certainty”. In my opinion, it is
very unlikely that, in writing in paragraph 412 that the evidence must be
adequate to enable a fair and equitable conclusion to be reached on whether
there had been a breach of section 11, the Tribunal intended to contradict the
statement that it had just quoted on the standard of proof that it must apply.
[225]
The words
“fair and reasonable conclusion” in para. 412 of the Tribunal’s reasons have
their origin in the reasons in an earlier pay equity decision, P.S.A.C. v. Canada (Treasury Board) (No. 2) (1996), 29 C.H.R.R. Decision
36 (“Treasury Board (No. 2)”), which is quoted at paragraph 409 by the
Tribunal in the present case. The Tribunal opined in Treasury Board (No. 2)
(at para. 187) that, since perfect gender neutrality is probably unattainable
and pay equity is not susceptible to precise measurement, “one should be
satisfied with reasonably accurate results based on what is, according to one’s
sense, a fair and equitable resolution” (emphasis added) of a wage gap
between men and women performing work of equal value.
[226]
When read
in context (including a discussion by the Tribunal of a balance of
probabilities as the governing standard of proof), the reference to “a fair and
equitable conclusion” in the present case is more akin to a statement of the
general goal of those implementing pay equity legislation than to an
articulation of the narrower legal question of the applicable standard of
proof. This does not, in my opinion, establish that the Tribunal had lost sight
of its ultimate task, namely, deciding on a balance of probabilities whether
there had been a breach of section 11. In any event, who could disagree that
the Tribunal’s aim should be to strive to reach “a fair and reasonable
conclusion” to a dispute?
[227]
My
colleagues also rely on the following paragraphs of the Tribunal’s reasons as
indicative of its failure to apply the correct standard of proof to the facts
in issue.
[703]
Accordingly, the Tribunal concludes that it is more likely than not that the
aforementioned reasonably reliable Hay Plan, process and job information, in
the hands of competent evaluators, as were the Professional Team, would result
in reasonably reliable job evaluation values being attributed to the work
performed by CR and PO employees.
The Tribunal repeats this
conclusion in the following paragraph.
[798] The
Tribunal has already concluded that it is more likely than not that the reasonably
reliable Hay Plan, process and job information, in the hands of the competent
Professional Team, would result in reasonably reliable job evaluation values
being attributed to the work performed by CR and PO employees (paragraph
[703]). In determining the value of the work performed by those employees, the
Professional Team applied the composite of the skill, effort and responsibility
required in the performance of the work, and the conditions under which the
work was performed, all in line with the requirements of subsection 11(2) of
the Act.
[228]
It is said
that the fact that the evidence before the Tribunal was such as to produce
“reasonably reliable job evaluations” is not the same as concluding that on a
balance of probabilities the work being compared was of equal value. However,
if the evaluation of the jobs was “reasonably reliable” and a substantial
portion of the CR group were performing work at least equal in value to the
least valuable PO job, I cannot see what else
needs to be proved, or what finding made, in order to establish that the wage
comparison related to work of equal value. As already noted, the Tribunal
accepted the evidence of the Professional Team that “a significant portion of
the CR positions were of a value equal to or greater than that of the PO jobs”:
para. 799.
[229]
The
Tribunal’s creation of sub-bands of the reasonable reliability of the evidence
on which the job values were assessed has also raised a question as to whether
the Tribunal reduced the standard of proof below that of a balance of
probabilities. While the elaboration of these “sub-bands” may have been
unnecessary, it indicates that the Tribunal was well aware of the limitations
of the evidence, and weighed it with great care. As already noted, problems
with the evidence resulted, in large part, from the failure of the parties to
produce a joint pay equity study evaluating the work performed and determining
the wages paid, CHRC’s failure to exercise its powers to require CPC to produce
information, and the adversarial context in which the exercise was conducted.
[230]
In my
opinion, the Tribunal eschewed “reliable” as the standard for evaluating the
evidence, and the assessment of the value of the work because it equated
“reliable” with “absolute correctness”, the standard proposed by Ms Winter, one
of CPC’s witnesses, and properly rejected by the Tribunal. It concluded that,
for all practical purposes, such a standard was unattainable, and opted instead
for “reasonably reliable” as a standard connoting less than certainty or
correctness – a standard which, it rightly said, is not demanded by a balance
of probabilities.
[231]
The
Tribunal does not spell out explicitly what it understands by “reasonably
reliable”.
However, evidence, or a finding of a fact in issue, can
surely only be called “reasonably reliable” if it is more likely than not to be
true, regardless of the point on the “reliability spectrum” that particular
evidence or the evaluation of a job may be located. “Low-level reasonable
reliability” is still “reasonable reliability”. While the Tribunal would
clearly have preferred the evidence in a pay equity case to meet an upper
“sub-band” of reasonable reliability, it was also of the view that evidence
that met only the lower sub-band was still reasonably reliable. It said (at
para. 698): “Thus, while all three sub-bands meet the test of reasonable
reliability …”. The Tribunal made the same point at para. 700.
[232]
Equally
instructive as to how the Tribunal viewed the relationship between “a balance
of probabilities” and “lower sub-band reasonable reliability” is its discussion
(at paras. 919 and 927-30) of the value of the non-monetary components of the
wages of the CR and PO groups. While the Tribunal
regarded the report of an expert as having only “lower sub-band reasonable
reliability”, it nonetheless concluded that the report demonstrated on a
balance of probabilities an equivalence between the value of the non-monetary
components of the wages of the two groups.
[233]
Similarly,
having found the evidence, methodology, and process to be reasonably reliable,
the Tribunal could infer that on a balance of probabilities the jobs had been
properly evaluated. Because a substantial portion of the CR jobs fell within
the PO value line, a determination could then be made, again on a balance of
probabilities, as to whether the CRs were being paid less than the POs for
performing work of equal value contrary to section 11.
[234]
Nor am I
satisfied that it can be inferred from the Tribunal’s reduction of the monetary
award to 50% of the wages lost according to the wage gap identified by the
Professional Team that the Tribunal must have believed that the evidence fell
short of a balance of probabilities. In my view, it is equally plausible that
the Tribunal was satisfied on a balance of probabilities that the CR group was
paid less for work of equal value, but was not satisfied that, given the
limitations of the evidence and the dispute over the methodology appropriate
for measuring the wage gap, it should accept the accuracy of the Professional
Team’s measurement of the wage gap. The 50% reduction is better seen, in my
opinion, as merely a “rounding down” figure. That the Tribunal chose a
reduction of 50 % rather than, say, 49%, seems to me inconsequential as far as
the standard of proof being applied is concerned.
[235]
CPC also
says that another indication that the Tribunal reduced the standard of proof
required to evaluate the work, a fact in issue, is its reference to the passage
in S.M. Waddams, The Law of Damages, looseleaf, 2nd ed.
(Aurora: Canada Law Book, 1996) at ¶13-30, where the author states that when
the amount of a loss is difficult to assess, “the tribunal must simply do its
best on the material available”. I do not share this view. The Tribunal says
(at para. 680) only that the passage in question “may be analogous to
what the Tribunal considers to be the spectrum of reasonable reliability.” The
Tribunal was not, in my opinion, thoughtlessly transposing comments on
evidential difficulties respecting the calculation of damages to proof of
liability. Rather, the Tribunal’s point was simply that its adoption of a
“reasonableness” standard of reliability of the evaluations was appropriate,
not Ms Winters’ insistence that nothing less than correctness would suffice.
[236]
To
summarize, I am not persuaded that CPC has rebutted the presumption that the
Tribunal applied the standard of proof, a balance of probabilities, which it
clearly identified as the applicable standard. In my view, having found that
the Professional Team had evaluated the jobs reasonably reliably, and having
accepted the Professional Team’s evidence respecting the necessary degree of
“overlap” between the job value lines of the CR and PO groups, the Tribunal
made the necessary findings of the fact, and concluded on a balance of
probabilities that the wages compared were with respect to work of equal value.
ISSUE 3: Did the
Tribunal commit a reviewable error in finding as a fact that the CR group was
being paid less than the PO
group for performing work of equal value?
(i) Overview
[237]
Having
allowed CPC’s application for judicial review on the issues considered above,
the Applications Judge did not have to decide whether, if the Tribunal had
applied a balance of probabilities standard of proof, it would have committed a
reviewable error by concluding that the standard had been met. Hence, PSAC does
not address this issue in its memorandum of fact and law.
[238]
At the
hearing of the appeal, however, both parties dealt at some length with the
probative value of the evidence on which the Tribunal based its decision. In
view of my colleagues’ conclusion that the appeal must be dismissed on the
ground that the Tribunal did not apply the correct standard of proof, I shall
endeavour to deal relatively briefly with whether the Tribunal committed
reviewable error in its application of the civil standard of proof to the
evidence.
[239]
CPC
submits in its memorandum of fact and law (at para. 118) that the Tribunal
erred in law in concluding that the evidence satisfied a balance of probabilities
standard of proof. I do not agree. Whether a standard of proof has been met is
essentially a question of fact, on which the Tribunal is entitled to a high
degree of deference. Reviewing findings of fact for unreasonableness precludes
the Court from making independent findings of fact, reweighing the evidence, or
preferring what it thinks is the better evidence. As long as there was evidence
on which the Tribunal could reasonably base its conclusion, the Court’s inquiry
is at an end.
[240]
Three
aspects of the evidence before the Tribunal in this case assist in
contextualizing the application of the unreasonableness standard.
[241]
First,
much of the extensive evidence, both oral and written, regarding the evaluation
of the jobs and the measurement of the wage gap is highly technical,
controversial, and difficult to assess because it was not of the quality
normally seen in pay equity cases where there has been a joint union-management
study.
[242]
Second, in
the course of the more than 400 days of hearings, and the more than two years
that the Tribunal took to examine the evidence and produce its reasons, the
Tribunal would have acquired an understanding, which no reviewing court can
hope to match, of the beguilingly simple principle of equal pay for work of equal
value and the dauntingly difficult task of implementing it in the present case.
[243]
Third, the
Tribunal made important findings of credibility which permeate its factual
conclusions, setting out (at para. 419) seven criteria it used “to examine the
evidence of … [the expert witnesses] in a very systematic manner.”
[244]
Thus, the
Tribunal was impressed by the evidence of PSAC’s Professional Team and, in
particular, that of its “spokesperson”, Dr Martin Wolf, who had extensive
experience in job evaluations in many different employment settings, including
office clerical and blue collar work. He made no bones about the problematic
features of aspects of the evidence, especially the job data. For instance, he
agreed that the information was not complete and had been gathered at different
times. For this reason, Dr Wolf said, he had adopted a very rigorous approach
to his evaluation of the jobs and, when in doubt had erred on the side of
valuing a PO job generously, and a CR position conservatively. As a result, he said
(at para. 487), the Professional Team’s evaluation of the jobs
… certainly
at least meets, and in my opinion probably exceeds, the typical commercial
standard, if you will, what consultants from Hay or other consulting firms are
doing for their clients.
[245]
However,
after frankly acknowledging the evidentiary limitations, Dr Wolf concluded
that, in his opinion as an experienced job evaluator, the data were adequate to
enable him to provide a professional assessment of the relative values of the
jobs in question. Indeed, he testified that the quantity of the information to
which he had access exceeded what would normally be available in such an
exercise.
[246]
The
Tribunal found Dr Wolf to be highly credible, even though, as CPC noted, the
Professional Team had no “hands-on” knowledge of postal work. In contrast, the
Tribunal was relatively unimpressed by CPC’s expert witnesses. One, Ms Winter,
it found to be rigid and unduly definitive in her opinions; she also seemed to
the Tribunal unnecessarily adversarial. It discounted her evidence. The
Tribunal noted that the other two experts, Mr Wallace and Mr Willis, had not
seen all the relevant documents and had not themselves attempted to evaluate
the jobs with the data available.
[247]
The
Tribunal’s findings of the credibility of the various expert witnesses go a
long way to explaining why it adopted much of the Professional Team’s analysis,
and not that of CPC’s experts, in reaching its conclusion that CPC was in
breach of section 11.
[248]
As the
Tribunal candidly stated, evaluating the evidence, and the conflicting views of
it that the experts provided, presented a considerable challenge. However, it
is not the role of the Court conducting a judicial review to probe deeply into
the evidence or to revisit the Tribunal’s findings of credibility. It must
merely ensure that there was a reasonable basis in the evidence for the
Tribunal’s findings.
[249]
One final
feature of the evidence should be mentioned in order to appreciate the nature
of the Tribunal’s task. CPC elected, as was its right, not to adduce before the
Tribunal evidence of its own on the value of the jobs. Rather, its experts
mostly confined themselves to challenging the work of the Professional Team and
of the other expert witnesses retained by PSAC and CHRC. The Tribunal was thus
offered no alternative version of the facts to consider. The only question for
it to decide was whether it was satisfied on a balance of probabilities that
the Professional Team had established the value of the jobs and accurately measured
any difference in the wages paid to members of the two groups for performing
work of equal value.
(ii) Methodology
[250]
Dr Wolf
pithily described what all job evaluation plans measure: what you know, what
you do, and what you have to put up with. Both PSAC and CPC questioned the
suitability of the Hay method evaluation plan as a tool for evaluating the work of the
two groups, principally on the ground that, because it tended to put too little
weight on the working conditions factor, it was not an appropriate plan for
evaluating blue collar or clerical work. There was also debate over the
appropriateness of the factor comparison approach to the Hay method used by the
Professional Team.
[251] The evidence before the
Tribunal on the methodology issue was that the Hay method evaluation
plan was the most
widely used job evaluation tool and in its earlier years had been used to
evaluate blue collar work. Dr Wolf stated that he had used it extensively in
many different work settings and, in the hands of experienced evaluators, it
could be appropriately used in a clerical or blue collar context, such as here,
especially with “a strengthened working conditions factor” (at para. 563).
[252]
Noting (at
para. 566) Dr Wolf’s extensive experience with and knowledge of the Hay job
evaluation method and of its development over time, the Tribunal concluded (at
para. 571):
… on a balance of
probabilities, the Hay Plan, whether using the factor comparison method or
other approaches, is, in the hands of competent evaluators as were the members
of the Professional Team, a suitable overall job evaluation scheme which will
address the issues of this “pay equity” Complaint in a reasonably reliable
manner.
[253] In my view, the Tribunal’s
finding that the selected methodology was reasonably reliable was not
unreasonable in view of the evidence before it.
(iii) Process
[254]
CPC was
also critical of aspects of the Professional Team’s process, that is, its
application of the Hay method evaluation plan to the material. In particular, CPC
expressed concerns about the lack of an adequate “audit trail” that would
enable the Team’s work to be monitored, the Professional Team’s lack of direct
experience with postal operations, and a certain lack of discipline in the
Team’s review of the evaluation results.
[255]
The
Tribunal concluded that, although not of the quality normally expected in job
evaluations produced by a joint union-management study, the process was
nonetheless reasonably reliable. First, one member of the Team, Ms
Palmer-Davidson, had at one time worked in CPC management and organization
development, and therefore had some prior knowledge of the Corporation. Second,
the unusual circumstances facing the Professional Team, especially the
litigious environment in which the evaluations had to be conducted and the
short period of time available to the Team, required it to adjust its normal
process. Third, for reasons given earlier, it found the Professional Team more
credible than CPC’s experts. Fourth, in accordance with standard practice, the
Professional Team worked as a unit and made its decisions on the value of jobs
either unanimously or by consensus.
[256]
On the
basis of the material before it, and in light of the reasons that it gave, the
Tribunal’s conclusion that the process was reasonably reliable cannot, in my
opinion, be characterized as unreasonable.
(iv) Job information
[257]
CPC argued
that the evidence on which the Professional Team based its evaluation of the
work of the CR and PO groups was so flawed that it
could not reasonably support the Tribunal’s conclusion that it was reasonably
reliable. Accordingly, it said, the Tribunal’s decision that, on a balance of
probabilities, the jobs had been properly evaluated cannot be sustained.
[258]
The
aspects of the evidence which particularly concerned CPC were: the use of the
job fact sheets for gathering information about the CR group; the techniques
used for sampling the CR positions; the comparison of 10 generic PO jobs and
the 194 actual CR positions; and the fact that the job data for the two groups
were not all gathered at the same time.
[259]
Two
preliminary points bear repeating before I turn to the specific issues raised
by CPC. First, it is not the role of this Court to retry the facts; CPC had
put to the Tribunal the points outlined above, but the Tribunal had not
accepted them. An applicant for judicial review who argues that an
administrative tribunal erred in its findings of fact has a heavy burden to
discharge: it must establish that there was no evidence on which the tribunal
could reasonably base a finding of material fact. Second, a reviewing court
should not second guess a tribunal’s reasoned findings of credibility. The
credibility findings made by the Tribunal in this case respecting the expert
witnesses that it heard in the course of this mammoth hearing are an important
part of the basis of its findings of fact.
(a) Job Fact Sheets
[260]
In CHRC’s
investigation of PSAC’s pay equity complaint during the years 1984 to 1992, it
developed a “Job Fact Sheet”, a questionnaire designed to collect information
from members of the PO and CR groups about the nature of their positions. It is
common ground that these Job Fact Sheets did not meet professionally accepted
standards for evaluating jobs. For example, instead of simply asking employees
for information about their jobs, they also asked respondents to evaluate their
jobs. Further, the information was intended for analysis by a method other than
Hay.
[261]
When it
became apparent that there were problems with the data collected through the
Job Fact Sheets, PSAC retained the Professional Team to supplement the data and
to re-evaluate the jobs. Dr Wolf agreed that the quality of the Job Fact Sheets
was “abominable” and not suitable for evaluating the jobs, largely because
employees were asked to evaluate, as well as to describe, their jobs.
Accordingly, the Professional Team conducted interviews with 114 members of the
CR group. It re-evaluated the CR and PO positions on the basis of both the data
collected through the Job Facts Sheets (excluding the employees’
self-evaluation of their jobs), and the additional information obtained through
the interviews and supplied by CPC.
[262]
While not
glossing over problems with respect to the accuracy, consistency and
completeness of the data, Dr Wolf testified that, based on his extensive
experience with the Hay method evaluation plan, he was of the view that the
data were adequate to enable the Professional Team to evaluate the jobs in
question.
[263]
The
Tribunal concluded that, although not of the same quality as the data typically
generated by a joint union-management pay equity study, the job information in
the present case was nonetheless “reasonably reliable”, but only at the “lower
sub-band”. For reasons already considered, the Tribunal regarded Dr Wolf as a
highly credible expert, but was much less impressed with CPC’s experts. The
Tribunal noted that the Professional Team had been prepared to adapt to the
deficiencies in the data by, for example discarding job information which it
regarded as unreliable. The Tribunal also noted that the Professional Team’s
reconsideration of the evaluations in 2000 in light of the additional
information supplied by CPC had, with two exceptions in the PO jobs, little impact on the results that
it had reached earlier.
[264]
In my
opinion, it was reasonably open to the Tribunal on the evidence before it to
conclude that the information collected through the Job Fact Sheets, as
supplemented by interviews and analysed by experienced professionals, was
adequate to enable the work of the CR and PO groups to be evaluated in a
reasonably reliable manner.
(b) sampling techniques
[265]
CHRC did
not seek job information from all of the approximately 2,300 members of the CR
occupational group, nor from all of the much larger PO group. Instead, it sent questionnaires
to about 400 members of the CRs and received responses from 194 or 45%, and
gathered information on the 10 PO generic jobs.
[266]
CPC’s
witness, Dr David Bellhouse, an expert in statistics with a specialization in
survey sampling, was critical of CHRC’s sampling techniques, pointing out that
the sample had originally been drawn by a CHRC officer who lacked relevant
expertise, and was not supervised by a suitably qualified person. In Dr
Bellhouse’s opinion, both the design of the CR sample and the low response rate
were likely to introduce biases into the results. Mr Willis was generally
supportive of Dr Bellhouse on this issue.
[267]
CHRC
called as a witness, Dr John Kervin, a sociologist with an expertise in data
collection and the use and analysis of statistics in the context of industrial
relations, including gender bias and pay equity. He testified that, in his
opinion, there was no basis for concluding that the sampling was flawed in
design or response, or that the results were biased; he found the CR sample to
be sufficiently representative for its purpose. He further stated that Dr
Bellhouse had overlooked the pay equity context in which the data were being
collected and the qualitative nature of some of the analysis of the jobs.
Instead, Dr Kervin said, Dr Bellhouse had approached the question strictly from
the perspective of a statistician who was seeking scientific accuracy, without
regard to the “art” aspect of pay equity inquiries.
[268]
After
considering at some length the conflicting evidence given by these two experts,
who brought to bear somewhat different perspectives on the issues, the Tribunal
concluded that Dr Kervin’s evidence was more germane to the issues before it.
It was entitled to accept his evidence.
(c) comparing PO “jobs” and CR “positions”
[269]
It was
argued that any comparison of the work of the two groups was invalidated
because of differences in what was being compared. In particular, CPC said, job
information collected about actual CR positions could not be compared with
information collected about the 10 generic or composite PO jobs which, the
Tribunal stated (at para. 472), were “an amalgam of functions for 10 commonly
held jobs” in the PO group.
[270]
CHRC had
proceeded on the basis of generic jobs because members of the PO group had not
completed the Job Fact Sheets. CPC would not allow them to complete the
questionnaires on CPC’s time and their union refused to allow them to be
completed, without remuneration, outside work hours. These generic jobs were
evaluated through the use of job descriptions and job profiles, some of which
may have been outdated or incomplete.
[271]
Dr
Bellhouse gave his opinion that because the CR group had been evaluated on the
basis of actual positions and a description of the work done by incumbents, and
the PO group had been evaluated on
the basis of a selection of job titles, a proper comparison of the value of
their work could not be made.
[272]
Dr Kervin
disagreed. He testified that, while not a random sample, the 10 generic PO jobs
were likely to provide a reasonably accurate basis for the purpose of making a
pay equity comparison. He also stated that the fact that the information for
the PO group was based on job titles, rather than positions was not a
significant problem, especially since the job specifications used for the PO jobs were similar in some respects to
the CR Job Fact Sheets. Dr Kervin regarded the disparity between the PO jobs
and the CR positions as “a difference in the unit of analysis and not as a
difference in measurement” (at para. 470), and one that was easily remedied.
[273]
Despite
this disagreement between the experts, the Tribunal never makes a finding of
which view it accepts and why. While the Tribunal stated that it prefers the
evidence of Dr Kervin on the sampling issue, largely, it would seem, because
his expertise was more directly relevant to a pay equity context, the Tribunal
does not reach a similar conclusion on the “jobs v. positions” issue.
[274]
Perhaps
the Tribunal comes closest to addressing this issue when it refers (for example,
at para. 660) to the enrichment of the Professional Team’s understanding of the
content of the PO jobs after it received the additional information from CPC,
as outlined in its report of June 2000. Otherwise, one must infer from the
Tribunal’s finding that the job information was reasonably reliable that it
adopted Dr Kervin’s view on the “jobs v. positions” issue as well as on
sampling.
(d) timing
[275]
CPC argued
that the fact that the job information pertaining to the CR and PO groups was not collected at the same
time undermined its reliability in a pay equity context. The nature of jobs may
change over time, as a result, for example, of the introduction of new
technology which may have an impact on the skill required for the job, as well
as the working conditions. Mr Willis testified that a valid comparison should
be based on contemporaneous information about the work being performed.
[276]
This issue
seems not to have been addressed expressly and specifically before the Tribunal
by PSAC or CHRC. However, they may have done so indirectly by attacking the
credibility of CPC’s experts, Mr Willis and Mr Wallace, on the ground that they
had neither read all the relevant documentation nor attempted to evaluate the
jobs on the basis of the information available.
[277]
Nor does
the Tribunal itself make a finding on the timing issue. Rather, it seems to
have rolled it up in its overall acceptance of the Professional Team’s
analysis, and its relatively less favourable view of CPC’s experts.
(e) conclusion
[278]
To
conclude this review of the Tribunal’s finding that the Professional Team’s
evaluation of the jobs of the complainant and comparator groups was reasonably
reliable, I acknowledge that the Tribunal does not always explain as fully as
it might why it accepted one view of the evidence rather than another,
especially on the issue of the timing of the collection of data and the
difficulty of comparing PO jobs and CR positions. However, deficiencies
in the Tribunal’s reasons in this regard do not, in my opinion, render its
decision unreasonable on the ground that it is not sufficiently transparent.
[279]
It can be
inferred from the Tribunal’s careful and full explanation of the conflicting
views of the experts that it understood the issues and appreciated the
strengths and weaknesses of each. To the extent that the Tribunal does not a
make a definitive and reasoned finding on one or more of the issues considered
above, the Tribunal can be taken to have adopted the view of the relevant
expert and the underlying reasoning. I have already emphasized the importance
of the Tribunal’s findings of credibility of the parties’ principal expert
witnesses.
[280]
Nor am I
persuaded that the Tribunal’s decision to uphold PSAC’s pay equity claim is
vitiated by its findings of fact. There was, in my opinion, a reasonable basis
in the evidence, when viewed overall, to support its conclusions.
(v) Wage gap
[281]
Having
concluded that the wages of the CRs and the composite or “generic” PO positions
could be compared because a substantial portion of the CR positions fell within
the PO value line, the Tribunal proceeded to determine if there was a wage gap
between the two groups for performing work of equal value. Subsection 11(7) of
the Act defines “wages” broadly, so as to include both monetary and non-monetary
elements. Thus, after listing specific benefits that are to be included as
“wages”, subsection 11(7) contains in paragraph (c) the following
“catch-all” provision:
11. 7(c) For
the purpose of this section, “wages” means any form of remuneration payable
for work performed by an individual and includes
…
c) payments
in kind;
|
11. 7(c) Pour
l’application du présent article, « salaire » s’entend de toute
forme de rémunération payable à un individu en contrepartie de son travail
et, notamment:
[…]
c) des
rétributions en nature;
|
[282]
The
Tribunal thus had to determine three issues with respect to the wage gap: (i)
the amount of the monetary component of the wages; (ii) the value of the
non-monetary components of the wages; and (iii) the methodology for identifying
and measuring any wage gap with respect to work of equal value. Since there
appears to have been relatively little dispute on the first issue, I shall
focus on the other two.
(a) non-monetary components of
wages
[283]
Valuing
non-monetary items, such as benefits, raises some difficult technical issues.
As with the evaluation of the jobs, difficulties in determining the value of
the non-monetary elements of the “wages” also stem from evidentiary problems
caused by the absence of a joint study by the parties.
[284]
In 1995,
PSAC retained Dr Don Lee, an expert in contract analysis and non-wage
compensation valuation, to compare the non-monetary components of the wages
from 1983, when the complaint was filed, to 1995. Dr Lee based his report on a
review of 14 collective agreements covering this 12 year period, as well as on
a number of employee benefit plans of the federal government that had not been
incorporated into these collective agreements. He was able also to conduct a
detailed valuation analysis of benefits for 1995, including the extent to which
employees had actually used the benefits.
[285]
However,
in calculating the non-monetary value of benefits, Dr Lee did not include job
security for either group, or the uniform and protective clothing allowances
for the POs. He concluded that what differences there were between the value of
the benefits of the two groups were either non-existent or minor, and were not
significant for pay equity purposes. He discounted as insignificant differences
of less than 0.1% of wages.
[286]
Dr Lee was
unable to conduct such a detailed analysis for the years 1983 to 1994, but
simply examined the terms of the collective agreements for those years. He
concluded from this examination that any differences in the value of the
benefits provided to employees were minor and temporary. He did not think it
necessary for this purpose to attempt to obtain from CPC a complete file for
each employee. He also stated that, when in doubt, he had overstated the value
of the differences favouring the CR group’s non-monetary benefits and
understated those of the PO group.
[287]
Dr Lee’s
report was challenged by Mr Robert Bass, an expert in costing compensation,
retained by CPC for this purpose. Mr Bass identified flaws in Dr Lee’s
methodology, which he considered “fatal”. In particular, he argued: the
analysis should have been based on benefits provided in 1983, not 1995; it was
an error to ignore individual differences in non-monetary benefits of less than
0.1% of wages, because several such differences could be cumulatively
significant; and the generous job security provisions in collective agreements
were sufficiently important that they should have been valued. However, Mr Bass
did not offer his view on the value of the non-monetary element of the employees’
wages, in either 1995 or earlier.
[288]
The
Tribunal carefully considered these criticisms. First, it tended to agree that,
as a matter of theory, it would have been better to use 1983 as the baseline;
however, some of the relevant evidence was apparently not available. Second, it
noted that Mr Bass had provided no evidence to indicate what impact the
inclusion of a non-monetary difference in benefits of less than 0.1% of wages
would have had and therefore gave little weight to this aspect of his report.
Third, on the basis of the credibility of the two experts and the “nebulous
nature of costing job security” (at para. 910), the Tribunal concluded that
there was not likely to be any significant difference in the value of job
security between the PO s and the CRs.
[289]
The
Tribunal found (at para. 918) that Dr Lee’s report showed on a balance of
probabilities that the value of the non-monetary benefits for the two groups
were equivalent and were “tied, in a negotiated pattern, to the value of the
wages paid to the two groups.” The absence of the data needed to make more
precise calculations, the Tribunal concluded (at para. 919), did not mean that
Dr Lee had failed to establish on a balance of probabilities that the
non-monetary component of the wages of the two groups was equivalent. The
Tribunal accepted Dr Lee’s conclusion that, on a balance of probabilities, the
value of benefits to which the CR and PO
groups were entitled over the period covered by the complaint was generally
equivalent. However, the Tribunal concluded that Dr Lee’s report was “lower
band reasonably reliable”.
[290]
In my
opinion, in view of the findings that Dr Lee was able to make on the basis of
the information available to him, it was not unreasonable for the Tribunal to
conclude that if additional data for the years before 1995 were available, it
would not reveal that the benefits were significantly more valuable for one
group than the other.
(b) methodologies
[291]
The
Tribunal was presented by the parties with an array of methodologies for determining
the existence and extent of any wage gap. Suffice it to say that PSAC and CPC
proposed methodologies that seemed likely to be most favourable to their
respective positions. CHRC’s preferred approach seems likely to produce a
result between the two extremes. It proposed grouping the sample 194 CR
positions into jobs with similar characteristics, which, it said, would make it
easier to compare with the “composite” or generic PO positions, which included
internal and external, but not supervisory, operational functions.
[292]
After
describing the rationales provided by CPC for its proposed methodology, the
Tribunal opted for CHRC’s, on the ground that it was appropriate in a pay
equity context to emphasize the content of the work performed, rather than the definition
of the position occupied by the employee. However, it did not accept as
conclusive the monetary values provided by the parties, holding that access to
individual employee records, in consultation with CPC, was required in order to
reach a final conclusion.
[293]
In my
view, the choice of an appropriate methodology for determining the existence
and extent of a wage gap is within the discretion of the Tribunal, and is
reviewable for unreasonableness. Given both its technical aspects and the
absence of statutory criteria, the Tribunal’s selection is entitled to a high
degree of deference. I am not persuaded that only the methodology proposed by
CPC can reasonably be said to be consistent with the objectives of section 11
of the Act or that the methodology proposed by CHRC, and adopted by the
Tribunal, was unreasonable.
ISSUE 4: Did the Tribunal err in
law in awarding PSAC compensation in the amount
of half of the CR group’s lost wages according to the identified wage
gap?
[294]
PSAC
applied for judicial review of the Tribunal’s decision to compensate the
complainants by awarding them half the amount of the wages that they had lost
according to the wage gap indicated by the measuring methodology proposed by
CHRC and accepted by the Tribunal. PSAC says that the decision is not supported
by the evidence before the Tribunal. The Federal Court dismissed the
application for judicial review for mootness, since it allowed CPC’s
application for judicial review and set aside the Tribunal’s decision that CPC had
been in breach of section 11 of the Act.
[295]
The
remedial powers of the Tribunal relevant to this appeal are contained in the Canadian
Human Rights Act, paragraph 53(2)(c), which provides as follows:
53. (2) If at the
conclusion of the inquiry the member or panel finds that the complaint is
substantiated, the member or panel may, subject to section 54, make an order
against the person found to be engaging or to have engaged in the
discriminatory practice and include in the order any of the following terms
that the member or panel considers appropriate:
[…]
(c) that the
person compensate the victim for any or all of the wages that the victim was
deprived of and for any expenses incurred by the victim as a result of the
discriminatory practice;
|
53. (2) À l’issue de
l’instruction, le membre instructeur qui juge la plainte fondée, peut, sous
réserve de l’article 54, ordonner, selon les circonstances, à la personne
trouvée coupable d’un acte discriminatoire:
…
c)
d’indemniser la victime de la totalité, ou de la fraction des pertes de
salaire et des dépenses entraînées par l’acte;
|
It is common ground that this provision governs the award of
compensation for a breach of section 11.
[296]
The
Tribunal has considerable statutory discretion in fashioning an appropriate
remedy. Thus, subsection 53(2) provides that if the complaint is
substantiated, the panel or member hearing the matter “may …. make an
order … and include in the order” any of the listed terms that the panel or
member “… considers appropriate”. Paragraph (c) provides that the panel
may order the person found to have committed a discriminatory practice to
“compensate the victim … for any or all of the wages” lost as a result
of the discriminatory practice.
[297]
Like other
discretionary decisions, the Tribunal’s award of compensation is reviewable on
a standard of unreasonableness: Dunsmuir at para. 53. While the
Tribunal’s reasons provide the principal basis for a reviewing court to
determine whether an exercise of administrative discretion is unreasonable, the
court may also consider the reasonableness of the outcome: Dunsmuir at
para. 47.
[298]
The
Tribunal held that compensation should be awarded for wages lost between August
24, 1982 (that is, one year after CPC was created and one year before PSAC filed
its complaint with CHRC) and June 2, 2002, when the wage increase awarded to
the CRs, by CPC, and the implementation of a new job evaluation plan,
eliminated any wage gap between the CR group and the PO group.
[299]
The
Tribunal stated that the objective of an award of compensation under paragraph
53(2)(c) of the Act is to make whole the victims of discrimination.
However, it also noted that courts had reduced damages awards in order to take
into account uncertainties in determining the precise amount of loss. While
there were no uncertainties about future events that could affect the amount of
wages already lost by the CR group, the Tribunal came back to its finding that
the evaluation of the jobs and the non-monetary component of the wages had met
only the “lower sub-band” of reasonable reliability. On this basis, it reduced
by 50% the amount represented by the wage gap identified by CHRC.
[300]
PSAC
argues that the Tribunal’s reduction of the compensation was unreasonable.
First, it submits, the same data and the same methodology proved both the
existence and the extent of a wage gap. Having accepted that the evidence
established a wage gap, the Tribunal could not logically find that it did not
also establish the extent of the gap. Second, if the Tribunal could factor in
uncertainties in the evidence when determining the amount of compensation
payable, it had no basis for concluding that the evidence over-estimated,
rather than under-estimated, the extent of the actual wage gap. Counsel noted
that Dr Wolf had testified that the Professional Team had taken the limitations
in the evidence into account when evaluating the jobs: when in doubt, they had
evaluated a PO position up and a CR position
down, and had thus underestimated the extent of the wage gap.
[301]
I do not
agree. Specialized tribunals are owed a particularly high degree of deference
in their exercise of a broad statutory discretion to fashion an appropriate
remedy. The Tribunal directed itself correctly in law when it stated that an
award of compensation should aim to make the victims whole. However, it was, in
my view, also open to the Tribunal to extend by analogy principles used to take
into account future uncertainties to uncertainties about the past, and on this
basis to reduce the amount of compensation. Indeed, this was done in somewhat
similar circumstances where it was uncertain whether a person would have
obtained a job if he had not been denied it because of the unlawful
discriminatory conduct of the employer: Canada (Attorney General) v. Morgan,
[1992] 2 F.C. 401 at 412 (C.A.).
[302]
Nor was it
unreasonable for the Tribunal to conclude that, while the evidence was good
enough to establish the existence of a wage gap, it was not good enough to
measure it precisely. PSAC had the burden of proving on a balance of
probabilities both the existence and the extent of any wage gap. Accordingly,
if the Tribunal was not satisfied that PSAC had discharged its evidential
burden by proving the amount of the wages lost on a balance of probabilities,
it could reasonably award less than the amount indicated by the evidence that
PSAC had adduced.
[303]
The
following sentence from the passage in Professor Waddams’ text, The Law of
Damages (at ¶13-30), is particularly apt in this context:
If the amount
[of a loss] is difficult to estimate, the tribunal must simply do its best on
the material available, though of course if the plaintiff has not adduced
evidence that might have been expected to be adduced if the claim were sound,
the omission will tell against the plaintiff.
As I have already noted, neither PSAC nor CHRC was without
some responsibility for the state of the evidence.
[304]
For these
reasons, I am not persuaded that the Tribunal’s award of compensation should be
set aside as unreasonable.
D. CONCLUSIONS
[305]
For all these
reasons, I would allow the appeals of PSAC and CHRC in A-129-08 and A-139-08,
set aside the decision of the Federal Court except on costs, and dismiss CPC’s
application for judicial review. The Federal Court awarded no costs and I would
not disturb that finding. I would award PSAC its costs in the appeal. CHRC has
not sought costs and none is awarded. I would dismiss PSAC’s appeal in A-130-08
with costs.
“John M. Evans”