SUPREME
COURT OF CANADA
Citation:
Canada (Attorney General) v. Fontaine, 2017 SCC 47
|
Appeal Heard:
May 25, 2017
Judgment
Rendered: October 6, 2017
Docket:
37037
|
Between:
Attorney
General of Canada
Appellant
and
Larry
Philip Fontaine in his personal capacity and in his capacity as the executor of
the estate of Agnes Mary Fontaine, deceased, et al.
Respondents
-
and -
Privacy
Commissioner of Canada, Coalition to Preserve Truth and Information
Commissioner of Canada
Interveners
Coram: McLachlin C.J. and Karakatsanis, Wagner, Gascon, Côté, Brown
and Rowe JJ.
Joint Reasons for
Judgment:
(paras. 1 to 64)
|
Brown and Rowe JJ. (McLachlin C.J. and Karakatsanis,
Wagner, Gascon and Côté JJ. concurring)
|
Note: This document is subject to editorial revision before its
reproduction in final form in the Canada Supreme Court Reports.
canada (attorney general) v. fontaine
Attorney General of Canada Appellant
v.
Larry Philip Fontaine in his personal
capacity and
in his capacity as the executor of the
estate of Agnes
Mary Fontaine, deceased, Michelline
Ammaq, Percy Archie,
Charles Baxter Sr., Elijah Baxter,
Evelyn Baxter,
Donald Belcourt, Nora Bernard, John
Bosum, Janet Brewster,
Rhonda Buffalo, Ernestine Caibaiosai‑Gidmark,
Michael Carpan, Brenda Cyr, Deanna Cyr,
Malcolm Dawson,
Ann Dene, Benny Doctor, Lucy Doctor,
James Fontaine
in his personal capacity and in his capacity
as the executor
of the estate of Agnes Mary Fontaine,
deceased,
Vincent Bradley Fontaine, Dana Eva Marie
Francey,
Peggy Good, Fred Kelly, Rosemarie
Kuptana,
Elizabeth Kusiak, Theresa Larocque, Jane
McCullum,
Cornelius McComber, Veronica Marten,
Stanley Thomas Nepetaypo, Flora
Northwest, Norman Pauchey,
Camble Quatell, Alvin Barney Saulteaux,
Christine Semple,
Dennis Smokeyday, Kenneth Sparvier,
Edward Tapiatic,
Helen Winderman, Adrian Yellowknee,
Presbyterian Church in Canada, General
Synod
of the Anglican Church of Canada, United
Church of Canada,
Board of Home Missions of the United
Church of Canada,
Women’s Missionary Society of the
Presbyterian Church,
Baptist Church in Canada, Board of Home
Missions
and Social Services of the Presbyterian
Church in Bay,
Canada Impact North Ministries of the
Company
for the Propagation of the Gospel in New
England
(also known as the New England Company),
Diocese of Saskatchewan, Diocese of the
Synod of Cariboo,
Foreign Mission of the Presbyterian Church
in Canada,
Incorporated Synod of the Diocese of
Huron,
Methodist Church of Canada, Missionary
Society
of the Anglican Church of Canada, Missionary
Society
of the Methodist Church of Canada (also
known as
the Methodist Missionary Society of
Canada),
Incorporated Synod of the Diocese of
Algoma,
Synod of the Anglican Church of the
Diocese of Quebec,
Synod of the Diocese of Athabasca, Synod
of the Diocese
of Brandon, Anglican Synod of the
Diocese of British Columbia,
Synod of the Diocese of Calgary, Synod
of the Diocese
of Keewatin, Synod of the Diocese of Qu’Appelle,
Synod of the Diocese of New Westminster,
Synod of the Diocese
of Yukon, Trustee Board of the
Presbyterian Church in Canada,
Board of Home Missions and Social
Service of the Presbyterian
Church of Canada, Women’s Missionary
Society
of the United Church of Canada, Sisters
of Charity,
a Body Corporate also known as Sisters
of Charity
of St. Vincent de Paul, Halifax, also
known as
Sisters of Charity Halifax, Roman
Catholic Episcopal
Corporation of Halifax, Soeurs de Notre-Dame‑Auxiliatrice,
Soeurs de St-François D’Assise, Institut
des Soeurs
du Bon Conseil, Soeurs de Saint‑Joseph
de Saint‑Hyacinthe,
Soeurs de Jésus‑Marie, Soeurs de l’Assomption
de la Sainte Vierge,
Soeurs de l’Assomption de la Sainte
Vierge de l’Alberta,
Soeurs Missionnaires du Christ‑Roi,
Soeurs de la Charité de St-Hyacinthe, Oeuvres
Oblates de l’Ontario,
Résidences Oblates du Québec, Corporation
Épiscopale Catholique
Romaine de la Baie James (the Roman
Catholic Episcopal
Corporation of James Bay), Catholic
Diocese of Moosonee,
Soeurs Grises de Montréal/Grey Nuns of
Montréal,
Sisters of Charity (Grey Nuns) of
Alberta,
Soeurs de la Charité des T.N.-O., Hôtel‑Dieu
de Nicolet,
Grey Nuns of Manitoba Inc. — Soeurs
Grises du Manitoba Inc.,
Corporation Épiscopale Catholique
Romaine de la Baie d’Hudson —
Roman Catholic Episcopal Corporation of
Hudson’s Bay,
Missionary Oblates — Grandin Province,
Oblats de Marie Immaculée du Manitoba,
Archiepiscopal Corporation of Regina,
Sisters of the Presentation, Sisters of
St. Joseph of Sault
Ste. Marie, Sisters of Charity of
Ottawa,
Oblates of Mary Immaculate — St.
Peter’s Province,
Sisters of Saint Ann, Sisters of
Instruction of the Child Jesus,
Benedictine Sisters of Mt. Angel Oregon,
Pères Montfortains, Roman Catholic
Bishop of Kamloops,
Corporation Sole, Bishop of Victoria,
Corporation Sole,
Roman Catholic Bishop of Nelson, Corporation
Sole,
Order of the Oblates of Mary Immaculate
in the Province
of British Columbia, Sisters of Charity
of Providence
of Western Canada, Corporation
Épiscopale Catholique Romaine
de Grouard, Roman Catholic Episcopal
Corporation of Keewatin,
Corporation Archiépiscopale Catholique
Romaine
de St‑Boniface, Missionnaires
Oblates Soeurs de St-Boniface —
Missionary Oblates Sisters of St.
Boniface,
Roman Catholic Archiepiscopal Corporation
of Winnipeg,
Corporation Épiscopale Catholique
Romaine de Prince Albert,
Roman Catholic Bishop of Thunder Bay,
Immaculate Heart Community of Los
Angeles CA,
Archdiocese of Vancouver — Roman
Catholic Archbishop
of Vancouver, Roman Catholic Diocese of
Whitehorse,
Catholic Episcopal Corporation of
Mackenzie‑Fort Smith,
Roman Catholic Episcopal Corporation of
Prince Rupert,
Episcopal Corporation of Saskatoon, OMI
Lacombe Canada Inc.,
Mt. Angel Abbey Inc., National Centre
for Truth and Reconciliation,
Assembly of First Nations, Independent
Counsel,
Inuit Representatives and Chief
Adjudicator of the Indian
Residential Schools
Adjudication Secretariat Respondents
and
Privacy Commissioner of Canada,
Coalition to Preserve Truth and
Information Commissioner of
Canada Interveners
Indexed as: Canada (Attorney General) v. Fontaine
2017 SCC 47
File No.: 37037.
2017: May 25; 2017: October 6.
Present: McLachlin C.J. and Karakatsanis, Wagner, Gascon, Côté,
Brown and Rowe JJ.
on appeal from the court of appeal for ontario
Civil
procedure — Class proceedings — Settlement — Administration — Settlement
agreement resolved class actions by Aboriginal persons who attended residential
schools — Agreement provided for Independent Assessment Process for serious
claims of abuse — Two parties to settlement agreement requested directions from
supervising judge as to post-decision disposition of records generated by
Independent Assessment Process — Whether records are court records or
government records subject to federal privacy, access to information, and
archiving legislation — Whether supervising judge erred in concluding that
settlement agreement allowed for destruction of records — Whether supervising
judge’s order that records must be destroyed following 15-year retention period
was appropriate.
From
the 1860s to the 1990s, more than 150,000 First Nations, Inuit, and Métis
children were required to attend Indian Residential Schools operated by
religious organizations and funded by the Government of Canada. Thousands of
these children were abused physically, emotionally, and sexually while at
residential schools. A number of individual and class actions were brought by
survivors of residential schools. In 2006, an agreement was reached and class
actions in nine provinces and territories were consolidated into a single
action. The Indian Residential Schools Settlement Agreement (“IRSSA”), which is
a comprehensive settlement of that class action, sought to achieve a fair,
comprehensive and lasting resolution of the legacy of Indian Residential
Schools and to promote healing, education, truth and reconciliation and
commemoration by, among other things, financially compensating former students
of residential schools.
The
IRSSA provided two forms of financial compensation to former students of
residential schools. First, the Common Experience Payment provided eligible
claimants with financial compensation based on the amount of time they were at
the schools. Second, former students who were victims of abuse and wrongful
acts resulting in serious psychological consequences could also bring a claim
under the Independent Assessment Process (“IAP”). To initiate a claim under the
IAP, claimants must submit an application form to the Indian Residential
Schools Adjudication Secretariat, which entails disclosure by claimants of
acutely sensitive particulars for examination by an adjudicator. This
information is recorded in application forms, hearing transcripts, medical
reports, reasons for decisions and other documents (collectively, the “IAP Documents”),
copies of which are held by the Government of Canada.
During
the IAP, the Chief Adjudicator of the Indian Residential Schools Adjudication
Secretariat and the Truth and Reconciliation Commission (“TRC”) brought
requests for directions to the Ontario Superior Court of Justice on the disposition
of the IAP documents at the conclusion of the IAP and, if necessary, on the
development of a notice program to inform claimants of the possibility of
voluntarily archiving some of their IAP Documents at the National Centre for
Truth and Reconciliation.
The
supervising judge found that the IAP records must be destroyed following a
15-year retention period during which individual IAP claimants could elect to
have the records in their own file preserved. This order was substantially
upheld by the majority of the Ontario Court of Appeal. The Attorney General of
Canada appeals to this Court, arguing that the IAP documents are “under the
control of a government institution” within the meaning of the Access to
Information Act , the Privacy Act and the Library and Archives of
Canada Act , and that the supervising judge had no jurisdiction to
order their destruction.
Held:
The appeal should be dismissed.
Judges
of the provincial and territorial superior courts who certified the class
action and approved the IRSSA were designated as supervising judges, and play a
vital role under the IRSSA. They have administrative and supervisory
jurisdiction over the implementation and administration of the IRSSA and can,
among other things, hear requests for directions. In this case, the supervising
judge correctly found that he had authority to make orders as to the disposition
of the IAP Documents. The courts’ supervisory role in implementing the IRSSA
allows them to make orders regarding the disposition of the IAP documents
regardless of whether or not they are government records.
The
supervising judge concluded, without palpable and overriding error, that the
IRSSA allowed for the destruction of the IAP Documents. Both the text of the IRSSA
and the surrounding circumstances support the supervising judge’s
interpretation. The IRSSA’s express terms provided that the IAP Documents would
be treated as highly confidential, subject to the very limited prospect of
disclosure during a retention period, and then be destroyed. The main components
to the IRSSA include provisions bearing on the IAP and on the TRC in Schs. D
and N. Schedule D, which deals with the IAP, does not expressly state whether
federal legislation will apply to documents created or uncovered by the IAP,
but it does refer to the intended treatment of various types of information and
documents. Schedule N, which details the mandate and process of the TRC, provides
that the truth and reconciliation process is committed to the principle of
voluntariness with respect to individuals’ participation. The supervising judge’s
findings that the negotiators of the IRSSA intended the IAP to be a
confidential and private process, that claimants and perpetrators relied on the
confidentiality assurances and that, without such assurances, the IAP could not
have functioned were inescapable.
The references to federal access, privacy, and archiving legislation
in the “Guide to the
Independent Assessment Process Application” should not
be given interpretive weight. It
does not form part of the IRSSA, and it prominently states that, in the event
of any differences between the Guide and Sch. D, the official document will
prevail. Moreover, its provisions regarding privacy
seem completely unmoored from the text of Sch. D and were apparently reproduced
from a similar document used in the former alternative dispute resolution process.
The supervising judge therefore committed no error by omitting to import the
Guide’s references to federal access, privacy, and archiving legislation into
the IRSSA. The application of this legislation to the IAP Documents would
clearly run counter to the principles of confidentiality and voluntariness upon
which the IAP was founded.
Finally, the order crafted by the
supervising judge was an appropriate exercise of his discretionary power to
administer the IRSSA. His order, as modified by the Court of Appeal, strikes a
balance between preserving confidentiality and the need to memorialize and
commemorate, all the while respecting the choice of survivors to share their
stories, and charts an appropriate course between potentially unwanted
destruction and potentially injurious preservation. During
the 15‑year retention period, claimants may choose to have their IAP Documents
preserved and archived, and that choice will be brought to their attention
through a notice program administered by the Chief Adjudicator. While this order may be inconsistent with the
wishes of deceased claimants who were never given the option to preserve their
records, the destruction of records that some claimants would have preferred to
have preserved works a lesser injustice than the disclosure of records that
most expected never to be shared.
Cases Cited
Referred
to: Baxter v. Canada (Attorney General) (2006), 83 O.R. (3d) 481; Fontaine
v. Canada (Attorney General), 2014 ONSC 283, [2014] 2 C.N.L.R. 86; Fontaine
v. Canada (Attorney General), 2013 ONSC 684, 114 O.R. (3d) 263; Lac
Minerals Ltd. v. International Corona Resources Ltd., [1989] 2
S.C.R. 574; Coco v. A.N. Clark (Engineers) Ltd., [1969] R.P.C. 41; Endean
v. British Columbia, 2016 SCC 42, [2016] 2 S.C.R. 162; R. v. Rose,
[1998] 3 S.C.R. 262; Sattva Capital Corp. v. Creston Moly Corp., 2014 SCC 53, [2014] 2 S.C.R. 633; Heritage
Capital Corp. v. Equitable Trust Co., 2016 SCC 19, [2016] 1
S.C.R. 306; Ledcor Construction Ltd. v. Northbridge
Indemnity Insurance Co., 2016 SCC 37, [2016] 2 S.C.R. 23; Lavier v. MyTravel Canada Holidays Inc., 2013 ONCA
92, 359 D.L.R. (4th) 713; P. (W.) v. Alberta, 2014 ABCA 404, 378
D.L.R. (4th) 629; Balogun v. Pandher, 2010 ABCA 40, 474 A.R. 258;
Canadian Imperial Bank of Commerce v. Green, 2015 SCC 60, [2015]
3 S.C.R. 801; Reza v. Canada, [1994] 2 S.C.R.
394; Quebec (Director of Criminal and Penal Prosecutions) v. Jodoin,
2017 SCC 26.
Statutes and Regulations Cited
Access to Information Act, R.S.C. 1985, c. A‑1,
s. 4 .
Class Proceedings Act, 1992, S.O.
1992, c. 6, s. 12.
Library and Archives of Canada Act, S.C.
2004, c. 11 , preamble, ss. 2 , 12.
Privacy Act, R.S.C. 1985, c. P‑21,
ss. 3 “personal information”, 7 to 10, 8(2)(j), 12.
Treaties and Agreements
Indian Residential Schools Settlement Agreement (2006), preamble, arts. 4.06(g), 5.02, 7.01, Sch. D,
arts. I, III(o), App. II, items (i), (iv), VII, VIII, Sch. N, arts. 1,
2(c), 4(b), 11.
Authors Cited
Hall, Geoff R. Canadian Contractual Interpretation Law,
2nd ed. Markham, Ont.: LexisNexis, 2012.
Indian
Residential Schools Adjudication Secretariat. Guide to the Independent
Assessment Process Application, updated April 4, 2013 (online: http://www.iap-pei.ca/media/information/publication/pdf/pub/iapg-v3.2-20130404-eng.pdf;
archived version: http://www.scc-csc.ca/cso-dce/2017SCC-CSC47_1_eng.pdf).
The
Right Honourable Stephen Harper on behalf of the Government of Canada.
“Statement of Apology — to former students of Indian Residential Schools”,
Ottawa, June 11, 2008 (online: https://www.aadnc-aandc.gc.ca/DAM/DAM-INTER-HQ/STAGING/texte-text/rqpi_apo_pdf_1322167347706_eng.pdf;
archived version: http://www.scc-csc.ca/cso-dce/2017SCC-CSC47_2_eng.pdf).
APPEAL
from a judgment of the Ontario Court of Appeal (Strathy C.J., Sharpe and
MacFarland JJ.A.), 2016 ONCA 241, 130 O.R. (3d) 1, [2016] 3 C.N.L.R. 72,
397 D.L.R. (4th) 243, 346 O.A.C. 321, [2016] O.J. No. 1658 (QL), 2016
CarswellOnt 4938 (WL Can.), substantially affirming a decision of Perell J.,
2014 ONSC 4585, 122 O.R. (3d) 1, [2014] 4 C.N.L.R. 72, [2014] O.J. No. 3638
(QL), 2014 CarswellOnt 10756 (WL Can.). Appeal dismissed.
Christopher
Rupar and
Alexander Pless, for the appellant.
Janine L. Lavoie‑Harding, David M. Stack, Q.C., and C. Kelsey O’Brien, for the respondents Sisters of
Charity, a Body Corporate also known as Sisters of Charity of St. Vincent de
Paul, Halifax, also known as Sisters of Charity Halifax, Oeuvres Oblates de l’Ontario,
Résidences Oblates du Québec, Soeurs Grises de Montréal/Grey Nuns of Montréal, Sisters of Charity (Grey
Nuns) of Alberta, Soeurs de la Charité des T.N.-O., Hôtel‑Dieu de
Nicolet, Grey Nuns of Manitoba Inc. — Soeurs Grises du Manitoba Inc., Missionary Oblates — Grandin Province, Oblats de Marie Immaculée
du Manitoba, Oblates of Mary Immaculate — St. Peter’s Province, Sisters of
Saint Ann, Sisters of Instruction of the Child Jesus, Order of the Oblates of
Mary Immaculate in the Province of British Columbia, Sisters of Charity of
Providence of Western Canada and Roman Catholic Archiepiscopal Corporation of
Winnipeg.
Raymond Doray and Pierre‑L. Baribeau, for the respondents Soeurs de
Notre-Dame-Auxiliatrice, Soeurs de St-François D’Assise, Institut des Soeurs du
Bon Conseil, Soeurs de Saint‑Joseph de Saint‑Hyacinthe, Soeurs de
Jésus‑Marie, Soeurs de l’Assomption de la Sainte Vierge, Soeurs de l’Assomption
de la Sainte Vierge de l’Alberta, Soeurs Missionnaires du Christ‑Roi and Soeurs
de la Charité de St‑Hyacinthe.
Joanna Birenbaum, Naomi Andrew and Lynne
Hiebert, for the respondent National Centre for Truth and Reconciliation.
Stuart Wuttke, Julie McGregor and Kathleen Mahoney, Q.C., for the respondent Assembly of First Nations.
Peter R. Grant, Diane Soroka and Sandra Staats, for the respondent Independent
Counsel.
Hugo Prud’homme, for the respondent Inuit
Representatives.
Joseph J.
Arvay, Q.C., Catherine J. Boies Parker and Susan E.
Ross, for the respondent Chief
Adjudicator of the Indian Residential Schools Adjudication Secretariat.
No
one appeared for the other respondents.
Written
submissions only by Barbara McIsaac, Q.C., Kate Wilson,
Regan Morris and James
Nowlan, for the
intervener Privacy Commissioner of Canada.
Christopher G.
Devlin, Nicole Bresser and John
Gailus, for the intervener Coalition
to Preserve Truth.
Richard
Dearden and Adam Zanna,
for the intervener Information Commissioner of Canada.
The judgment of the Court was delivered by
Brown and Rowe JJ. —
I.
Introduction
[1]
From the 1860s to the 1990s, more than 150,000 First Nations,
Inuit, and Métis children were required to attend Indian Residential Schools
operated by religious organizations and funded by the Government of Canada. As
Canada has acknowledged, this system was intended to “remove and isolate
children from the influence of their homes, families, traditions and culture”
(“Statement of Apology to former students of Indian Residential Schools” of the
Right Honourable Stephen Harper on behalf of Canada, June 11, 2008 (online)).
Thousands of these children were abused physically, emotionally, and sexually
while at residential schools.
[2]
Under the Indian Residential Schools Settlement Agreement
(2006) (“IRSSA”), survivors of residential schools could seek compensation through
the specially designed Independent Assessment Process (“IAP”).[1] This
entailed disclosure by claimants of acutely sensitive particulars — both of the
abuse suffered, and of its consequences — for examination by an adjudicator. This information is recorded in application
forms, hearing transcripts, medical reports, reasons for decisions and other
documents (collectively, the “IAP Documents”), copies of which are held by
Canada.
[3]
This appeal concerns the fate of the digital and physical records
generated by this process. In particular, this Court must determine whether the
IAP Documents should be destroyed, or retained and eventually archived at
Library and Archives Canada. In response to requests for directions to the
Ontario Superior Court of Justice from various parties to the IRSSA, the
supervising judge found that these records must be destroyed following a
15-year retention period during which individual IAP claimants could elect to
have the records in their own file preserved. This order was substantially
upheld by the majority of the Ontario Court of Appeal. The Attorney General of
Canada now appeals that result to this Court.
[4]
We would dismiss the appeal and uphold the supervising judge’s
order as varied by the Court of Appeal. In our view, the supervising judge’s
order is not, as the Attorney General of Canada claims, precluded by the
operation of the Library and Archives of Canada Act, S.C. 2004, c. 11 ,
or any other legislation. Moreover, it was an appropriate exercise of the
supervising judge’s discretionary power to administer the IRSSA.
II.
Overview of Facts and Proceedings
A.
Background
[5]
In the late 1990s and early 2000s, a number of
individual and class actions were brought by survivors of residential schools.
In November 2003, the Government of Canada established a voluntary alternative
dispute resolution (“ADR”) process to compensate survivors. In 2006, an
agreement was reached and class actions in nine provinces and territories were
consolidated into a single action.[2] The IRSSA is a comprehensive settlement of that class action, and
was the product of extensive negotiations among the plaintiffs and their
representatives, the Government of Canada, and various religious organizations
which had operated these schools. It seeks to achieve a “fair, comprehensive
and lasting resolution of the legacy of Indian Residential Schools” and aims to
promote “healing, education, truth and reconciliation and commemoration”
(IRSSA, preamble), by:
(1) financially compensating former students of residential schools;
(2) establishing a truth and reconciliation commission;
(3) providing an endowment to healing programs; and
(4) resolving all outstanding litigation regarding residential schools.
[6]
Compensation under the IRSSA may take two forms.
First, the Common Experience Payment (“CEP”) provides $10,000 to eligible
claimants who resided at an Indian Residential School for one school year or
part thereof, and an additional $3,000 for every additional year or part
thereof (IRSSA, art. 5.02). The second manner by which claimants may be compensated
— and this is the process giving rise to this appeal — is through the IAP. It
allows former students who were survivors of sexual abuse, serious physical
abuse, and other wrongful acts resulting in serious psychological consequences
to bring claims forward, in addition to any claim they might bring under the
CEP. The deadline for applying to the IAP was September 19, 2012. As of June
2014, 37,716 IAP claims had been initiated, of which 25,800 had been resolved.
[7]
To initiate a claim under the IAP, a claimant
must submit an application form to the Indian Residential Schools Adjudication
Secretariat. The process then unfolds as described by the Ontario
Superior Court of Justice:
The IAP begins with an application that
appears to serve functions similar to a statement of claim. In the application
form, the Claimant provides details of the wrongdoing with dates, places,
times, and the Claimant provides information to identify the alleged
perpetrator. In the application, the Claimant provides a Narrative in the first
person and outlines his or her request for compensation in accordance with the
IRSSA. Depending on the nature of the claim for compensation, certain documents
must be provided by a Claimant with the application.
(Fontaine v. Canada (Attorney
General), 2014 ONSC 283, [2014] 2 C.N.L.R. 86, at para. 76)
[8]
As found by the supervising judge, “for a
claimant to complete the application form, he or she will disclose the most
private and most intimate personal information, including a first-person narrative
outlining his or her request for compensation” (2014 ONSC 4585, 122 O.R.
(3d) 1, at para. 176). Applications are then forwarded to
Canada and to the church entity that operated the residential school in
question. If the claim is not settled at this stage, it will proceed to
a hearing before an adjudicator, supervised by the Chief Adjudicator of the
Indian Residential Schools Adjudication Secretariat. The Settlement Agreement
Operations Branch (“SAO”), a branch within Aboriginal Affairs and Northern Development
Canada (“AANDC”), represents Canada as a defendant to these claims. The
Secretariat’s website at the time of the requests for directions represented
that IAP hearings are private: “The hearing is held in private. The public and
the media are not allowed to attend. Each person who attends the hearing must
sign a confidentiality agreement. This means that what is said at the hearing
stays private” (supervising judge’s reasons, at
para. 184).
[9]
IAP hearings serve two
purposes: testing the credibility of the claimant and assessing the harm
suffered. After the hearing, the adjudicator produces a decision outlining key
factual findings and, generally, the adjudicator must outline the rationale for
finding or not finding that the claimant is entitled to compensation.
[10]
It is the post-decision disposition of the
records generated by the IAP — the IAP Documents — that is at issue here. As
explained by the supervising judge, the IAP Documents comprise seven
categories: “(1) applications submitted by the claimants; (2) mandatory
documents containing private personal information; (3) witness statements; (4)
documentary evidence produced by the parties; (5) transcripts and audio
recordings of the hearings; (6) expert and medical reports; and (7) decisions
of the adjudicators and any appeals” (supervising judge’s reasons, at para.
205). The Secretariat and the SAO both currently possess thousands of digital
and physical copies of these various records pertaining to more than 37,000
claims made under the IAP.
[11]
As already noted, beyond its compensation
function, the IRSSA also aims to commemorate and memorialize the residential
schools system. Article 7.01 of the IRSSA established the Truth and
Reconciliation Commission (“TRC”). The TRC is tasked with “creat[ing] a historical
record of the residential school system and ensur[ing that] its legacy is
preserved and made accessible to the public for future study and use”
(supervising judge’s reasons, at para. 5). The National Centre for Truth and
Reconciliation (“NCTR”) was to archive and store the records collected by the
TRC, along with the historical records regarding residential schools. The
tension between that mandate of commemoration and memorialization, and the
privacy which IAP claimants were promised, lies at the heart of this appeal.
B.
Judicial History
(1)
Ontario Superior Court of Justice — 2014 ONSC
4585, 122 O.R. (3d) 1
[12]
The Chief Adjudicator and the TRC brought
requests for directions to the Ontario Superior Court of Justice on the
disposition of the IAP Documents and, if necessary, on the development of a
notice program to inform claimants of the possibility of voluntarily archiving
some of their IAP Documents at the NCTR.
[13]
The TRC argued that the IAP Documents were
government records under its control, and therefore subject to the Library
and Archives of Canada Act . Canada and the NCTR generally supported the
TRC’s position, arguing that the IAP Documents are essential to preserving the
historical record of the residential school abuses. The Chief Adjudicator, however,
submitted that the IAP Documents were court records, not government records.
The intention underlying the IRSSA was that the IAP Documents should be
destroyed after a retention period to allow for voluntary archival by the
claimant. This call for destruction, following a retention period, was
generally echoed by the Assembly of First Nations, the Sisters of St. Joseph of
Sault Ste. Marie, the Twenty-Four Catholic Entities, the Nine Catholic
Entities, and the Independent Counsel.
[14]
The supervising judge, Perell J., began by
reviewing the principles of contractual interpretation applicable to the IRSSA,
which entails identifying the intent of the parties at the time they negotiated
the contract. He adopted the principles of interpretation applicable to the IRSSA
as stated in Fontaine v. Canada (Attorney General), 2013 ONSC
684, 114 O.R. (3d) 263, at para. 68: that the text of the agreement must be
read as whole, having regard to the plain meaning of the words used as well as
the context provided by the circumstances existing at the time the IRSSA was
created. Further, he observed that the IRSSA, while not a treaty, “is at least
as important as a treaty” and its interpretation must be informed by the honour
of the Crown (para. 88).
[15]
On balance, the supervising judge concluded that
the court should exercise its jurisdiction to order destruction of the IAP
Documents. He identified three reasons for doing so.
[16]
First, as a matter of contractual
interpretation, destruction is what the parties had bargained for. The IAP was
intended to be a confidential process, and both claimants and alleged
perpetrators had relied on that assurance of confidentiality in deciding to
participate. Archiving the IAP Documents at Library and Archives Canada would
not conform to the “high degree of confidentiality that the parties bargained
for” (para. 317). Rather, the IRSSA provided that the IAP Documents, including
Canada’s copies thereof, would be destroyed following a retention period,
during which period they would be governed by the Access to Information Act,
R.S.C. 1985, c. A-1 , and the Privacy Act, R.S.C. 1985, c.
P-21 . In the alternative, destruction of the IAP Documents amounted to an
implied term in the IRSSA, because it was necessary to give the agreement
“operative efficiency” (para. 325).
[17]
Second, the IAP Documents are subject to an
implied undertaking, which the court can enforce by ordering their destruction.
Notwithstanding Canada’s possession of some IAP Documents, the supervising
judge found that the court had jurisdiction to make an order in rem that
the IAP Documents be destroyed, subject to the rights of claimants to archive
them at the NCTR, because “[t]he IAP Documents are a product of an alternative
dispute resolution mechanism” (para. 335). Relying on his analysis in Fontaine,
2014 ONSC 283, the supervising judge held that the IAP was a form of litigation
to which the implied undertaking applied. In his view, this implied undertaking
restricted Canada from providing its IAP Documents to the TRC, the NCTR, or
Library and Archives Canada, and the court could order destruction of all the
IAP Documents to enforce the implied undertaking.
[18]
Third, the IAP Documents are subject to the law
governing breach of confidence. “A breach of confidence occurs when a confider
discloses confidential information to a confidant in circumstances in which
there is an obligation of confidentiality and the confidant misuses the
confidential information” (para. 357, relying on Lac Minerals Ltd. v.
International Corona Resources Ltd., [1989] 2 S.C.R. 574, and Coco
v. A.N. Clark (Engineers) Ltd., [1969] R.P.C. 41 ( Ch.)). The supervising
judge found that Canada’s agreement to transfer the IAP Documents to Library
and Archives Canada amounted to a breach of confidence, and the appropriate
remedy was an order providing for destruction after a 15-year retention period.
[19]
Finally, the supervising judge concluded that
his destruction order should be made subject to a retention period. This would
allow for the development and implementation of a notice program, conducted by
the TRC or the NCTR, to advise IAP claimants of the rights they have under the
IRSSA to share their stories with the NCTR.
(2)
Court of Appeal for Ontario — 2016 ONCA 241, 130
O.R. (3d) 1
[20]
On appeal, the Sisters of St. Joseph of Sault
Ste. Marie, the Twenty-Two Catholic Entities, and the Nine Catholic Entities,
supported by the Independent Counsel, argued that the IRSSA expressly provides
that archiving requires their consent, and not just that of a claimant.
Canada, on cross-appeal, supported by the TRC and NCTR, argued that it controls
the IAP Documents, which are accordingly subject to federal privacy, access to
information, and archiving legislation. Independent Counsel, in addition to
supporting the Catholic Entities’ submission regarding consent, argued that the
notice program should not be run by either the TRC or NCTR, but by the Chief
Adjudicator. Further, the retention period for the IAP Documents should be
lowered to two years from 15 years. Finally, the destruction order should
include documents from the ADR process.
[21]
Writing for the majority, Strathy C.J. dismissed
both the appeal and cross-appeal. Nonetheless, he varied Perell J.’s order to
give effect to the Independent Counsel’s submissions on the notice program
(that it should be administered by the Chief Adjudicator) and on the inclusion
of the ADR documents.
[22]
Regarding the appeal, the majority concluded
that the IAP Documents may be archived with the consent of the claimant alone.
Schedule D of the IRSSA gives claimants the option of having a transcript from
their hearing deposited in an archive for that purpose. The IRSSA permits
survivors to disclose their own experiences, despite any claims that others may
make with respect to confidentiality and privacy. Requiring consent of other
“individuals affected” for archiving of the IAP Documents would “eviscerate”
claimants’ IRSSA rights to disclose their complaints, to have their evidence
archived only with their consent, and to exercise control over their IAP
Documents (paras. 111 and 114; Sch. N., art. 11). “By allowing claimants to
archive their IAP transcripts, the IRSSA merely provides claimants with an
alternative and expeditious means of preserving their stories as part of the
TRC process” (para. 120).
[23]
The majority further concluded the notice plan
fell within the supervising judge’s administrative discretion, as it was not a
material amendment to the IRSSA. Schedule D expressly contemplates that
claimants “will . . .
be given the option of having the transcript deposited
in an archive developed for the purpose”. “[T]he IRSSA gives claimants the
right to obtain their IAP documents and a transcript of their evidence, and the
right to deposit that material in the institution created to preserve the history
of the abuses of residential schools, the NCTR” (para. 126). The notice program
does not add to or detract from this right; “it merely ensures that claimants
are aware of it and able to exercise it” (para. 127).
[24]
On the cross-appeal, the majority found that the
IAP Documents are not government records and thus are not subject to the Library
and Archives of Canada Act ; accordingly, “disposal or destruction of the
documents is not prohibited by law” (para. 77). “[W]hether the IAP documents
are government records . . . turns on whether they are under the
control of a government institution” (para. 141). Here, the IAP was not a
federal government program. Rather, it was the product of a court-approved
settlement. The AANDC, a listed government institution, did not control the IAP
Documents through either the Secretariat or the SAO. The Secretariat, which
administers the IAP, is independent from AANDC and comes under the direction of
the Chief Adjudicator, and therefore the controls of the Chief Adjudicator. While
the SAO is part of the AANDC, it was a litigant in the IAP, representing Canada
at the IAP hearings. Accordingly, the SAO’s possession and use of the IAP
Documents was limited to the purposes for which they were provided. It follows
that it did not control them. Strathy C.J. also held that while “the implied
undertaking rule is not a precise fit for the IAP documents”, the rationale
underlying the rule is, given the nature of these documents, “a harmonious
exercise of the court’s inherent jurisdiction” (para. 183). The SAO could only
use the IAP Documents for the purpose of the IAP process, and its possession
was always constrained by the court’s inherent jurisdiction and the principle
underlying the implied undertaking rule. Thus, this reaffirms that the IAP
Documents were not under the control of the SAO.
[25]
The majority further found the supervising
judge’s order regarding destruction of all the IAP Documents (other than those
in the claimants’ possession or archived with their consent) after a 15-year
retention period was reasonable. The IRSSA was silent on the disposition of the
documents, and the supervising judge was entitled to fill this “gap” by
exercising his supervisory authority over the class action (para. 205). As the
supervising judge found, “near to absolute confidentiality was a necessary
aspect of the IAP” (para. 209). The mere fact that Sch. D did not require
Canada to destroy the applications immediately upon conclusion of a given claim
does not imply or import a right to retain all the IAP Documents forever. The
public record — that is, “the history of residential school and the stories of
survivors who have willingly shared them” — will still be preserved through the
work of the TRC (para. 219).
[26]
The majority, nevertheless, found it was unreasonable
for the supervising judge to have ordered the TRC and NCTR to conduct the
notice program, and varied the order to direct that it be conducted by the
Chief Adjudicator. Furthermore, the majority varied the order to include the
ADR documents.
[27]
Justice Sharpe, while agreeing that the appeal
should be dismissed, would have allowed the cross-appeal on the ground that the
IAP Documents are “government records” (para. 250) which, as such, cannot be
destroyed. The SAO is a government institution that has physical possession of
copies of the IAP Documents in its capacity as the department of government
responsible for carrying out Canada’s functions as a defendant in the IAP. This
amounts to government control. The legal doctrines relied on by the supervising
judge — the implied undertaking rule and breach of confidence — therefore have
no application, and do not affect the status of the IAP Documents as government
records. Resort should not been had “to a residual, discretionary and
exceptional doctrine to justify the destruction of decisions that are central
to the legitimacy of the very process the court is administering” (para. 290).
[28]
Justice Sharpe also found that express language
in the IRSSA shows that the parties intended that the IAP Documents would be
archived. Schedule D, App. II, item (iv) provides that copies of
applications “other than those held by the Government will be
destroyed”. Appendix B of the Guide to the Independent Assessment Process
Application (2013) (online) provides that only the National Archivist can
destroy government records. The Guide states that personal information will be
handled in accordance with the Access to Information Act and Privacy
Act . In the result, assurances of confidentiality, relied upon by the
supervising judge, cannot justify the exclusion of documents from the statutory
scheme. IAP adjudicators could not promise that the laws of Canada would not
apply, and Canada could not promise a level of confidentiality that would take
the IAP Documents outside the reach of the legislation.
III.
Analysis
A.
The Supervising Judge’s Jurisdiction to Make the
Order
[29]
At its core, this appeal concerns an order made
by the supervising judge regarding what was to be done with the IAP Documents
under the terms of the IRSSA. The first question before this Court is therefore
whether the supervising judge had authority to make that order. This question
is distinct from the appropriateness of the order.
[30]
Canada argues that the IAP Documents currently
in the possession of the SAO and the Secretariat are “under the control of a
government institution”, within the meaning of the Access to Information Act ,
the Privacy Act , and the Library and Archives of Canada Act .
Broadly speaking, these statutes regulate the retention, disclosure, and
eventual archiving of records that are under the control of federal government
institutions. In Canada’s view, the supervising judge had no jurisdiction to
order destruction of the IAP Documents, because s. 12 of the Library and
Archives of Canada Act provides that “[n]o government or ministerial
record . . . shall be disposed of, including by being destroyed,
without the written consent of the Librarian and Archivist or of a person to
whom the Librarian and Archivist has, in writing, delegated the power to give
such consents.” In other words, Canada’s position is that, given the
government’s putative “control” over these documents, the Librarian and
Archivist of Canada (or his or her delegate) alone has authority over the
disposition of the IAP Documents retained by the SAO and the Secretariat, and
so the supervising judge could not order their destruction.
[31]
As we have already noted, nine provincial and
territorial superior courts certified the class action and approved the IRSSA
(see, e.g., Baxter). Judges of these courts were designated as
supervising judges, and play a vital role under the IRSSA. Supervising judges,
significantly, have administrative and supervisory jurisdiction over the
implementation and administration of the IRSSA and can, among other things,
hear requests for directions. If, therefore, the proper administration and
implementation of the IRSSA necessitates direction on the handling of the IAP
Documents, supervising judges are empowered to give that direction.
[32]
These broad powers are conferred upon supervising
judges by the orders which approved and implemented the IRSSA (see, e.g.,
supervising judge’s reasons, at paras. 157-59). They are also supported by
class action legislation, which provides that courts must have generous
discretion to make orders and impose terms as necessary to ensure a fair and
expeditious resolution of class actions (see, e.g., Class Proceedings Act,
1992, S.O. 1992, c. 6, s. 12; Endean v. British Columbia,
2016 SCC 42, [2016] 2 S.C.R. 162, at para. 38). It
follows, particularly given the nature of the IAP and the IAP Documents, that
the supervisory role in implementing the terms of the IRSSA included making
directions regarding disposition
of the IAP Documents at the conclusion of the IAP.
[33]
This supervisory role,
moreover, existed irrespective of whether the IAP Documents are “under the
control of a government institution” within the meaning of the Library and
Archives of Canada Act and other relevant federal legislation (Library
and Archives of Canada Act, ss. 2 and 12 ; Privacy Act, ss. 7 to 10
and 12; Access to Information Act, s. 4 ). Further, in any instance where
the scope of superior courts’ powers granted by class action legislation does
not expressly contemplate certain supervisory functions, superior courts retain
residual supervisory powers under their inherent jurisdiction. Removing the
inherent jurisdiction of superior courts requires “clear and precise statutory
language” (R. v. Rose, [1998] 3 S.C.R. 262, at para. 133; see also Endean,
at paras. 24, 56 and 60). It is far from clear that the express language of s.
12 of the Library and Archives of Canada Act is directed at limiting the
inherent jurisdiction of superior courts, or their supervisory jurisdiction
over class actions. The Library and Archives of Canada Act does not
mandate the retention of government records, nor does it prevent the courts
from making orders regarding the disposition of government records. In sum, the
supervising judge correctly found that he had authority to make orders as to
the disposition of the IAP Documents.
[34]
In light of this conclusion, it is unnecessary to determine
whether the IAP Documents are under the control of a government institution, as
Canada argues. The courts’ supervisory role in implementing the IRSSA allows
them to make orders regarding the disposition of the IAP documents regardless
of whether or not they are government records. We therefore turn to consider
the basis for the supervising judge’s order itself — that is, his
interpretation of the IRSSA — and whether, in light of that interpretation, the
order for destruction of the IAP Documents was appropriate.
B.
The Supervising Judge’s Order
(1)
Standard of Review
[35]
The interpretation of the IRSSA is a question of
mixed fact and law reviewable for palpable and overriding error. Contractual
interpretation generally involves questions of mixed fact and law subject to
appellate deference (Sattva Capital Corp. v. Creston Moly Corp., 2014
SCC 53, [2014] 2 S.C.R. 633, at paras. 50-51 and 55; Heritage Capital Corp.
v. Equitable Trust Co., 2016 SCC 19, [2016] 1 S.C.R. 306, at para. 21).
This rule is not absolute. It does not apply, for example, to the
interpretation of a standard form contract, where its interpretation has
precedential value, and there is no meaningful factual matrix specific to the
particular parties to assist the interpretation process (Ledcor Construction
Ltd. v. Northbridge Indemnity Insurance Co., 2016 SCC 37, [2016] 2 S.C.R.
23, at para. 46). In our view, however, the general rule stated in Sattva
applies here, such that the palpable and overriding error standard governs
appellate review of the supervising judge’s interpretation of the IRSSA. While
the IRSSA undoubtedly has “very significant implications for Canada and our
aboriginal peoples” (C.A. reasons, at para. 294), it is at root a contract, the
meaning of which depends on the objective intentions of the parties. As the
majority at the Court of Appeal observed, the question of impact is distinct
from precedential value. While the supervising judge’s interpretation of the
IRSSA will impact thousands of IAP claimants, it will have no significant
precedential value outside of the IAP due to the IRSSA’s sui generis
nature. And, as shall become apparent below, the factual matrix looms large in
ascertaining the meaning of this particular contract.
[36]
As for the supervising judge’s decision to order
destruction of the IAP Documents held by Canada following a 15-year retention
period, a deferential standard is also appropriate. As explained above,
supervisory courts have wide discretion to make appropriate orders to ensure
the fair and expeditious determination of class proceedings. Such decisions are
afforded deference on review (Lavier v. MyTravel Canada Holidays Inc.,
2013 ONCA 92, 359 D.L.R. (4th) 713, at para. 20). As regards the exercise
of discretion, “[a]ppellate intervention is warranted only if the judge has
clearly misdirected himself or herself on the facts or the law, proceeded
arbitrarily, or if the decision is so clearly wrong as to amount to an
injustice” (P. (W.) v. Alberta, 2014 ABCA 404, 378 D.L.R. (4th) 629, at
para. 15; Balogun v. Pandher, 2010 ABCA 40, 474 A.R. 258, at
para. 7). As this Court has said, where the judge at first instance has given
sufficient weight to all relevant considerations and the exercise of discretion
is not based on an erroneous principle, appellate reviewers must generally
defer (Canadian Imperial Bank of Commerce v. Green, 2015 SCC 60,
[2015] 3 S.C.R. 801, at para. 95; Reza v. Canada, [1994] 2 S.C.R.
394, at p. 404; Quebec (Director of Criminal and Penal Prosecutions) v.
Jodoin, 2017 SCC 26, at para. 52).
(2)
Does the Supervising Judge’s Interpretation of
the IRSSA Warrant Appellate Intervention?
[37]
Interpretation of written contractual provisions
must be grounded in the text and read in light of the entire contract (Sattva,
at para. 57, relying on G. R. Hall, Canadian Contractual Interpretation Law (2nd
ed. 2012), at pp. 15 and 30-32). Surrounding circumstances, including
“knowledge that was or reasonably ought to have been within the knowledge of
both parties at or before the date of contracting”, may be considered in
interpreting the terms of a contract, although they may not overwhelm the
contract’s express words (Sattva, at para. 58).
(a)
The Text of the IRSSA
[38]
The supervising judge concluded that the express
terms of the IRSSA provided that the IAP Documents “would be treated as highly
confidential but subject to the very limited prospect of disclosure during a
retention period and then the documents, including Canada’s copies, would be
destroyed” (para. 322).
[39]
The preamble to the IRSSA states that it aims to
provide “a fair, comprehensive and lasting resolution of the legacy of Indian
Residential Schools” and to promote “healing, education, truth and
reconciliation and commemoration”. There are several main components to the
IRSSA, including provisions bearing on the IAP (in Sch. D) and on the TRC (in
Sch. N). Schedule D requires hearing participants to sign confidentiality
agreements, confirming that the evidence disclosed is confidential. While Sch.
D does not expressly state whether federal legislation will apply to documents
created or uncovered by the IAP, it does refer to the intended treatment of
various types of information and documents:
(1) Article III(o) restricts disclosure of information from hearings and
the use of audio recordings and transcripts, subject to the claimant’s
option to deposit the transcript in an archive:
o.
Privacy
i. Hearings are closed to the public. Parties, an alleged
perpetrator and other witnesses are required to sign agreements to keep
information disclosed at a hearing confidential, except their own evidence, or
as required within this process or otherwise by law. Claimants will receive a
copy of the decision, redacted to remove identifying information about any
alleged perpetrators, and are free to discuss the outcome of their hearing,
including the amount of any compensation they are awarded.
ii. Adjudicators may require a transcript to facilitate report
writing, especially since they are conducting questioning. A transcript will
also be needed for a review, if requested. Proceedings will be recorded and
will be transcribed for these purposes, as well as if a Claimant requests a
copy of their own evidence for memorialization. Claimants will also be given
the option of having the transcript deposited in an archive developed for the
purpose.
(2) Appendix II, item (i) requires claimants to sign a declaration which
includes confidentiality provisions as part of their application form:
i. The Secretariat will admit claims to the IAP as of right
where the application is complete and sets out allegations which if proven
would constitute one or more continuing claims, and where the Claimant has
signed the Declaration set out in the application form, including the
confidentiality provisions in the Declaration.
(3) Appendix II, item (iv) restricts the use of IAP applications:
iv. The following conditions apply to the provision of the
application to the Government or a church entity:
•
The application will only be shared with those
who need to see it to assist the Government with its defence, or to assist the
church entities with their ability to defend the claim or in connection with
their insurance coverage;
. . .
•
Copies will be made only where absolutely
necessary, and all copies other than those held by the Government will be
destroyed on the conclusion of the matter, unless the Claimant asks that others
retain a copy, or unless counsel for a party is required to retain such copy to
comply with his or her professional obligations.
(4) Appendix VII imposes document production requirements upon claimants
upon filing an IAP application and upon the claimant having been accepted into
the IAP. Specifically, the claimant must produce (or explain the absence of)
documents to prove elevated levels of consequential harm and loss of
opportunity. These documents may include records relating to treatment,
corrections, tax, and education, as well as workers’ compensation records.
(5) Appendix VIII imposes document production requirements upon the
federal government. It must seek, collect and report the dates a claimant
attended a residential school, and must report on the persons named in the application
as having abused the claimant. Claimants have a right to request copies of
documents containing this information, although information about other persons
named in the documents (other than alleged perpetrators) are to be “blacked out
. . . as required by the Privacy Act ”. This is the lone express
reference, within Sch. D, to the Privacy Act or related federal
legislation.
[40]
Schedule N of the IRSSA details the mandate and
process of the TRC. It identifies the TRC’s work as built on principles which include
being “victim-centered”; providing “confidentiality (if required by the former
student)”, and “do[ing] no harm”. Generally, the TRC is tasked with creating a
complete historical record of the residential schools system, and promoting
awareness and public education of Canadians about the residential schools
system and its impacts (Sch. N, art. 1.)
[41]
Another principle — that survivors’ stories will
be shared only when done so voluntarily — is frequently emphasized in
Sch. N. Article 2 (c) provides that the TRC cannot “compel . . .
participation”. Article 4 (b) states that “the truth and reconciliation process
is committed to the principle of voluntariness with respect to individuals’
participation”. Article 11 provides that, “[i]nsofar as agreed to by individuals
affected and as permitted by process requirements, information from the [IAP]
. . . may be transferred to the [TRC] for research and archiving
purposes”. Federal privacy, access to information, and archiving legislation
are expressly stated to apply to records held by the TRC.
(b)
The Surrounding Circumstances
[42]
After an extensive review of the evidence
submitted on the requests for directions, the supervising judge found that the
negotiators of the IRSSA intended the IAP to be a confidential and private process,
that claimants and alleged perpetrators relied on the confidentiality
assurances and that, without such assurances, the IAP could not have
functioned. In our view, these findings are not only free of palpable and
overriding error, they are simply inescapable in light of the evidence
submitted.
[43]
The National Chief of the Assembly of First
Nations at the time of the IRSSA’s negotiation emphasized that strict
confidentiality of the IAP was intended as part of the agreement so that
“nobody except the survivor would have access to the story of the survivor”
(Affidavit of Larry Philip Fontaine, A.R. vol. IX, at p. 97). This view was
echoed by IAP claimants who tendered affidavits attesting to their
understanding that information disclosed within the IAP would not be shared
outside of that process.
[44]
Confidentiality was also crucial to the
participation of the church defendants. For example, the Chancellor of the
Archdiocese of Halifax-Yarmouth stated that the assurance of confidentiality of
all the IAP Documents was a vital inducement to his archdiocese entering the
agreement. The former General Superior of the Congregation of the Sisters of
St. Joseph of Sault Ste. Marie emphasized that, by participating in the IAP,
her congregation relinquished the right to seek to preserve its reputation and
that of its members by challenging the allegations of accusers in court, adding
that it would not have done so were there the slightest possibility that
information disclosed within the IAP information could become public.
[45]
There is also evidence that the IAP would not
have achieved its purpose but for the promise of absolute confidentiality. The
current Chief Adjudicator stated that confidentiality is a central concern to
participants and is often the “key factor” in whether a claim proceeds
(Affidavit of Daniel Shapiro, A.R. vol. III, at pp. 139-41). Claimants have
said that they would not have participated in the IAP without assurances of
complete confidentiality. This was confirmed by the director of Settlement Agreement
Operations West, who stated that claimants were often reticent to disclose all
allegations due to feelings of shame and embarrassment, and that those concerns
were allayed by assurances of confidentiality (Affidavit of David Russell, A.R.
vol. X, at pp. 74-75). Assurances of confidentiality were also important to
securing the participation of alleged perpetrators in IAP claims (Affidavit of
F. Mark Rowan, A.R. vol. IX, at pp. 101-3).
[46]
The high premium placed on confidentiality by
the participants in the IAP becomes readily apparent when one considers the
nature of the information disclosed during this process. As was made plain by
the submissions of the Inuit Representatives before this Court, that
information is — to put it mildly — of the most sensitive and private nature.
As set out in art. I of Sch. D, the amount of compensation depends on the
number of “Compensation Points” applicable to proven acts of abuse and the
resulting harm that they establish. At the lower range of the spectrum of abuse
are acts such as “One or more incidents of fondling or kissing”, and “One or
more incidents of masturbation”. At the top of the table of compensable acts of
abuse are “Repeated, persistent incidents of anal or vaginal intercourse” and
“Repeated, persistent incidents of anal/vaginal penetration with an object”.
The highest level of compensable harm is “Continued harm resulting in serious
dysfunction”, which may be evidenced by “psychotic disorganization, loss of ego
boundaries, personality disorders, pregnancy resulting from a defined sexual
assault or the forced termination of such pregnancy or being required to place
for adoption a child resulting therefrom, self-injury, suicidal tendencies,
inability to form or maintain personal relationships, chronic post-traumatic
state, sexual dysfunction, or eating disorders”. The lowest level of
compensable harm under the IAP is “Modest Detrimental Impact” which is
evidenced by “anxiety, nightmares, bed-wetting, aggression, panic states,
hyper-vigilance, retaliatory rage, depression, humiliation, loss of
self-esteem”. Additional compensation points can be allocated
to proven harm if certain “Aggravating Factors” are present, such as
humiliation or degradation.
[47]
At the risk of understatement, the reluctance of
claimants to undergo questioning by an adjudicator on these topics without
assurances of absolute confidentiality is fully understandable. “Rarely, if
ever, in Canadian history has such a broad range of extremely sensitive records
been demanded from so many claimants as part of a class action suit or a
comparable compensation or reparations inquiry” (Affidavit of David H.
Flaherty, A.R. vol. IX, at p. 125). As explained by the Inuit Representatives,
a dossier created in an IAP claim amounts to “a very dark and very partial
biography” of a claimant’s life “from a very young age to the time of the
hearing” (transcript, at p. 136). And, as the spectrum of actions and harms
that we have just recounted should make excruciatingly clear, disclosure of
information contained in the IAP Documents could be devastating to claimants,
witnesses, and families. Further, disclosure could result in deep discord
within the communities whose histories are intertwined with that of the
residential schools system — a concern which was made plain in the evidence
before the supervising judge:
According to AANDC data,
approximately 32% of all claims include allegations of student-on-student
abuse. Attached and marked as Exhibit “B” is a map obtained from the
AANDC web-site, summarizing student-on-student claims to December 31, 2012.
While the Secretariat and I take the confidentiality interests of all claimants
and alleged perpetrators very seriously, the circumstances of
student-on-student claims raise unique and heightened privacy and serious safety
risks within First Nations communities if the confidential information were to
be released, or even if there is a perception that the information may be
released. It is not uncommon for such claims to be made against individuals
from claimants’ own community. The potential for violence within communities
and serious distress, including self-harm is heightened in these cases. [Underlining
added.]
(Affidavit of Daniel Shapiro,
at p. 141)
I know that within my
community as well as other aboriginal communities if there were cases where
survivors are alleged to have abused other children in the residential school,
and their identities became public or accessible to any person, this would have
long term devastating consequences in our communities. This would not only
devastate these individuals but also their grandchildren and great
grandchildren if this information came out at a future date.
It was for this reason
that I strongly argued that in cases of student on student abuse the names of
alleged perpetrators never be made public to any person. The assurance that
this information would never be disclosed outside of the IAP process and the
guarantees in the Settlement Agreement were the protections that we obtained as
a compromise in the Settlement Agreement. If any of this information is placed
into an archive, even if it is sealed for ten years, fifty years, a hundred
years or longer, the identities of these perpetrators and their victims will
some day become available to their descendants or researchers who may publish
information. Within our communities, such knowledge even in future
generations would continue the legacy of dysfunction and trauma that was
created by the residential schools. [Emphasis added.]
(Affidavit of Larry Philip
Fontaine, at pp. 99-100)
Another claimant stated that her
community is “so small and close” that she could be easily identified even were
her name omitted (Affidavit of Jane Doe, A.R. vol. IX, at p. 70).
(c)
The IAP Guide
[48]
In addition to the text of the IRSSA and
surrounding circumstances, the Guide was referred to by the supervising judge
as extrinsic evidence in his interpretation of the IRSSA. Its utility, however,
was contested by the various parties before this Court. The Guide is a document
intended to aid parties in understanding if they qualify for the IAP, and to
help parties fill out the IAP application form. It does not form part of the
IRSSA, and indeed it displays at the outset a prominent disclaimer stating that
the IAP is governed by Sch. D of the IRSSA and that, in the event of any
differences between the Guide and Sch. D, the official document will prevail.
[49]
Appendix B of the Guide, titled “Protection of
your personal information” purports to explain how federal privacy, access, and
archiving legislation applies to personal information adduced in an IAP claim.
The pertinent provisions include:
Definition of personal
information
Personal information means information about an identifiable person that is recorded in
some way. Some examples of personal information include name, age, income,
medical records and school attendance.
Level of security
We will treat your Application
Form with care and confidentiality. This means
that security rules are in place to protect your Application Form. The
Government of Canada uses the “Protected B” security level for sensitive and
personal information. Once you submit it, we will treat your Application
Form as a “Protected B” document.
Privacy and information
laws
The Privacy Act is the
federal law that controls the way the government collects, uses, shares and
keeps your personal information. The Privacy Act also allows people to
access personal information about themselves.
The Access to Information
Act is the federal law that allows access to government information.
However, it protects certain kinds of information, including personal
information.
We will deal with personal
information about you and other people you identify in your claim privately and
confidentially. We will do so in accordance with Access to Information Act ,
the Privacy Act , and any other applicable law, or we will ask your
permission to share information.
In certain situations, the
government may have to give personal information to certain authorities. For example,
in a criminal case before the courts, the government may have to give
information to the police if they have a search warrant. Another example is
when the government has to give information to child welfare authorities or the
police if the government finds out that a child needs protection. The
government will also share personal information with people involved in
resolving your claim, as we describe in the section “Sharing your personal
information with others” on the next page.
. . .
Collection of personal
information
Personal information in your Application
Form and all documents we gather for your claim are collected only
so we can (1) operate and administer the Independent Assessment Process and (2)
resolve your residential school claim.
Use of your personal
information
We will review the personal
information you give in your Application Form and all documents we
gather for your claim. This review lets us find out whether we can admit your
claim into this Independent Assessment Process. If your Application can be
admitted into this process, we will use the information to research your
attendance at the residential school(s) and to find documents relevant to you
and your claim.
Sharing your personal
information with others
If a church organization is
participating in the resolution of your claim, we will share some of your
personal information confidentially with church representatives.
If you ask for counseling
support and you give your permission, we will give Health Canada information
about your participation in this Independent Assessment Process so that you can
receive counseling support.
If the government finds the
person who you claim abused you, we will share some of the personal
information you have given us with him or her. This will include details of
any claims you’ve made against them. This is necessary to give the person a
chance to answer your claim. We will also share some of your personal
information with witnesses participating in the resolution of your claim.
In both situations, we will share only information necessary to answer your
claim. We will not share information that identifies your address.
The Adjudicator will receive
your personal information before the hearing. This will let him or her review
your claim, question you and other witnesses, and decide whether to provide you
compensation and, if so, how much.
Keeping your records
The Privacy Act requires
the government to keep your personal information for at least two years.
Currently, the government keeps this information in the National Archives for
30 years, but this practice can change at any time. Only the National Archivist
can destroy government records. [Underlining added;
pp. 28-29.]
As is readily seen, the Guide
explicitly refers to the application of the Privacy Act and the Access
to Information Act to the IAP Documents, and notes the prospect of their
archival in the National Archives. That said, it also refers to disclosure by
the government in certain specific circumstances. We shall return to the Guide
below.
(d)
The Intended Disposition of the IAP Documents
[50]
In the light of the foregoing, we would not
disturb the supervising judge’s finding that the IRSSA provided for the
destruction of the IAP Documents.
[51]
With respect to the disposition of the IAP Documents,
the direction contained in the text of IRSSA is less than clear. As explained
above, art. III(o) of Sch. D provides that information disclosed at an IAP
hearing is confidential, but may be disclosed “as required within this process
or otherwise by law”. Transcripts and recordings may only be used for limited
purposes, all of which are specific to the IAP claim, except for the claimant’s
option to deposit the transcript in an archive. Appendix II, item (iv) of Sch.
D states that all copies of applications “other than those held by the
Government will be destroyed on the conclusion of the matter”.
[52]
Canada points to two bases for the application
of federal privacy, access, and archives legislation in Sch. D: the reference in
art. III(o) to disclosure of information disclosed at IAP
hearings as required “otherwise by law”; and the proviso in App. II,
item (iv) to the effect that Canada’s copies of applications will not be
destroyed at the conclusion of the matter. The supervising
judge turned his mind to both of these provisions, concluding that they refer
to the potential use of such information in criminal or child welfare
proceedings, and that Canada’s copies of the application forms should be held
during a retention period for this purpose. In light of the text of the IRSSA
and the circumstances surrounding it, the supervising judge’s finding does not
evidence a palpable and overriding error. In our view, it is unlikely that the
drafters intended these words as a trail of breadcrumbs implicitly linking the
IRSSA to federal privacy, access, and archiving legislation — especially since
the Privacy Act is explicitly referred to in connection with federal
government disclosure obligations in App. VIII of Sch. D, and since privacy,
access to information, and archives legislation are also explicitly referred to
in Sch. N.
[53]
We note that the IRSSA does not expressly
provide a disposition for IAP decisions, beyond stating that claimants will
receive a redacted copy. In our view, the necessary implication of this is that
other copies of the decisions will not be preserved or eventually archived. The
purpose of restricting the use and disclosure of the IAP application forms and
the information adduced at hearings would be defeated were IAP decisions, which
necessarily replicate a substantial part of that information, not subjected to
similar restrictions.
[54]
The significance of the Guide was hotly
contested before this Court. While the Guide does mention expressly the
application of the federal privacy, access, and archival legislation to the IAP
Documents, it also appears to guarantee an exhaustive set of circumstances
where personal information is disclosed, which circumstances are markedly
narrower than the rights of access under the federal legislation. Given the clear
disclaimer at the outset of the Guide, the fact that its provisions regarding
privacy seem completely unmoored from the text of Sch. D, and that its drafters
apparently reproduced the privacy provisions from a similar document used in
the former ADR process that was published three years before the IRSSA
(Affidavit of Daniel Ish, A.R. vol. III, at p. 161), we ascribe no interpretive
weight to the Guide. It follows that the supervising judge committed no error
by omitting to import the Guide’s references to federal access, privacy, and
archiving legislation into the IRSSA.
[55]
Our conclusion regarding the supervising judge’s
interpretation of the text of the IRSSA is affirmed by the intent of the
parties themselves. Application of the Privacy Act to the IAP Documents
clearly runs counter to the principles of confidentiality and voluntariness
upon which, as we have explained, the IAP was founded. The Privacy Act
protects personal information from disclosure, but only for 20 years after the
death of the relevant individual. Even during the protection period,
disclosures of personal information contained in these documents may occur. For
example, the Privacy Act provides individuals to a right of access to
their personal information, which is defined to include “the views or opinions
of another individual about the individual” (s. 3 “personal information”). As
pointed out by the Privacy Commissioner of Canada, this might allow an alleged
perpetrator to seek information about their accusers. Under s. 8(2)(j) of the Privacy
Act , personal information may be disclosed at any time for research or
statistical purposes.
[56]
Further, retention in the National Archives,
whose purposes include the accessibility and diffusion of knowledge (Library
and Archives of Canada Act , preamble), is inconsistent with the absolute
level of confidentiality that the parties intended for these documents. As the
supervising judge found, the federal access, privacy, and archiving statutory
scheme does not conform to the “high degree of confidentiality that the parties
bargained for” (para. 317). Nor does archival of the IAP Documents in the
National Archives, coupled with their potential disclosure, conform to the
principle of voluntariness governing the disclosure by survivors of their stories.
[57]
This principle of voluntary disclosure deserves
particular consideration here. It emerges from several of the IRSSA’s
provisions. In Sch. D, art. III(o)(i) and (ii) provide that claimants are free
to discuss the outcome of their hearing and may choose to retain a copy
of their evidence for memorialization and to have their transcript archived.
Appendix II, item (iv) allows claimants to choose to share copies of
their applications with others. The principle of voluntariness further emerges
from arts. 2(c), 4(b) and 11 of Sch. N which, taken together, provide that
participation by IAP claimants in the TRC’s project of commemoration is
entirely at the discretion of the claimants.
[58]
The position taken by the TRC, and later by the
NCTR, that these documents should be transferred to the National Archives and
eventually shared with the NCTR, would defeat the principle of voluntariness
underlying the IAP. Irrespective of the claimants’ intentions or wishes, their
stories — which, it bears reiterating, include accounts of abuse ranging from
the monstrous to the humiliating, and of harms ranging from the devastating to
the debilitating — would in time be disclosed to the NCTR (and, by extension,
to the public), to be applied to its project of commemorating and memorializing
the residential schools system. In other words, highly sensitive and private
experiences would be conscripted to serve the cause of public education. But
this is plainly not what the parties bargained for. We agree with the majority
at the Court of Appeal that “the IRSSA put the survivors, not Canada and not
anyone else, in control of their own stories” (para. 228).
[59]
The NCTR’s position is prompted by its stated
concern that destruction of the IAP Documents would “deny future generations
. . . the collective knowledge and history essential to healing”
(R.F., at para. 119). In its view, we are not now in a position to know how
important the IAP Documents may be to “future healing”, since the concerns over
the potential negative ramifications of disclosure were expressed at a time
when the wounds inflicted by residential schools are still “raw” (transcript,
at pp. 59-60). This submission, whether meritorious or not, has no bearing on
the interpretation of the IRSSA. To this, however, the NCTR says the IRSSA and
the IAP are “flawed” (transcript, at p. 66). But, with respect, the supervising
judge was tasked with interpreting the IRSSA as it was agreed to, not as the
NCTR would have had the parties agree to. It is not for this Court to conscript
the stories of survivors, where confidentiality and solely voluntary disclosure
had been agreed to.
[60]
We accept Canada’s and the NCTR’s submission
that, in addition to the provision of compensation through the CEP and the IAP,
public commemoration of the residential schools system is also a core objective
of the IRSSA. That does not mean, however, that each component of the IRSSA
must equally contribute to each of those objectives. The IAP is, above all, a
method for compensating for abuse and consequent harm. The supervising judge
weighed the evidence and found that this core compensatory function would be
compromised were the information to be disclosed without claimants’ consent. We
defer to the fact-finder on that point. Further, because of the past work of
the TRC and the ongoing work of the NCTR, we do not doubt that the objective of
commemoration is being met. Residential schools survivors have already given
more than 7,000 statements to the TRC detailing their experiences (Affidavit of
David H. Flaherty, at para. 56). And, under the terms of the supervising
judge’s order, IAP claimants will still have the possibility to archive their
records with the NCTR if they wish to do so.
[61]
Finally, Canada also argued that the destruction
of the IAP documents would impede its ability to defend itself against future
claims. In view of the plain language of the release in favour of Canada
contained in the IRSSA (art. 4.06(g)), which operates irrespective of whether
the class members availed themselves of the IAP and of whether they received
compensation, we are not satisfied that this is the case.
(3)
Was the Order an Appropriate Exercise of the
Court’s Supervisory Jurisdiction?
[62]
Having concluded, without palpable and
overriding error, that the IRSSA allowed for the destruction of the IAP
Documents, the supervising judge then had to craft an appropriate order. In
doing so, he had to strike a balance between competing concerns: preserving
confidentiality and the need to memorialize and commemorate, all the while
respecting the choice of survivors to share (or not share) their stories. The
supervising judge’s order, as modified by the majority of the Court of Appeal,
charts an appropriate course between the Scylla of potentially unwanted
destruction and the Charybdis of potentially injurious preservation. The
destruction order is subject to a 15-year retention period, during which
claimants may choose to have their IAP Documents preserved and archived. That
choice will be brought to the attention of claimants through a notice program
administered by the Chief Adjudicator. We recognize that this order may be
inconsistent with the wishes of deceased claimants who were never given the
option to preserve their records. A perfect outcome here is, in these
circumstances, simply not possible. In our view, however, the destruction of
records that some claimants would have preferred to have preserved works a
lesser injustice than the disclosure of records that most expected never to be
shared. The supervising judge’s order, as varied by the majority of the
Court of Appeal, was an appropriate exercise of his discretion.
[63]
That variation was, moreover, entirely
appropriate in the circumstances of this case. The notice program should be
carried out by the Chief Adjudicator, as it does not fall within the mandate of
either the TRC or the NCTR, and as it would be inconsistent with a confidential
process to provide them with the information necessary for the program.
Further, we support the direction of the Court of Appeal that the orders should
include documents developed in the ADR process. As the intent of the IRSSA was
to consolidate existing litigation into the IAP, consistency and fairness
require that the records resulting from that litigation should be treated in
the same manner as the IAP Documents.
IV.
Conclusion and Disposition
[64]
We would dismiss the appeal, with costs to the
Independent Counsel. We also endorse the entreaties of the courts below that
the Chief Adjudicator conduct the notice program without delay and with full
cooperation from the parties, in order to give effect to the express wishes of
the greatest number of IAP claimants possible.
APPENDIX
AANDC Aboriginal
Affairs and Northern Development Canada
ADR Alternative
Dispute Resolution
CEP Common
Experience Payment
IAP Independent
Assessment Process
IRSSA Indian
Residential Schools Settlement Agreement
NCTR National
Research Centre for Truth and Reconciliation
SAO Settlement
Agreement Operations Branch
TRC Truth
and Reconciliation Commission
Appeal
dismissed with costs to the respondent Independent Counsel.
Solicitor for the
appellant: Attorney General of Canada, Ottawa and Montréal.
Solicitors for the
respondents Sisters of Charity, a Body
Corporate also known as Sisters of Charity of St. Vincent de Paul, Halifax,
also known as Sisters of Charity Halifax, Oeuvres Oblates de l’Ontario,
Résidences Oblates du Québec, Soeurs Grises de Montréal/Grey Nuns of Montréal, Sisters of Charity (Grey
Nuns) of Alberta, Soeurs de la Charité des T.N.-O., Hôtel‑Dieu de
Nicolet, Grey Nuns of Manitoba Inc. — Soeurs Grises du Manitoba Inc., Missionary Oblates — Grandin Province, Oblats de Marie Immaculée
du Manitoba, Oblates of Mary Immaculate — St. Peter’s Province, Sisters of
Saint Ann, Sisters of Instruction of the Child Jesus, Order of the Oblates of
Mary Immaculate in the Province of British Columbia, Sisters of Charity of
Providence of Western Canada and Roman Catholic Archiepiscopal Corporation of
Winnipeg: McKercher, Saskatoon.
Solicitors for the respondents Soeurs
de Notre-Dame-Auxiliatrice, Soeurs de St-François D’Assise, Institut des Soeurs
du Bon Conseil, Soeurs de Saint‑Joseph de Saint‑Hyacinthe, Soeurs
de Jésus‑Marie, Soeurs de l’Assomption de la Sainte Vierge, Soeurs de l’Assomption
de la Sainte Vierge de l’Alberta, Soeurs Missionnaires du Christ‑Roi and
Soeurs de la Charité de St‑Hyacinthe: Lavery, de Billy,
Montréal.
Solicitors for the respondent
National Centre for Truth and Reconciliation: Birenbaum Law,
Toronto; University of Manitoba, Winnipeg.
Solicitors for the
respondent Assembly of First Nations: Assembly
of First Nations, Ottawa; Kathleen Mahoney Professional Corporation, Calgary.
Solicitors for the
respondent Independent Counsel: Grant
Huberman, Vancouver; Diane Soroka Avocate Inc., Westmount, Quebec; Sandra
Staats Law Corporation, Prince George, British Columbia.
Solicitors
for the respondent Inuit Representatives: Legal Opinion North, Ottawa.
Solicitors for the
respondent Chief Adjudicator of the
Indian Residential Schools Adjudication Secretariat: Arvay
Finlay, Vancouver; Susan E. Ross, Saskatoon.
Solicitors for the
intervener Privacy Commissioner of Canada: Barbara McIsaac Law, Ottawa; Office
of the Privacy Commissioner of Canada, Gatineau.
Solicitors for the
intervener Coalition to Preserve Truth: Devlin Gailus Watson, Victoria.
Solicitors for the
intervener Information Commissioner of Canada: Gowling WLG (Canada),
Ottawa; Office of the Information Commissioner of Canada, Gatineau.