Docket: A-48-16
Citation:
2017 FCA 213
CORAM:
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WEBB J.A.
NEAR J.A.
GLEASON J.A.
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BETWEEN:
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DAVID RAYMOND
AMOS
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Respondent on the cross-appeal
(and formally Appellant)
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and
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HER MAJESTY THE
QUEEN
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Appellant on the cross-appeal
(and formerly Respondent)
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REASONS
FOR JUDGMENT BY THE COURT
I.
Introduction
[1]
On September 16, 2015, David Raymond Amos (Mr.
Amos) filed a 53-page Statement of Claim (the Claim) in Federal Court against
Her Majesty the Queen (the Crown). Mr. Amos claims $11 million in damages and a
public apology from the Prime Minister and Provincial Premiers for being illegally
barred from accessing parliamentary properties and seeks a declaration from the
Minister of Public Safety that the Canadian Government will no longer allow the
Royal Canadian Mounted Police (RCMP) and Canadian Forces to harass him and his
clan (Claim at para. 96).
[2]
On November 12, 2015 (Docket T-1557-15), by way
of a motion brought by the Crown, a prothonotary of the Federal Court (the
Prothonotary) struck the Claim in its entirety, without leave to amend, on the
basis that it was plain and obvious that the Claim disclosed no reasonable
claim, the Claim was fundamentally vexatious, and the Claim could not be
salvaged by way of further amendment (the Prothontary’s Order).
[3]
On January 25, 2016 (2016 FC 93), by way of Mr. Amos’
appeal from the Prothonotary’s Order, a judge of the Federal Court (the Judge),
reviewing the matter de novo, struck all of Mr. Amos’ claims for relief
with the exception of the claim for damages for being barred by the RCMP from
the New Brunswick legislature in 2004 (the Federal Court Judgment).
[4]
Mr. Amos appealed and the Crown cross-appealed
the Federal Court Judgment. Further to the issuance of a Notice of Status
Review, Mr. Amos’ appeal was dismissed for delay on December 19, 2016. As such,
the only matter before this Court is the Crown’s cross-appeal.
II.
Preliminary Matter
[5]
Mr. Amos, in his memorandum of fact and law in
relation to the cross-appeal that was filed with this Court on March 6, 2017,
indicated that several judges of this Court, including two of the judges of
this panel, had a conflict of interest in this appeal. This was the first time
that he identified the judges whom he believed had a conflict of interest in a
document that was filed with this Court. In his notice of appeal he had alluded
to a conflict with several judges but did not name those judges.
[6]
Mr. Amos was of the view that he did not have to
identify the judges in any document filed with this Court because he had
identified the judges in various documents that had been filed with the Federal
Court. In his view the Federal Court and the Federal Court of Appeal are the
same court and therefore any document filed in the Federal Court would be filed
in this Court. This view is based on subsections 5(4) and 5.1(4) of the Federal
Courts Act, R.S.C., 1985, c. F-7:
5(4) Every judge of the Federal Court
is, by virtue of his or her office, a judge of the Federal Court of Appeal
and has all the jurisdiction, power and authority of a judge of the Federal
Court of Appeal.
[…]
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5(4)
Les juges de la Cour fédérale sont d’office juges de la Cour d’appel fédérale
et ont la même compétence et les mêmes pouvoirs que les juges de la Cour
d’appel fédérale.
[…]
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5.1(4) Every judge of the Federal Court of Appeal is, by virtue of that
office, a judge of the Federal Court and has all the jurisdiction, power and
authority of a judge of the Federal Court.
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5.1(4) Les juges de la Cour d’appel fédérale
sont d’office juges de la Cour fédérale et ont la même compétence et les
mêmes pouvoirs que les juges de la Cour fédérale.
|
[7]
However, these subsections only provide that the
judges of the Federal Court are also judges of this Court (and vice versa).
It does not mean that there is only one court. If the Federal Court and this
Court were one Court, there would be no need for this section.
[8]
Sections 3 and 4 of the Federal Courts Act
provide that:
3 The division of the Federal Court of Canada called the Federal
Court — Appeal Division is continued under the name “Federal Court of Appeal”
in English and “Cour d’appel fédérale” in French. It is continued as an additional
court of law, equity and admiralty in and for Canada, for the better
administration of the laws of Canada and as a superior court of record having
civil and criminal jurisdiction.
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3 La
Section d’appel, aussi appelée la Cour d’appel ou la Cour d’appel fédérale,
est maintenue et dénommée « Cour d’appel fédérale » en français et « Federal
Court of Appeal » en anglais. Elle est maintenue à titre de tribunal
additionnel de droit, d’equity et d’amirauté du Canada, propre à améliorer
l’application du droit canadien, et continue d’être une cour supérieure
d’archives ayant compétence en matière civile et pénale.
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4 The division of the Federal Court of Canada called the Federal
Court — Trial Division is continued under the name “Federal Court” in English
and “Cour fédérale” in French. It is continued as an additional court of law,
equity and admiralty in and for Canada, for the better administration of the
laws of Canada and as a superior court of record having civil and criminal
jurisdiction.
|
4 La section de la Cour fédérale du Canada,
appelée la Section de première instance de la Cour fédérale, est maintenue et
dénommée « Cour fédérale » en français et « Federal Court » en anglais. Elle
est maintenue à titre de tribunal additionnel de droit, d’equity et d’amirauté
du Canada, propre à améliorer l’application du droit canadien, et continue
d’être une cour supérieure d’archives ayant compétence en matière civile et
pénale.
|
[9]
Sections 3 and 4 of the Federal Courts Act
create two separate courts – this Court (section 3) and the Federal Court
(section 4). If, as Mr. Amos suggests, documents filed in the Federal Court
were automatically also filed in this Court, then there would no need for the
parties to prepare and file appeal books as required by Rules 343 to 345 of the
Federal Courts Rules, SOR/98-106 in relation to any appeal from a
decision of the Federal Court. The requirement to file an appeal book with this
Court in relation to an appeal from a decision of the Federal Court makes it
clear that the only documents that will be before this Court are the documents
that are part of that appeal book.
[10]
Therefore, the memorandum of fact and law filed
on March 6, 2017 is the first document, filed with this Court, in which Mr.
Amos identified the particular judges that he submits have a conflict in any
matter related to him.
[11]
On April 3, 2017, Mr. Amos attempted to bring a
motion before the Federal Court seeking an order “affirming
or denying the conflict of interest he has” with a number of judges of
the Federal Court. A judge of the Federal Court issued a direction noting that
if Mr. Amos was seeking this order in relation to judges of the Federal Court
of Appeal, it was beyond the jurisdiction of the Federal Court. Mr. Amos raised
the Federal Court motion at the hearing of this cross-appeal. The Federal Court
motion is not a motion before this Court and, as such, the submissions filed
before the Federal Court will not be entertained. As well, since this was a
motion brought before the Federal Court (and not this Court), any documents
filed in relation to that motion are not part of the record of this Court.
[12]
During the hearing of the appeal Mr. Amos alleged
that the third member of this panel also had a conflict of interest and submitted
some documents that, in his view, supported his claim of a conflict. Mr. Amos,
following the hearing of his appeal, was also afforded the opportunity to
provide a brief summary of the conflict that he was alleging and to file
additional documents that, in his view, supported his allegations. Mr. Amos
submitted several pages of documents in relation to the alleged conflicts. He
organized the documents by submitting a copy of the biography of the particular
judge and then, immediately following that biography, by including copies of
the documents that, in his view, supported his claim that such judge had a
conflict.
[13]
The nature of the alleged conflict of Justice
Webb is that before he was appointed as a Judge of the Tax Court of Canada in
2006, he was a partner with the law firm Patterson Law, and before that with
Patterson Palmer in Nova Scotia. Mr. Amos submitted that he had a number of
disputes with Patterson Palmer and Patterson Law and therefore Justice Webb has
a conflict simply because he was a partner of these firms. Mr. Amos is not
alleging that Justice Webb was personally involved in or had any knowledge of
any matter in which Mr. Amos was involved with Justice Webb’s former law firm –
only that he was a member of such firm.
[14]
During his oral submissions at the hearing of
his appeal Mr. Amos, in relation to the alleged conflict for Justice Webb, focused
on dealings between himself and a particular lawyer at Patterson Law. However,
none of the documents submitted by Mr. Amos at the hearing or subsequently
related to any dealings with this particular lawyer nor is it clear when Mr.
Amos was dealing with this lawyer. In particular, it is far from clear whether
such dealings were after the time that Justice Webb was appointed as a Judge of
the Tax Court of Canada over 10 years ago.
[15]
The documents that he submitted in relation to
the alleged conflict for Justice Webb largely relate to dealings between Byron
Prior and the St. John’s Newfoundland and Labrador office of Patterson Palmer,
which is not in the same province where Justice Webb practiced law. The only
document that indicates any dealing between Mr. Amos and Patterson Palmer is a
copy of an affidavit of Stephen May who was a partner in the St. John’s NL
office of Patterson Palmer. The affidavit is dated January 24, 2005 and refers
to a number of e-mails that were sent by Mr. Amos to Stephen May. Mr. Amos also
included a letter that is addressed to four individuals, one of whom is John
Crosbie who was counsel to the St. John’s NL office of Patterson Palmer. The
letter is dated September 2, 2004 and is addressed to “John
Crosbie, c/o Greg G. Byrne, Suite 502, 570 Queen Street, Fredericton, NB E3B
5E3”. In this letter Mr. Amos alludes to a possible lawsuit against
Patterson Palmer.
[16]
Mr. Amos’ position is that simply because Justice
Webb was a lawyer with Patterson Palmer, he now has a conflict. In Wewaykum
Indian Band v. Her Majesty the Queen, 2003 SCC 45, [2003] 2 S.C.R. 259, the
Supreme Court of Canada noted that disqualification of a judge is to be
determined based on whether there is a reasonable apprehension of bias:
60 In Canadian law, one standard has
now emerged as the criterion for disqualification. The criterion, as expressed
by de Grandpré J. in Committee for Justice and Liberty v. National Energy
Board, …[[1978] 1 S.C.R. 369, 68 D.L.R. (3d) 716], at p. 394, is the
reasonable apprehension of bias:
… the apprehension of bias must be a
reasonable one, held by reasonable and right minded persons, applying
themselves to the question and obtaining thereon the required information. In
the words of the Court of Appeal, that test is "what would an informed
person, viewing the matter realistically and practically -- and having thought
the matter through -- conclude. Would he think that it is more likely than not
that [the decision-maker], whether consciously or unconsciously, would not
decide fairly."
[17]
The issue to be determined is whether an
informed person, viewing the matter realistically and practically, and having
thought the matter through, would conclude that Mr. Amos’ allegations give rise
to a reasonable apprehension of bias. As this Court has previously remarked, “there is a strong presumption that judges will administer
justice impartially” and this presumption will not be rebutted in the
absence of “convincing evidence” of bias (Collins
v. Canada, 2011 FCA 140 at para. 7, [2011] 4 C.T.C. 157 [Collins].
See also R. v. S. (R.D.), [1997] 3 S.C.R. 484 at para. 32, 151 D.L.R.
(4th) 193).
[18]
The Ontario Court of Appeal in Rando Drugs
Ltd. v. Scott, 2007 ONCA 553, 86 O.R. (3d) 653 (leave to appeal to the
Supreme Court of Canada refused, 32285 (August 1, 2007)), addressed the
particular issue of whether a judge is disqualified from hearing a case simply
because he had been a member of a law firm that was involved in the litigation
that was now before that judge. The Ontario Court of Appeal determined that the
judge was not disqualified if the judge had no involvement with the person or
the matter when he was a lawyer. The Ontario Court of Appeal also explained
that the rules for determining whether a judge is disqualified are different
from the rules to determine whether a lawyer has a conflict:
27 Thus, disqualification is not the
natural corollary to a finding that a trial judge has had some involvement in a
case over which he or she is now presiding. Where the judge had no
involvement, as here, it cannot be said that the judge is disqualified.
28 The point can rightly be made that had Mr.
Patterson been asked to represent the appellant as counsel before his
appointment to the bench, the conflict rules would likely have prevented him
from taking the case because his firm had formerly represented one of the
defendants in the case. Thus, it is argued how is it that as a trial judge
Patterson J. can hear the case? This issue was considered by the Court of Appeal
(Civil Division) in Locabail (U.K.) Ltd. v. Bayfield Properties Ltd.,
[2000] Q.B. 451. The court held, at para. 58, that there is no inflexible rule
governing the disqualification of a judge and that, "[e]verything depends
on the circumstances."
29 It seems to me that what appears at first
sight to be an inconsistency in application of rules can be explained by the
different contexts and in particular, the strong presumption of judicial
impartiality that applies in the context of disqualification of a judge. There
is no such presumption in cases of allegations of conflict of interest against
a lawyer because of a firm's previous involvement in the case. To the contrary,
as explained by Sopinka J. in MacDonald Estate v. Martin (1990), 77
D.L.R. (4th) 249 (S.C.C.), for sound policy reasons there is a presumption of a
disqualifying interest that can rarely be overcome. In particular, a conclusory
statement from the lawyer that he or she had no confidential information about
the case will never be sufficient. The case is the opposite where the
allegation of bias is made against a trial judge. His or her statement that he
or she knew nothing about the case and had no involvement in it will ordinarily
be accepted at face value unless there is good reason to doubt it: see Locabail,
at para. 19.
30 That brings me then to consider the particular circumstances of this
case and whether there are serious grounds to find a disqualifying conflict of
interest in this case. In my view, there are two significant factors that
justify the trial judge's decision not to recuse himself. The first is his
statement, which all parties accept, that he knew nothing of the case when it
was in his former firm and that he had nothing to do with it. The second is the
long passage of time. As was said in Wewaykum, at para. 85:
To us, one significant factor stands out, and must
inform the perspective of the reasonable person assessing the impact of this
involvement on Binnie J.'s impartiality in the appeals. That factor is the
passage of time. Most arguments for disqualification rest on circumstances that
are either contemporaneous to the decision-making, or that occurred within a
short time prior to the decision-making.
31 There are other factors that inform the
issue. The Wilson Walker firm no longer acted for any of the parties by the
time of trial. More importantly, at the time of the motion, Patterson J. had
been a judge for six years and thus had not had a relationship with his former
firm for a considerable period of time.
32 In my view, a reasonable person, viewing the matter realistically
would conclude that the trial judge could deal fairly and impartially with this
case. I take this view principally because of the long passage of time and the
trial judge's lack of involvement in or knowledge of the case when the Wilson
Walker firm had carriage. In these circumstances it cannot be reasonably
contended that the trial judge could not remain impartial in the case. The mere
fact that his name appears on the letterhead of some correspondence from over a
decade ago would not lead a reasonable person to believe that he would either
consciously or unconsciously favour his former firm's former client. It is
simply not realistic to think that a judge would throw off his mantle of
impartiality, ignore his oath of office and favour a client - about whom he
knew nothing - of a firm that he left six years earlier and that no longer acts
for the client, in a case involving events from over a decade ago.
(emphasis added)
[19]
Justice Webb had no involvement with any matter
involving Mr. Amos while he was a member of Patterson Palmer or Patterson Law,
nor does Mr. Amos suggest that he did. Mr. Amos made it clear during the
hearing of this matter that the only reason for the alleged conflict for
Justice Webb was that he was a member of Patterson Law and Patterson Palmer.
This is simply not enough for Justice Webb to be disqualified. Any involvement
of Mr. Amos with Patterson Law while Justice Webb was a member of that firm
would have had to occur over 10 years ago and even longer for the time when he
was a member of Patterson Palmer. In addition to the lack of any involvement on
his part with any matter or dispute that Mr. Amos had with Patterson Law or
Patterson Palmer (which in and of itself is sufficient to dispose of this
matter), the length of time since Justice Webb was a member of Patterson Law or
Patterson Palmer would also result in the same finding – that there is no
conflict in Justice Webb hearing this appeal.
[20]
Similarly in R. v. Bagot, 2000 MBCA 30, 145
Man. R. (2d) 260, the Manitoba Court of Appeal found that there was no
reasonable apprehension of bias when a judge, who had been a member of the law
firm that had been retained by the accused, had no involvement with the accused
while he was a lawyer with that firm.
[21]
In Del Zotto v. Minister of National Revenue,
[2000] 4 F.C. 321, 257 N.R. 96, this court did find that there would be a
reasonable apprehension of bias where a judge, who while he was a lawyer, had
recorded time on a matter involving the same person who was before that judge.
However, this case can be distinguished as Justice Webb did not have any time
recorded on any files involving Mr. Amos while he was a lawyer with Patterson
Palmer or Patterson Law.
[22]
Mr. Amos also included with his submissions a
CD. He stated in his affidavit dated June 26, 2017 that there is a “true copy of an American police surveillance wiretap
entitled 139” on this CD. He has also indicated that he has “provided a true copy of the CD entitled 139 to many American
and Canadian law enforcement authorities and not one of the police forces or
officers of the court are willing to investigate it”. Since he has
indicated that this is an “American police surveillance
wiretap”, this is a matter for the American law enforcement authorities
and cannot create, as Mr. Amos suggests, a conflict of interest for any judge
to whom he provides a copy.
[23]
As a result, there is no conflict or reasonable
apprehension of bias for Justice Webb and therefore, no reason for him to
recuse himself.
[24]
Mr. Amos alleged that Justice Near’s past
professional experience with the government created a “quasi-conflict”
in deciding the cross-appeal. Mr. Amos provided no details and Justice Near
confirmed that he had no prior knowledge of the matters alleged in the Claim.
Justice Near sees no reason to recuse himself.
[25]
Insofar as it is possible to glean the basis for
Mr. Amos’ allegations against Justice Gleason, it appears that he alleges that
she is incapable of hearing this appeal because he says he wrote a letter to
Brian Mulroney and Jean Chrétien in 2004. At that time, both Justice Gleason
and Mr. Mulroney were partners in the law firm Ogilvy Renault, LLP. The letter
in question, which is rude and angry, begins with “Hey
you two Evil Old Smiling Bastards” and “Re: me
suing you and your little dogs too”. There is no indication that the
letter was ever responded to or that a law suit was ever commenced by Mr. Amos
against Mr. Mulroney. In the circumstances, there is no reason for Justice
Gleason to recuse herself as the letter in question does not give rise to a
reasonable apprehension of bias.
III.
Issue
[26]
The issue on the cross-appeal is as follows: Did
the Judge err in setting aside the Prothonotary’s Order striking the Claim in
its entirety without leave to amend and in determining that Mr. Amos’
allegation that the RCMP barred him from the New Brunswick legislature in 2004
was capable of supporting a cause of action?
IV.
Analysis
A.
Standard of Review
[27]
Following the Judge’s decision to set aside the
Prothonotary’s Order, this Court revisited the standard of review to be applied
to discretionary decisions of prothonotaries and decisions made by judges on
appeals of prothonotaries’ decisions in Hospira Healthcare Corp. v. Kennedy
Institute of Rheumatology, 2016 FCA 215, 402 D.L.R. (4th) 497 [Hospira].
In Hospira, a five-member panel of this Court replaced the Aqua-Gem
standard of review with that articulated in Housen v. Nikolaisen, 2002
SCC 33, [2002] 2 S.C.R. 235 [Housen]. As a result, it is no longer
appropriate for the Federal Court to conduct a de novo review of a
discretionary order made by a prothonotary in regard to questions vital to the
final issue of the case. Rather, a Federal Court judge can only intervene on
appeal if the prothonotary made an error of law or a palpable and overriding
error in determining a question of fact or question of mixed fact and law (Hospira
at para. 79). Further, this Court can only interfere with a Federal Court
judge’s review of a prothonotary’s discretionary order if the judge made an
error of law or palpable and overriding error in determining a question of fact
or question of mixed fact and law (Hospira at paras. 82-83).
[28]
In the case at bar, the Judge substituted his
own assessment of Mr. Amos’ Claim for that of the Prothonotary. This Court must
look to the Prothonotary’s Order to determine whether the Judge erred in law or
made a palpable and overriding error in choosing to interfere.
B.
Did the Judge err in interfering with the
Prothonotary’s Order?
[29]
The Prothontoary’s Order accepted the following
paragraphs from the Crown’s submissions as the basis for striking the Claim in
its entirety without leave to amend:
17. Within the 96 paragraph Statement
of Claim, the Plaintiff addresses his complaint in paragraphs 14-24, inclusive.
All but four of those paragraphs are dedicated to an incident that occurred in
2006 in and around the legislature in New Brunswick. The jurisdiction of the
Federal Court does not extend to Her Majesty the Queen in right of the
Provinces. In any event, the Plaintiff hasn’t named the Province or provincial
actors as parties to this action. The incident alleged does not give rise to a
justiciable cause of action in this Court.
(…)
21. The few paragraphs that directly
address the Defendant provide no details as to the individuals involved or the
location of the alleged incidents or other details sufficient to allow the
Defendant to respond. As a result, it is difficult or impossible to determine
the causes of action the Plaintiff is attempting to advance. A generous reading
of the Statement of Claim allows the Defendant to only speculate as to the true
and/or intended cause of action. At best, the Plaintiff’s action may possibly
be summarized as: he suspects he is barred from the House of Commons.
[footnotes omitted].
[30]
The Judge determined that he could not strike
the Claim on the same jurisdictional basis as the Prothonotary. The Judge noted
that the Federal Court has jurisdiction over claims based on the liability of
Federal Crown servants like the RCMP and that the actors who barred Mr. Amos
from the New Brunswick legislature in 2004 included the RCMP (Federal Court
Judgment at para. 23). In considering the viability of these allegations de
novo, the Judge identified paragraph 14 of the Claim as containing “some precision” as it identifies the date of the
event and a RCMP officer acting as Aide-de-Camp to the Lieutenant Governor
(Federal Court Judgment at para. 27).
[31]
The Judge noted that the 2004 event could
support a cause of action in the tort of misfeasance in public office and identified
the elements of the tort as excerpted from Meigs v. Canada, 2013 FC 389,
431 F.T.R. 111:
[13] As in both the cases of Odhavji
Estate v Woodhouse, 2003 SCC 69 [Odhavji] and Lewis v Canada,
2012 FC 1514 [Lewis], I must determine whether the plaintiffs’ statement
of claim pleads each element of the alleged tort of misfeasance in public
office:
a) The public officer must have engaged in
deliberate and unlawful conduct in his or her capacity as public officer;
b) The public officer must have been aware
both that his or her conduct was unlawful and that it was likely to harm the
plaintiff; and
c) There must be an element of bad faith or
dishonesty by the public officer and knowledge of harm alone is insufficient to
conclude that a public officer acted in bad faith or dishonestly.
Odhavji,
above, at paras 23, 24 and 28
(Federal Court Judgment at para. 28).
[32]
The Judge determined that Mr. Amos disclosed
sufficient material facts to meet the elements of the tort of misfeasance in
public office because the actors, who barred him from the New Brunswick
legislature in 2004, including the RCMP, did so for “political
reasons” (Federal Court Judgment at para. 29).
[33]
This Court’s discussion of the sufficiency of
pleadings in Merchant Law Group v. Canada (Revenue Agency), 2010 FCA
184, 321 D.L.R (4th) 301 is particularly apt:
…When pleading bad faith or abuse of power,
it is not enough to assert, baldly, conclusory phrases such as “deliberately or
negligently,” “callous disregard,” or “by fraud and theft did steal”. “The bare
assertion of a conclusion upon which the court is called upon to pronounce is
not an allegation of material fact”. Making bald, conclusory allegations
without any evidentiary foundation is an abuse of process…
To this, I would add that the tort of misfeasance
in public office requires a particular state of mind of a public officer in
carrying out the impunged action, i.e., deliberate conduct which the
public officer knows to be inconsistent with the obligations of his or her
office. For this tort, particularization of the allegations is mandatory. Rule
181 specifically requires particularization of allegations of “breach of
trust,” “wilful default,” “state of mind of a person,” “malice” or “fraudulent
intention.”
(at paras. 34-35, citations omitted).
[34]
Applying the Housen standard of review to
the Prothonotary’s Order, we are of the view that the Judge interfered absent a
legal or palpable and overriding error.
[35]
The Prothonotary determined that Mr. Amos’ Claim
disclosed no reasonable claim and was fundamentally vexatious on the basis of
jurisdictional concerns and the absence of material facts to ground a
cause of action. Paragraph 14 of the Claim, which addresses the 2004 event,
pleads no material facts as to how the RCMP officer engaged in deliberate and unlawful
conduct, knew that his or her conduct was unlawful and likely to harm Mr. Amos,
and acted in bad faith. While the Claim alleges elsewhere that Mr. Amos was
barred from the New Brunswick legislature for political and/or malicious
reasons, these allegations are not particularized and are directed against
non-federal actors, such as the Sergeant-at-Arms of the Legislative Assembly of
New Brunswick and the Fredericton Police Force. As such, the Judge erred in
determining that Mr. Amos’ allegation that the RCMP barred him from the New
Brunswick legislature in 2004 was capable of supporting a cause of action.
[36]
In our view, the Claim is made up entirely of
bare allegations, devoid of any detail, such that it discloses no reasonable
cause of action within the jurisdiction of the Federal Courts. Therefore, the
Judge erred in interfering to set aside the Prothonotary’s Order striking the
claim in its entirety. Further, we find that the Prothonotary made no error in
denying leave to amend. The deficiencies in Mr. Amos’ pleadings are so
extensive such that amendment could not cure them (see Collins at para.
26).
V.
Conclusion
[37]
For the foregoing reasons, we would allow the
Crown’s cross-appeal, with costs, setting aside the Federal Court Judgment,
dated January 25, 2016 and restoring the Prothonotary’s Order, dated November
12, 2015, which struck Mr. Amos’ Claim in its entirety without leave to amend.
"Wyman W. Webb"
"David G. Near"
"Mary J.L. Gleason"